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

                                   FORM 13F

                              FORM 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: 3/31/2007

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

Institutional Investment Manager Filing this Report:

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

Form 13-F File Number: 028-00267

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

Person Signing this Report on Behalf of Reporting Manager

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

Signature, Place & Date of Signing:

 Mark Czarnecki, President    Buffalo, New York              5/8/2007
 ------------------------- ------------------------  ------------------------
       [Signature]              [City, State]                 [Date]

Report Type (Check only one.):

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

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

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



                            FORM 13-F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                          4

Form 13-F Information Table Entry Total:                3,360

Form 13-F Information Table Value Total:            4,033,837
                                                   (thousands)

List of Other Included Managers:

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

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

No.   Form 13F File Number      Name
---   --------------------      --------------------------------------------
 1    028-39800                 Manufacturers & Traders Trust Company
 2    028-10910                 Zirkin-Cutler Investments, Inc.
 3    028-10909                 MTB Investment Advisors, Inc.
 4    028-11878                 M&T Trust Company of Delaware, Inc.



                                    SEC USE



                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
3M COMPANY         COMMON STOCK 88579Y101   11253    147236    SHARES                         X        1     134101      0 13135
3M COMPANY         COMMON STOCK 88579Y101   17413    227829    SHARES                X                 1     222975      0  4854
3M COMPANY         COMMON STOCK 88579Y101    4836     63271    SHARES                X                 3      59392      0  3879
3M COMPANY         COMMON STOCK 88579Y101      11       150    SHARES                X                 4        150      0     0
3M COMPANY         COMMON STOCK 88579Y101    8649    113155    SHARES         X                        2          0 113155     0
99 CENTS ONLY
  STORES           COMMON STOCK 65440K106      84      5680    SHARES                X                 1       5200      0   480
99 CENTS ONLY
  STORES           COMMON STOCK 65440K106    1319     89500    SHARES                X                 3      89500      0     0
ABB LTD SPON
  ADR              COMMON STOCK 000375204       8       472    SHARES                X                 1        472      0     0
ABBOTT
  LABORATORIES     COMMON STOCK 002824100    1225     21950    SHARES         X                        2          0  21950     0
ABBOTT
  LABORATORIES     COMMON STOCK 002824100    6850    122755    SHARES                         X        1     107935      0 14820
ABBOTT
  LABORATORIES     COMMON STOCK 002824100   13885    248841    SHARES                X                 1     246901      0  1940
ABBOTT
  LABORATORIES     COMMON STOCK 002824100    4123     73871    SHARES                X                 3      64546      0  9325
ABERCROMBIE &
  FITCH            COMMON STOCK 002896207    1299     17150    SHARES                X                 3      17150      0     0
ABERCROMBIE &
  FITCH CO CL A    COMMON STOCK 002896207      23       300    SHARES                         X        1        300      0     0
ABERCROMBIE &
  FITCH CO CL A    COMMON STOCK 002896207     272      3593    SHARES                X                 1       3348      0   245
ABERDEEN
  AUSTRALIA        PREFERRED
  EQUITY FUND      STOCK        003011103      15      1000    SHARES                         X        1       N.A.   N.A.  N.A.
ABIGAIL ADAMS
  NATIONAL
  BANCORP          COMMON STOCK 003390101       2       137    SHARES         X                        2          0    137     0
ABN AMRO
  HOLDINGS NV
  SPON ADR         COMMON STOCK 000937102      15       350    SHARES                         X        1        350      0     0
ACCENTURE
  LTD-CL A         COMMON STOCK G1150G111     478     12410    SHARES                         X        1      11775      0   635
ACCENTURE
  LTD-CL A         COMMON STOCK G1150G111     907     23531    SHARES                X                 1      23531      0     0
ACCENTURE
  LTD-CL A         COMMON STOCK G1150G111      55      1420    SHARES                X                 3       1420      0     0
ACCO BRANDS
  CORP             COMMON STOCK 00081T108       7       311    SHARES                         X        1        286      0    25
ACCO BRANDS
  CORP             COMMON STOCK 00081T108       6       246    SHARES                X                 1        246      0     0
ACE LIMITED        COMMON STOCK G0070K103     160      2800    SHARES                X                 3       2800      0     0
ACERGY SA SP
  ADR              COMMON STOCK 00443E104      40      1900    SHARES                X                 1       1900      0     0
ACETO
  CORPORATION      COMMON STOCK 004446100     395     50000    SHARES                         X        1      50000      0     0
ACTIVISION INC     COMMON STOCK 004930202    2204    116400    SHARES                X                 3     116400      0     0
ACTIVISION INC
  COM NEW          COMMON STOCK 004930202      28      1500    SHARES                         X        1       1500      0     0
ACTIVISION INC
  COM NEW          COMMON STOCK 004930202     316     16700    SHARES                X                 1      14290      0  2410
ACTUANT CORP
  CL A NEW         COMMON STOCK 00508X203     127      2500    SHARES         X                        2          0   2500     0
ACUITY BRANDS      COMMON STOCK 00508Y102    1364     25050    SHARES                X                 3      25050      0     0
ACUITY BRANDS
  INC              COMMON STOCK 00508Y102      11       200    SHARES         X                        2          0    200     0
ACUITY BRANDS
  INC              COMMON STOCK 00508Y102      84      1535    SHARES                X                 1       1400      0   135
ADC
  TELECOMMUNICATNS COMMON STOCK 000886309      18      1100    SHARES                X                 3       1100      0     0
ADESA INC          COMMON STOCK 00686U104      41      1500    SHARES                         X        1       1500      0     0
ADOBE SYS INC
  COM              COMMON STOCK 00724F101      12       280    SHARES                         X        1        280      0     0
ADOBE SYS INC
  COM              COMMON STOCK 00724F101      77      1836    SHARES                X                 1       1836      0     0
ADOBE SYSTEMS
  INC              COMMON STOCK 00724F101     213      5100    SHARES                X                 3       5100      0     0
ADOBE SYSTEMS
  INCORPORATED     COMMON STOCK 00724F101    2014     48318    SHARES         X                        2          0  48318     0
ADOLOR CORP        COMMON STOCK 00724X102    1338    153000    SHARES                X                 3     153000      0     0
ADOLOR CORP COM    COMMON STOCK 00724X102      88     10085    SHARES                X                 1       9200      0   885
ADTRAN INC         COMMON STOCK 00738A106    1403     57600    SHARES                X                 3      57600      0     0
ADTRAN INC COM     COMMON STOCK 00738A106      88      3610    SHARES                X                 1       3300      0   310
ADV MICRO
  DEVICES          COMMON STOCK 007903107     508     38885    SHARES                X                 3      38885      0     0
ADVANCE AUTO
  PARTS            COMMON STOCK 00751Y106      29       750    SHARES                         X        1        750      0     0
ADVANCE AUTO
  PARTS            COMMON STOCK 00751Y106      14       365    SHARES                X                 1        365      0     0
ADVANCED
  MEDICAL
  OPTICS INC       COMMON STOCK 00763M108       4       118    SHARES                         X        1        118      0     0
ADVANCED
  MEDICAL
  OPTICS INC       COMMON STOCK 00763M108       2        44    SHARES                X                 1         44      0     0
ADVANCED MICRO
  DEVICES INC
  COM              COMMON STOCK 007903107      48      3675    SHARES                         X        1       3675      0     0
ADVANCED MICRO
  DEVICES INC
  COM              COMMON STOCK 007903107     932     71334    SHARES                X                 1      70334      0  1000
ADVANTAGE
  ENERGY
  INCOME FUND      COMMON STOCK 00762L101     185     18000    SHARES                X                 1      18000      0     0
AEGON NV ORD
  AMER REG SHS     COMMON STOCK 007924103     211     10606    SHARES                X                 1      10606      0     0
AEROPOSTALE INC    COMMON STOCK 007865108      74      1850    SHARES                X                 1       1700      0   150



                                    1 of 58





                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                    COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1         TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
AEROPOSTALE INC   COMMON STOCK 007865108    1199     29800    SHARES                X                 3      29800      0    0
AES CORP          COMMON STOCK 00130H105     125      5800    SHARES                X                 3       5800      0    0
AES CORP COM      COMMON STOCK 00130H105      77      3585    SHARES                X                 1       3585      0    0
AES CORPORATION   COMMON STOCK 00130H105   18176    844629    SHARES         X                        2          0 844629    0
AES TRUST III
  PFD CONV
  6.75% 10/29     COMMON STOCK 00808N202    2999     59700    SHARES         X                        2          0  59700    0
AETNA INC         COMMON STOCK 00817Y108     262      5980    SHARES                X                 3       5980      0    0
AETNA INC NEW
  COM             COMMON STOCK 00817Y108      43       980    SHARES         X                        2          0    980    0
AETNA INC NEW
  COM             COMMON STOCK 00817Y108      18       400    SHARES                         X        1          0      0  400
AETNA INC NEW
  COM             COMMON STOCK 00817Y108     729     16640    SHARES                X                 1      16640      0    0
AFFILIATED        COMMON CUM
  COMP SVCS       RGTS         008190100      53       900    SHARES                X                 3        900      0    0
AFFILIATED
  COMPUTER
  SVCS INC C      COMMON STOCK 008190100      65      1100    SHARES                X                 1       1100      0    0
AFFILIATED
  MANAGE GR       COMMON STOCK 008252108     910      8400    SHARES                X                 3       8400      0    0
AFFILIATED
  MANAGERS
  GROUP           COMMON STOCK 008252108      22       200    SHARES                         X        1        200      0    0
AFFILIATED
  MANAGERS
  GROUP           COMMON STOCK 008252108     194      1787    SHARES                X                 1       1687      0  100
AFFYMETRIX INC    COMMON STOCK 00826T108      60      2000    SHARES         X                        2          0   2000    0
AFFYMETRIX INC    COMMON STOCK 00826T108      30      1000    SHARES                X                 3          0      0 1000
AFLAC INC         COMMON STOCK 001055102     271      5750    SHARES                         X        1       5750      0    0
AFLAC INC         COMMON STOCK 001055102    2797     59429    SHARES                X                 1      59429      0    0
AFLAC INC         COMMON STOCK 001055102     201      4275    SHARES                X                 3       4275      0    0
AGERE SYSTEMS
  INC             COMMON STOCK 00845V308       8       362    SHARES                         X        1        346      0   16
AGERE SYSTEMS
  INC             COMMON STOCK 00845V308       2        97    SHARES                X                 1         97      0    0
AGERE SYSTEMS
  INC             COMMON STOCK 00845V308       1        33    SHARES                X                 3          0      0   33
AGILENT TECHN
  INC             COMMON STOCK 00846U101     122      3610    SHARES                X                 3       3610      0    0
AGILENT
  TECHNOLOGIES
  INC COM         COMMON STOCK 00846U101      77      2288    SHARES         X                        2          0   2288    0
AGILENT
  TECHNOLOGIES
  INC COM         COMMON STOCK 00846U101      46      1364    SHARES                         X        1        754      0  610
AGILENT
  TECHNOLOGIES
  INC COM         COMMON STOCK 00846U101      45      1332    SHARES                X                 1       1332      0    0
AGL RESOURCES
  INC COM         COMMON STOCK 001204106     343      8032    SHARES                         X        1       8032      0    0
AGL RESOURCES
  INC COM         COMMON STOCK 001204106     120      2800    SHARES                X                 1       2800      0    0
AGL RESOURCES
  INC COM         COMMON STOCK 001204106      60      1400    SHARES                X                 3       1400      0    0
AGNICO EAGLE
  MINES LTD       COMMON STOCK 008474108       5       150    SHARES                X                 1        150      0    0
AIR PRODS &
  CHEMS           COMMON STOCK 009158106     133      1800    SHARES                X                 3       1800      0    0
AIR PRODUCTS &
  CHEMICALS INC   COMMON STOCK 009158106    1291     17450    SHARES                         X        1      15700      0 1750
AIR PRODUCTS &
  CHEMICALS INC   COMMON STOCK 009158106    1218     16469    SHARES                X                 1      16469      0    0
AK STEEL
  HOLDING CORP
  COM             COMMON STOCK 001547108      96      4111    SHARES                X                 1       3766      0  345
AK STL HLDG
  CORP            COMMON STOCK 001547108    1443     61700    SHARES                X                 3      61700      0    0
AKAMAI TECH INC   COMMON STOCK 00971T101     824     16500    SHARES                X                 3      16500      0    0
AKAMAI
  TECHNOLOGIES
  INC COM         COMMON STOCK 00971T101      25       500    SHARES                         X        1        500      0    0
AKAMAI
  TECHNOLOGIES
  INC COM         COMMON STOCK 00971T101      60      1200    SHARES                X                 1       1100      0  100
ALASKA
  COMMUNICATIONS
  SYSTEMS         COMMON STOCK 01167P101      60      4100    SHARES                X                 1       3500      0  600
ALBEMARLE CORP
  COM             COMMON STOCK 012653101     876     21200    SHARES                         X        1      21200      0    0
ALBEMARLE CORP
  COM             COMMON STOCK 012653101     744     18000    SHARES                X                 1      18000      0    0
ALBERTO CULVER
  CO              COMMON STOCK 013078100    1409     61600    SHARES                X                 3      61600      0    0
ALBERTO-CULVER
  COMPANY         COMMON STOCK 013078100      92      4030    SHARES                X                 1       3700      0  330
ALCAN INC         COMMON STOCK 013716105      70      1350    SHARES                         X        1       1350      0    0
ALCATEL-LUCENT
  - SPON ADR      COMMON STOCK 013904305      49      4126    SHARES                         X        1       3793      0  333
ALCATEL-LUCENT
  - SPON ADR      COMMON STOCK 013904305      61      5131    SHARES                X                 1       5131      0    0
ALCATEL-LUCENT
  - SPON ADR      COMMON STOCK 013904305       2       165    SHARES                X                 4        165      0    0
ALCOA INC         COMMON STOCK 013817101     282      8312    SHARES                X                 3       8312      0    0
ALCOA INC COM     COMMON STOCK 013817101    1441     42509    SHARES                         X        1      36874      0 5635
ALCOA INC COM     COMMON STOCK 013817101    4966    146484    SHARES                X                 1     143084      0 3400
ALCOA INC COM     COMMON STOCK 013817101       7       200    SHARES                X                 4        200      0    0
ALCON INC         COMMON STOCK H01301102     158      1200    SHARES         X                        2          0   1200    0
ALCON INC         COMMON STOCK H01301102      40       300    SHARES                X                 1        300      0    0
ALDILA
  INCORPORATED
  NEW             COMMON STOCK 014384200       1        66    SHARES                X                 1         66      0    0
ALEXION
  PHARMACEUTICALS
  INC CO          COMMON STOCK 015351109      13       300    SHARES                         X        1          0      0  300
ALKERMES INC      COMMON STOCK 01642T108    1257     81400    SHARES                X                 3      81400      0    0
ALKERMES INC
  COM             COMMON STOCK 01642T108      81      5275    SHARES                X                 1       4800      0  475
ALLEGHENY
  ENERGY INC      COMMON STOCK 017361106     187      3800    SHARES                         X        1       3500      0  300
ALLEGHENY
  ENERGY INC      COMMON STOCK 017361106      44       898    SHARES                X                 1        898      0    0



                                    2 of 58





                                                                                    COLUMN 6                       COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
ALLEGHENY ENERGY
  INC              COMMON STOCK 017361106      64       1300   SHARES                X                 3       1300      0      0
ALLEGHENY TECH
  INC              COMMON STOCK 01741R102      96        900   SHARES                X                 3        900      0      0
ALLEGHENY
  TECHNOLOGIES
  INC COM          COMMON STOCK 01741R102      71        664   SHARES                         X        1        183      0    481
ALLEGHENY
  TECHNOLOGIES
  INC COM          COMMON STOCK 01741R102     103        962   SHARES                X                 1        962      0      0
ALLERGAN INC       COMMON STOCK 018490102      92        832   SHARES                         X        1        832      0      0
ALLERGAN INC       COMMON STOCK 018490102     220       1985   SHARES                X                 1       1985      0      0
ALLERGAN INC       COMMON STOCK 018490102     155       1400   SHARES                X                 3       1400      0      0
ALLETE INC         COMMON STOCK 018522300      71       1533   SHARES                         X        1       1533      0      0
ALLETE INC         COMMON STOCK 018522300      12        267   SHARES                X                 1        267      0      0
ALLIANCE FINL CORP
  COM              COMMON STOCK 019205103      87       3027   SHARES         X                        2          0   3027      0
ALLIANCE HOLDINGS
  GP LP            COMMON STOCK 01861G100      38       1600   SHARES         X                        2          0   1600      0
ALLIANCE NATIONAL  PREFERRED
  MUNI INC FD      STOCK        01864U106      15       1000   SHARES                         X        1       N.A.   N.A.   N.A.
ALLIANCEBERNSTEIN
  HOLDING LP       COMMON STOCK 01881G106     841       9500   SHARES         X                        2          0   9500      0
ALLIANCEBERNSTEIN
  HOLDING LP       COMMON STOCK 01881G106     159       1800   SHARES                         X        1       1800      0      0
ALLIANCEBERNSTEIN
  HOLDING LP       COMMON STOCK 01881G106     122       1375   SHARES                X                 1       1375      0      0
ALLIANCEBERNSTEIN  PREFERRED
  INCOME FUND      STOCK        01881E101      16       1892   SHARES                         X        1       N.A.   N.A.   N.A.
ALLIANT ENERGY
  CORP             COMMON STOCK 018802108      15        342   SHARES                X                 1        342      0      0
ALLIANT
  TECHSYSTEMS INC  COMMON STOCK 018804104      59        675   SHARES         X                        2          0    675      0
ALLIANT
  TECHSYSTEMS INC  COMMON STOCK 018804104      36        405   SHARES                         X        1        405      0      0
ALLIANT
  TECHSYSTEMS INC  COMMON STOCK 018804104      11        127   SHARES                X                 1        127      0      0
ALLIED CAPITAL
  CORP NEW COM     COMMON STOCK 01903Q108      59       2050   SHARES                         X        1       2050      0      0
ALLIED CAPITAL
  CORP NEW COM     COMMON STOCK 01903Q108      70       2438   SHARES                X                 1       2438      0      0
ALLIED CAPITAL
  CORP NEW COM     COMMON STOCK 01903Q108      20        700   SHARES                X                 3        700      0      0
ALLIED CAPITAL
  CORPORATION      COMMON STOCK 01903Q108    1933      67097   SHARES         X                        2          0  67097      0
ALLIED IRISH BKS
  PLC-SPON ADR     COMMON STOCK 019228402   25887     432395   SHARES                         X        1     346395      0  86000
ALLIED IRISH BKS
  PLC-SPON ADR     COMMON STOCK 019228402   71245    1189998   SHARES                X                 1     865846  10511 313641
ALLIED WASTE IND   COMMON STOCK 019589308      43       3400   SHARES                X                 3       3400      0      0
ALLIS-CHALMERS
  ENERGY INC       COMMON STOCK 019645506       0          3   SHARES                X                 1          3      0      0
ALLSCRIPTS
  HEALTHCAR        COMMON STOCK 01988P108    1870      69742   SHARES                X                 3      69742      0      0
ALLSCRIPTS
  HEALTHCARE
  SOLUTION         COMMON STOCK 01988P108     372      13876   SHARES                X                 1      13601      0    275
ALLSTATE CORP      COMMON STOCK 020002101    1511      25159   SHARES                         X        1      23759      0   1400
ALLSTATE CORP      COMMON STOCK 020002101    5010      83419   SHARES                X                 1      80763      0   2656
ALLSTATE CORP      COMMON STOCK 020002101     380       6338   SHARES                X                 3       6338      0      0
ALLSTATE CORP      COMMON STOCK 020002101       6        100   SHARES                X                 4        100      0      0
ALLSTATE
  CORPORATION      COMMON STOCK 020002101    2790      46460   SHARES         X                        2          0  46460      0
ALLTEL CORP        COMMON STOCK 020039103    1738      28032   SHARES                         X        1      23832      0   4200
ALLTEL CORP        COMMON STOCK 020039103     469       7571   SHARES                X                 1       7571      0      0
ALLTEL CORP        COMMON STOCK 020039103     313       5050   SHARES                X                 3       4600      0    450
ALLTEL
  CORPORATION      COMMON STOCK 020039103    6417     103495   SHARES         X                        2          0 103495      0
ALPINE GLOBAL
  DYNAMIC          PREFERRED
  DIVIDEND         STOCK        02082E106      17        696   SHARES                         X        1       N.A.   N.A.   N.A.
ALTERA CORP        COMMON STOCK 021441100      60       3000   SHARES                X                 3       3000      0      0
ALTERA CORP COM    COMMON STOCK 021441100      79       3962   SHARES                X                 1       3962      0      0
ALTRIA GROUP INC   COMMON STOCK 02209S103    2028      23100   SHARES         X                        2          0  23100      0
ALTRIA GROUP INC   COMMON STOCK 02209S103   13178     150075   SHARES                         X        1     143325      0   6750
ALTRIA GROUP INC   COMMON STOCK 02209S103   25749     293235   SHARES                X                 1     291135      0   2100
ALTRIA GROUP INC   COMMON STOCK 02209S103   11530     131319   SHARES                X                 3     131319      0      0
AMAZON COM INC     COMMON STOCK 023135106     107       2700   SHARES                X                 3       2700      0      0
AMAZON.COM INC     COMMON STOCK 023135106       4        100   SHARES                         X        1          0      0    100
AMBAC FINANCIAL
  GROUP INC        COMMON STOCK 023139108      52        600   SHARES         X                        2          0    600      0
AMBAC FINANCIAL
  GROUP INC        COMMON STOCK 023139108     254       2940   SHARES                         X        1       2940      0      0
AMBAC FINANCIAL
  GROUP INC        COMMON STOCK 023139108     272       3150   SHARES                X                 1       3150      0      0
AMBAC FINANCIAL
  GRP              COMMON STOCK 023139108      73        850   SHARES                X                 3        850      0      0
AMERCO             COMMON STOCK 023586100       9        131   SHARES                X                 1        131      0      0
AMEREN CORP        COMMON STOCK 023608102      55       1100   SHARES                         X        1       1100      0      0
AMEREN CORP        COMMON STOCK 023608102     262       5205   SHARES                X                 1       5205      0      0
AMEREN
  CORPORATION      COMMON STOCK 023608102      94       1860   SHARES                X                 3       1860      0      0
AMERICA MOVIL -
  ADR SERIES A     COMMON STOCK 02364W204     239       5000   SHARES                X                 1       5000      0      0
AMERICA MOVIL SA -
  SPONS ADR S      COMMON STOCK 02364W105     201       4200   SHARES                         X        1       1200      0   3000
AMERICA MOVIL SA -
  SPONS ADR S      COMMON STOCK 02364W105     459       9600   SHARES                X                 1       9600      0      0



                                    3 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
AMERICA MOVIL SA
  - SPONS ADR SER
  L                COMMON STOCK 02364W105     143      3000    SHARES         X                        2          0   3000     0
AMERICAN ACCESS
  TECHNOLOGIES I   COMMON STOCK 02368F108       0       500    SHARES                X                 1        500      0     0
AMERICAN ACCESS
  TECHNOLOGIES INC COMMON STOCK 02368F108       1       800    SHARES         X                        2          0    800     0
AMERICAN CAPITAL
  STRATEGIES LT    COMMON STOCK 024937104      77      1748    SHARES                         X        1       1748      0     0
AMERICAN CAPITAL
  STRATEGIES LT    COMMON STOCK 024937104     199      4500    SHARES                X                 1       4500      0     0
AMERICAN CAPITAL
  STRATEGIES LTD   COMMON STOCK 024937104    9620    217100    SHARES         X                        2          0 217100     0
AMERICAN EAGLE
  OUTFITTER INC    COMMON STOCK 02553E106     232      7720    SHARES                X                 1       7275      0   445
AMERICAN EAGLE
  OUTFITTER INC    COMMON STOCK 02553E106     950     31700    SHARES                X                 3      31700      0     0
AMERICAN ELECTRIC
  POWER CO INC     COMMON STOCK 025537101     348      7147    SHARES                         X        1       4317      0  2830
AMERICAN ELECTRIC
  POWER CO INC     COMMON STOCK 025537101     268      5505    SHARES                X                 1       5505      0     0
AMERICAN ELECTRIC
  POWER
  INCORPORATED     COMMON STOCK 025537101     239      4900    SHARES         X                        2          0   4900     0
AMERICAN EXPRESS
  CO               COMMON STOCK 025816109    1140     20209    SHARES                         X        1      17163      0  3046
AMERICAN EXPRESS
  CO               COMMON STOCK 025816109    3639     64513    SHARES                X                 1      63913      0   600
AMERICAN EXPRESS
  CO               COMMON STOCK 025816109    1483     26292    SHARES                X                 3      26292      0     0
AMERICAN EXPRESS
  CO               COMMON STOCK 025816109      11       200    SHARES                X                 4        200      0     0
AMERICAN EXPRESS
  COMPANY          COMMON STOCK 025816109    2547     45154    SHARES         X                        2          0  45154     0
AMERICAN
  FINANCIAL GROUP
  INC              COMMON STOCK 025932104      20       600    SHARES                         X        1          0      0   600
AMERICAN
  FINANCIAL REALTY COMMON STOCK 02607P305    4483    444750    SHARES         X                        2          0 444750     0
AMERICAN
  FINANCIAL
  REALTY TRUS      COMMON STOCK 02607P305      40      4000    SHARES                X                 1       N.A.   N.A.  N.A.
AMERICAN
  INTERNATIONAL
  GROUP I          COMMON STOCK 026874107    7995    118931    SHARES                         X        1     108397      0 10534
AMERICAN
  INTERNATIONAL
  GROUP I          COMMON STOCK 026874107   22691    337562    SHARES                X                 1     330712      0  6850
AMERICAN
  INTERNATIONAL
  GROUP I          COMMON STOCK 026874107   12914    192103    SHARES                X                 3     183462      0  8641
AMERICAN
  INTERNATIONAL
  GROUP I          COMMON STOCK 026874107      20       300    SHARES                X                 4        300      0     0
AMERICAN
  INTERNATIONAL
  GROUP INC        COMMON STOCK 026874107   20491    304845    SHARES         X                        2          0 304845     0
AMERICAN
  SCIENCE &
  ENGINEERING      COMMON STOCK 029429107     948     18000    SHARES                         X        1      18000      0     0
AMERICAN SELECT    PREFERRED
  PORTFOLIO        STOCK        029570108      18      1400    SHARES                X                 1       N.A.   N.A.  N.A.
AMERICAN STANDARD
  CO               COMMON STOCK 029712106      74      1400    SHARES                X                 3       1400      0     0
AMERICAN
  STRATEGIC        PREFERRED
  INCOME II        STOCK        030099105      21      1800    SHARES                X                 1       N.A.   N.A.  N.A.
AMERICAN
  STRATEGIC        PREFERRED
  INCOME III       STOCK        03009T101      20      1700    SHARES                X                 1       N.A.   N.A.  N.A.
AMERICAN
  TECHNOLOGY CORP  COMMON STOCK 030145205      12      3000    SHARES                X                 1       3000      0     0
AMERICAN TOWER
  CORP CL A        COMMON STOCK 029912201      10       255    SHARES                X                 1        255      0     0
AMERICASBANK CORP  COMMON STOCK 03061G302       7      1000    SHARES                         X        1       1000      0     0
AMERIGAS PARTNERS
  LP               COMMON STOCK 030975106      52      1600    SHARES                         X        1       1600      0     0
AMERIGAS PARTNERS
  LP               COMMON STOCK 030975106      10       300    SHARES                X                 1        300      0     0
AMERIPRISE
  FINANCIAL        COMMON STOCK 03076C106     114      2000    SHARES                X                 3       2000      0     0
AMERIPRISE
  FINANCIAL INC    COMMON STOCK 03076C106     165      2889    SHARES         X                        2          0   2889     0
AMERIPRISE
  FINANCIAL INC    COMMON STOCK 03076C106     113      1984    SHARES                         X        1       1594      0   390
AMERIPRISE
  FINANCIAL INC    COMMON STOCK 03076C106     214      3747    SHARES                X                 1       3627      0   120
AMERIPRISE
  FINANCIAL INC    COMMON STOCK 03076C106       2        40    SHARES                X                 4         40      0     0
AMERIS BANCORP     COMMON STOCK 03076K108       3       123    SHARES                X                 1        123      0     0
AMERISOURCE
  BERGEN CORP COM  COMMON STOCK 03073E105      21       400    SHARES                X                 1        400      0     0
AMERISOURCE-
  BERGEN           COMMON STOCK 03073E105      84      1600    SHARES                X                 3       1600      0     0
AMERN ELEC PWR INC COMMON STOCK 025537101     166      3402    SHARES                X                 3       3402      0     0
AMERON
  INTERNATIONAL
  CORP             COMMON STOCK 030710107      53       800    SHARES         X                        2          0    800     0
AMETEK AEROSPACE
  PRODS INC COM    COMMON STOCK 031100100      49      1413    SHARES                X                 1       1413      0     0
AMGEN INC          COMMON STOCK 031162100    5734    102617    SHARES                X                 3      92800      0  9817
AMGEN INC COM      COMMON STOCK 031162100    3631     64982    SHARES                         X        1      57972      0  7010
AMGEN INC COM      COMMON STOCK 031162100   13095    234348    SHARES                X                 1     229723      0  4625
AMGEN INC COM      COMMON STOCK 031162100      11       200    SHARES                X                 4        200      0     0
AMGEN INCORPORATED COMMON STOCK 031162100    2468     44161    SHARES         X                        2          0  44161     0
AMR CORP DEL COM   COMMON STOCK 001765106       1        38    SHARES                X                 1         38      0     0
AMSURG CORP        COMMON STOCK 03232P405      20       800    SHARES                         X        1        800      0     0
AMTECH SYSTEMS INC COMMON STOCK 032332504      15      2000    SHARES                         X        1       2000      0     0
ANADARKO PETE      COMMON STOCK 032511107    2035     47347    SHARES                X                 3      43713      0  3634
ANADARKO
  PETROLEUM CORP   COMMON STOCK 032511107     131      3054    SHARES         X                        2          0   3054     0
ANADARKO
  PETROLEUM CORP   COMMON STOCK 032511107     570     13265    SHARES                         X        1       8395      0  4870
ANADARKO
  PETROLEUM CORP   COMMON STOCK 032511107    2931     68194    SHARES                X                 1      66843      0  1351
ANALOG DEVICES INC COMMON STOCK 032654105     545     15800    SHARES         X                        2          0  15800     0
ANALOG DEVICES INC COMMON STOCK 032654105      21       600    SHARES                         X        1          0      0   600



                                    4 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
ANALOG DEVICES INC COMMON STOCK 032654105     173      5000    SHARES                X                 3      5000      0    0
ANDERSONS INC      COMMON STOCK 034164103    1461     32900    SHARES                X                 3     32900      0    0
ANDERSONS
  INCORPORATED     COMMON STOCK 034164103      92      2080    SHARES                X                 1      1900      0  180
ANGIODYNAMICS INC  COMMON STOCK 03475V101       2       137    SHARES                         X        1       137      0    0
ANGIODYNAMICS INC  COMMON STOCK 03475V101      89      5240    SHARES                X                 1      4800      0  440
ANGIODYNAMICS INC  COMMON STOCK 03475V101    1235     73100    SHARES                X                 3     73100      0    0
ANGLO AMERICAN
  PLC ADR          COMMON STOCK 03485P102      90      3400    SHARES                         X        1      3400      0    0
ANGLO AMERICAN
  PLC ADR          COMMON STOCK 03485P102       7       250    SHARES                X                 1       250      0    0
ANGLOGOLD ASHANTI
  SPON ADR         COMMON STOCK 035128206       5       110    SHARES                X                 1       110      0    0
ANHEUSER BUSCH COS COMMON STOCK 035229103     532     10555    SHARES                X                 3     10555      0    0
ANHEUSER BUSCH
  COS INC COM      COMMON STOCK 035229103     906     17947    SHARES         X                        2         0  17947    0
ANHEUSER BUSCH
  COS INC COM      COMMON STOCK 035229103    1064     21085    SHARES                         X        1     21085      0    0
ANHEUSER BUSCH
  COS INC COM      COMMON STOCK 035229103    1368     27101    SHARES                X                 1     27101      0    0
ANIKA
  THERAPEUTICS
  INC COM          COMMON STOCK 035255108      10       800    SHARES                         X        1       800      0    0
ANNALY CAPITAL
  MANAGEMENT INC   COMMON STOCK 035710409       8       500    SHARES                         X        1      N.A.   N.A. N.A.
ANNALY CAPITAL
  MANAGEMENT INC   COMMON STOCK 035710409      19      1250    SHARES                X                 1      N.A.   N.A. N.A.
ANNALY CAPITAL
  MANAGEMENT INC
  (REIT)           COMMON STOCK 035710409      54      3500    SHARES         X                        2         0   3500    0
ANNALY CAPITAL
  MGMT             COMMON STOCK 035710409     155     10000    SHARES                X                 3     10000      0    0
ANNAPOLIS BANCORP
  INCORPORATED     COMMON STOCK 035848100      13      1333    SHARES                         X        1      1333      0    0
ANSOFT CORPORATION COMMON STOCK 036384105      21       650    SHARES                X                 3       650      0    0
ANSWERS
  CORPORATION      COMMON STOCK 03662X100      23      1800    SHARES                X                 1      1800      0    0
ANSYS INC          COMMON STOCK 03662Q105    2117     41700    SHARES                X                 3     41700      0    0
ANSYS INC COM      COMMON STOCK 03662Q105     237      4674    SHARES                X                 1      4294      0  380
ANTHRACITE
  CAPITAL INC COM  COMMON STOCK 037023108      26      2139    SHARES                X                 1      N.A.   N.A. N.A.
AON CORP COM       COMMON STOCK 037389103      57      1500    SHARES                         X        1      1500      0    0
AON CORP COM       COMMON STOCK 037389103     266      7000    SHARES                X                 1      7000      0    0
AON CORPORATION    COMMON STOCK 037389103      92      2430    SHARES                X                 3      2430      0    0
APACHE CORP        COMMON STOCK 037411105     198      2800    SHARES                X                 3      2800      0    0
APACHE CORP COM    COMMON STOCK 037411105     408      5774    SHARES         X                        2         0   5774    0
APACHE CORP COM    COMMON STOCK 037411105     620      8776    SHARES                         X        1      8566      0  210
APACHE CORP COM    COMMON STOCK 037411105    2191     30995    SHARES                X                 1     30995      0    0
APARTMENT INVT &
  MGMT CL A        COMMON STOCK 03748R101     173      3000    SHARES         X                        2         0   3000    0
APARTMENT INVT &
  MGMT CL A        COMMON STOCK 03748R101      12       200    SHARES                         X        1      N.A.   N.A. N.A.
APARTMENT          COMMON
  INVT&MGMT        STOCK A      03748R101      46       800    SHARES                X                 3       800      0    0
APOLLO GROUP INC   COMMON
                   STOCK A      037604105      48      1100    SHARES                X                 3      1100      0    0
APOLLO GROUP INC
  CL A             COMMON STOCK 037604105       8       173    SHARES                X                 1       173      0    0
APOLLO INVESTMENT  PREFERRED
  CORPORATION      STOCK        03761U106      31      1457    SHARES                         X        1      N.A.   N.A. N.A.
APOLLO INVESTMENT  PREFERRED
  CORPORATION      STOCK        03761U106      54      2531    SHARES                X                 1      N.A.   N.A. N.A.
APPLE COMPUTER
  INCORPORATED     COMMON STOCK 037833100   11582    124660    SHARES         X                        2         0 124660    0
APPLE INC          COMMON STOCK 037833100     671      7220    SHARES                         X        1      5390      0 1830
APPLE INC          COMMON STOCK 037833100    5729     61659    SHARES                X                 1     60909      0  750
APPLE INC          COMMON STOCK 037833100    3700     39814    SHARES                X                 3     38535      0 1279
APPLEBEE
  INTERNATIONAL
  INC COM          COMMON STOCK 037899101      15       600    SHARES                         X        1       600      0    0
APPLERA
  CORP-APPLIED
  BIOSYSTEM        COMMON STOCK 038020103      50      1681    SHARES                X                 1      1681      0    0
APPLERA
  CORP-CELERA
  GENOMICS G       COMMON STOCK 038020202       9       600    SHARES                X                 1       600      0    0
APPLERA
  CORPORATION      COMMON STOCK 038020103      46      1540    SHARES                X                 3      1540      0    0
APPLIED MATERIALS  COMMON STOCK 038222105     224     12200    SHARES                X                 3     12200      0    0
APPLIED MATERIALS
  INC COM          COMMON STOCK 038222105      94      5140    SHARES                         X        1      4440      0  700
APPLIED MATERIALS
  INC COM          COMMON STOCK 038222105     709     38681    SHARES                X                 1     37281      0 1400
APPLIED MATERIALS
  INCORPORATED     COMMON STOCK 038222105    2065    112675    SHARES         X                        2         0 112675    0
AQUA AMERICA INC   COMMON STOCK 03836W103       6       258    SHARES                         X        1       258      0    0
AQUA AMERICA INC   COMMON STOCK 03836W103      79      3509    SHARES                X                 1      3509      0    0
AQUA AMERICA INC   COMMON STOCK 03836W103     110      4900    SHARES                X                 3      4900      0    0
AQUANTIVE INC      COMMON STOCK 03839G105      92      3300    SHARES                X                 1      3000      0  300
AQUANTIVE INC      COMMON STOCK 03839G105    1438     51500    SHARES                X                 3     51500      0    0
ARCELOR MITTAL -
  CL A -NY REG     COMMON STOCK 03937E101       5       100    SHARES                X                 1       100      0    0
ARCHER DANIELS
  MIDLAND CO COM   COMMON STOCK 039483102     114      3102    SHARES         X                        2         0   3102    0
ARCHER DANIELS
  MIDLAND CO COM   COMMON STOCK 039483102     249      6780    SHARES                         X        1      1280      0 5500
ARCHER DANIELS
  MIDLAND CO COM   COMMON STOCK 039483102     593     16164    SHARES                X                 1     16164      0    0



                                    5 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
ARCHER DANIELS
  MIDLAND CO COM   COMMON STOCK 039483102     224      6100    SHARES                X                 3       6100      0     0
ARCHSTONE SMITH TR COMMON STOCK 039583109     103      1900    SHARES                X                 3       1900      0     0
ARCHSTONE-SMITH
  TRUST            COMMON STOCK 039583109    8310    153099    SHARES         X                        2          0 153099     0
ARCHSTONE-SMITH
  TRUST (REIT)     COMMON STOCK 039583109     172      3174    SHARES                         X        1       N.A.   N.A.  N.A.
ARCHSTONE-SMITH
  TRUST (REIT)     COMMON STOCK 039583109     176      3240    SHARES                X                 1       N.A.   N.A.  N.A.
ARES CAPITAL CORP  COMMON STOCK 04010L103      15       813    SHARES                         X        1        813      0     0
ARGONAUT GROUP     COMMON STOCK 040157109      12       366    SHARES                X                 1        366      0     0
ARIBA INC          COMMON STOCK 04033V203       0         5    SHARES                X                 1          5      0     0
ARLINGTON TANKERS
  LTD              COMMON STOCK G04899103    4227    177149    SHARES         X                        2          0 177149     0
ARLINGTON TANKERS
  LTD              COMMON STOCK G04899103      72      3000    SHARES                X                 1       3000      0     0
ARQULE INC         COMMON STOCK 04269E107      27      3600    SHARES                X                 1       3200      0   400
ARQULE INC         COMMON STOCK 04269E107     420     56200    SHARES                X                 3      56200      0     0
ARROW
  INTERNATIONAL
  INC              COMMON STOCK 042764100      39      1200    SHARES                         X        1       1000      0   200
ARROW
  INTERNATIONAL
  INC              COMMON STOCK 042764100      45      1400    SHARES                X                 1       1400      0     0
ART TECHNOLOGY
  GROUP            COMMON STOCK 04289L107     285    122894    SHARES         X                              122894      0     0
ARTESIAN
  RESOURCES
  CORPORATION      COMMON STOCK 043113208     103      5016    SHARES                X                 1       3891      0  1125
ARTHROCARE CORP    COMMON STOCK 043136100      14       400    SHARES                         X        1        400      0     0
ARVINMERITOR INC
  COM              COMMON STOCK 043353101       1        32    SHARES                X                 1         32      0     0
ASA LTD            PREFERRED
                   STOCK        G3156P103      65      1000    SHARES                X                 1       N.A.   N.A.  N.A.
ASHLAND INC        COMMON STOCK 044209104      15       225    SHARES                X                 1        225      0     0
ASHLAND INC        COMMON STOCK 044209104      75      1150    SHARES                X                 3       1150      0     0
ASM INTERNATIONAL
  NV               COMMON STOCK N07045102      85      3830    SHARES                X                 1       3500      0   330
ASM INTL N V       COMMON STOCK N07045102    1320     59600    SHARES                X                 3      59600      0     0
ASPECT MEDICAL
  SYSTEMS
  INCORPORATED     COMMON STOCK 045235108      31      2000    SHARES         X                        2          0   2000     0
ASTORIA FINANCIAL
  CORP COM         COMMON STOCK 046265104       3       100    SHARES                         X        1        100      0     0
ASTORIA FINL CORP  COMMON STOCK 046265104      85      3200    SHARES                X                 3       3200      0     0
ASTRAZENECA GROUP
  PLC SPONSORE     COMMON STOCK 046353108      78      1461    SHARES                         X        1       1461      0     0
ASTRAZENECA GROUP
  PLC SPONSORE     COMMON STOCK 046353108     265      4945    SHARES                X                 1       4945      0     0
ASTRAZENECA GROUP
  PLC SPONSORE     COMMON STOCK 046353108      59      1100    SHARES                X                 3       1100      0     0
AT&T INC           COMMON STOCK 00206R102   15326    388679    SHARES         X                        2          0 388679     0
AT&T INC           COMMON STOCK 00206R102   17025    431785    SHARES                         X        1     384166      0 47619
AT&T INC           COMMON STOCK 00206R102   26270    666252    SHARES                X                 1     657444      0  8808
AT&T INC           COMMON STOCK 00206R102    6627    168089    SHARES                X                 3     158512      0  9577
AT&T INC           COMMON STOCK 00206R102      10       265    SHARES                X                 4        265      0     0
ATLAS PIPELINE
  HOLDINGS LP      COMMON STOCK 04939R108      39      1600    SHARES         X                        2          0   1600     0
ATLAS PIPELINE
  PARTNERS LP      COMMON STOCK 049392103      10       200    SHARES                X                 1        200      0     0
ATMOS ENERGY CORP  COMMON STOCK 049560105      15       476    SHARES         X                        2          0    476     0
AUTODESK COM       COMMON STOCK 052769106      40      1070    SHARES                         X        1       1070      0     0
AUTODESK COM       COMMON STOCK 052769106    2199     58495    SHARES                X                 1      56913      0  1582
AUTODESK COM       COMMON STOCK 052769106    3885    103321    SHARES                X                 3      96367      0  6954
AUTOMATIC DATA
  PROC             COMMON STOCK 053015103     421      8700    SHARES                X                 3       8700      0     0
AUTOMATIC DATA
  PROCESSING INC   COMMON STOCK 053015103    3243     66998    SHARES         X                        2          0  66998     0
AUTOMATIC DATA
  PROCESSING INC   COMMON STOCK 053015103    2472     51066    SHARES                         X        1      45856      0  5210
AUTOMATIC DATA
  PROCESSING INC   COMMON STOCK 053015103    3308     68337    SHARES                X                 1      66887      0  1450
AUTONATION INC     COMMON STOCK 05329W102      28      1300    SHARES                X                 3       1300      0     0
AUTOZONE INC       COMMON STOCK 053332102      56       440    SHARES                X                 3        440      0     0
AVALONBAY
  COMMNTIES        COMMON STOCK 053484101      91       700    SHARES                X                 3        700      0     0
AVALONBAY
  COMMUNITIES INC  COMMON STOCK 053484101      39       300    SHARES                X                 1       N.A.   N.A.  N.A.
AVATAR HOLDINGS
  INCORPORATED     COMMON STOCK 053494100     436      6100    SHARES                X                 1       6100      0     0
AVAYA INC          COMMON STOCK 053499109      45      3825    SHARES                X                 3       3825      0     0
AVAYA INC COM      COMMON STOCK 053499109      12       992    SHARES                         X        1        951      0    41
AVAYA INC COM      COMMON STOCK 053499109       6       518    SHARES                X                 1        518      0     0
AVERY DENNISON
  CORP             COMMON STOCK 053611109     128      2000    SHARES                X                 3       2000      0     0
AVERY DENNISON
  CORP COM         COMMON STOCK 053611109      51       800    SHARES                         X        1        800      0     0
AVERY DENNISON
  CORP COM         COMMON STOCK 053611109       8       125    SHARES                X                 1        125      0     0
AVID TECHNOLOGY
  INC              COMMON STOCK 05367P100      17       500    SHARES                X                 1        500      0     0
AVIS BUDGET GROUP
  INC              COMMON STOCK 053774105       4       145    SHARES                         X        1        145      0     0
AVIS BUDGET GROUP
  INC              COMMON STOCK 053774105       3       100    SHARES                X                 1        100      0     0
AVNET INC COM      COMMON STOCK 053807103      18       500    SHARES                         X        1        500      0     0



                                    6 of 58





                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                    COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1         TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
AVNET INC COM     COMMON STOCK 053807103       7       200    SHARES                X                 4        200      0     0
AVON PRODUCTS
  INC             COMMON STOCK 054303102     292      7844    SHARES                         X        1       7844      0     0
AVON PRODUCTS
  INC             COMMON STOCK 054303102      47      1260    SHARES                X                 1       1260      0     0
AVON PRODUCTS
  INC             COMMON STOCK 054303102     138      3700    SHARES                X                 3       3700      0     0
AXA SPONSORED
  ADR             COMMON STOCK 054536107      10       236    SHARES                         X        1        236      0     0
AXCELIS
  TECHNOLOGIES
  INC COM         COMMON STOCK 054540109      20      2652    SHARES                         X        1       2652      0     0
B & G FOODS
  INC - EIS       COMMON STOCK 05508R205      41      1750    SHARES                X                 1       1750      0     0
BADGER METER
  INC             COMMON STOCK 056525108     223      8400    SHARES                         X        1       8400      0     0
BAKER HUGHES
  INC             COMMON STOCK 057224107     185      2795    SHARES                X                 3       2795      0     0
BAKER HUGHES
  INC COM         COMMON STOCK 057224107      43       650    SHARES                         X        1        650      0     0
BAKER HUGHES
  INC COM         COMMON STOCK 057224107     168      2542    SHARES                X                 1       2542      0     0
BAKER HUGHES
  INCORPORATED    COMMON STOCK 057224107     883     13350    SHARES         X                        2          0  13350     0
BALL CORP         COMMON STOCK 058498106      39       860    SHARES                X                 3        860      0     0
BALL
  CORPORATION     COMMON STOCK 058498106    1100     24000    SHARES                X                 1      24000      0     0
BALLARD POWER
  SYSTEM INC      COMMON STOCK 05858H104       2       300    SHARES                X                 1        300      0     0
BANCO BRADESCO
  - SPONS ADR     COMMON STOCK 059460303      20       500    SHARES                X                 3        500      0     0
BANCORP RHODE
  ISLAND INC      COMMON STOCK 059690107       6       135    SHARES                X                 1        135      0     0
BANK AMER CORP    COMMON STOCK 060505104   11244    220392    SHARES                         X        1     204290      0 16102
BANK AMER CORP    COMMON STOCK 060505104   25489    499587    SHARES                X                 1     489933      0  9654
BANK AMER CORP    COMMON STOCK 060505104   12972    254264    SHARES                X                 3     243294      0 10970
BANK NEW YORK
  INC             COMMON STOCK 064057102     406     10010    SHARES                X                 3      10010      0     0
BANK NEW YORK
  INC COM         COMMON STOCK 064057102    1090     26891    SHARES                         X        1      25241      0  1650
BANK NEW YORK
  INC COM         COMMON STOCK 064057102    3213     79231    SHARES                X                 1      77331      0  1900
BANK NEW YORK
  INC COM         COMMON STOCK 064057102       4       100    SHARES                X                 4        100      0     0
BANK NEW YORK
  INCORPORATED    COMMON STOCK 064057102    4062    100180    SHARES         X                        2          0 100180     0
BANK OF
  AMERICA
  CORPORATION     COMMON STOCK 060505104   21321    417889    SHARES         X                        2          0 417889     0
BANK OF HAWAII
  CORP            COMMON STOCK 062540109      12       225    SHARES                         X        1        225      0     0
BANK OF
  IRELAND
  SPONSORED ADR   COMMON STOCK 46267Q103     216      2500    SHARES                         X        1       2500      0     0
BANK OF
  IRELAND
  SPONSORED ADR   COMMON STOCK 46267Q103       9       100    SHARES                X                 1        100      0     0
BANKATLANTIC
  BANCORP INC
  CL A            COMMON STOCK 065908501      16      1500    SHARES         X                        2          0   1500     0
BARCLAYS PLC -
  SPONS ADR       COMMON STOCK 06738E204     228      4000    SHARES                         X        1       4000      0     0
BARD C R INC      COMMON STOCK 067383109      95      1190    SHARES                X                 3       1190      0     0
BARD C R INC
  COM             COMMON STOCK 067383109     318      4000    SHARES                         X        1       4000      0     0
BARD C R INC
  COM             COMMON STOCK 067383109      56       700    SHARES                X                 1        700      0     0
BARR
  PHARMACEUTICALS COMMON STOCK 068306109      42       900    SHARES                X                 3        900      0     0
BARR
  PHARMACEUTICALS
  INC             COMMON STOCK 068306109      92      1991    SHARES                X                 1       1991      0     0
BARRICK GOLD
  CORP            COMMON STOCK 067901108     170      5950    SHARES                         X        1       5850      0   100
BARRICK GOLD
  CORP            COMMON STOCK 067901108      28       974    SHARES                X                 1        974      0     0
BASIN WATER INC   COMMON STOCK 07011T306     137     20000    SHARES         X                        2          0  20000     0
BAUSCH & LOMB
  INC             COMMON STOCK 071707103      23       440    SHARES                X                 3        440      0     0
BAUSCH & LOMB
  INC COM         COMMON STOCK 071707103       3        50    SHARES                X                 1         50      0     0
BAXTER INTL INC   COMMON STOCK 071813109     458      8699    SHARES                         X        1       8699      0     0
BAXTER INTL INC   COMMON STOCK 071813109     976     18539    SHARES                X                 1      18539      0     0
BAXTER INTL INC   COMMON STOCK 071813109     300      5700    SHARES                X                 3       5700      0     0
BAY NATIONAL
  CORPORATION     COMMON STOCK 072500101      17       900    SHARES                X                 1        900      0     0
BAYER AG
  SPONSORED ADR   COMMON STOCK 072730302      64      1000    SHARES                         X        1       1000      0     0
BAYTEX ENERGY
  TRUST - UNITS   COMMON STOCK 073176109      14       800    SHARES         X                        2          0    800     0
BB & T
  CORPORATION     COMMON STOCK 054937107    2482     60501    SHARES         X                        2          0  60501     0
BB&T CORP COM     COMMON STOCK 054937107     972     23695    SHARES                         X        1      22129      0  1566
BB&T CORP COM     COMMON STOCK 054937107    1437     35032    SHARES                X                 1      32004      0  3028
BB&T CORP COM     COMMON STOCK 054937107     278      6777    SHARES                X                 3       6777      0     0
BEAR STEARNS
  COS INC         COMMON STOCK 073902108     181      1206    SHARES                         X        1       1206      0     0
BEAR STEARNS
  COS INC         COMMON STOCK 073902108     153      1020    SHARES                X                 1       1020      0     0
BEAR STEARNS
  COS INC         COMMON STOCK 073902108     154      1025    SHARES                X                 3       1025      0     0
BECKMAN
  COULTER INC     COMMON STOCK 075811109     831     13000    SHARES         X                        2          0  13000     0
BECKMAN
  COULTER INC     COMMON STOCK 075811109     142      2228    SHARES                         X        1       1680      0   548
BECKMAN
  COULTER INC     COMMON STOCK 075811109       5        72    SHARES                X                 1         72      0     0
BECTON
  DICKINSON       COMMON STOCK 075887109     158      2055    SHARES                X                 3       2055      0     0
BECTON
  DICKINSON &
  CO COM          COMMON STOCK 075887109     915     11900    SHARES                         X        1      11900      0     0



                                    7 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
BECTON DICKINSON
  & CO COM         COMMON STOCK 075887109    245       3189    SHARES                X                 1      3189     0     0
BED BATH & BEYOND  COMMON STOCK 075896100    480      11966    SHARES                X                 3     11966     0     0
BED BATH & BEYOND
  INC COM          COMMON STOCK 075896100     48       1200    SHARES         X                        2         0  1200     0
BED BATH & BEYOND
  INC COM          COMMON STOCK 075896100      8        200    SHARES                         X        1       200     0     0
BED BATH & BEYOND
  INC COM          COMMON STOCK 075896100    463      11520    SHARES                X                 1     11520     0     0
BELO CORPORATION   COMMON STOCK 080555105   1360      72800    SHARES                X                 3     72800     0     0
BELO CORPORATION
  CL A             COMMON STOCK 080555105     86       4600    SHARES                X                 1      4250     0   350
BEMIS INC          COMMON STOCK 081437105     27        800    SHARES                         X        1       800     0     0
BEMIS INC          COMMON STOCK 081437105     27        820    SHARES                X                 3       820     0     0
BENCHMARK
  ELECTRONICS INC  COMMON STOCK 08160H101     47       2272    SHARES                X                 1      2072     0   200
BENCHMARK ELECTRS  COMMON STOCK 08160H101    709      34300    SHARES                X                 3     34300     0     0
BERKSHIRE
  HATHAWAY INC
  CLASS A          COMMON STOCK 084670108    436          4    SHARES         X                        2         0     4     0
BERKSHIRE
  HATHAWAY INC
  CLASS A          COMMON STOCK 084670108    327          3    SHARES                         X        1         3     0     0
BERKSHIRE
  HATHAWAY INC
  CLASS B          COMMON STOCK 084670207    506        139    SHARES         X                        2         0   139     0
BERKSHIRE
  HATHAWAY INC
  CLASS B          COMMON STOCK 084670207    652        179    SHARES                         X        1       164     0    15
BERKSHIRE
  HATHAWAY INC
  CLASS B          COMMON STOCK 084670207    881        242    SHARES                X                 1       242     0     0
BEST BUY INC       COMMON STOCK 086516101    647      13299    SHARES                X                 3     13299     0     0
BEST BUY INC COM   COMMON STOCK 086516101    108       2212    SHARES                         X        1      2212     0     0
BEST BUY INC COM   COMMON STOCK 086516101    585      12015    SHARES                X                 1     12015     0     0
BHP BILLITON LTD
  SPONSORED ADR    COMMON STOCK 088606108    176       3632    SHARES                         X        1      2600     0  1032
BHP BILLITON LTD
  SPONSORED ADR    COMMON STOCK 088606108    148       3050    SHARES                X                 1      3050     0     0
BIG LOTS INC       COMMON STOCK 089302103     50       1590    SHARES                X                 3      1590     0     0
BIOANALYTICAL
  SYSTEMS INCORPOR COMMON STOCK 09058M103      0         16    SHARES                X                 1        16     0     0
BIOGEN IDEC INC    COMMON STOCK 09062X103    773      17420    SHARES         X                        2         0 17420     0
BIOGEN IDEC INC    COMMON STOCK 09062X103    120       2696    SHARES                         X        1      2186     0   510
BIOGEN IDEC INC    COMMON STOCK 09062X103    708      15949    SHARES                X                 1     15949     0     0
BIOGEN IDEC INC    COMMON STOCK 09062X103    131       2950    SHARES                X                 3      2950     0     0
BIOMARIN PHARMAC
  INC              COMMON STOCK 09061G101   1155      66900    SHARES                X                 3     66900     0     0
BIOMARIN
  PHARMACEUTICAL
  INC              COMMON STOCK 09061G101     74       4260    SHARES                X                 1      3900     0   360
BIOMET COM         COMMON STOCK 090613100     14        320    SHARES                         X        1       320     0     0
BIOMET INC         COMMON STOCK 090613100     93       2200    SHARES                X                 3      2200     0     0
BIOTECH HOLDRS
  TRUST            COMMON STOCK 09067D201     11         60    SHARES                X                 1        60     0     0
BIOVAIL CORP       COMMON STOCK 09067J109     27       1226    SHARES                X                 1      1226     0     0
BJ SVCS CO         COMMON STOCK 055482103     68       2450    SHARES                X                 3      2450     0     0
BJ SVCS CO COM     COMMON STOCK 055482103     49       1765    SHARES                         X        1      1765     0     0
BJ SVCS CO COM     COMMON STOCK 055482103      6        200    SHARES                X                 1       200     0     0
BJ'S WHOLESALE
  CLUB INC COM     COMMON STOCK 05548J106     14        400    SHARES         X                        2         0   400     0
BJ'S WHOLESALE
  CLUB INC COM     COMMON STOCK 05548J106     14        400    SHARES                         X        1       400     0     0
BLACK & DECKER
  CORP             COMMON STOCK 091797100    149       1825    SHARES                X                 3      1825     0     0
BLACK & DECKER
  CORP COM         COMMON STOCK 091797100   1532      18776    SHARES                         X        1     18776     0     0
BLACK & DECKER
  CORP COM         COMMON STOCK 091797100    269       3300    SHARES                X                 1      3300     0     0
BLACK HILLS CORP   COMMON STOCK 092113109     66       1800    SHARES                X                 1      1800     0     0
BLACKROCK APEX     PREFERRED
  MUNICIPAL FUND   STOCK        09254H106     22       2027    SHARES                         X        1      N.A.  N.A.  N.A.
BLACKROCK APEX     PREFERRED
  MUNICIPAL FUND   STOCK        09254H106     11       1000    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK DEBT     PREFERRED
  STRATEGIES FUND  STOCK        09255R103    104      14500    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK
  DIVERSIFIED INC  PREFERRED
  STRA             STOCK        09255W102      6        300    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK
  DIVIDEND         PREFERRED
  ACHIEVERS T      STOCK        09250N107    101       6750    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK
  ENHANCED DVD     PREFERRED
  ACHIEVE          STOCK        09251A104     10        680    SHARES                         X        1      N.A.  N.A.  N.A.
BLACKROCK
  ENHANCED DVD     PREFERRED
  ACHIEVE          STOCK        09251A104    134       9045    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK GLOBAL   PREFERRED
  ENERGY & RESO    STOCK        09250U101     34       1200    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK HEALTH   PREFERRED
  SCIENCES TRUS    STOCK        09250W107    136       5000    SHARES                         X        1      N.A.  N.A.  N.A.
BLACKROCK INC      COMMON STOCK 09247X101     16        100    SHARES                X                 1       100     0     0
BLACKROCK INC      COMMON STOCK 09247X101     16        100    SHARES                X                 3       100     0     0
BLACKROCK INSD     PREFERRED
  MUNI 2008 TERM   STOCK        09247K109     11        750    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK INSD     PREFERRED
  MUNI TERM TR     STOCK        092474105     17       1750    SHARES                X                 1      N.A.  N.A.  N.A.
BLACKROCK
  MARYLAND MUNI
  BD TR            COMMON STOCK 09249L105     57       3000    SHARES         X                        2         0  3000     0
BLACKROCK MUNI
  INTERM DURATION
  FD               COMMON STOCK 09253X102      7        450    SHARES         X                        2         0   450     0
BLACKROCK
  MUNIENHANCED     PREFERRED
  FUND IN          STOCK        09253Y100     22       2032    SHARES                         X        1      N.A.  N.A.  N.A.
BLACKROCK
  MUNIHLDGS NJ     PREFERRED
  INSURED          STOCK        09254X101     47       3050    SHARES                         X        1      N.A.  N.A.  N.A.



                                    8 of 58





                                                                                 COLUMN 6                      COLUMN 8
                                                         COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                 ------------------------ ----------------------          -------------------
                  COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1       TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER     CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------  ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                 
BLACKROCK
  MUNIHLDGS NY  PREFERRED
  INSURED       STOCK        09255C106      43      3050    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD       PREFERRED
  CALIFORNIA I  STOCK        09254N103      43      3050    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD FUND  PREFERRED
  INC           STOCK        09253W104       5       350    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD FUND  PREFERRED
  INC           STOCK        09253W104      16      1000    SHARES                X                 1       N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD NEW   PREFERRED
  YORK INS      STOCK        09255E102      22      1601    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD       PREFERRED
  PENNSYLVANIA  STOCK        09255G107      25      1681    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK
  MUNIYLD       PREFERRED
  QUALITY FUND  STOCK        09254G108      86      6850    SHARES                         X        1       N.A.  N.A.   N.A.
BLACKROCK NY
  INS MUNI      PREFERRED
  2008 TER      STOCK        09247L107      11       750    SHARES                X                 1       N.A.  N.A.   N.A.
BLOCK H & R INC COMMON STOCK 093671105     135      6400    SHARES                         X        1       6400     0      0
BLOCK H & R INC COMMON STOCK 093671105      74      3532    SHARES                X                 1       3532     0      0
BLOCK H & R INC COMMON STOCK 093671105     141      6700    SHARES                X                 3       6700     0      0
BLUE CHIP
  VALUE FUND    PREFERRED
  INC           STOCK        095333100      12      1920    SHARES                X                 1       N.A.  N.A.   N.A.
BMC SOFTWARE
  INC           COMMON STOCK 055921100      57      1850    SHARES                X                 3       1850     0      0
BOARDWALK
  PIPELINE
  PARTNERS LP   COMMON STOCK 096627104      37      1000    SHARES         X                        2          0  1000      0
BOEING CO       COMMON STOCK 097023105    1150     12935    SHARES                X                 3      12935     0      0
BOEING CO COM   COMMON STOCK 097023105      89      1000    SHARES         X                        2          0  1000      0
BOEING CO COM   COMMON STOCK 097023105    1005     11307    SHARES                         X        1      11307     0      0
BOEING CO COM   COMMON STOCK 097023105    2242     25215    SHARES                X                 1      25215     0      0
BOK FINANCIAL
  CORPORATION   COMMON STOCK 05561Q201       1        12    SHARES                X                 1         12     0      0
BOLT
  TECHNOLOGY
  CORPORATION   COMMON STOCK 097698104     165      4800    SHARES                         X        1       4800     0      0
BON-TON STORES
  INCORPORATED  COMMON STOCK 09776J101    2787     49550    SHARES                X                 1      49550     0      0
BORDERS GROUP
  INC COM       COMMON STOCK 099709107      22      1100    SHARES                X                 1       1100     0      0
BOSTON BEER
  INCORPORATED
  CLASS         COMMON STOCK 100557107       3       100    SHARES                         X        1        100     0      0
BOSTON BEER
  INCORPORATED
  CLASS         COMMON STOCK 100557107       2        50    SHARES                X                 1         50     0      0
BOSTON
  PROPERTIES    COMMON STOCK 101121101     120      1025    SHARES                X                 3       1025     0      0
BOSTON
  PROPERTIES
  INC (REIT)    COMMON STOCK 101121101     369      3140    SHARES                         X        1       N.A.  N.A.   N.A.
BOSTON
  PROPERTIES
  INC (REIT)    COMMON STOCK 101121101     627      5337    SHARES                X                 1       N.A.  N.A.   N.A.
BOSTON
  PROPERTIES
  INCORPORATED  COMMON STOCK 101121101     411      3500    SHARES         X                        2          0  3500      0
BOSTON
  SCIENTIFIC    COMMON STOCK 101137107     147     10100    SHARES                X                 3      10100     0      0
BOSTON
  SCIENTIFIC
  CORP COM      COMMON STOCK 101137107      86      5947    SHARES                         X        1       5947     0      0
BOSTON
  SCIENTIFIC
  CORP COM      COMMON STOCK 101137107     316     21743    SHARES                X                 1      21743     0      0
BOSTON
  SCIENTIFIC
  CORPORATION   COMMON STOCK 101137107     198     13600    SHARES         X                        2          0 13600      0
BOULDER TOTAL
  RETURN FUND   PREFERRED
  INC           STOCK        101541100      30      1400    SHARES                X                 1       N.A.  N.A.   N.A.
BP PLC
  SPONSORED ADR COMMON STOCK 055622104    1050     16210    SHARES         X                        2          0 16210      0
BP PLC
  SPONSORED ADR COMMON STOCK 055622104   12376    191142    SHARES                         X        1     173084     0  18058
BP PLC
  SPONSORED ADR COMMON STOCK 055622104   17411    268902    SHARES                X                 1     267918     0    984
BP PLC
  SPONSORED ADR COMMON STOCK 055622104     229      3544    SHARES                X                 3       3544     0      0
BRANDYWINE
  REALTY TRUST
  (REIT)        COMMON STOCK 105368203      97      2900    SHARES         X                        2          0  2900      0
BRANDYWINE
  REALTY TRUST
  (REIT)        COMMON STOCK 105368203      50      1500    SHARES                X                 1       N.A.  N.A.   N.A.
BRIGHT
  HORIZONS
  FAMILY
  SOLUTIONS INC COMMON STOCK 109195107    1029     27250    SHARES         X                        2          0 27250      0
BRIGHTPOINT INC COMMON STOCK 109473405       2       165    SHARES                X                 1        165     0      0
BRINKER INTL
  INC           COMMON STOCK 109641100     808     24700    SHARES                X                 3      24700     0      0
BRINKER INTL
  INC COM       COMMON STOCK 109641100     618     18914    SHARES                         X        1      18914     0      0
BRINKER INTL
  INC COM       COMMON STOCK 109641100    1142     34909    SHARES                X                 1      34550     0    359
BRISTOL MYERS
  SQUIBB        COMMON STOCK 110122108     847     30495    SHARES                X                 3      30495     0      0
BRISTOL MYERS
  SQUIBB
  COMPANY       COMMON STOCK 110122108    2443     87986    SHARES         X                        2          0 87986      0
BRISTOL-MYERS
  SQUIBB CO     COMMON STOCK 110122108    8210    295756    SHARES                         X        1     265216     0  30540
BRISTOL-MYERS
  SQUIBB CO     COMMON STOCK 110122108    8945    322239    SHARES                X                 1     321639     0    600
BRISTOL-MYERS
  SQUIBB CO     COMMON STOCK 110122108       7       250    SHARES                X                 4        250     0      0
BROADCOM CORP   COMMON
                STOCK A      111320107     131      4100    SHARES                X                 3       4100     0      0
BROADCOM CORP
  CL A          COMMON STOCK 111320107      73      2277    SHARES                X                 1       2277     0      0
BROWN FORMAN    COMMON
  CORP          STOCK B      115637209      49       750    SHARES                X                 3        750     0      0
BROWN-FORMAN
  CORP CL B     COMMON STOCK 115637209     197      3000    SHARES         X                        2          0  3000      0
BROWN-FORMAN
  CORP CL B     COMMON STOCK 115637209      20       300    SHARES                         X        1        300     0      0
BRUNSWICK CORP  COMMON STOCK 117043109     117      3700    SHARES                X                 3       3700     0      0
BRUNSWICK CORP
  COM           COMMON STOCK 117043109       4       120    SHARES                X                 1        120     0      0
BRUSH
  ENGINEERED
  MATERIALS INC COMMON STOCK 117421107      13       265    SHARES                X                 1        265     0      0
BRYN MAWR BANK
  CORPORATION   COMMON STOCK 117665109     264     11392    SHARES                X                 1      11392     0      0
BT GROUP
  PLC-SPON ADR  COMMON STOCK 05577E101      15       250    SHARES                         X        1        250     0      0



                                    9 of 58





                                                                                     COLUMN 6                      COLUMN 8
                                                             COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                      COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1           TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
BUCKEYE PARTNERS
  LIMITED
  PARTNERSHIP       COMMON STOCK 118230101    397      8000     SHARES         X                        2       0     8000   0
BUCKEYE PARTNERS
  LP UNIT LTD P     COMMON STOCK 118230101    45       900      SHARES                X                 1      900     0     0
BUNGE LIMITED       COMMON STOCK G16962105    743      9045     SHARES         X                        2       0     9045   0
BURLINGTN NRTHRN S
  F                 COMMON STOCK 12189T104   3120     38793     SHARES                X                 3     35714    0    3079
BURLINGTON
  NORTHERN SANTA
  FE C              COMMON STOCK 12189T104   1083     13462     SHARES                         X        1     12262    0    1200
BURLINGTON
  NORTHERN SANTA
  FE C              COMMON STOCK 12189T104   3727     46342     SHARES                X                 1     44863    0    1479
BURLINGTON
  NORTHERN SANTA
  FE CORP           COMMON STOCK 12189T104    12       150      SHARES         X                        2       0     150    0
C H ROBINSON
  WLDWIDE           COMMON STOCK 12541W209    706     14700     SHARES                X                 3     14700    0     0
CA INC              COMMON STOCK 12673P105    141      5435     SHARES                X                 1      5435    0     0
CA INC              COMMON STOCK 12673P105    134      5168     SHARES                X                 3      5168    0     0
CABELA'S INC
  -CLASS A          COMMON STOCK 126804301    19       755      SHARES                X                 1      755     0     0
CABOT OIL & GAS
  CORP              COMMON STOCK 127097103    30       452      SHARES                X                 1      452     0     0
CACHE INC           COMMON STOCK 127150308    134      7575     SHARES                X                 1      7015    0    560
CACHE INC           COMMON STOCK 127150308   1279     72100     SHARES                X                 3     72100    0     0
CADBURY SCHWEPPES
  PLC SPONS AD      COMMON STOCK 127209302     6       108      SHARES                X                 1      108     0     0
CADENCE DESIGN SYS
  INC               COMMON STOCK 127387108    21       1000     SHARES                         X        1      1000    0     0
CADENCE DESIGN SYS
  INC               COMMON STOCK 127387108    49       2350     SHARES                X                 1      2350    0     0
CALAMOS CONV &      PREFERRED
  HIGH INC FD       STOCK        12811P108    76       4500     SHARES                         X        1      N.A.   N.A.  N.A.
CALAMOS STRATEGIC   PREFERRED
  TOT RET FD        STOCK        128125101     8       500      SHARES                         X        1      N.A.   N.A.  N.A.
CALLAWAY GOLF CO
  COM               COMMON STOCK 131193104     0        23      SHARES                X                 1       23     0     0
CAMDEN PROPERTY
  TRUST (REIT)      COMMON STOCK 133131102    35       500      SHARES         X                        2       0     500    0
CAMDEN PROPERTY
  TRUST (REIT)      COMMON STOCK 133131102    70       1000     SHARES                X                 1      N.A.   N.A.  N.A.
CAMECO CORPORATION  COMMON STOCK 13321L108    18       450      SHARES                X                 1      450     0     0
CAMERON
  INTERNATIONAL
  CORP              COMMON STOCK 13342B105    71       1132     SHARES                X                 1      1132    0     0
CAMPBELL SOUP CO    COMMON STOCK 134429109    106      2715     SHARES                X                 3      2715    0     0
CAMPBELL SOUP CO
  COM               COMMON STOCK 134429109    187      4800     SHARES                         X        1      4800    0     0
CAMPBELL SOUP CO
  COM               COMMON STOCK 134429109    115      2950     SHARES                X                 1      2950    0     0
CANADIAN NATIONAL
  RAILWAY COMP      COMMON STOCK 136375102    126      2850     SHARES                X                 1      2850    0     0
CANADIAN NATURAL
  RESOURCES LTD     COMMON STOCK 136385101    85       1544     SHARES                X                 1      1544    0     0
CANETIC RESOURCES
  TRUST             COMMON STOCK 137513107    40       3100     SHARES         X                        2       0     3100   0
CANON INC SPONS ADR COMMON STOCK 138006309    11       202      SHARES         X                        2       0     202    0
CANON INC SPONS ADR COMMON STOCK 138006309    27       500      SHARES                         X        1      500     0     0
CANTEL MEDICAL CORP COMMON STOCK 138098108   1174     76300     SHARES                X                 3     76300    0     0
CANTEL MEDICAL
  CORPORATION       COMMON STOCK 138098108    91       5927     SHARES                X                 1      5447    0    480
CAPITAL ONE
  FINANCIAL CORP    COMMON STOCK 14040H105   2169     28741     SHARES                         X        1     22841    0    5900
CAPITAL ONE
  FINANCIAL CORP    COMMON STOCK 14040H105   5697     75503     SHARES                X                 1     73682    0    1821
CAPITAL ONE
  FINANCIAL CORP    COMMON STOCK 14040H105   4552     60321     SHARES                X                 3     57032    0    3289
CAPITAL ONE
  FINANCIAL
  CORPORATION       COMMON STOCK 14040H105   13284    176039    SHARES         X                        2       0    176039  0
CAPITALSOURCE INC   COMMON STOCK 14055X102   10687    425250    SHARES         X                        2       0    425250  0
CAPITALSOURCE INC   COMMON STOCK 14055X102    20       800      SHARES                         X        1      800     0     0
CAPITALSOURCE INC   COMMON STOCK 14055X102    224      8932     SHARES                X                 1      8487    0    445
CAPITALSOURCE INC   COMMON STOCK 14055X102    698     27757     SHARES                X                 3     27757    0     0
CAPTARIS INC        COMMON STOCK 14071N104    132     22750     SHARES                X                 3     22750    0     0
CAPTARIS
  INCORPORATED      COMMON STOCK 14071N104     8       1427     SHARES                X                 1      1288    0    139
CARDINAL HEALTH INC COMMON STOCK 14149Y108    311      4259     SHARES                         X        1      4259    0     0
CARDINAL HEALTH INC COMMON STOCK 14149Y108    303      4152     SHARES                X                 1      4152    0     0
CARDINAL HEALTH INC COMMON STOCK 14149Y108    254      3480     SHARES                X                 3      3480    0     0
CARDINAL HEALTH
  INCORPORATED      COMMON STOCK 14149Y108    511      7000     SHARES         X                        2       0     7000   0
CARDIOME PHARMA
  CORP              COMMON STOCK 14159U202    64       6300     SHARES                         X        1      6300    0     0
CAREER EDUCATION
  CORP COM          COMMON STOCK 141665109    20       640      SHARES                X                 1      640     0     0
CARLISLE COMPANIES
  INC               COMMON STOCK 142339100   1923     44800     SHARES                         X        1     44000    0    800
CARLISLE COMPANIES
  INC               COMMON STOCK 142339100    34       800      SHARES                X                 1       0      0    800
CARMAX INC          COMMON STOCK 143130102    245     10000     SHARES         X                        2       0    10000   0
CARMAX INC          COMMON STOCK 143130102    30       1227     SHARES                         X        1      1227    0     0
CARMAX INC          COMMON STOCK 143130102    247     10052     SHARES                X                 1     10052    0     0
CARNIVAL CORP       COMMON STOCK 143658300   3246     69294     SHARES                X                 3     69294    0     0
CARNIVAL
  CORPORATION       COMMON STOCK 143658300    740     15791     SHARES                         X        1     14591    0    1200
CARNIVAL
  CORPORATION       COMMON STOCK 143658300   4727     100871    SHARES                X                 1     100156   0    715
CARPENTER
  TECHNOLOGY CORP
  COM               COMMON STOCK 144285103    334      2764     SHARES                         X        1      1964    0    800



                                   10 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CARROLLTON BANCORP COMMON STOCK 145282109       8       462    SHARES                X                 1        462     0      0
CATERPILLAR INC    COMMON STOCK 149123101     338      5036    SHARES         X                        2          0  5036      0
CATERPILLAR INC    COMMON STOCK 149123101     782     11665    SHARES                         X        1       8320     0   3345
CATERPILLAR INC    COMMON STOCK 149123101    5779     86222    SHARES                X                 1      82578     0   3644
CATERPILLAR INC    COMMON STOCK 149123101    3300     49221    SHARES                X                 3      46191     0   3030
CAVCO INDUSTRIES,
  INC.             COMMON STOCK 149568107       2        60    SHARES                X                 1         60     0      0
CB RICHARD ELLIS
  GROUP INC CL A   COMMON STOCK 12497T101    1648     48225    SHARES         X                        2          0 48225      0
CB RICHARD ELLIS   COMMON
  GRP              STOCK A      12497T101      51      1500    SHARES                X                 3       1500     0      0
CBRE REALTY
  FINANCE INC      COMMON STOCK 12498B307      53      4000    SHARES                         X        1       N.A.  N.A.   N.A.
CBS CORP CL A      COMMON STOCK 124857103       7       225    SHARES                         X        1        225     0      0
CBS CORP CL B      COMMON STOCK 124857202      10       331    SHARES         X                        2          0   331      0
CBS CORP CL B      COMMON STOCK 124857202     190      6209    SHARES                         X        1       5384     0    825
CBS CORP CL B      COMMON STOCK 124857202     362     11844    SHARES                X                 1      11844     0      0
CBS CORP CL B      COMMON STOCK 124857202       3       100    SHARES                X                 4        100     0      0
CBS CORPORATION    COMMON
                   STOCK B      124857202     199      6500    SHARES                X                 3       6500     0      0
C-COR INC          COMMON STOCK 125010108     832     60000    SHARES                         X        1      60000     0      0
C-COR INC          COMMON STOCK 125010108      90      6500    SHARES                X                 1       6500     0      0
CEDAR FAIR LTD PTR COMMON STOCK 150185106      14       500    SHARES                X                 1        500     0      0
CELGENE CORP       COMMON STOCK 151020104     178      3400    SHARES                X                 3       3400     0      0
CELGENE CORP COM   COMMON STOCK 151020104      63      1200    SHARES                         X        1       1200     0      0
CELGENE CORP COM   COMMON STOCK 151020104      29       550    SHARES                X                 1        550     0      0
CENTERPLATE
  INC-IDS          COMMON STOCK 15200E204      37      2300    SHARES                X                 1       2300     0      0
CENTERPOINT ENERGY COMMON STOCK 15189T107      42      2360    SHARES                X                 3       2360     0      0
CENTERPOINT
  ENERGY INC       COMMON STOCK 15189T107       6       332    SHARES                X                 1        332     0      0
CENTEX CORP        COMMON STOCK 152312104      40       950    SHARES                         X        1        950     0      0
CENTEX CORP        COMMON STOCK 152312104     159      3800    SHARES                X                 1       3800     0      0
CENTEX CORP        COMMON STOCK 152312104      42      1000    SHARES                X                 3       1000     0      0
CENTRAL VIRGINIA
  BANKSHARES INC   COMMON STOCK 155792104       6       231    SHARES         X                        2          0   231      0
CENTURYTEL INC     COMMON STOCK 156700106      45      1000    SHARES                X                 3       1000     0      0
CENTURYTEL INC COM COMMON STOCK 156700106     104      2300    SHARES                X                 1       2300     0      0
CEPHALON INC       COMMON STOCK 156708109     484      6800    SHARES                X                 3       6800     0      0
CEPHALON INC COM   COMMON STOCK 156708109     105      1472    SHARES                X                 1       1377     0     95
CERNER CORP        COMMON STOCK 156782104     693     12735    SHARES                         X        1      11285     0   1450
CERNER CORP        COMMON STOCK 156782104    6076    111590    SHARES                X                 1     108573     0   3017
CERNER CORP        COMMON STOCK 156782104    7026    129048    SHARES                X                 3     124491     0   4557
CERNER CORPORATION COMMON STOCK 156782104     556     10200    SHARES         X                        2          0 10200      0
CGI GROUP INC -
  CL A             COMMON STOCK 39945C109      13      1500    SHARES         X                        2          0  1500      0
CH ENERGY GROUP
  INC COM          COMMON STOCK 12541M102     146      3000    SHARES                         X        1       3000     0      0
CH ENERGY GROUP
  INC COM          COMMON STOCK 12541M102      49      1000    SHARES                X                 1       1000     0      0
CH ROBINSON
  WORLDWIDE INC    COMMON STOCK 12541W209     140      2912    SHARES                X                 1       2717     0    195
CHAMPION
  ENTERPRISES INC  COMMON STOCK 158496109       8       910    SHARES                X                 1        910     0      0
CHARTERMAC         COMMON STOCK 160908109     119      6138    SHARES                         X        1       6138     0      0
CHARTERMAC         COMMON STOCK 160908109      22      1150    SHARES                X                 1       1150     0      0
CHASE CORPORATION  COMMON STOCK 16150R104     436     13400    SHARES                         X        1      13400     0      0
CHECK POINT
  SOFTWARE TECH
  COM              COMMON STOCK M22465104     385     17300    SHARES         X                        2          0 17300      0
CHECKFREE CORP     COMMON STOCK 162813109     604     16300    SHARES                X                 3      16300     0      0
CHECKFREE CORP COM COMMON STOCK 162813109      19       500    SHARES         X                        2          0   500      0
CHECKFREE CORP COM COMMON STOCK 162813109     132      3561    SHARES                X                 1       3296     0    265
CHEMTURA
  CORPORATION      COMMON STOCK 163893100      68      6200    SHARES                X                 3       6200     0      0
CHENIERE ENERGY
  INC              COMMON STOCK 16411R208     871     27949    SHARES         X                        2          0 27949      0
CHESAPEAKE ENERGY  COMMON STOCK 165167107     108      3500    SHARES                X                 3       3500     0      0
CHESAPEAKE ENERGY
  CORP COM         COMMON STOCK 165167107      56      1800    SHARES                X                 1       1800     0      0
CHESAPEAKE
  UTILITIES
  CORPORATI        COMMON STOCK 165303108      23       750    SHARES                         X        1        750     0      0
CHEVRON CORP       COMMON STOCK 166764100   18773    253821    SHARES                         X        1     235135     0  18686
CHEVRON CORP       COMMON STOCK 166764100   34946    472496    SHARES                X                 1     464164     0   8332
CHEVRON CORP       COMMON STOCK 166764100   11880    160627    SHARES                X                 3     153133     0   7494
CHEVRON CORP       COMMON STOCK 166764100      11       150    SHARES                X                 4        150     0      0
CHEVRON
  CORPORATION      COMMON STOCK 166764100    5279     71374    SHARES         X                        2          0 71374      0
CHICAGO BRIDGE &
  IRON CO N V C    COMMON STOCK 167250109      62      2025    SHARES                         X        1         25     0   2000



                                   11 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CHICAGO BRIDGE &
  IRON CO N V C    COMMON STOCK 167250109     247      8040    SHARES                X                 1       8040      0     0
CHICAGO BRIDGE &
  IRON CO N V C    COMMON STOCK 167250109      54      1750    SHARES                X                 3          0      0  1750
CHICAGO BRIDGE &
  IRON CO N V COM  COMMON STOCK 167250109     277      9000    SHARES         X                        2          0   9000     0
CHICAGO MERCANTILE COMMON
                   STOCK A      167760107     160       300    SHARES                X                 3        300      0     0
CHICAGO
  MERCANTILE
  HLDGS INC C      COMMON STOCK 167760107       3         5    SHARES                X                 1          5      0     0
CHICOS FAS INC     COMMON STOCK 168615102       7       300    SHARES                         X        1        300      0     0
CHICOS FAS INC     COMMON STOCK 168615102     161      6573    SHARES                X                 1       6138      0   435
CHICOS FAS INC     COMMON STOCK 168615102     681     27900    SHARES                X                 3      27900      0     0
CHILDRENS PLACE
  RETAIL STORES    COMMON STOCK 168905107       8       150    SHARES                X                 1        150      0     0
CHINA FUND INC     PREFERRED
                   STOCK        169373107      12       375    SHARES                X                 1       N.A.   N.A.  N.A.
CHINA MOBILE LTD
  SPON ADR         COMMON STOCK 16941M109      13       300    SHARES                         X        1        300      0     0
CHINA MOBILE LTD
  SPON ADR         COMMON STOCK 16941M109      29       650    SHARES                X                 3        650      0     0
CHOICE HOTELS
  INTERNATIONAL
  INC              COMMON STOCK 169905106      35      1000    SHARES         X                        2          0   1000     0
CHOICEPOINT INC
  COM              COMMON STOCK 170388102      10       266    SHARES                         X        1        266      0     0
CHRISTOPHER &
  BANKS CORP       COMMON STOCK 171046105       7       337    SHARES                X                 1        337      0     0
CHUBB CORP         COMMON STOCK 171232101    5376    104048    SHARES         X                        2          0 104048     0
CHUBB CORP         COMMON STOCK 171232101     312      6043    SHARES                         X        1       6043      0     0
CHUBB CORP         COMMON STOCK 171232101     447      8650    SHARES                X                 1       8650      0     0
CHUBB CORP         COMMON STOCK 171232101     447      8652    SHARES                X                 3       3650      0  5002
CIENA CORP         COMMON STOCK 171779309       0         2    SHARES                X                 1          1      0     1
CIENA CORPORATION  COMMON STOCK 171779309      19       685    SHARES                X                 3        685      0     0
CIGNA CORP         COMMON STOCK 125509109     271      1900    SHARES                         X        1       1900      0     0
CIGNA CORP         COMMON STOCK 125509109     737      5169    SHARES                X                 1       5169      0     0
CIGNA CORP         COMMON STOCK 125509109     181      1265    SHARES                X                 3       1265      0     0
CINCINNATI FINL
  CORP             COMMON STOCK 172062101    2591     61115    SHARES                X                 3      55484      0  5631
CINCINNATI FINL
  CORP COM         COMMON STOCK 172062101     234      5510    SHARES         X                        2          0   5510     0
CINCINNATI FINL
  CORP COM         COMMON STOCK 172062101     130      3065    SHARES                         X        1       3065      0     0
CINCINNATI FINL
  CORP COM         COMMON STOCK 172062101    1371     32336    SHARES                X                 1      31466      0   870
CINTAS CORP        COMMON STOCK 172908105      47      1300    SHARES                X                 3       1300      0     0
CIPHERGEN
  BIOSYSTEMS
  INCORPORATED     COMMON STOCK 17252Y104       0       130    SHARES         X                        2          0    130     0
CIRCUIT CITY STORE COMMON STOCK 172737108      23      1250    SHARES                X                 3       1250      0     0
CIRCUIT STORES COM COMMON STOCK 172737108      33      1800    SHARES                         X        1       1800      0     0
CIRCUIT STORES COM COMMON STOCK 172737108      59      3200    SHARES                X                 1       3200      0     0
CISCO SYSTEMS INC  COMMON STOCK 17275R102    5685    222687    SHARES                         X        1     199652      0 23035
CISCO SYSTEMS INC  COMMON STOCK 17275R102   20591    806538    SHARES                X                 1     790751      0 15787
CISCO SYSTEMS INC  COMMON STOCK 17275R102   10531    412450    SHARES                X                 3     394808      0 17642
CISCO SYSTEMS INC  COMMON STOCK 17275R102      22       850    SHARES                X                 4        850      0     0
CISCO SYSTEMS
  INCORPORATED     COMMON STOCK 17275R102    8259    323503    SHARES         X                        2          0 323503     0
CIT GROUP INC      COMMON STOCK 125581108     544     10280    SHARES                         X        1       7290      0  2990
CIT GROUP INC      COMMON STOCK 125581108    5388    101807    SHARES                X                 1      98283      0  3524
CIT GROUP INC      COMMON STOCK 125581108    7198    136021    SHARES                X                 3     129406      0  6615
CIT GROUP INC      COMMON STOCK 125581108      13       250    SHARES                X                 4        250      0     0
CITIGROUP INC      COMMON STOCK 172967101   12988    252974    SHARES                X                 3     236689      0 16285
CITIGROUP INC COM  COMMON STOCK 172967101    9574    186489    SHARES                         X        1     173738      0 12751
CITIGROUP INC COM  COMMON STOCK 172967101   22876    445575    SHARES                X                 1     433932      0 11643
CITIGROUP INC COM  COMMON STOCK 172967101      21       400    SHARES                X                 4        400      0     0
CITIGROUP
  INCORPORATED     COMMON STOCK 172967101   18161    353749    SHARES         X                        2          0 353749     0
CITIZENS COMMUN CO COMMON STOCK 17453B101     156     10400    SHARES                X                 3      10400      0     0
CITIZENS
  COMMUNICATIONS
  CO               COMMON STOCK 17453B101      48      3200    SHARES         X                        2          0   3200     0
CITIZENS
  COMMUNICATIONS
  CO               COMMON STOCK 17453B101      98      6552    SHARES                         X        1       3302      0  3250
CITIZENS
  COMMUNICATIONS
  CO               COMMON STOCK 17453B101     167     11200    SHARES                X                 1       8700      0  2500
CITRIX SYS INC     COMMON STOCK 177376100    1207     37720    SHARES                X                 3      37720      0     0
CITRIX SYSTEMS
  INC COM          COMMON STOCK 177376100     576     17972    SHARES                X                 1      17722      0   250
CITY NATIONAL
  CORP COM         COMMON STOCK 178566105      18       250    SHARES         X                        2          0    250     0
CITY NATIONAL
  CORP COM         COMMON STOCK 178566105      36       485    SHARES                         X        1        485      0     0
CITY NATIONAL
  CORP COM         COMMON STOCK 178566105      81      1095    SHARES                X                 1       1000      0    95
CITY NATL CORP     COMMON STOCK 178566105    1288     17500    SHARES                X                 3      17500      0     0
CLAIRES STORES
  INCORPORATED     COMMON STOCK 179584107      13       400    SHARES                X                 1        400      0     0
CLEAN HARBORS      COMMON STOCK 184496107     611     13500    SHARES                X                 3      13500      0     0



                                   12 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CLEAN HARBORS INC  COMMON STOCK 184496107      44       979    SHARES                X                 1        895      0    84
CLEAR CHANNEL
  COMMUN           COMMON STOCK 184502102     151      4300    SHARES                X                 3       4300      0     0
CLEAR CHANNEL
  COMMUNICATIONS I COMMON STOCK 184502102     118      3375    SHARES                         X        1       3375      0     0
CLEAR CHANNEL
  COMMUNICATIONS I COMMON STOCK 184502102      36      1025    SHARES                X                 1       1025      0     0
CLEAR CHANNEL
  COMMUNICATIONS I COMMON STOCK 184502102       7       200    SHARES                X                 4        200      0     0
CLEAR CHANNEL
  COMMUNICATIONS
  INC COM          COMMON STOCK 184502102     486     13880    SHARES         X                        2          0  13880     0
CLEVELAND CLIFFS
  INC              COMMON STOCK 185896107    1540     24055    SHARES                X                 3      22216      0  1839
CLEVELAND CLIFFS
  INC COM          COMMON STOCK 185896107     468      7310    SHARES                         X        1       5015      0  2295
CLEVELAND CLIFFS
  INC COM          COMMON STOCK 185896107    2285     35702    SHARES                X                 1      34448      0  1254
CLOROX CO          COMMON STOCK 189054109     280      4400    SHARES                X                 3       4400      0     0
CLOROX COMPANY     COMMON STOCK 189054109     809     12700    SHARES         X                        2          0  12700     0
CLOROX COMPANY     COMMON STOCK 189054109     275      4315    SHARES                         X        1       4315      0     0
CLOROX COMPANY     COMMON STOCK 189054109     494      7752    SHARES                X                 1       7752      0     0
CMS ENERGY CORP    COMMON STOCK 125896100      30      1700    SHARES                X                 3       1700      0     0
CMS ENERGY CORP
  COM              COMMON STOCK 125896100       4       200    SHARES                         X        1        200      0     0
CNOOC LTD -ADR     COMMON STOCK 126132109      26       300    SHARES                         X        1        300      0     0
COACH INC          COMMON STOCK 189754104     354      7082    SHARES                         X        1       7082      0     0
COACH INC          COMMON STOCK 189754104     754     15069    SHARES                X                 1      14934      0   135
COACH INC          COMMON STOCK 189754104    1027     20535    SHARES                X                 3      20535      0     0
COCA COLA
  BOTTLING CO
  CONSOLID         COMMON STOCK 191098102       7       125    SHARES                X                 1        125      0     0
COCA COLA CO       COMMON STOCK 191216100    9131    190208    SHARES                X                 3     180118      0 10090
COCA COLA CO COM   COMMON STOCK 191216100    6377    132853    SHARES                         X        1     131493      0  1360
COCA COLA CO COM   COMMON STOCK 191216100   14215    296141    SHARES                X                 1     290284      0  5857
COCA COLA CO COM   COMMON STOCK 191216100      12       250    SHARES                X                 4        250      0     0
COCA COLA COMPANY  COMMON STOCK 191216100     567     11803    SHARES         X                        2          0  11803     0
COCA COLA
  ENTERPRISE       COMMON STOCK 191219104      47      2300    SHARES                X                 3       2300      0     0
COCA COLA
  ENTERPRISES INC  COMMON STOCK 191219104      20      1000    SHARES                X                 1       1000      0     0
CODORUS VALLEY
  BANCORP INC      COMMON STOCK 192025104      37      1928    SHARES                         X        1       1928      0     0
CODORUS VALLEY
  BANCORP INC      COMMON STOCK 192025104     977     51359    SHARES                X                 1      35906      0 15453
COGNIZANT TECH
  SOL CORP         COMMON STOCK 192446102     216      2452    SHARES                X                 1       2282      0   170
COGNIZANT TECH
  SOLNS            COMMON STOCK 192446102    1827     20700    SHARES                X                 3      20700      0     0
COHEN & STEERS     PREFERRED
  ADVANTAGE INC R  STOCK        19247W102      26      1000    SHARES                         X        1       N.A.   N.A.  N.A.
COHEN & STEERS
  ADVANTAGE INC
  RLTY FD          COMMON STOCK 19247W102      26      1000    SHARES         X                        2          0   1000     0
COHEN & STEERS     PREFERRED
  QUALITY INC RLT  STOCK        19247L106      96      4028    SHARES                X                 1       N.A.   N.A.  N.A.
COHEN & STEERS
  QUALITY INC
  RLTY FD          COMMON STOCK 19247L106      24      1025    SHARES         X                        2          0   1025     0
COHEN & STEERS
  REIT & PFD INC
  FD               COMMON STOCK 19247X100      24       800    SHARES         X                        2          0    800     0
COHEN & STEERS
  REIT AND
  UTILITY FUND     COMMON STOCK 19247Y108      14       600    SHARES         X                        2          0    600     0
COHEN & STEERS     PREFERRED
  SELECT UTILITY   STOCK        19248A109      26      1009    SHARES                X                 1       N.A.   N.A.  N.A.
COHU INCORPORATED  COMMON STOCK 192576106      15       800    SHARES                X                 1        800      0     0
COINMACH SERVICE
  CORP             COMMON STOCK 19259W107      10       500    SHARES                X                 1        500      0     0
COLGATE PALMOLIVE
  CO               COMMON STOCK 194162103    1012     15136    SHARES                X                 3      15136      0     0
COLGATE PALMOLIVE
  CO COM           COMMON STOCK 194162103    4430     66325    SHARES                         X        1      56475      0  9850
COLGATE PALMOLIVE
  CO COM           COMMON STOCK 194162103    6846    102504    SHARES                X                 1     102504      0     0
COLGATE PALMOLIVE
  CO COM           COMMON STOCK 194162103       7       100    SHARES                X                 4        100      0     0
COLGATE PALMOLIVE
  COMPANY          COMMON STOCK 194162103   10603    158749    SHARES         X                        2          0 158749     0
COLONIAL BANCGROUP COMMON STOCK 195493309    2671    107900    SHARES                X                 3     107900      0     0
COLONIAL
  BANCGROUP INC    COMMON STOCK 195493309     210      8465    SHARES                X                 1       7635      0   830
COMCAST CORP       COMMON STOCK 20030N101    7151    275536    SHARES                X                 3     258292      0 17244
COMCAST CORP NEW A COMMON STOCK 20030N101    2146     82685    SHARES                         X        1      79706      0  2979
COMCAST CORP NEW A COMMON STOCK 20030N101    9332    359604    SHARES                X                 1     351068      0  8536
COMCAST
  CORPORATION
  CLASS A NEW      COMMON STOCK 20030N101    1513     58294    SHARES         X                        2          0  58294     0
COMCAST
  CORP-SPECIAL
  CL A             COMMON STOCK 20030N200     646     25350    SHARES         X                        2          0  25350     0
COMCAST
  CORP-SPECIAL
  CL A             COMMON STOCK 20030N200     185      7270    SHARES                         X        1       6970      0   300
COMCAST
  CORP-SPECIAL
  CL A             COMMON STOCK 20030N200     706     27720    SHARES                X                 1      27720      0     0
COMCAST
  CORP-SPECIAL
  CL A             COMMON STOCK 20030N200      11       450    SHARES                X                 4        450      0     0
COMERICA INC       COMMON STOCK 200340107     172      2916    SHARES                X                 1       2916      0     0
COMERICA INC       COMMON STOCK 200340107      83      1400    SHARES                X                 3       1400      0     0
COMMERCE BANC INC
  NJ               COMMON STOCK 200519106      60      1800    SHARES                X                 3       1800      0     0
COMMERCE BANCORP
  INC N J          COMMON STOCK 200519106     401     12000    SHARES         X                        2          0  12000     0



                                   13 of 58





                                                                                            COLUMN 6
                                                                    COLUMN 5          INVESTMENT AUTHORITY
                                                            ------------------------ ----------------------
                       COLUMN 2                   COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1            TITLE OF         COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER          CLASS            CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
--------------       ----------         --------- --------- --------- --------- ---- ---- -------- -------- --------
                                                                              
COMMERCE
  BANCORP INC
  N J                   COMMON STOCK    200519106      70      2100    SHARES                         X        1
COMMERCE
  BANCORP INC
  N J                   COMMON STOCK    200519106      10       300    SHARES                X                 1
COMMERCIAL
  NATL
  FINANCIAL
  CORP                  COMMON STOCK    202217105      16       820    SHARES                X                 1
COMMSCOPE INC           COMMON STOCK    203372107    1853     43200    SHARES                X                 3
COMMSCOPE INC
  COM                   COMMON STOCK    203372107     118      2740    SHARES                X                 1
COMMUNITY BANK
  SYSTEM INC            COMMON STOCK    203607106     539     25762    SHARES                X                 1
COMMUNITY
  BANKS INC             COMMON STOCK    203628102     355     14940    SHARES         X
COMMUNITY
  BANKS INC COM         COMMON STOCK    203628102     938     39309    SHARES                         X        1
COMMUNITY
  BANKS INC COM         COMMON STOCK    203628102     730     30569    SHARES                X                 1
COMMUNITY
  HEALTH
  SYSTEMS INC           COMMON STOCK    203668108      53      1500    SHARES                         X        1
COMPANHIA VAL
  DO RIO                ADR (1 ORD SHS) 204412209     678     18330    SHARES                X                 3
COMPANHIA VALE
  DO RIO DOCE
  SPO                   COMMON STOCK    204412100      16       500    SHARES                X                 1
COMPANHIA VALE
  DO RIO
  DOCE-ADR              COMMON STOCK    204412209    1034     27965    SHARES                X                 1
COMPANIA
  ANONIMA
  NACIONAL TELE         COMMON STOCK    204421101      33      1920    SHARES                X                 3
COMPASS
  BANCSHARES            COMMON STOCK    20449H109      69      1000    SHARES                X                 3
COMPUTER
  SCIENCES              COMMON STOCK    205363104      94      1800    SHARES                X                 3
COMPUTER
  SCIENCES
  CORP COM              COMMON STOCK    205363104      10       200    SHARES                         X        1
COMPUTER
  SCIENCES
  CORP COM              COMMON STOCK    205363104      21       400    SHARES                X                 1
COMPUTER TASK
  GROUP                 COMMON STOCK    205477102     265     58750    SHARES                X                 1
COMPUWARE CORP          COMMON STOCK    205638109      14      1500    SHARES                         X        1
COMPUWARE CORP          COMMON STOCK    205638109      28      2900    SHARES                X                 3
COMSTOCK
  HOMEBUILDING
  COS INC CL A          COMMON STOCK    205684103      14      3500    SHARES         X                        2
COMTECH
  TELECOMMUNICATIONS
  COR                   COMMON STOCK    205826209      83      2150    SHARES                X                 1
COMTECH
  TELECOMMUNTN          COMMON STOCK    205826209    1379     35600    SHARES                X                 3
CONAGRA FOODS
  INC                   COMMON STOCK    205887102     149      5962    SHARES                         X        1
CONAGRA FOODS
  INC                   COMMON STOCK    205887102      52      2103    SHARES                X                 1
CONAGRA FOODS
  INC                   COMMON STOCK    205887102     194      7800    SHARES                X                 3
CONOCOPHILLIPS          COMMON STOCK    20825C104     454      6646    SHARES         X                        2
CONOCOPHILLIPS          COMMON STOCK    20825C104    5993     87686    SHARES                         X        1
CONOCOPHILLIPS          COMMON STOCK    20825C104   17500    256041    SHARES                X                 1
CONOCOPHILLIPS          COMMON STOCK    20825C104    8303    121483    SHARES                X                 3
CONOCOPHILLIPS          COMMON STOCK    20825C104      24       344    SHARES                X                 4
CONSECO INC             COMMON STOCK    208464883      65      3770    SHARES                X                 3
CONSOL ENERGY
  INC                   COMMON STOCK    20854P109     114      2925    SHARES                X                 1
CONSOL ENERGY
  INC                   COMMON STOCK    20854P109     986     25200    SHARES                X                 3
CONSOLDTD
  EDISON INC            COMMON STOCK    209115104     117      2300    SHARES                X                 3
CONSOLIDATED
  COMMUNICATIONS
  HL                    COMMON STOCK    209034107      12       600    SHARES                X                 1
CONSOLIDATED
  EDISON INC
  COM                   COMMON STOCK    209115104     381      7467    SHARES                         X        1
CONSOLIDATED
  EDISON INC
  COM                   COMMON STOCK    209115104     219      4284    SHARES                X                 1
CONSOLIDATED
  GRAPHIC               COMMON STOCK    209341106    1599     21600    SHARES                X                 3
CONSOLIDATED
  GRAPHICS INC          COMMON STOCK    209341106      98      1325    SHARES                X                 1
CONSOLIDATED-
  TOMOKA LAND
  CO                    COMMON STOCK    210226106      23       300    SHARES                X                 1
CONSTELLATION
  BRANDS                COMMON STOCK A  21036P108      36      1700    SHARES                X                 3
CONSTELLATION
  BRANDS INC
  CL A                  COMMON STOCK    21036P108      17       800    SHARES                         X        1
CONSTELLATION
  BRANDS INC
  CL A                  COMMON STOCK    21036P108      16       757    SHARES                X                 1
CONSTELLATION
  BRANDS INC
  CLASS A               COMMON STOCK    21036P108    3966    187222    SHARES         X                        2
CONSTELLATION
  ENERGY GROUP
  INC                   COMMON STOCK    210371100    6683     76857    SHARES                         X        1
CONSTELLATION
  ENERGY GROUP
  INC                   COMMON STOCK    210371100    5385     61936    SHARES                X                 1
CONSTELLATION
  ENERGY GROUP
  INC                   COMMON STOCK    210371100     322      3710    SHARES                X                 3
CONSUMER
  DISCRETIONARY
  SELECT                PREFERRED STOCK 81369Y407     213      5591    SHARES                X                 1
CONTINENTAL
  AIRLINES CL B         COMMON STOCK    210795308       7       200    SHARES                         X        1
CONVERGYS CORP          COMMON STOCK    212485106      10       400    SHARES                         X        1
CONVERGYS CORP          COMMON STOCK    212485106      28      1100    SHARES                X                 3
CON-WAY INC             COMMON STOCK    205944101       7       150    SHARES                X                 1
COOPER INDS LTD         COMMON STOCK    G24182100      76      1700    SHARES                X                 3
COOPER
  INDUSTRIES
  LTD CL A              COMMON STOCK    G24182100     108      2400    SHARES                         X        1
COOPER
  INDUSTRIES
  LTD CL A              COMMON STOCK    G24182100     137      3048    SHARES                X                 1
CORN PRODS
  INTL INC COM          COMMON STOCK    219023108     174      4888    SHARES                         X        1
CORN PRODS
  INTL INC COM          COMMON STOCK    219023108      51      1429    SHARES                X                 1



                          COLUMN 8
                      VOTING AUTHORITY
                     -------------------

   COLUMN 1
NAME OF ISSUER        SOLE  SHARED OTHER
--------------       ------ ------ -----
                          
COMMERCE
  BANCORP INC
  N J                  1500      0  600
COMMERCE
  BANCORP INC
  N J                   300      0    0
COMMERCIAL
  NATL
  FINANCIAL
  CORP                  820      0    0
COMMSCOPE INC         43200      0    0
COMMSCOPE INC
  COM                  2500      0  240
COMMUNITY BANK
  SYSTEM INC          25762      0    0
COMMUNITY
  BANKS INC           14940      0    0
COMMUNITY
  BANKS INC COM       39309      0    0
COMMUNITY
  BANKS INC COM       29119      0 1450
COMMUNITY
  HEALTH
  SYSTEMS INC          1500      0    0
COMPANHIA VAL
  DO RIO              18330      0    0
COMPANHIA VALE
  DO RIO DOCE
  SPO                   500      0    0
COMPANHIA VALE
  DO RIO
  DOCE-ADR            27965      0    0
COMPANIA
  ANONIMA
  NACIONAL TELE        1920      0    0
COMPASS
  BANCSHARES           1000      0    0
COMPUTER
  SCIENCES             1800      0    0
COMPUTER
  SCIENCES
  CORP COM              200      0    0
COMPUTER
  SCIENCES
  CORP COM              400      0    0
COMPUTER TASK
  GROUP               58750      0    0
COMPUWARE CORP         1500      0    0
COMPUWARE CORP         2900      0    0
COMSTOCK
  HOMEBUILDING
  COS INC CL A            0   3500    0
COMTECH
  TELECOMMUNICATIONS
  COR                  1945      0  205
COMTECH
  TELECOMMUNTN        35600      0    0
CONAGRA FOODS
  INC                  5962      0    0
CONAGRA FOODS
  INC                  2103      0    0
CONAGRA FOODS
  INC                  7800      0    0
CONOCOPHILLIPS            0   6646    0
CONOCOPHILLIPS        80776      0 6910
CONOCOPHILLIPS       251288      0 4753
CONOCOPHILLIPS       116223      0 5260
CONOCOPHILLIPS          344      0    0
CONSECO INC            3770      0    0
CONSOL ENERGY
  INC                  2800      0  125
CONSOL ENERGY
  INC                 25200      0    0
CONSOLDTD
  EDISON INC           2300      0    0
CONSOLIDATED
  COMMUNICATIONS
  HL                    600      0    0
CONSOLIDATED
  EDISON INC
  COM                  7467      0    0
CONSOLIDATED
  EDISON INC
  COM                  4284      0    0
CONSOLIDATED
  GRAPHIC             21600      0    0
CONSOLIDATED
  GRAPHICS INC         1200      0  125
CONSOLIDATED-
  TOMOKA LAND
  CO                    300      0    0
CONSTELLATION
  BRANDS               1700      0    0
CONSTELLATION
  BRANDS INC
  CL A                  800      0    0
CONSTELLATION
  BRANDS INC
  CL A                  757      0    0
CONSTELLATION
  BRANDS INC
  CLASS A                 0 187222    0
CONSTELLATION
  ENERGY GROUP
  INC                 72257      0 4600
CONSTELLATION
  ENERGY GROUP
  INC                 61936      0    0
CONSTELLATION
  ENERGY GROUP
  INC                  3710      0    0
CONSUMER
  DISCRETIONARY
  SELECT               N.A.   N.A. N.A.
CONTINENTAL
  AIRLINES CL B         200      0    0
CONVERGYS CORP          400      0    0
CONVERGYS CORP         1100      0    0
CON-WAY INC             150      0    0
COOPER INDS LTD        1700      0    0
COOPER
  INDUSTRIES
  LTD CL A             2400      0    0
COOPER
  INDUSTRIES
  LTD CL A             3048      0    0
CORN PRODS
  INTL INC COM         4888      0    0
CORN PRODS
  INTL INC COM         1429      0    0



                                   14 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CORNERSTONE
  STRATEGIC VALUE  PREFERRED
  FU               STOCK        21924B104      1        128    SHARES                X                 1       N.A.   N.A.  N.A.
CORNING INC        COMMON STOCK 219350105    958      42140    SHARES         X                        2          0  42140     0
CORNING INC        COMMON STOCK 219350105   1030      45305    SHARES                         X        1      38575      0  6730
CORNING INC        COMMON STOCK 219350105   5798     254982    SHARES                X                 1     250792      0  4190
CORNING INC        COMMON STOCK 219350105   4724     207723    SHARES                X                 3     197592      0 10131
CORNING INC        COMMON STOCK 219350105      7        300    SHARES                X                 4        300      0     0
CORP OFFICE
  PROPERTIES TR
  (REI             COMMON STOCK 22002T108     23        500    SHARES                X                 1       N.A.   N.A.  N.A.
CORP OFFICE
  PROPERTIES TR
  (REIT)           COMMON STOCK 22002T108     55       1200    SHARES         X                        2          0   1200     0
CORTEX
  PHARMACEUTICALS
  INC              COMMON STOCK 220524300      3       1390    SHARES                         X        1       1390      0     0
CORVEL CORPORATION COMMON STOCK 221006109      0          1    SHARES                X                 1          1      0     0
CORVEL CORPORATION COMMON STOCK 221006109     12        400    SHARES                X                 3        400      0     0
COSTCO WHOLESALE
  CORP COM         COMMON STOCK 22160K105    253       4700    SHARES         X                        2          0   4700     0
COSTCO WHOLESALE
  CORP COM         COMMON STOCK 22160K105    285       5300    SHARES                         X        1       5300      0     0
COSTCO WHOLESALE
  CORP COM         COMMON STOCK 22160K105    542      10066    SHARES                X                 1      10066      0     0
COSTCO WHOLESALE
  CORP COM         COMMON STOCK 22160K105    250       4630    SHARES                X                 3       4630      0     0
COUNTRYWIDE
  FINANCIAL CORP   COMMON STOCK 222372104     40       1200    SHARES                         X        1          0      0  1200
COUNTRYWIDE
  FINANCIAL CORP   COMMON STOCK 222372104     12        348    SHARES                X                 1        348      0     0
COUNTRYWIDE FINL   COMMON STOCK 222372104    172       5100    SHARES                X                 3       5100      0     0
COVANCE INC COM    COMMON STOCK 222816100     76       1283    SHARES                         X        1       1283      0     0
COVANCE INC COM    COMMON STOCK 222816100     96       1617    SHARES                X                 1       1617      0     0
COVENTRY HEALTH
  CAR              COMMON STOCK 222862104     77       1375    SHARES                X                 3       1375      0     0
COVENTRY HEALTH
  CARE INC         COMMON STOCK 222862104      6        100    SHARES                         X        1        100      0     0
COVENTRY HEALTH
  CARE INC         COMMON STOCK 222862104     22        400    SHARES                X                 1        400      0     0
COVENTRY HEALTH
  CARE
  INCORPORATED     COMMON STOCK 222862104   7023     125300    SHARES         X                        2          0 125300     0
CRA INTERNATIONAL  COMMON STOCK 12618T105   1821      34900    SHARES                X                 3      34900      0     0
CRA INTERNATIONAL
  INC              COMMON STOCK 12618T105    110       2100    SHARES                X                 1       1900      0   200
CRANE CO           COMMON STOCK 224399105    414      10246    SHARES                         X        1      10246      0     0
CRAY INC           COMMON STOCK 225223304      1         75    SHARES                X                 1         75      0     0
CREATIVE
  TECHNOLOGY LTD   COMMON STOCK Y1775U107     17       2700    SHARES                X                 3       2700      0     0
CREE RESEARCH INC
  COM              COMMON STOCK 225447101     16       1000    SHARES                         X        1          0      0  1000
CROSS CNTRY
  HLTHCARE         COMMON STOCK 227483104   1072      58800    SHARES                X                 3      58800      0     0
CROSS COUNTRY
  HEALTH CARE INC  COMMON STOCK 227483104     69       3800    SHARES                X                 1       3473      0   327
CROSS TIMBERS
  ROYALTY TRUST    COMMON STOCK 22757R109      0          1    SHARES                X                 1       N.A.   N.A.  N.A.
CROSSTEX ENERGY LP COMMON STOCK 22765U102     43       1200    SHARES         X                        2          0   1200     0
CROWN CASTLE INTL  COMMON STOCK 228227104   1192      37100    SHARES                X                 3      37100      0     0
CROWN CASTLE INTL
  CORP COM         COMMON STOCK 228227104     77       2405    SHARES                X                 1       2200      0   205
CRYOLIFE INC       COMMON STOCK 228903100     43       5100    SHARES                         X        1       5100      0     0
CRYOLIFE INC PFD   PREFERRED
  CONV 6.000%      STOCK        228903209     28        500    SHARES                         X        1       N.A.   N.A.  N.A.
CSX CORP           COMMON STOCK 126408103     21        512    SHARES         X                        2          0    512     0
CSX CORP           COMMON STOCK 126408103   1181      29484    SHARES                         X        1      20284      0  9200
CSX CORP           COMMON STOCK 126408103   1558      38890    SHARES                X                 1      38890      0     0
CSX CORP           COMMON STOCK 126408103    200       5000    SHARES                X                 3       5000      0     0
CT COMMUNICATIONS
  INC              COMMON STOCK 126426402     18        740    SHARES                X                 3        740      0     0
CUBIST PHARMACEUT  COMMON STOCK 229678107    794      36000    SHARES                X                 3      36000      0     0
CUBIST
  PHARMACEUTICALS
  INC              COMMON STOCK 229678107     51       2315    SHARES                X                 1       2100      0   215
CUISINE SOLUTIONS
  INC              COMMON STOCK 229904107    168      23200    SHARES         X                        2          0  23200     0
CULLEN FROST
  BANKERS          COMMON STOCK 229899109     94       1800    SHARES                X                 3       1800      0     0
CUMMINS INC        COMMON STOCK 231021106     59        410    SHARES                X                 3        410      0     0
CUMMINS INC COM    COMMON STOCK 231021106     14        100    SHARES                X                 1        100      0     0
CURTISS WRIGHT
  CORP             COMMON STOCK 231561101     28        728    SHARES         X                        2          0    728     0
CURTISS WRIGHT
  CORP             COMMON STOCK 231561101     39       1000    SHARES                         X        1       1000      0     0
CURTISS WRIGHT
  CORP             COMMON STOCK 231561101     65       1676    SHARES                X                 1       1676      0     0
CUTERA INC         COMMON STOCK 232109108     14        400    SHARES                X                 1        400      0     0
CVS/CAREMARK CORP  COMMON STOCK 126650100    423      12400    SHARES         X                        2          0  12400     0
CVS/CAREMARK CORP  COMMON STOCK 126650100   2263      66298    SHARES                         X        1      64528      0  1770
CVS/CAREMARK CORP  COMMON STOCK 126650100   7276     213133    SHARES                X                 1     211733      0  1400
CVS/CAREMARK CORP  COMMON STOCK 126650100    635      18623    SHARES                X                 3      13279      0  5344
CYMER INC          COMMON STOCK 232572107     12        300    SHARES         X                        2          0    300     0
CYTYC CORP         COMMON STOCK 232946103      9        274    SHARES                         X        1        274      0     0



                                   15 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
CYTYC CORP         COMMON STOCK 232946103   3077      89933    SHARES                X                 1      87357     0  2576
CYTYC CORP         COMMON STOCK 232946103   6717     196318    SHARES                X                 3     189499     0  6819
D R HORTON INC     COMMON STOCK 23331A109     33       1480    SHARES                         X        1       1480     0     0
D R HORTON INC     COMMON STOCK 23331A109     42       1900    SHARES                X                 1       1900     0     0
D R HORTON INC     COMMON STOCK 23331A109     53       2400    SHARES                X                 3       2400     0     0
D&E
  COMMUNICATIONS
  INC              COMMON STOCK 232860106      4        300    SHARES                X                 1        300     0     0
DAIMLERCHRYSLER AG COMMON STOCK D1668R123     10        124    SHARES         X                        2          0   124     0
DAIMLERCHRYSLER AG COMMON STOCK D1668R123    128       1570    SHARES                         X        1        720     0   850
DAIMLERCHRYSLER AG COMMON STOCK D1668R123     69        838    SHARES                X                 1        373     0   465
DANAHER CORP       COMMON STOCK 235851102    143       2000    SHARES                X                 3       2000     0     0
DANAHER CORP COM   COMMON STOCK 235851102    115       1606    SHARES                         X        1       1036     0   570
DANAHER CORP COM   COMMON STOCK 235851102   1047      14650    SHARES                X                 1      14650     0     0
DANAHER
  CORPORATION      COMMON STOCK 235851102   4080      57101    SHARES         X                        2          0 57101     0
DARDEN RESTAURANT  COMMON STOCK 237194105     56       1350    SHARES                X                 3       1350     0     0
DARDEN
  RESTAURANTS INC
  COM              COMMON STOCK 237194105    319       7740    SHARES                         X        1       7740     0     0
DARDEN
  RESTAURANTS INC
  COM              COMMON STOCK 237194105   1293      31390    SHARES                X                 1      31390     0     0
DAVITA INC WITH
  ATTACHED RIGHT   COMMON STOCK 23918K108    153       2877    SHARES                         X        1       2577     0   300
DCP MIDSTREAM
  PARTNERS LP      COMMON STOCK 23311P100     39       1000    SHARES         X                        2          0  1000     0
DEAN FOODS CO      COMMON STOCK 242370104      9        200    SHARES                X                 1        200     0     0
DEAN FOODS CO NEW  COMMON STOCK 242370104     56       1200    SHARES                X                 3       1200     0     0
DECODE GENETICS
  INC              COMMON STOCK 243586104      1        300    SHARES                X                 1        300     0     0
DEERE & CO         COMMON STOCK 244199105    785       7230    SHARES                         X        1       6487     0   743
DEERE & CO         COMMON STOCK 244199105   2286      21041    SHARES                X                 1      20741     0   300
DEERE & CO         COMMON STOCK 244199105    331       3050    SHARES                X                 3       3050     0     0
DEL MONTE FOODS CO COMMON STOCK 24522P103     26       2226    SHARES                         X        1       2226     0     0
DEL MONTE FOODS CO COMMON STOCK 24522P103     13       1115    SHARES                X                 1       1115     0     0
DELEK US HOLDINGS
  INC              COMMON STOCK 246647101     19        989    SHARES                X                 1        989     0     0
DELHAIZE GROUP
  SPONSORED ADR    COMMON STOCK 29759W101      9        100    SHARES                X                 1        100     0     0
DELL INC           COMMON STOCK 24702R101     26       1100    SHARES         X                        2          0  1100     0
DELL INC           COMMON STOCK 24702R101    811      34960    SHARES                         X        1      31515     0  3445
DELL INC           COMMON STOCK 24702R101   2661     114651    SHARES                X                 1     113898     0   753
DELL INC           COMMON STOCK 24702R101    865      37235    SHARES                X                 3      37235     0     0
DELTA PETROLEUM
  CORP             COMMON STOCK 247907207    264      11500    SHARES                         X        1      11500     0     0
DELUXE CORPORATION COMMON STOCK 248019101    134       3989    SHARES                X                 1       3724     0   265
DELUXE CORPORATION COMMON STOCK 248019101   1486      44300    SHARES                X                 3      44300     0     0
DENBURY RES INC    COMMON STOCK 247916208    730      24500    SHARES                X                 3      24500     0     0
DENBURY RESOURCES
  INCORPORATED     COMMON STOCK 247916208    157       5263    SHARES                X                 1       4888     0   375
DENTSPLY
  INTERNATIONAL
  INC COM          COMMON STOCK 249030107    361      11030    SHARES                         X        1      11030     0     0
DENTSPLY
  INTERNATIONAL
  INC COM          COMMON STOCK 249030107   1340      40901    SHARES                X                 1      40601     0   300
DENTSPLY INTL INC  COMMON STOCK 249030107    825      25200    SHARES                X                 3      25200     0     0
DEUTSCHE TELEKOM
  AG SPONSORED     COMMON STOCK 251566105      6        376    SHARES                         X        1        376     0     0
DEV DIVERSIFIED
  RLTY CORP        COMMON STOCK 251591103     19        300    SHARES         X                        2          0   300     0
DEV DIVERSIFIED
  RLTY CORP        COMMON STOCK 251591103     38        600    SHARES                         X        1       N.A.  N.A.  N.A.
DEV DIVERSIFIED
  RLTY CORP        COMMON STOCK 251591103    186       2956    SHARES                X                 1       N.A.  N.A.  N.A.
DEVELOPERS DIVER
  RTY              COMMON STOCK 251591103     69       1100    SHARES                X                 3       1100     0     0
DEVON ENERGY CORP  COMMON STOCK 25179M103     69       1000    SHARES         X                        2          0  1000     0
DEVON ENERGY CORP  COMMON STOCK 25179M103    231       3332    SHARES                         X        1       2932     0   400
DEVON ENERGY CORP  COMMON STOCK 25179M103   1480      21377    SHARES                X                 1      21051     0   326
DEVON ENERGY CORP  COMMON STOCK 25179M103   1293      18685    SHARES                X                 3      18685     0     0
DEVRY INC          COMMON STOCK 251893103     15        500    SHARES                X                 1        500     0     0
DIAGEO PLC
  SPONSORED ADR    COMMON STOCK 25243Q205    274       3384    SHARES                X                 1       3384     0     0
DIAGEO PLC
  SPONSORED ADR    COMMON STOCK 25243Q205     40        500    SHARES                X                 3        500     0     0
DIAMOND OFFSHORE
  DRILLING COM     COMMON STOCK 25271C102      4         50    SHARES                X                 1         50     0     0
DIAMONDS TR UNIT
  SER 1            COMMON STOCK 252787106    251       2029    SHARES         X                        2          0  2029     0
DIAMONDS TR UNIT
  SER 1            COMMON STOCK 252787106    445       3600    SHARES                X                 1       3600     0     0
DIEBOLD INC        COMMON STOCK 253651103     17        350    SHARES                         X        1        350     0     0
DIEBOLD INC        COMMON STOCK 253651103     22        463    SHARES                X                 1        463     0     0
DIGENE CORP        COMMON STOCK 253752109    742      17500    SHARES                X                 3      17500     0     0
DIGENE CORP COMMON COMMON STOCK 253752109     49       1155    SHARES                X                 1       1060     0    95



                                   16 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
DILLARDS INC       COMMON
                   STOCK A      254067101     20        600    SHARES                X                 3        600      0    0
DIONEX CORP        COMMON STOCK 254546104    793      11650    SHARES         X                        2          0  11650    0
DIRECTV GROUP INC  COMMON STOCK 25459L106    203       8820    SHARES                X                 3       8820      0    0
DISCOVERY HOLDING
  CO               COMMON STOCK 25468Y206     50       2600    SHARES                         X        1       2600      0    0
DISCOVERY HOLDING
  CO-A             COMMON STOCK 25468Y107     67       3500    SHARES                         X        1       3500      0    0
DISCOVERY HOLDING
  CO-A             COMMON STOCK 25468Y107     29       1535    SHARES                X                 1       1535      0    0
DISNEY WALT CO     COMMON STOCK 254687106   3405      98903    SHARES                         X        1      92453      0 6450
DISNEY WALT CO     COMMON STOCK 254687106   7016     203782    SHARES                X                 1     203182      0  600
DISNEY WALT CO     COMMON STOCK 254687106   1097      31850    SHARES                X                 3      31850      0    0
DISNEY WALT CO     COMMON STOCK 254687106     15        425    SHARES                X                 4        425      0    0
DISNEY WALT
  COMPANY          COMMON STOCK 254687106   1058      30746    SHARES         X                        2          0  30746    0
DNP SELECT INCOME  PREFERRED
  FUND INC         STOCK        23325P104     35       3100    SHARES                         X        1       N.A.   N.A. N.A.
DNP SELECT INCOME  PREFERRED
  FUND INC         STOCK        23325P104      5        428    SHARES                X                 1       N.A.   N.A. N.A.
DOLBY
  LABORATORIES
  INC CL A         COMMON STOCK 25659T107      3        100    SHARES                X                 1        100      0    0
DOLLAR GEN CORP    COMMON STOCK 256669102     60       2850    SHARES                X                 3       2850      0    0
DOMINION RES INC
  VA               COMMON STOCK 25746U109    373       4200    SHARES                X                 3       4200      0    0
DOMINION
  RESOURCES BLACK
  WARRI            COMMON STOCK 25746Q108     62       2500    SHARES                X                 1       2500      0    0
DOMINION
  RESOURCES INC    COMMON STOCK 25746U109    364       4100    SHARES         X                        2          0   4100    0
DOMINION
  RESOURCES INC    COMMON STOCK 25746U109   3604      40602    SHARES                         X        1      35584      0 5018
DOMINION
  RESOURCES INC    COMMON STOCK 25746U109   5036      56731    SHARES                X                 1      55631      0 1100
DONEGAL GROUP INC
  CL A             COMMON STOCK 257701201     29       1685    SHARES                X                 1       1685      0    0
DONEGAL GROUP INC
  CL B             COMMON STOCK 257701300     14        842    SHARES                X                 1        842      0    0
DONNELLEY R R &
  SONS             COMMON STOCK 257867101    165       4500    SHARES                X                 3       4500      0    0
DONNELLEY R R &
  SONS CO          COMMON STOCK 257867101    157       4280    SHARES         X                        2          0   4280    0
DONNELLEY R R &
  SONS CO          COMMON STOCK 257867101    149       4066    SHARES                         X        1       4066      0    0
DONNELLEY R R &
  SONS CO          COMMON STOCK 257867101    150       4099    SHARES                X                 1       4099      0    0
DOVER CORP         COMMON STOCK 260003108   1609      32966    SHARES                         X        1      26566      0 6400
DOVER CORP         COMMON STOCK 260003108   2608      53425    SHARES                X                 1      53425      0    0
DOVER CORP         COMMON STOCK 260003108     86       1760    SHARES                X                 3       1760      0    0
DOVER DOWNS
  GAMING & ENTMT
  INC              COMMON STOCK 260095104      0          1    SHARES                         X        1          1      0    0
DOVER MOTORSPORTS
  INC              COMMON STOCK 260174107      0          1    SHARES                         X        1          1      0    0
DOW CHEMICAL CO    COMMON STOCK 260543103   3304      72052    SHARES                         X        1      70702      0 1350
DOW CHEMICAL CO    COMMON STOCK 260543103   6763     147481    SHARES                X                 1     141293      0 6188
DOW CHEMICAL CO    COMMON STOCK 260543103   1220      26620    SHARES                X                 3      22620      0 4000
DOW CHEMICAL
  COMPANY          COMMON STOCK 260543103   5091     111000    SHARES         X                        2          0 111000    0
DOW JONES & CO INC COMMON STOCK 260561105     15        425    SHARES                X                 3        425      0    0
DPL INC            COMMON STOCK 233293109     31       1000    SHARES                         X        1       1000      0    0
DPL INC            COMMON STOCK 233293109    132       4255    SHARES                X                 1       4255      0    0
DR REDDYS LABS
  LTD ADR          COMMON STOCK 256135203     33       2000    SHARES                X                 1       2000      0    0
DREYFUS HIGH       PREFERRED
  YIELD STRATEGIES STOCK        26200S101      9       2000    SHARES                         X        1       N.A.   N.A. N.A.
DREYFUS MUNICIPAL  PREFERRED
  INCOME FUND      STOCK        26201R102     70       7200    SHARES                         X        1       N.A.   N.A. N.A.
DREYFUS STRATEGIC  PREFERRED
  MUN BD FD        STOCK        26202F107     90       9412    SHARES                         X        1       N.A.   N.A. N.A.
DREYFUS STRATEGIC  PREFERRED
  MUN BD FD        STOCK        26202F107    263      27602    SHARES                X                 1       N.A.   N.A. N.A.
DRS TECHNOLOGIES
  INC              COMMON STOCK 23330X100     10        200    SHARES                         X        1        200      0    0
DRYCLEAN USA INC   COMMON STOCK 262432107      1        350    SHARES                X                 1        350      0    0
DTE ENERGY CO      COMMON STOCK 233331107    486      10149    SHARES                         X        1       7421      0 2728
DTE ENERGY CO      COMMON STOCK 233331107    643      13423    SHARES                X                 1      13423      0    0
DTE ENERGY CO      COMMON STOCK 233331107     78       1645    SHARES                X                 3       1645      0    0
DU PONT E I DE
  NEMOU            COMMON STOCK 263534109    476       9625    SHARES                X                 3       9625      0    0
DU PONT E I DE
  NEMOURS &
  COMPANY          COMMON STOCK 263534109   1761      35636    SHARES         X                        2          0  35636    0
DUKE ENERGY CORP   COMMON STOCK 26441C105    713      35143    SHARES                         X        1      34643      0  500
DUKE ENERGY CORP   COMMON STOCK 26441C105    573      28238    SHARES                X                 1      28238      0    0
DUKE ENERGY CORP   COMMON STOCK 26441C105    391      19292    SHARES                X                 3      19292      0    0
DUKE REALTY CORP   COMMON STOCK 264411505    402       9247    SHARES         X                        2          0   9247    0
DUKE REALTY CORP   COMMON STOCK 264411505    148       3400    SHARES                         X        1       N.A.   N.A. N.A.
DUKE REALTY CORP   COMMON STOCK 264411505     80       1830    SHARES                X                 1       N.A.   N.A. N.A.
DUN & BRADSTREET
  CORP             COMMON STOCK 26483E100    100       1100    SHARES                         X        1       1100      0    0
DUN & BRADSTREET
  CORP             COMMON STOCK 26483E100     43        474    SHARES                X                 1        474      0    0
DUPONT EI DE
  NEMOURS & CO COM COMMON STOCK 263534109   8504     172048    SHARES                         X        1     167648      0 4400



                                   17 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
DUPONT EI DE
  NEMOURS & CO COM COMMON STOCK 263534109   9248     187095    SHARES                X                 1     184125      0 2970
DUPONT EI DE
  NEMOURS & CO COM COMMON STOCK 263534109      5        100    SHARES                X                 4        100      0    0
DUQUESNE LIGHT
  HOLDINGS INC     COMMON STOCK 266233105     49       2488    SHARES                         X        1       2488      0    0
DUQUESNE LIGHT
  HOLDINGS INC     COMMON STOCK 266233105     48       2410    SHARES                X                 1       2410      0    0
DWS MUNICIPAL      PREFERRED
  INCOME TRUST     STOCK        23338M106     16       1400    SHARES                         X        1       N.A.   N.A. N.A.
DWS STRATEGIC      PREFERRED
  MUNICIPAL INCOME STOCK        23338T101     19       1500    SHARES                X                 1       N.A.   N.A. N.A.
DYADIC
  INTERNATIONAL
  INC              COMMON STOCK 26745T101    133      21000    SHARES         X                        2          0  21000    0
DYNAMEX INC        COMMON STOCK 26784F103     94       3710    SHARES                X                 1       3400      0  310
DYNAMEX INC        COMMON STOCK 26784F103   1466      57600    SHARES                X                 3      57600      0    0
DYNAMICS RESEARCH
  CORP             COMMON STOCK 268057106    159      14000    SHARES                         X        1      14000      0    0
DYNEGY INC         COMMON STOCK 26816Q101   1576     170188    SHARES                X                 3     170188      0    0
DYNEGY INC CL A    COMMON STOCK 26816Q101    101      10945    SHARES                X                 1      10060      0  885
E M C CORPORATION
  MASSACHUSETTS    COMMON STOCK 268648102   6711     484549    SHARES         X                        2          0 484549    0
E TRADE FINL CORP  COMMON STOCK 269246104     81       3800    SHARES                X                 3       3800      0    0
E*TRADE FINANCIAL
  CORPORATION      COMMON STOCK 269246104     33       1560    SHARES                         X        1       1560      0    0
E*TRADE FINANCIAL
  CORPORATION      COMMON STOCK 269246104      6        290    SHARES                X                 1        290      0    0
EAGLE BANCORP INC
  MD               COMMON STOCK 268948106   1552      94501    SHARES         X                        2          0  94501    0
EAGLE MATERIALS
  INC COM W RIGH   COMMON STOCK 26969P108     15        345    SHARES                X                 1        345      0    0
EARTHLINK INC COM  COMMON STOCK 270321102     26       3528    SHARES                X                 1       3528      0    0
EARTHLINK INC COM  COMMON STOCK 270321102     63       8630    SHARES                X                 3       8630      0    0
EAST WEST BANCORP
  INC              COMMON STOCK 27579R104    368      10000    SHARES         X                        2          0  10000    0
EASTGROUP
  PROPERTIES
  INCORPORATED     COMMON STOCK 277276101   3875      75950    SHARES         X                        2          0  75950    0
EASTMAN CHEM CO    COMMON STOCK 277432100     44        700    SHARES                X                 3        700      0    0
EASTMAN CHEMICAL
  COMPANY COM      COMMON STOCK 277432100     60        941    SHARES                         X        1        441      0  500
EASTMAN CHEMICAL
  COMPANY COM      COMMON STOCK 277432100     63        991    SHARES                X                 1        991      0    0
EASTMAN KODAK CO   COMMON STOCK 277461109     60       2660    SHARES                X                 3       2660      0    0
EASTMAN KODAK CO
  COM              COMMON STOCK 277461109    134       5954    SHARES                         X        1       5954      0    0
EASTMAN KODAK CO
  COM              COMMON STOCK 277461109     86       3832    SHARES                X                 1       2775      0 1057
EATON CORP         COMMON STOCK 278058102    104       1250    SHARES                X                 3       1250      0    0
EATON CORP COM     COMMON STOCK 278058102     75        900    SHARES                         X        1        900      0    0
EATON CORP COM     COMMON STOCK 278058102    657       7860    SHARES                X                 1       7860      0    0
EATON VANCE CORP   COMMON STOCK 278265103      8        230    SHARES                X                 1        230      0    0
EATON VANCE INSD   PREFERRED
  MUNI BD FD       STOCK        27827X101      2        116    SHARES                X                 1       N.A.   N.A. N.A.
EATON VANCE LTD    PREFERRED
  DURATION INC F   STOCK        27828H105     44       2400    SHARES                X                 1       N.A.   N.A. N.A.
EATON VANCE
  MUNICIPAL        PREFERRED
  INCOME T         STOCK        27826U108     80       5000    SHARES                         X        1       N.A.   N.A. N.A.
EATON VANCE PA     PREFERRED
  MUNI INC TR      STOCK        27826T101    147      10000    SHARES                         X        1       N.A.   N.A. N.A.
EATON VANCE SR     PREFERRED
  FLOATING RATE F  STOCK        27828Q105     46       2400    SHARES                X                 1       N.A.   N.A. N.A.
EATON VANCE
  TAX-ADVANTAGED   PREFERRED
  DVD              STOCK        27828G107    108       3900    SHARES                         X        1       N.A.   N.A. N.A.
EATON VANCE
  TAX-ADVANTAGED   PREFERRED
  DVD              STOCK        27828G107    104       3750    SHARES                X                 1       N.A.   N.A. N.A.
EATON VANCE
  TAX-MANAGED DIV  PREFERRED
  EQ               STOCK        27828N102     10        485    SHARES                X                 1       N.A.   N.A. N.A.
EBAY INC           COMMON STOCK 278642103    629      18964    SHARES                X                 3      18964      0    0
EBAY INC COM       COMMON STOCK 278642103    285       8600    SHARES         X                        2          0   8600    0
EBAY INC COM       COMMON STOCK 278642103    352      10629    SHARES                         X        1       7744      0 2885
EBAY INC COM       COMMON STOCK 278642103   1761      53131    SHARES                X                 1      51731      0 1400
ECHELON
  CORPORATION      COMMON STOCK 27874N105     31       2930    SHARES                         X        1       2930      0    0
ECOLAB INC         COMMON STOCK 278865100     60       1390    SHARES                X                 3       1390      0    0
ECOLAB INC COM     COMMON STOCK 278865100    101       2350    SHARES                         X        1       2350      0    0
ECOLAB INC COM     COMMON STOCK 278865100   1142      26550    SHARES                X                 1      26550      0    0
EDISON
  INTERNATIONAL
  COM              COMMON STOCK 281020107     45        910    SHARES                X                 1        910      0    0
EDISON INTL        COMMON STOCK 281020107    136       2765    SHARES                X                 3       2765      0    0
EDWARDS AG INC COM COMMON STOCK 281760108     23        339    SHARES                         X        1        339      0    0
EDWARDS AG INC COM COMMON STOCK 281760108      7        100    SHARES                X                 1        100      0    0
EDWARDS
  LIFESCIENCES
  CORP COM         COMMON STOCK 28176E108    162       3200    SHARES                         X        1       2600      0  600
EDWARDS
  LIFESCIENCES
  CORP COM         COMMON STOCK 28176E108    259       5100    SHARES                X                 1       5100      0    0
EGL INC COM        COMMON STOCK 268484102      6        160    SHARES                X                 3        160      0    0
EL PASO CORP COM   COMMON STOCK 28336L109    145      10000    SHARES         X                        2          0  10000    0
EL PASO CORP COM   COMMON STOCK 28336L109     45       3081    SHARES                         X        1       3081      0    0
EL PASO CORP COM   COMMON STOCK 28336L109     27       1900    SHARES                X                 1       1900      0    0
EL PASO
  CORPORATION      COMMON STOCK 28336L109     91       6300    SHARES                X                 3       6300      0    0



                                   18 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
ELAN CORP PLC
  SPONS ADR        COMMON STOCK 284131208      1         75    SHARES                         X        1         75     0      0
ELECTRONIC ARTS    COMMON STOCK 285512109   1478      29359    SHARES                X                 3      27789     0   1570
ELECTRONIC DATA
  SYS              COMMON STOCK 285661104    122       4425    SHARES                X                 3       4425     0      0
ELECTRONIC DATA
  SYSTEM CORPORA   COMMON STOCK 285661104     74       2658    SHARES                         X        1       2658     0      0
ELECTRONIC DATA
  SYSTEM CORPORA   COMMON STOCK 285661104     25        891    SHARES                X                 1        891     0      0
ELECTRONICS ARTS
  COM              COMMON STOCK 285512109    151       3000    SHARES         X                        2          0  3000      0
ELECTRONICS ARTS
  COM              COMMON STOCK 285512109    460       9125    SHARES                         X        1       9125     0      0
ELECTRONICS ARTS
  COM              COMMON STOCK 285512109   3106      61667    SHARES                X                 1      58530     0   3137
ELECTRONICS FOR
  IMAG             COMMON STOCK 286082102   2237      95400    SHARES                X                 3      95400     0      0
ELECTRONICS FOR
  IMAGING INC CO   COMMON STOCK 286082102     12        500    SHARES                         X        1          0     0    500
ELECTRONICS FOR
  IMAGING INC CO   COMMON STOCK 286082102    307      13110    SHARES                X                 1      12265     0    845
ELI LILLY & CO     COMMON STOCK 532457108   5151      95858    SHARES                X                 3      86492     0   9366
ELIZABETH ARDEN
  INC COM          COMMON STOCK 28660G106      4        205    SHARES                X                 1        205     0      0
EMBARQ CORP        COMMON STOCK 29078E105     34        600    SHARES                         X        1        600     0      0
EMBARQ CORP        COMMON STOCK 29078E105     42        750    SHARES                X                 1        685     0     65
EMBARQ CORPORATION COMMON STOCK 29078E105     73       1300    SHARES                X                 3       1300     0      0
EMC CORP MASS      COMMON STOCK 268648102   2530     182629    SHARES                X                 3     172936     0   9693
EMC CORP MASS COM  COMMON STOCK 268648102    703      50772    SHARES                         X        1      44902     0   5870
EMC CORP MASS COM  COMMON STOCK 268648102   5031     363272    SHARES                X                 1     357466     0   5806
EMCOR GROUP INC    COMMON STOCK 29084Q100     88       1500    SHARES                X                 1       1375     0    125
EMCOR GROUP INC    COMMON STOCK 29084Q100   1344      22800    SHARES                X                 3      22800     0      0
EMERSON ELEC CO    COMMON STOCK 291011104    293       6800    SHARES                X                 3       6800     0      0
EMERSON ELECTRIC
  CO               COMMON STOCK 291011104   5635     130775    SHARES                         X        1     116945     0  13830
EMERSON ELECTRIC
  CO               COMMON STOCK 291011104   6179     143409    SHARES                X                 1     141109     0   2300
EMERSON ELECTRIC
  COMPANY          COMMON STOCK 291011104   3560      82610    SHARES         X                        2          0 82610      0
ENCANA CORP        COMMON STOCK 292505104     51       1000    SHARES         X                        2          0  1000      0
ENCANA CORP        COMMON STOCK 292505104    182       3600    SHARES                         X        1       3600     0      0
ENCYSIVE
  PHARMACEUTICALS
  INC              COMMON STOCK 29256X107     73      27000    SHARES                         X        1      27000     0      0
ENDEAVOUR
  INTERNATIONAL
  CORP             COMMON STOCK 29259G101      2       1000    SHARES                         X        1       1000     0      0
ENDESA S A
  SPONSORED ADR    COMMON STOCK 29258N107     43        800    SHARES                         X        1        800     0      0
ENDESA S A
  SPONSORED ADR    COMMON STOCK 29258N107    129       2418    SHARES                X                 1       2418     0      0
ENDESA S A
  SPONSORED ADR    COMMON STOCK 29258N107     21        400    SHARES                X                 3        400     0      0
ENERGIZER HLDGS
  INC COM          COMMON STOCK 29266R108      9        100    SHARES                         X        1        100     0      0
ENERGIZER HLDGS
  INC COM          COMMON STOCK 29266R108    111       1300    SHARES                X                 1       1300     0      0
ENERGY CONVERSION
  DEVICES INC      COMMON STOCK 292659109      7        200    SHARES                         X        1        200     0      0
ENERGY EAST CORP
  COM              COMMON STOCK 29266M109    146       6000    SHARES         X                        2          0  6000      0
ENERGY EAST CORP
  COM              COMMON STOCK 29266M109    175       7175    SHARES                         X        1       6975     0    200
ENERGY EAST CORP
  COM              COMMON STOCK 29266M109    137       5623    SHARES                X                 1       5623     0      0
ENERGY SELECT
  SECTOR SPDR FD   COMMON STOCK 81369Y506     30        500    SHARES         X                        2          0   500      0
ENERGY SELECT      PREFERRED
  SECTOR SPDR FD   STOCK        81369Y506    135       2239    SHARES                         X        1       N.A.  N.A.   N.A.
ENERGY TRANSFER
  EQUITY LP        COMMON STOCK 29273V100     40       1100    SHARES         X                        2          0  1100      0
ENERGY TRANSFER
  PARTNERS LP      COMMON STOCK 29273R109     99       1700    SHARES         X                        2          0  1700      0
ENERGY TRANSFER
  PARTNERS LP      COMMON STOCK 29273R109     58       1000    SHARES                         X        1       1000     0      0
ENERGY TRANSFER
  PARTNERS LP      COMMON STOCK 29273R109     15        261    SHARES                X                 1        261     0      0
ENERPLUS
  RESOURCES FUND   COMMON STOCK 29274D604     42       1000    SHARES         X                        2          0  1000      0
ENERPLUS
  RESOURCES FUND   COMMON STOCK 29274D604    159       3762    SHARES                         X        1       3762     0      0
ENERSYS            COMMON STOCK 29275Y102     90       5250    SHARES                X                 1       4800     0    450
ENERSYS            COMMON STOCK 29275Y102   1397      81300    SHARES                X                 3      81300     0      0
ENI SPA-SPONS ADR  COMMON STOCK 26874R108     14        212    SHARES         X                        2          0   212      0
ENPRO INDUSTRIES   COMMON STOCK 29355X107     29        800    SHARES                         X        1        800     0      0
ENSCO
  INTERNATIONAL
  INC COM          COMMON STOCK 26874Q100    689      12664    SHARES                         X        1       9749     0   2915
ENSCO
  INTERNATIONAL
  INC COM          COMMON STOCK 26874Q100   6915     127113    SHARES                X                 1     122521     0   4592
ENSCO
  INTERNATIONAL
  INC COM          COMMON STOCK 26874Q100   4848      89119    SHARES                X                 3      82142     0   6977
ENTERGY CORP       COMMON STOCK 29364G103    209       2000    SHARES                X                 3       2000     0      0
ENTERGY CORP COM
  NEW              COMMON STOCK 29364G103    200       1908    SHARES                         X        1       1908     0      0
ENTERGY CORP COM
  NEW              COMMON STOCK 29364G103    101        962    SHARES                X                 1        962     0      0
ENTERPRISE GP
  HOLDINGS LP      COMMON STOCK 293716106     40       1000    SHARES         X                        2          0  1000      0
ENTERPRISE
  PRODUCTS
  PARTNERS L       COMMON STOCK 293792107    147       4635    SHARES                         X        1       4635     0      0
ENTERPRISE
  PRODUCTS
  PARTNERS L       COMMON STOCK 293792107     80       2522    SHARES                X                 1       2522     0      0



                                   19 of 58





                                                                                  COLUMN 6                       COLUMN 8
                                                          COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                  ------------------------ ----------------------          --------------------
                   COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1        TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER      CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------   ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------- ------ -----
                                                                                   
ENTERPRISE
  PRODUCTS
  PARTNERS L.P.  COMMON STOCK 293792107    2347      73800   SHARES         X                        2           0 73800      0
ENVIRONMENTAL
  POWER CORP     COMMON STOCK 29406L201       1        100   SHARES                X                 1         100     0      0
EOG RESOURCES
  INC            COMMON STOCK 26875P101    2988      41881   SHARES                X                 3       39725     0   2156
EOG RESOURCES
  INC COM        COMMON STOCK 26875P101     297       4170   SHARES                         X        1        2320     0   1850
EOG RESOURCES
  INC COM        COMMON STOCK 26875P101    2539      35588   SHARES                X                 1       34286     0   1302
EP MEDSYSTEMS
  INC COM        COMMON STOCK 26881P103      44      25000   SHARES         X                        2           0 25000      0
EQUIFAX INC      COMMON STOCK 294429105      37       1025   SHARES                X                 3        1025     0      0
EQUIFAX INC COM  COMMON STOCK 294429105      79       2166   SHARES                         X        1        2166     0      0
EQUITABLE
  RESOURCES INC  COMMON STOCK 294549100     193       4000   SHARES                         X        1        4000     0      0
EQUITABLE
  RESOURCES INC  COMMON STOCK 294549100    1189      24600   SHARES                X                 1       24600     0      0
EQUITY INCOME
  FUND-AT&T
  SHARES         OTHER        294700703      71        600   SHARES                         X        1        N.A.  N.A.   N.A.
EQUITY ONE
  INCORPORATED   COMMON STOCK 294752100      24        900   SHARES                X                 1        N.A.  N.A.   N.A.
EQUITY           SH BEN INT
  RESIDENTIAL    US           29476L107     128       2650   SHARES                X                 3        2650     0      0
EQUITY
  RESIDENTIAL
  (REIT)         COMMON STOCK 29476L107      16        325   SHARES         X                        2           0   325      0
EQUITY
  RESIDENTIAL
  (REIT)         COMMON STOCK 29476L107     199       4120   SHARES                         X        1        N.A.  N.A.   N.A.
EQUITY
  RESIDENTIAL
  (REIT)         COMMON STOCK 29476L107      71       1462   SHARES                X                 1        N.A.  N.A.   N.A.
ERIE INDEMNITY
  CO CL A        COMMON STOCK 29530P102    7150     135500   SHARES                X                 1      135500     0      0
ESTEE LAUDER CO  COMMON STOCK 518439104    4005      81953   SHARES                X                 3       74509     0   7444
EV ENERGY
  PARTNER LP     COMMON STOCK 26926V107      43       1200   SHARES         X                        2           0  1200      0
EVERGREEN        PREFERRED
  INCOME ADV FD  STOCK        30023Y105      29       2000   SHARES                X                 1        N.A.  N.A.   N.A.
EXELON CORP      COMMON STOCK 30161N101    1479      21524   SHARES                         X        1       19999     0   1525
EXELON CORP      COMMON STOCK 30161N101    5028      73172   SHARES                X                 1       71772     0   1400
EXELON CORP      COMMON STOCK 30161N101     399       5800   SHARES                X                 3        5800     0      0
EXPEDITORS
  INTL WASH      COMMON STOCK 302130109    1347      32600   SHARES                X                 3       32600     0      0
EXPEDITORS
  INTL WASH
  INC COM        COMMON STOCK 302130109     103       2500   SHARES         X                        2           0  2500      0
EXPEDITORS
  INTL WASH
  INC COM        COMMON STOCK 302130109     375       9082   SHARES                X                 1        8607     0    475
EXPRESS
  SCRIPTS INC    COMMON STOCK 302182100    2668      33051   SHARES                         X        1       31646     0   1405
EXPRESS
  SCRIPTS INC    COMMON STOCK 302182100   11128     137860   SHARES                X                 1      135160     0   2700
EXPRESS
  SCRIPTS INC    COMMON STOCK 302182100    6065      75110   SHARES                X                 3       71204     0   3906
EXPRESS-1
  EXPEDITED
  SOLUTIONS      COMMON STOCK 30217Q108       1        800   SHARES                X                 1         800     0      0
EXXON MOBIL
  CORP           COMMON STOCK 30231G102   75929    1006342   SHARES                         X        1      908863     0  97479
EXXON MOBIL
  CORP           COMMON STOCK 30231G102   89179    1181961   SHARES                X                 1     1163304     0  18657
EXXON MOBIL
  CORP           COMMON STOCK 30231G102   24342     322612   SHARES                X                 3      312079     0  10533
EXXON MOBIL
  CORP           COMMON STOCK 30231G102      23        300   SHARES                X                 4         300     0      0
EXXON MOBIL
  CORPORATION    COMMON STOCK 30231G102    5659      75000   SHARES         X                        2           0 75000      0
EZCORP INC
  CLASS A        COMMON STOCK 302301106      16       1100   SHARES                X                 3        1100     0      0
F5 NETWORKS INC  COMMON STOCK 315616102       9        135   SHARES                         X        1         135     0      0
F5 NETWORKS INC  COMMON STOCK 315616102     599       8976   SHARES                X                 1        8732     0    244
F5 NETWORKS INC  COMMON STOCK 315616102     408       6114   SHARES                X                 3        5374     0    740
FACTSET
  RESEARCH
  SYSTEMS INC    COMMON STOCK 303075105      57        900   SHARES                         X        1         900     0      0
FAIRCHILD
  SEMICONDUCTOR
  INTL I         COMMON STOCK 303726103       1         43   SHARES                X                 1          43     0      0
FAIRPOINT
  COMMUNICATIONS
  INC            COMMON STOCK 305560104       2        100   SHARES                X                 1         100     0      0
FAMILY DOLLAR
  STORES         COMMON STOCK 307000109       2         75   SHARES                         X        1          75     0      0
FAMILY DOLLAR
  STORES         COMMON STOCK 307000109      37       1250   SHARES                X                 3        1250     0      0
FASTENAL CO      COMMON STOCK 311900104     561      16000   SHARES         X                        2           0 16000      0
FASTENAL CO      COMMON STOCK 311900104     148       4209   SHARES                X                 1        3939     0    270
FASTENAL CO      COMMON STOCK 311900104     582      16600   SHARES                X                 3       16600     0      0
FED NATL MTG
  ASSN COM       COMMON STOCK 313586109    1064      19500   SHARES         X                        2           0 19500      0
FED NATL MTG
  ASSN COM       COMMON STOCK 313586109    2291      41966   SHARES                         X        1       40066     0   1900
FED NATL MTG
  ASSN COM       COMMON STOCK 313586109    4864      89111   SHARES                X                 1       89111     0      0
FED NATL MTG
  ASSN COM       COMMON STOCK 313586109     466       8530   SHARES                X                 3        8530     0      0
FEDERAL REALTY
  INV TR (REIT)  COMMON STOCK 313747206     518       5719   SHARES         X                        2           0  5719      0
FEDERAL REALTY
  INV TR (REIT)  COMMON STOCK 313747206      91       1000   SHARES                X                 1        N.A.  N.A.   N.A.
FEDERAL SIGNAL
  CORP           COMMON STOCK 313855108      16       1000   SHARES                X                 1        1000     0      0
FEDERATED
  DEPARTMENT
  STORES
  DELAWARE       COMMON STOCK 31410H101     400      10421   SHARES         X                        2           0 10421      0
FEDERATED DEPT
  STORE          COMMON STOCK 31410H101     208       4616   SHARES                X                 3        4616     0      0
FEDERATED DEPT
  STORES INC     COMMON STOCK 31410H101      66       1468   SHARES                         X        1        1468     0      0
FEDERATED DEPT
  STORES INC     COMMON STOCK 31410H101     193       4278   SHARES                X                 1        4278     0      0
FEDERATED INVS   COMMON
  INC            STOCK B      314211103     172       4700   SHARES                X                 3        4700     0      0



                                   20 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
FEDEX CORP COM     COMMON STOCK 31428X106    220       2050    SHARES         X                        2         0   2050    0
FEDEX CORP COM     COMMON STOCK 31428X106    389       3620    SHARES                         X        1      2920      0  700
FEDEX CORP COM     COMMON STOCK 31428X106   1153      10736    SHARES                X                 1     10736      0    0
FEDEX CORPORATION  COMMON STOCK 31428X106    282       2625    SHARES                X                 3      2625      0    0
FERRELLGAS
  PARTNERS LP      OTHER        315293100    232      10000    SHARES                         X        1      N.A.   N.A. N.A.
FIDELITY NATIONAL
  FINANCIAL -      COMMON STOCK 31620R105     38       1598    SHARES                X                 1      1598      0    0
FIDELITY NATIONAL
  FINANCIAL - A    COMMON STOCK 31620R105     35       1441    SHARES         X                        2         0   1441    0
FIDELITY NATL INFO COMMON STOCK 31620M106    447       9841    SHARES                X                 3      9841      0    0
FIDELITY NATL
  INFORMATION SERV COMMON STOCK 31620M106     16        360    SHARES                         X        1       360      0    0
FIDELITY NATL
  INFORMATION SERV COMMON STOCK 31620M106    114       2514    SHARES                X                 1      2377      0  137
FIFTH THIRD
  BANCORP          COMMON STOCK 316773100    337       8700    SHARES                X                 3      4700      0 4000
FIFTH THIRD
  BANCORP COM      COMMON STOCK 316773100   3087      79781    SHARES         X                        2         0  79781    0
FIFTH THIRD
  BANCORP COM      COMMON STOCK 316773100     37        950    SHARES                         X        1       950      0    0
FIFTH THIRD
  BANCORP COM      COMMON STOCK 316773100    542      14007    SHARES                X                 1     14007      0    0
FIRST DATA CORP    COMMON STOCK 319963104    175       6500    SHARES                X                 3      6500      0    0
FIRST DATA CORP
  COM              COMMON STOCK 319963104    577      21457    SHARES                         X        1     20757      0  700
FIRST DATA CORP
  COM              COMMON STOCK 319963104    881      32733    SHARES                X                 1     32733      0    0
FIRST DATA CORP
  COM              COMMON STOCK 319963104      5        200    SHARES                X                 4       200      0    0
FIRST DATA
  CORPORATION      COMMON STOCK 319963104    589      21886    SHARES         X                        2         0  21886    0
FIRST HORIZON
  NATIONAL CORP    COMMON STOCK 320517105     42       1000    SHARES                         X        1      1000      0    0
FIRST HORIZON
  NATIONAL CORP    COMMON STOCK 320517105     10        234    SHARES                X                 1       234      0    0
FIRST HORIZON NATL COMMON STOCK 320517105    137       3300    SHARES                X                 3      3300      0    0
FIRST INDUSTRIAL
  REALTY TR (RE    COMMON STOCK 32054K103     20        447    SHARES                X                 1      N.A.   N.A. N.A.
FIRST MARBLEHEAD
  CORP             COMMON STOCK 320771108   2849      63467    SHARES         X                        2         0  63467    0
FIRST MARINER
  BANCORP INCORPOR COMMON STOCK 320795107     53       3500    SHARES                         X        1      3500      0    0
FIRST NIAGARA
  FINANCIAL GROUP  COMMON STOCK 33582V108      4        292    SHARES                X                 1       292      0    0
FIRST POTOMAC
  REALTY TRUST     COMMON STOCK 33610F109     29       1000    SHARES                X                 1      N.A.   N.A. N.A.
FIRST STATE
  FINANCIAL CORP
  FLO              COMMON STOCK 33708M206     55       3253    SHARES                X                 1      3253      0    0
FIRST UNITED CORP
  COM              COMMON STOCK 33741H107     51       2250    SHARES                         X        1       200      0 2050
FIRST UNITED CORP
  COM              COMMON STOCK 33741H107    189       8408    SHARES                X                 1      8408      0    0
FIRSTENERGY CORP   COMMON STOCK 337932107    185       2800    SHARES                X                 3      2800      0    0
FIRSTENERGY CORP
  COM              COMMON STOCK 337932107     79       1200    SHARES         X                        2         0   1200    0
FIRSTENERGY CORP
  COM              COMMON STOCK 337932107    457       6906    SHARES                         X        1      6906      0    0
FIRSTENERGY CORP
  COM              COMMON STOCK 337932107    357       5382    SHARES                X                 1      5382      0    0
FISERV INC         COMMON STOCK 337738108     11        200    SHARES                         X        1         0      0  200
FISERV INC         COMMON STOCK 337738108     12        220    SHARES                X                 1       220      0    0
FISERV INC         COMMON STOCK 337738108     77       1450    SHARES                X                 3      1450      0    0
FISERV
  INCORPORATED     COMMON STOCK 337738108   4308      81186    SHARES         X                        2         0  81186    0
FIVE STAR QUALITY
  CARE INC         COMMON STOCK 33832D106      0         10    SHARES                         X        1         0      0   10
FLANDERS
  CORPORATION      COMMON STOCK 338494107   2514     346773    SHARES         X                        2         0 346773    0
FLEXIBLE
  SOLUTIONS
  INTERNATION      COMMON STOCK 33938T104      1        250    SHARES                X                 1       250      0    0
FLEXTRONICS INTL
  LTD              COMMON STOCK Y2573F102     23       2100    SHARES                         X        1      2100      0    0
FLEXTRONICS INTL
  LTD              COMMON STOCK Y2573F102      7        644    SHARES                X                 1       644      0    0
FLORIDA EAST
  COAST INDUSTRIES COMMON STOCK 340632108     38        600    SHARES         X                        2         0    600    0
FLORIDA EAST
  COAST INDUSTRIES COMMON STOCK 340632108      1          8    SHARES                         X        1         8      0    0
FLOWERS FOODS INC
  COM              COMMON STOCK 343498101    143       4724    SHARES         X                        2         0   4724    0
FLUOR CORP         COMMON STOCK 343412102    157       1750    SHARES                         X        1      1750      0    0
FLUOR CORP         COMMON STOCK 343412102    436       4864    SHARES                X                 1      4864      0    0
FLUOR CORPORATION  COMMON STOCK 343412102     67        750    SHARES                X                 3       750      0    0
FNB CORP PA        COMMON STOCK 302520101     43       2578    SHARES                X                 1      2578      0    0
FONAR CORP COM     COMMON STOCK 344437108      0         18    SHARES                X                 1        18      0    0
FOOT LOCKER INC    COMMON STOCK 344849104    172       7300    SHARES                X                 3      7300      0    0
FORD MOTOR CO      COMMON STOCK 345370860     82      10372    SHARES                         X        1      6812      0 3560
FORD MOTOR CO      COMMON STOCK 345370860     51       6470    SHARES                X                 1      6470      0    0
FORD MOTOR CO      COMMON STOCK 345370860    131      16600    SHARES                X                 3     16600      0    0
FORDING CANADIAN
  COAL TRUST       COMMON STOCK 345425102    460      20820    SHARES                         X        1     20070      0  750
FORDING CANADIAN
  COAL TRUST       COMMON STOCK 345425102    877      39672    SHARES                X                 1     39672      0    0
FOREST CITY
  ENTERPRISES INC  COMMON STOCK 345550107     66       1000    SHARES         X                        2         0   1000    0
FOREST LABS INC    COMMON STOCK 345838106    159       3100    SHARES                X                 3      3100      0    0



                                   21 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
FOREST LABS INC
  COM              COMMON STOCK 345838106      18       350    SHARES                X                 1        350      0     0
FOREST OIL CORP    COMMON STOCK 346091705      17       500    SHARES                X                 1        500      0     0
FORTUNE BRANDS INC COMMON STOCK 349631101      20       250    SHARES         X                        2          0    250     0
FORTUNE BRANDS INC COMMON STOCK 349631101    1056     13399    SHARES                         X        1      11292      0  2107
FORTUNE BRANDS INC COMMON STOCK 349631101    1640     20805    SHARES                X                 1      19705      0  1100
FORTUNE BRANDS INC COMMON STOCK 349631101     110      1400    SHARES                X                 3       1400      0     0
FOSTER WHEELER LTD COMMON STOCK G36535139     311      5330    SHARES                         X        1       3990      0  1340
FOSTER WHEELER LTD COMMON STOCK G36535139    2917     49961    SHARES                X                 1      48463      0  1498
FOSTER WHEELER LTD COMMON STOCK G36535139    5524     94584    SHARES                X                 3      91274      0  3310
FOUNDATION COAL
  HLDG             COMMON STOCK 35039W100     920     26800    SHARES                X                 3      26800      0     0
FOUNDATION COAL
  HOLDINGS INC     COMMON STOCK 35039W100      60      1750    SHARES                X                 1       1600      0   150
FOXHOLLOW
  TECHNOLOGIES INC COMMON STOCK 35166A103       4       170    SHARES                X                 3        170      0     0
FPL GROUP INC      COMMON STOCK 302571104     212      3470    SHARES                X                 3       3470      0     0
FPL GROUP INC COM  COMMON STOCK 302571104    3969     64887    SHARES                         X        1      56145      0  8742
FPL GROUP INC COM  COMMON STOCK 302571104    7930    129636    SHARES                X                 1     129636      0     0
FPL GROUP INC COM  COMMON STOCK 302571104      18       300    SHARES                X                 4        300      0     0
FRANKLIN RES INC   COMMON STOCK 354613101     169      1400    SHARES                X                 3       1400      0     0
FRANKLIN
  RESOURCES INC    COMMON STOCK 354613101      18       150    SHARES                         X        1        150      0     0
FRANKLIN
  RESOURCES INC    COMMON STOCK 354613101     100       825    SHARES                X                 1        825      0     0
FRANKLIN           PREFERRED
  UNIVERSAL TRUST  STOCK        355145103      30      4200    SHARES                         X        1       N.A.   N.A.  N.A.
FREDDIE MAC        COMMON STOCK 313400301   13596    228534    SHARES         X                        2          0 228534     0
FREDDIE MAC        COMMON STOCK 313400301      20       330    SHARES                         X        1        330      0     0
FREDDIE MAC        COMMON STOCK 313400301     803     13495    SHARES                X                 1      13495      0     0
FREDDIE MAC        COMMON STOCK 313400301     363      6100    SHARES                X                 3       6100      0     0
FREEPORT-MCMORAN
  C&G              COMMON STOCK 35671D857     371      5600    SHARES                X                 3       5600      0     0
FREEPORT-MCMORAN
  CPR & GLD INC    COMMON STOCK 35671D857      33       500    SHARES                         X        1        500      0     0
FREEPORT-MCMORAN
  CPR & GLD INC    COMMON STOCK 35671D857     158      2393    SHARES                X                 1       2393      0     0
FREMONT GENERAL
  CORPORATION      COMMON STOCK 357288109      35      5120    SHARES                X                 3       5120      0     0
FRONTEER
  DEVELOPMENT
  GROUP INC        COMMON STOCK 35903Q106       6       500    SHARES                X                 1        500      0     0
FRONTIER OIL CORP  COMMON STOCK 35914P105    2184     66900    SHARES                X                 3      66900      0     0
FRONTIER OIL
  CORPORATION      COMMON STOCK 35914P105     167      5130    SHARES                X                 1       4770      0   360
FRONTLINE LTD      COMMON STOCK G3682E127      51      1425    SHARES                X                 1       1425      0     0
FULTON FINANCIAL
  CORP             COMMON STOCK 360271100    5716    392282    SHARES         X                              392282      0     0
FULTON FINANCIAL
  CORP             COMMON STOCK 360271100    2257    155338    SHARES                         X        1     109479      0 45859
FULTON FINANCIAL
  CORP             COMMON STOCK 360271100    1649    113480    SHARES                X                 1     113480      0     0
FUNDTECH LTD       COMMON STOCK M47095100      60      4350    SHARES                X                 1       3979      0   371
FUNDTECH LTD       COMMON STOCK M47095100     975     70900    SHARES                X                 3      70900      0     0
GABELLI EQUITY     PREFERRED
  TRUST            STOCK        362397101      16      1629    SHARES                         X        1       N.A.   N.A.  N.A.
GABELLI EQUITY     PREFERRED
  TRUST            STOCK        362397101      37      3758    SHARES                X                 1       N.A.   N.A.  N.A.
GABELLI GLOBAL     PREFERRED
  MULTIMEDIA TR    STOCK        36239Q109       2       135    SHARES                X                 1       N.A.   N.A.  N.A.
GABELLI UTILITY    PREFERRED
  TRUST            STOCK        36240A101       5       497    SHARES                X                 1       N.A.   N.A.  N.A.
GALLAGHER ARTHUR
  J. & CO          COMMON STOCK 363576109      28      1000    SHARES                X                 1       1000      0     0
GALLAHER GROUP
  PLC SPON ADR     COMMON STOCK 363595109     207      2322    SHARES                         X        1       2214      0   108
GALLAHER GROUP
  PLC SPON ADR     COMMON STOCK 363595109     480      5373    SHARES                X                 1       5373      0     0
GAMESTOP CORP -
  CLASS A          COMMON STOCK 36467W109     326     10006    SHARES                X                 1       9226      0   780
GAMESTOP CORP HLDG COMMON STOCK 36467W109    3043     93400    SHARES                X                 3      93400      0     0
GANNETT CO INC     COMMON STOCK 364730101     608     10803    SHARES                         X        1      10603      0   200
GANNETT CO INC     COMMON STOCK 364730101     684     12145    SHARES                X                 1      12145      0     0
GANNETT CO INC     COMMON STOCK 364730101     169      3000    SHARES                X                 3       3000      0     0
GANNETT
  INCORPORATED     COMMON STOCK 364730101     504      8952    SHARES         X                        2          0   8952     0
GAP INC            COMMON STOCK 364760108     232     13500    SHARES                X                 3      13500      0     0
GAP INC COM        COMMON STOCK 364760108      93      5400    SHARES         X                        2          0   5400     0
GAP INC COM        COMMON STOCK 364760108     339     19725    SHARES                         X        1      19325      0   400
GAP INC COM        COMMON STOCK 364760108     513     29787    SHARES                X                 1      29787      0     0
GARMIN LIMITED ORD COMMON STOCK G37260109     162      3000    SHARES         X                        2          0   3000     0
GATX CORP          COMMON STOCK 361448103      17       350    SHARES                         X        1          0      0   350
GEMSTAR-TV GUIDE
  INT              COMMON STOCK 36866W106       8      1981    SHARES                X                 3       1981      0     0
GENELABS
  TECHNOLOGIES INC COMMON STOCK 368706206       1       600    SHARES                X                 1        600      0     0
GENENTECH INC      COMMON STOCK 368710406     760      9260    SHARES                X                 3       9260      0     0



                                   22 of 58





                                                                                   COLUMN 6                       COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                   ------------------------ ----------------------          ---------------------
                    COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1         TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS     CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE   SHARED OTHER
--------------    ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------- ------ ------
                                                                                    
GENENTECH INC
  COM NEW         COMMON STOCK 368710406     271       3300   SHARES                         X        1        3300      0      0
GENENTECH INC
  COM NEW         COMMON STOCK 368710406    4087      49766   SHARES                X                 1       49766      0      0
GENERAL AMERICAN
  INVESTORS CO    COMMON STOCK 368802104      67       1829   SHARES         X                        2           0   1829      0
GENERAL
  COMMUNICATIONS
  INC CLASS A     COMMON STOCK 369385109       3        200   SHARES         X                        2           0    200      0
GENERAL DYNAMICS  COMMON STOCK 369550108     342       4488   SHARES                X                 3        4488      0      0
GENERAL DYNAMICS
  CORP COM        COMMON STOCK 369550108      15        200   SHARES         X                        2           0    200      0
GENERAL DYNAMICS
  CORP COM        COMMON STOCK 369550108    1240      16228   SHARES                         X        1       16228      0      0
GENERAL DYNAMICS
  CORP COM        COMMON STOCK 369550108    4410      57729   SHARES                X                 1       57729      0      0
GENERAL ELECTRIC
  CO              COMMON STOCK 369604103   20900     591071   SHARES                X                 3      557210      0  33861
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103   20537     608418   SHARES         X                        2           0 608418      0
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103   69487    1965122   SHARES                         X        1     1839780      0 125342
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103   74445    2105349   SHARES                X                 1     2054121      0  51228
GENERAL ELECTRIC
  COMPANY         COMMON STOCK 369604103      19        550   SHARES                X                 4         550      0      0
GENERAL GROWTH
  PPTYS INC       COMMON STOCK 370021107      36        550   SHARES         X                        2           0    550      0
GENERAL GROWTH
  PPTYS INC       COMMON STOCK 370021107     155       2400   SHARES                X                 1        N.A.   N.A.   N.A.
GENERAL MARITIME
  CORP            COMMON STOCK Y2692M103      18        622   SHARES                X                 1         622      0      0
GENERAL MILLS INC COMMON STOCK 370334104     128       2200   SHARES         X                        2           0   2200      0
GENERAL MILLS INC COMMON STOCK 370334104    1872      32158   SHARES                         X        1       31758      0    400
GENERAL MILLS INC COMMON STOCK 370334104    4159      71439   SHARES                X                 1       70039      0   1400
GENERAL MILLS INC COMMON STOCK 370334104     590      10137   SHARES                X                 3        9137      0   1000
GENERAL MILLS INC COMMON STOCK 370334104       9        150   SHARES                X                 4         150      0      0
GENERAL MOTORS
  CORP            COMMON STOCK 370442105     150       4900   SHARES                X                 3        4900      0      0
GENERAL MOTORS
  CORP COM        COMMON STOCK 370442105     783      25549   SHARES                         X        1       25201      0    348
GENERAL MOTORS
  CORP COM        COMMON STOCK 370442105     121       3960   SHARES                X                 1        2946      0   1014
GENESCO INC       COMMON STOCK 371532102    1366      32900   SHARES                X                 3       32900      0      0
GENESCO INC COM   COMMON STOCK 371532102      87       2100   SHARES                X                 1        1925      0    175
GENESIS ENERGY LP COMMON STOCK 371927104      43       2000   SHARES         X                        2           0   2000      0
GENESIS
  MICROCHIP INC   COMMON STOCK 37184C103       5        500   SHARES                X                 1         500      0      0
GENUINE PARTS CO  COMMON STOCK 372460105      67       1360   SHARES                X                 3        1360      0      0
GENUINE PARTS
  COMPANY         COMMON STOCK 372460105     814      16600   SHARES         X                        2           0  16600      0
GENUINE PARTS INC COMMON STOCK 372460105     159       3250   SHARES                         X        1        3250      0      0
GENUINE PARTS INC COMMON STOCK 372460105     498      10155   SHARES                X                 1       10155      0      0
GENWORTH          COMMON
  FINANCIAL       STOCK A      37247D106     133       3800   SHARES                X                 3        3800      0      0
GENWORTH
  FINANCIAL INC
  - CL A          COMMON STOCK 37247D106      23        645   SHARES                         X        1         645      0      0
GENWORTH
  FINANCIAL INC
  - CL A          COMMON STOCK 37247D106       3         97   SHARES                X                 1          97      0      0
GENZYME CORP      COMMON STOCK 372917104     132       2200   SHARES                X                 3        2200      0      0
GENZYME CORP COM  COMMON STOCK 372917104     321       5344   SHARES         X                        2           0   5344      0
GENZYME CORP COM  COMMON STOCK 372917104      76       1260   SHARES                         X        1        1260      0      0
GENZYME CORP COM  COMMON STOCK 372917104    1285      21416   SHARES                X                 1       20916      0    500
GERON CORP        COMMON STOCK 374163103       4        500   SHARES                         X        1           0      0    500
GEVITY HR INC     COMMON STOCK 374393106    1299      65800   SHARES                X                 3       65800      0      0
GEVITY HR
  INCORPORATED    COMMON STOCK 374393106      84       4260   SHARES                X                 1        3900      0    360
GILEAD SCIENCES
  INC             COMMON STOCK 375558103    2852      37207   SHARES                X                 3       34229      0   2978
GILEAD SCIENCES
  INC COM         COMMON STOCK 375558103     409       5335   SHARES                         X        1        5335      0      0
GILEAD SCIENCES
  INC COM         COMMON STOCK 375558103    2994      39055   SHARES                X                 1       38509      0    546
GLADSTONE
  CAPITAL CORP    COMMON STOCK 376535100    8809     372005   SHARES         X                        2           0 372005      0
GLADSTONE
  CAPITAL CORP    COMMON STOCK 376535100     118       5000   SHARES                X                 1        5000      0      0
GLADSTONE
  COMMERCIAL CORP COMMON STOCK 376536108    2856     142450   SHARES         X                        2           0 142450      0
GLADSTONE
  COMMERCIAL CORP COMMON STOCK 376536108      80       4000   SHARES                X                 1        N.A.   N.A.   N.A.
GLATFELTER        COMMON STOCK 377316104     722      48453   SHARES                X                 1       48453      0      0
GLAXOSMITHKLINE
  PLC ADR         COMMON STOCK 37733W105     320       5782   SHARES         X                        2           0   5782      0
GLAXOSMITHKLINE
  PLC ADR         COMMON STOCK 37733W105    1676      30334   SHARES                         X        1       23634      0   6700
GLAXOSMITHKLINE
  PLC ADR         COMMON STOCK 37733W105    1321      23897   SHARES                X                 1       23897      0      0
GOLD FIELDS
  LIMITED ADR     COMMON STOCK 38059T106       5        250   SHARES                X                 1         250      0      0
GOLDCORP INC      COMMON STOCK 380956409      24       1000   SHARES                X                 1        1000      0      0
GOLDMAN SACHS
  GROUP           COMMON STOCK 38141G104    2664      12891   SHARES                X                 3       12349      0    542
GOLDMAN SACHS
  GROUP INC COM   COMMON STOCK 38141G104     217       1050   SHARES         X                        2           0   1050      0
GOLDMAN SACHS
  GROUP INC COM   COMMON STOCK 38141G104     453       2190   SHARES                         X        1        1570      0    620
GOLDMAN SACHS
  GROUP INC COM   COMMON STOCK 38141G104    3257      15762   SHARES                X                 1       15224      0    538



                                   23 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
GOODRICH CORP      COMMON STOCK 382388106     309      6000    SHARES                         X        1       4400     0   1600
GOODRICH CORP      COMMON STOCK 382388106       5       100    SHARES                X                 1        100     0      0
GOODRICH CORP      COMMON STOCK 382388106     267      5185    SHARES                X                 3       5185     0      0
GOODYEAR TIRE &
  RUBR             COMMON STOCK 382550101      97      3090    SHARES                X                 3       3090     0      0
GOODYEAR TIRE &
  RUBR CO          COMMON STOCK 382550101      62      2000    SHARES                         X        1       2000     0      0
GOODYEAR TIRE &
  RUBR CO          COMMON STOCK 382550101       3       100    SHARES                X                 1        100     0      0
GOOGLE INC         COMMON STOCK 38259P508    9041     19737    SHARES                X                 3      18950     0    787
GOOGLE INC CL A    COMMON STOCK 38259P508    3274      7146    SHARES         X                        2          0  7146      0
GOOGLE INC CL A    COMMON STOCK 38259P508     237       517    SHARES                         X        1        375     0    142
GOOGLE INC CL A    COMMON STOCK 38259P508    6083     13278    SHARES                X                 1      13027     0    251
GRACO INC          COMMON STOCK 384109104    1958     50000    SHARES                X                 3      50000     0      0
GRACO INC COM      COMMON STOCK 384109104     157      4000    SHARES         X                        2          0  4000      0
GRACO INC COM      COMMON STOCK 384109104     299      7644    SHARES                X                 1       7104     0    540
GRAINGER W W INC   COMMON STOCK 384802104      47       605    SHARES                X                 3        605     0      0
GRANT PRIDECO INC  COMMON STOCK 38821G101    1167     23400    SHARES                X                 3      23400     0      0
GRANT PRIDECO INC
  COM              COMMON STOCK 38821G101     265      5309    SHARES                X                 1       4963     0    346
GREAT AMERN FINL
  RES INC COM      COMMON STOCK 389915109       2       100    SHARES                         X        1          0     0    100
GREAT PLAINS
  ENERGY INC       COMMON STOCK 391164100      28       850    SHARES                         X        1        850     0      0
GREAT PLAINS
  ENERGY INC       COMMON STOCK 391164100      18       570    SHARES                X                 1        570     0      0
GREEN MOUNTAIN
  POWER CORP       COMMON STOCK 393154109      35      1000    SHARES                         X        1       1000     0      0
GREENBRIER
  COMPANIES INC    COMMON STOCK 393657101     336     12600    SHARES         X                        2          0 12600      0
GREIF INC          COMMON STOCK 397624107    1258     11325    SHARES                X                 3      11325     0      0
GREIF INC CL A     COMMON STOCK 397624107      84       760    SHARES                X                 1        700     0     60
GREY WOLF INC      COMMON STOCK 397888108      23      3367    SHARES                X                 1       3367     0      0
GREY WOLF INC      COMMON STOCK 397888108      19      2900    SHARES                X                 3       2900     0      0
GROUPE DANONE
  SPONS ADR        COMMON STOCK 399449107      36      1000    SHARES                         X        1       1000     0      0
HALLIBURTON        COMMON STOCK 406216101     276      8700    SHARES                X                 3       8700     0      0
HALLIBURTON HLDG
  CO COM           COMMON STOCK 406216101     333     10500    SHARES                         X        1       3800     0   6700
HALLIBURTON HLDG
  CO COM           COMMON STOCK 406216101     468     14733    SHARES                X                 1      12733     0   2000
HANESBRANDS INC    COMMON STOCK 410345102     106      3591    SHARES                         X        1       2866     0    725
HANESBRANDS INC    COMMON STOCK 410345102      30      1036    SHARES                X                 1       1036     0      0
HARLEY DAVIDSON
  INC              COMMON STOCK 412822108     202      3440    SHARES                X                 3       3440     0      0
HARLEY-DAVIDSON
  INC              COMMON STOCK 412822108     344      5850    SHARES                         X        1       2650     0   3200
HARLEY-DAVIDSON
  INC              COMMON STOCK 412822108    1138     19377    SHARES                X                 1      19377     0      0
HARLEYSVILLE
  NATIONAL CORP    COMMON STOCK 412850109      23      1316    SHARES                X                 1       1316     0      0
HARMAN
  INTERNATIONAL
  INDUSTRIE        COMMON STOCK 413086109     189      1970    SHARES                X                 1       1870     0    100
HARMAN INTL INDS   COMMON STOCK 413086109     778      8100    SHARES                X                 3       8100     0      0
HARMONY GOLD
  MINING SPON ADR  COMMON STOCK 413216300      18      1275    SHARES                X                 1       1275     0      0
HARRAHS
  ENTERTAINMENT
  INC              COMMON STOCK 413619107      40       475    SHARES                X                 1        475     0      0
HARRAHS ENTMT INC  COMMON STOCK 413619107     135      1600    SHARES                X                 3       1600     0      0
HARRIS & HARRIS
  GROUP INC        COMMON STOCK 413833104       3       200    SHARES                         X        1        200     0      0
HARRIS CORP        COMMON STOCK 413875105     268      5263    SHARES                         X        1       5263     0      0
HARRIS CORP        COMMON STOCK 413875105    3319     65143    SHARES                X                 1      63861     0   1282
HARRIS CORP        COMMON STOCK 413875105    4964     97433    SHARES                X                 3      92302     0   5131
HARSCO CORP        COMMON STOCK 415864107    4805    107116    SHARES                         X        1     107116     0      0
HARSCO CORP        COMMON STOCK 415864107   17207    383568    SHARES                X                 1     314248     0  69320
HARSCO CORP        COMMON STOCK 415864107    7379    164496    SHARES                X                 3     158012     0   6484
HARTFORD
  FINANCIAL SVCS
  GRP IN           COMMON STOCK 416515104    1379     14431    SHARES                         X        1      13241     0   1190
HARTFORD
  FINANCIAL SVCS
  GRP IN           COMMON STOCK 416515104    2441     25535    SHARES                X                 1      24975     0    560
HARTFORD
  FINANCIAL SVCS
  GRP IN           COMMON STOCK 416515104      10       100    SHARES                X                 4        100     0      0
HARTFORD
  FINANCIAL SVCS
  GRP INC COM      COMMON STOCK 416515104     205      2140    SHARES         X                        2          0  2140      0
HARTFORD FINL SVCS COMMON STOCK 416515104     263      2750    SHARES                X                 3       2750     0      0
HARVEST ENERGY
  TRUST-UNITS      COMMON STOCK 41752X101      44      1800    SHARES         X                        2          0  1800      0
HASBRO INC         COMMON STOCK 418056107       5       170    SHARES                         X        1        170     0      0
HASBRO INC         COMMON STOCK 418056107     197      6900    SHARES                X                 3       6900     0      0
HAWAIIAN ELEC IND
  INC              COMMON STOCK 419870100       4       140    SHARES                X                 1        140     0      0
HCC INS HLDGS INC  COMMON STOCK 404132102    2840     92200    SHARES                X                 3      92200     0      0
HCC INS HLDGS INC
  COM              COMMON STOCK 404132102     366     11874    SHARES                X                 1      10964     0    910
HEADWATERS INC     COMMON STOCK 42210P102     743     34000    SHARES                X                 3      34000     0      0



                                   24 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
HEADWATERS
  INCORPORATED     COMMON STOCK 42210P102      48      2200    SHARES                X                 1       2000      0  200
HEALTH CARE
  PROPERTY
  (REIT)           COMMON STOCK 421915109     228      6316    SHARES         X                        2          0   6316    0
HEALTH CARE
  PROPERTY
  (REIT)           COMMON STOCK 421915109      67      1856    SHARES                X                 1       N.A.   N.A. N.A.
HEALTH CARE
  REIT INC         COMMON STOCK 42217K106     198      4500    SHARES         X                        2          0   4500    0
HEALTH CARE
  REIT INC         COMMON STOCK 42217K106      44      1000    SHARES                         X        1       N.A.   N.A. N.A.
HEALTH
  MANAGEMENT-CLASS
  A                COMMON STOCK 421933102     145     13330    SHARES                         X        1      11130      0 2200
HEALTH
  MANAGEMENT-CLASS
  A                COMMON STOCK 421933102     207     19043    SHARES                X                 1      19043      0    0
HEALTH
  MANAGEMENT-CLASS
  A                COMMON STOCK 421933102       4       400    SHARES                X                 4        400      0    0
HEALTH NET INC     COMMON STOCK 42222G108     769     14300    SHARES                X                 3      14300      0    0
HEALTH NET INC
  COM              COMMON STOCK 42222G108      32       600    SHARES                         X        1        600      0    0
HEALTH NET INC
  COM              COMMON STOCK 42222G108     165      3074    SHARES                X                 1       2869      0  205
HEALTHCARE
  REALTY TRUST
  INC (R           COMMON STOCK 421946104       7       200    SHARES                         X        1       N.A.   N.A. N.A.
HEALTHCARE
  REALTY TRUST
  INC (R           COMMON STOCK 421946104      12       330    SHARES                X                 1       N.A.   N.A. N.A.
HEALTHCARE
  REALTY TRUST
  INC (REIT)       COMMON STOCK 421946104     246      6600    SHARES         X                        2          0   6600    0
HEALTHEXTRAS
  INCORPORATED     COMMON STOCK 422211102      72      2500    SHARES         X                        2          0   2500    0
HEALTHEXTRAS
  INCORPORATED     COMMON STOCK 422211102      12       400    SHARES                X                 1        400      0    0
HEALTHSOUTH
  CORP             COMMON STOCK 421924309      11       500    SHARES                X                 1        500      0    0
HEALTHWAYS INC     COMMON STOCK 422245100      47      1000    SHARES         X                        2          0   1000    0
HEALTHWAYS INC     COMMON STOCK 422245100       4        75    SHARES                X                 1         75      0    0
HEARTLAND
  PAYMENT
  SYSTEMS INC      COMMON STOCK 42235N108      87      3700    SHARES         X                        2          0   3700    0
HEINZ H J CO       COMMON STOCK 423074103     125      2650    SHARES                X                 3       2650      0    0
HEINZ H J CO
  COM              COMMON STOCK 423074103     994     21093    SHARES                         X        1      15343      0 5750
HEINZ H J CO
  COM              COMMON STOCK 423074103    1162     24658    SHARES                X                 1      24658      0    0
HEINZ H J
  COMPANY          COMMON STOCK 423074103     627     13312    SHARES         X                        2          0  13312    0
HELIX ENERGY
  SOLUTIONS GRP    COMMON STOCK 42330P107       8       218    SHARES                X                 1        218      0    0
HENRY SCHEIN
  INC COM          COMMON STOCK 806407102      11       200    SHARES                X                 1        200      0    0
HERCULES INC       COMMON STOCK 427056106     100      5100    SHARES                         X        1       5100      0    0
HERCULES INC       COMMON STOCK 427056106      86      4400    SHARES                X                 1       4000      0  400
HERCULES INC       COMMON STOCK 427056106    1368     70000    SHARES                X                 3      70000      0    0
HERITAGE
  FINANCIAL
  GROUP            COMMON STOCK 42725U109       3       200    SHARES         X                        2          0    200    0
HERLEY
  INDUSTRIES
  INC              COMMON STOCK 427398102       3       180    SHARES                X                 1        180      0    0
HERMAN MILLER
  INC              COMMON STOCK 600544100      22       650    SHARES                X                 1        650      0    0
HESS
  CORPORATION      COMMON STOCK 42809H107     128      2310    SHARES                X                 3       2310      0    0
HEWLETT
  PACKARD CO       COMMON STOCK 428236103    6170    153725    SHARES                X                 3     146668      0 7057
HEWLETT
  PACKARD
  COMPANY          COMMON STOCK 428236103    1794     44704    SHARES         X                        2          0  44704    0
HEWLETT-
  PACKARD CO       COMMON STOCK 428236103    2712     67555    SHARES                         X        1      61555      0 6000
HEWLETT-
  PACKARD CO       COMMON STOCK 428236103    7967    198476    SHARES                X                 1     196264      0 2212
HEWLETT-
  PACKARD CO       COMMON STOCK 428236103      10       237    SHARES                X                 4        237      0    0
HIBBETT SPORTS     COMMON STOCK 428567101    1263     44200    SHARES                X                 3      44200      0    0
HIBBETT SPORTS
  INC              COMMON STOCK 428567101      81      2845    SHARES                X                 1       2600      0  245
HIGHWOODS
  PROPERTIES
  (REIT)           COMMON STOCK 431284108      20       500    SHARES                         X        1       N.A.   N.A. N.A.
HILAND
  HOLDINGS GP
  LP               COMMON STOCK 43129M107      40      1300    SHARES         X                        2          0   1300    0
HILAND
  PARTNERS LP      COMMON STOCK 431291103      40       700    SHARES         X                        2          0    700    0
HILB ROGAL &
  HOBBS CO         COMMON STOCK 431294107     126      2576    SHARES         X                        2          0   2576    0
HILTON HOTELS
  CORP             COMMON STOCK 432848109      19       525    SHARES                         X        1        525      0    0
HILTON HOTELS
  CORP             COMMON STOCK 432848109     454     12623    SHARES                X                 1      12623      0    0
HILTON HOTELS
  CORP             COMMON STOCK 432848109     826     22945    SHARES                X                 3      22945      0    0
HOLLY CORP         COMMON STOCK 435758305    1862     31400    SHARES                X                 3      31400      0    0
HOLLY
  CORPORATION      COMMON STOCK 435758305     147      2471    SHARES                X                 1       2301      0  170
HOLOGIC INC        COMMON STOCK 436440101    2340     40600    SHARES                X                 3      40600      0    0
HOLOGIC INC COM    COMMON STOCK 436440101     138      2400    SHARES                         X        1       1600      0  800
HOLOGIC INC COM    COMMON STOCK 436440101     151      2620    SHARES                X                 1       2400      0  220
HOME DEPOT INC     COMMON STOCK 437076102    5961    162230    SHARES                X                 3     154871      0 7359
HOME DEPOT INC
  COM              COMMON STOCK 437076102    5134    139751    SHARES                         X        1     130841      0 8910
HOME DEPOT INC
  COM              COMMON STOCK 437076102   13986    380674    SHARES                X                 1     375716      0 4958
HOME DEPOT INC
  COM              COMMON STOCK 437076102      11       300    SHARES                X                 4        300      0    0
HOME DEPOT
  INCORPORATED     COMMON STOCK 437076102    7955    216512    SHARES         X                        2          0 216512    0
HOME
  PROPERTIES
  INC (REIT)       COMMON STOCK 437306103     501      9488    SHARES                         X        1       N.A.   N.A. N.A.
HOME
  PROPERTIES
  INC (REIT)       COMMON STOCK 437306103      94      1775    SHARES                X                 1       N.A.   N.A. N.A.



                                   25 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
HOME PROPERTIES
  OF NEW YORK INC  COMMON STOCK 437306103   7682     145463    SHARES         X                        2         0 145463    0
HONEYWELL
  INTERNATIONAL
  INCORPORATED     COMMON STOCK 438516106   1553      33712    SHARES         X                        2         0  33712    0
HONEYWELL INTL INC COMMON STOCK 438516106    322       7000    SHARES                X                 3      7000      0    0
HONEYWELL INTL
  INC COM          COMMON STOCK 438516106   1685      36590    SHARES                         X        1     36590      0    0
HONEYWELL INTL
  INC COM          COMMON STOCK 438516106    842      18282    SHARES                X                 1     18282      0    0
HONEYWELL INTL
  INC COM          COMMON STOCK 438516106     14        300    SHARES                X                 4       300      0    0
HOSPIRA INC        COMMON STOCK 441060100    170       4145    SHARES                         X        1      3775      0  370
HOSPIRA INC        COMMON STOCK 441060100    156       3821    SHARES                X                 1      3821      0    0
HOSPIRA INC        COMMON STOCK 441060100     53       1300    SHARES                X                 3      1300      0    0
HOSPITALITY
  PROPERTIES
  TRUST (          COMMON STOCK 44106M102     14        300    SHARES                         X        1      N.A.   N.A. N.A.
HOSPITALITY
  PROPERTIES
  TRUST (          COMMON STOCK 44106M102     23        500    SHARES                X                 1      N.A.   N.A. N.A.
HOST HOTELS &
  RESORTS INC      COMMON STOCK 44107P104    368      13978    SHARES         X                        2         0  13978    0
HOST HOTELS &
  RESORTS INC      COMMON STOCK 44107P104      8        303    SHARES                         X        1      N.A.   N.A. N.A.
HOST HOTELS &
  RESORTS INC      COMMON STOCK 44107P104      5        178    SHARES                X                 1      N.A.   N.A. N.A.
HOST HOTELS &
  RESRTS           COMMON STOCK 44107P104    113       4300    SHARES                X                 3      4300      0    0
HOVNANIAN
  ENTERPRISES-A    COMMON STOCK 442487203      6        225    SHARES                X                 1       225      0    0
HRPT PROPERTIES
  TRUST (REIT)     COMMON STOCK 40426W101     15       1200    SHARES                         X        1      N.A.   N.A. N.A.
HRPT PROPERTIES
  TRUST (REIT)     COMMON STOCK 40426W101     10        848    SHARES                X                 1      N.A.   N.A. N.A.
HSBC HOLDINGS PLC
  SPON ADR         COMMON STOCK 404280406     10        109    SHARES         X                        2         0    109    0
HSBC HOLDINGS PLC
  SPON ADR         COMMON STOCK 404280406     75        850    SHARES                         X        1       850      0    0
HSBC HOLDINGS PLC
  SPON ADR         COMMON STOCK 404280406    109       1242    SHARES                X                 1      1242      0    0
HUANENG POWER
  INTL-SPONS ADR   COMMON STOCK 443304100     91       2620    SHARES                         X        1      2620      0    0
HUB GROUP INC      COMMON STOCK 443320106   1929      66550    SHARES                X                 3     66550      0    0
HUB GROUP INC
  CLASS A          COMMON STOCK 443320106    124       4270    SHARES                X                 1      3900      0  370
HUBBELL INC CL B   COMMON STOCK 443510201     24        500    SHARES                         X        1       500      0    0
HUDSON CITY
  BANCORP          COMMON STOCK 443683107     59       4300    SHARES                X                 3      4300      0    0
HUDSON
  TECHNOLOGIES INC COMMON STOCK 444144109      1        500    SHARES                X                 1       500      0    0
HUGOTON ROYALTY
  TRUST            COMMON STOCK 444717102      0          5    SHARES                         X        1         5      0    0
HUGOTON ROYALTY
  TRUST            COMMON STOCK 444717102      1         50    SHARES                X                 1        50      0    0
HUMAN GENOME
  SCIENCES INC     COMMON STOCK 444903108     20       1840    SHARES         X                        2         0   1840    0
HUMAN GENOME
  SCIENCES INC     COMMON STOCK 444903108     66       6200    SHARES                         X        1      6200      0    0
HUMANA INC         COMMON STOCK 444859102     84       1450    SHARES                X                 3      1450      0    0
HUMANA INC COM     COMMON STOCK 444859102     17        300    SHARES                X                 1       300      0    0
HUNTINGTON
  BANCSHARE        COMMON STOCK 446150104     44       2000    SHARES                X                 3      2000      0    0
HUNTINGTON
  BANCSHARES INC
  COM              COMMON STOCK 446150104     11        500    SHARES                X                 1       500      0    0
HUTTIG BLDG PRODS
  INC              COMMON STOCK 448451104      0         15    SHARES                X                 1        15      0    0
IAC
  INTERACTIVECORP  COMMON STOCK 44919P300     72       1900    SHARES                X                 3      1900      0    0
IAC/INTERACTIVE
  CORP             COMMON STOCK 44919P300     60       1600    SHARES                         X        1      1600      0    0
IAC/INTERACTIVE
  CORP             COMMON STOCK 44919P300      4        100    SHARES                X                 1       100      0    0
ICICI BANK
  LIMITED
  SPONSORED A      COMMON STOCK 45104G104     11        300    SHARES                X                 1       300      0    0
IDACORP INC        COMMON STOCK 451107106     34       1000    SHARES                         X        1         0      0 1000
IDEARC INC         COMMON STOCK 451663108      4        110    SHARES         X                        2         0    110    0
IDEARC INC         COMMON STOCK 451663108    303       8645    SHARES                         X        1      8429      0  216
IDEARC INC         COMMON STOCK 451663108    291       8284    SHARES                X                 1      7954      0  330
IDEARC INC         COMMON STOCK 451663108     63       1807    SHARES                X                 3      1807      0    0
IDEXX CORP         COMMON STOCK 45168D104    175       2000    SHARES         X                        2         0   2000    0
ILLINOIS TOOL WKS
  INC COM          COMMON STOCK 452308109    599      11600    SHARES                         X        1     11600      0    0
ILLINOIS TOOL WKS
  INC COM          COMMON STOCK 452308109   1000      19385    SHARES                X                 1     19385      0    0
ILLINOIS TOOL
  WORKS            COMMON STOCK 452308109    188       3650    SHARES                X                 3      3650      0    0
ILLINOIS TOOL
  WORKS
  INCORPORATED     COMMON STOCK 452308109   1250      24230    SHARES         X                        2         0  24230    0
IMAGEWARE SYSTEMS
  INC              COMMON STOCK 45245S108     49      20000    SHARES         X                        2         0  20000    0
IMERGENT INC       COMMON STOCK 45247Q100   1421      73000    SHARES                X                 3     73000      0    0
IMERGENT
  INCORPORATED     COMMON STOCK 45247Q100     94       4820    SHARES                X                 1      4409      0  411
IMMUCOR INC        COMMON STOCK 452526106     56       1900    SHARES                X                 3      1900      0    0
IMPAC MORTGAGE
  HOLDINGS INC(RE  COMMON STOCK 45254P102      1        200    SHARES                         X        1      N.A.   N.A. N.A.
IMPERIAL OIL LTD   COMMON STOCK 453038408    111       3000    SHARES         X                        2         0   3000    0
IMPERIAL OIL LTD   COMMON STOCK 453038408    186       5000    SHARES                         X        1      5000      0    0
IMPERIAL SUGAR CO
  NE               COMMON STOCK 453096208   1637      48800    SHARES                X                 3     48800      0    0
IMPERIAL SUGAR
  COMPANY          COMMON STOCK 453096208    108       3225    SHARES                X                 1      2950      0  275



                                   26 of 58





                                                                                         COLUMN 6
                                                                 COLUMN 5          INVESTMENT AUTHORITY
                                                         ------------------------ ----------------------
                       COLUMN 2                COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1            TITLE OF      COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER          CLASS         CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
--------------       --------------- --------- --------- --------- --------- ---- ---- -------- -------- --------
                                                                           
IMPLANT SCIENCES
  CORP               COMMON STOCK    45320R108       5      2500    SHARES                X                 1
IMS HEALTH INC       COMMON STOCK    449934108    2890     97448    SHARES                X                 3
IMS HEALTH INC COM   COMMON STOCK    449934108     180      6082    SHARES                         X        1
IMS HEALTH INC COM   COMMON STOCK    449934108    1151     38812    SHARES                X                 1
INCYTE GENOMICS
  INC COM            COMMON STOCK    45337C102       3       400    SHARES                X                 1
INDIA FUND           PREFERRED STOCK 454089103      11       293    SHARES                X                 1
INDYMAC BANCORP
  INC COM            COMMON STOCK    456607100       9       271    SHARES                X                 1
INERGY HOLDINGS LP   COMMON STOCK    45661Q107      41       900    SHARES         X                        2
INERGY LP            COMMON STOCK    456615103      33      1000    SHARES                         X        1
INFOSYS
  TECHNOLOGIES
  LTDSPON A          COMMON STOCK    456788108      10       200    SHARES                X                 1
INFRASOURCE
  SERVICES INC       COMMON STOCK    45684P102     117      3840    SHARES                X                 1
INFRASOURCE SVCS
  INC                COMMON STOCK    45684P102    1368     44800    SHARES                X                 3
ING GLOBAL EQUITY
  DIV & PREM O       PREFERRED STOCK 45684E107      24      1150    SHARES                         X        1
ING GROEP NV
  SPONSORED ADR      COMMON STOCK    456837103      22       525    SHARES         X                        2
ING GROEP NV
  SPONSORED ADR      COMMON STOCK    456837103      23       550    SHARES                         X        1
ING PRIME RATE TR    PREFERRED STOCK 44977W106      22      3000    SHARES                X                 1
INGERSOLL RAND
  COMPANY CLASS A    COMMON STOCK    G4776G101    7903    182210    SHARES         X                        2
INGERSOLL-RAND CO    COMMON STOCK    G4776G101     154      3550    SHARES                X                 3
INGERSOLL-RAND
  COMPANY LTD-A      COMMON STOCK    G4776G101     414      9550    SHARES                         X        1
INGERSOLL-RAND
  COMPANY LTD-A      COMMON STOCK    G4776G101     165      3800    SHARES                X                 1
INGRAM MICRO INC
  CL A               COMMON STOCK    457153104       4       200    SHARES                         X        1
INSIGHT
  ENTERPRISES        COMMON STOCK    45765U103    1259     70000    SHARES                X                 3
INSIGHT
  ENTERPRISES INC
  COM                COMMON STOCK    45765U103      80      4475    SHARES                X                 1
INSURED MUNICIPAL
  INCOME FD          COMMON STOCK    45809F104      40      2971    SHARES         X                        2
INTEGRYS ENERGY      COMMON STOCK    45822P105      33       600    SHARES                X                 3
INTEGRYS ENERGY
  GROUP INC          COMMON STOCK    45822P105      19       350    SHARES                         X        1
INTEGRYS ENERGY
  GROUP INC          COMMON STOCK    45822P105      44       800    SHARES                X                 1
INTEL CORP           COMMON STOCK    458140100    4901    256132    SHARES                X                 3
INTEL CORP COM       COMMON STOCK    458140100    4880    255109    SHARES                         X        1
INTEL CORP COM       COMMON STOCK    458140100   12786    668356    SHARES                X                 1
INTEL CORP COM       COMMON STOCK    458140100       8       400    SHARES                X                 4
INTEL CORPORATION    COMMON STOCK    458140100    1318     68867    SHARES         X                        2
INTER TEL INC        COMMON STOCK    458372109    1210     51200    SHARES                X                 3
INTERACTIVE
  INTELLIGENCE INC   COMMON STOCK    45839M103       3       200    SHARES         X                        2
INTERCONTINENTAL
  EXCHANGE INC       COMMON STOCK    45865V100      66       538    SHARES                X                 1
INTERCONTINENTAL
  HOTELS GRP PL      COMMON STOCK    45857P202       5       200    SHARES                X                 1
INTERCONTINENTALEXCH COMMON STOCK    45865V100     306      2500    SHARES                X                 3
INTERDIGITAL COMM
  CORP               COMMON STOCK    45866A105      32      1000    SHARES                X                 1
INTERDIGITAL
  COMMUNICATIONS
  CORP               COMMON STOCK    45866A105    3957    124950    SHARES         X                        2
INTERNATIONAL
  BUSINESS MACHINE   COMMON STOCK    459200101   12785    135637    SHARES                         X        1
INTERNATIONAL
  BUSINESS MACHINE   COMMON STOCK    459200101   37417    396955    SHARES                X                 1
INTERNATIONAL
  BUSINESS MACHINE   COMMON STOCK    459200101    9605    101908    SHARES                X                 3
INTERNATIONAL
  BUSINESS MACHINE   COMMON STOCK    459200101      19       200    SHARES                X                 4
INTERNATIONAL
  BUSINESS
  MACHINES CORP      COMMON STOCK    459200101   12857    136392    SHARES         X                        2
INTERNATIONAL
  GAME TECH COM      COMMON STOCK    459902102     121      3000    SHARES                         X        1
INTERNATIONAL
  GAME TECH COM      COMMON STOCK    459902102      20       490    SHARES                X                 1
INTERNATIONAL
  PAPER              COMMON STOCK    460146103     287      7890    SHARES                X                 3
INTERNATIONAL
  PAPER CO COM       COMMON STOCK    460146103      13       350    SHARES         X                        2
INTERNATIONAL
  PAPER CO COM       COMMON STOCK    460146103     317      8704    SHARES                         X        1
INTERNATIONAL
  PAPER CO COM       COMMON STOCK    460146103     988     27151    SHARES                X                 1
INTERNATIONAL
  RECTIFIER CORP     COMMON STOCK    460254105     186      4855    SHARES                         X        1
INTERNATIONAL
  RECTIFIER CORP     COMMON STOCK    460254105     772     20205    SHARES                X                 1
INTERNATIONAL
  RECTIFIER CORP     COMMON STOCK    460254105       3        75    SHARES                X                 4
INTERNATIONAL SEC
  EX                 COMMON STOCK    46031W204     405      8300    SHARES                X                 3
INTERNATIONAL
  SPEEDWAY CORP CL   COMMON STOCK    460335201       6       120    SHARES                         X        1
INTERNATIONAL
  SPEEDWAY CORP CL   COMMON STOCK    460335201       6       125    SHARES                X                 1
INTERNET
  INITIATIVE
  JAPAN SP-A         COMMON STOCK    46059T109      25      2500    SHARES                X                 3
INTERPUBLIC GROUP    COMMON STOCK    460690100      54      4401    SHARES                X                 3
INTER-TEL
  INCORPORATED       COMMON STOCK    458372109      78      3300    SHARES                X                 1



                          COLUMN 8
                      VOTING AUTHORITY
                     -------------------

   COLUMN 1
NAME OF ISSUER        SOLE  SHARED OTHER
--------------       ------ ------ -----
                          
IMPLANT SCIENCES
  CORP                 2500      0     0
IMS HEALTH INC        94753      0  2695
IMS HEALTH INC COM     5782      0   300
IMS HEALTH INC COM    37654      0  1158
INCYTE GENOMICS
  INC COM               400      0     0
INDIA FUND             N.A.   N.A.  N.A.
INDYMAC BANCORP
  INC COM               271      0     0
INERGY HOLDINGS LP        0    900     0
INERGY LP              1000      0     0
INFOSYS
  TECHNOLOGIES
  LTDSPON A             200      0     0
INFRASOURCE
  SERVICES INC         3600      0   240
INFRASOURCE SVCS
  INC                 44800      0     0
ING GLOBAL EQUITY
  DIV & PREM O         N.A.   N.A.  N.A.
ING GROEP NV
  SPONSORED ADR           0    525     0
ING GROEP NV
  SPONSORED ADR         550      0     0
ING PRIME RATE TR      N.A.   N.A.  N.A.
INGERSOLL RAND
  COMPANY CLASS A         0 182210     0
INGERSOLL-RAND CO      3550      0     0
INGERSOLL-RAND
  COMPANY LTD-A        9550      0     0
INGERSOLL-RAND
  COMPANY LTD-A        3800      0     0
INGRAM MICRO INC
  CL A                  200      0     0
INSIGHT
  ENTERPRISES         70000      0     0
INSIGHT
  ENTERPRISES INC
  COM                  4100      0   375
INSURED MUNICIPAL
  INCOME FD               0   2971     0
INTEGRYS ENERGY         600      0     0
INTEGRYS ENERGY
  GROUP INC             350      0     0
INTEGRYS ENERGY
  GROUP INC             800      0     0
INTEL CORP           246090      0 10042
INTEL CORP COM       220104      0 35005
INTEL CORP COM       655320      0 13036
INTEL CORP COM          400      0     0
INTEL CORPORATION         0  68867     0
INTER TEL INC         51200      0     0
INTERACTIVE
  INTELLIGENCE INC        0    200     0
INTERCONTINENTAL
  EXCHANGE INC          498      0    40
INTERCONTINENTAL
  HOTELS GRP PL         200      0     0
INTERCONTINENTALEXCH   2500      0     0
INTERDIGITAL COMM
  CORP                 1000      0     0
INTERDIGITAL
  COMMUNICATIONS
  CORP                    0 124950     0
INTERNATIONAL
  BUSINESS MACHINE   126252      0  9385
INTERNATIONAL
  BUSINESS MACHINE   368091      0 28864
INTERNATIONAL
  BUSINESS MACHINE    95687      0  6221
INTERNATIONAL
  BUSINESS MACHINE      200      0     0
INTERNATIONAL
  BUSINESS
  MACHINES CORP           0 136392     0
INTERNATIONAL
  GAME TECH COM        3000      0     0
INTERNATIONAL
  GAME TECH COM         490      0     0
INTERNATIONAL
  PAPER                7890      0     0
INTERNATIONAL
  PAPER CO COM            0    350     0
INTERNATIONAL
  PAPER CO COM         4168      0  4536
INTERNATIONAL
  PAPER CO COM        26401      0   750
INTERNATIONAL
  RECTIFIER CORP       4855      0     0
INTERNATIONAL
  RECTIFIER CORP      19005      0  1200
INTERNATIONAL
  RECTIFIER CORP         75      0     0
INTERNATIONAL SEC
  EX                   8300      0     0
INTERNATIONAL
  SPEEDWAY CORP CL      120      0     0
INTERNATIONAL
  SPEEDWAY CORP CL      125      0     0
INTERNET
  INITIATIVE
  JAPAN SP-A           2500      0     0
INTERPUBLIC GROUP      4401      0     0
INTER-TEL
  INCORPORATED         3000      0   300



                                   27 of 58





                                                                                      COLUMN 6                      COLUMN 8
                                                              COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                      ------------------------ ----------------------          ------------------
                       COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1            TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER          CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------       ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                     
INTL FLAVORS &
  FRAGR              COMMON STOCK 459506101     28        585    SHARES                X                 3       585     0     0
INTL FLAVORS &
  FRAGRANCES INC     COMMON STOCK 459506101     33        700    SHARES                X                 1       700     0     0
INTL GAME TECH       COMMON STOCK 459902102    121       3000    SHARES                X                 3      3000     0     0
INTL SECURITIES
  EXCHANGE HLDGS     COMMON STOCK 46031W204     90       1844    SHARES                X                 1      1704     0   140
INTRALASE CORP       COMMON STOCK 461169104      1         50    SHARES                X                 1        50     0     0
INTUIT               COMMON STOCK 461202103   1152      42030    SHARES                X                 3     42030     0     0
INTUIT INC COM       COMMON STOCK 461202103     16        600    SHARES                         X        1       600     0     0
INTUIT INC COM       COMMON STOCK 461202103    547      20010    SHARES                X                 1     19685     0   325
INTUITIVE SURGIC
  INC                COMMON STOCK 46120E602   3984      32767    SHARES                X                 3     31917     0   850
INTUITIVE
  SURGICAL INC       COMMON STOCK 46120E602     91        750    SHARES                         X        1       750     0     0
INTUITIVE
  SURGICAL INC       COMMON STOCK 46120E602   2443      20093    SHARES                X                 1     19730     0   363
INVACARE CORP COM    COMMON STOCK 461203101      3        200    SHARES                X                 1       200     0     0
INVESTMENT TECH
  GRP                COMMON STOCK 46145F105   1380      35200    SHARES                X                 3     35200     0     0
INVESTMENT
  TECHNOLOGY GROUP   COMMON STOCK 46145F105    146       3735    SHARES                X                 1      3435     0   300
INVESTORS
  FINANCIAL
  SERVICES CORP      COMMON STOCK 461915100   1367      23500    SHARES         X                        2         0 23500     0
INVITROGEN CORP      COMMON STOCK 46185R100    725      11400    SHARES                X                 3     11400     0     0
INVITROGEN CORP
  COM                COMMON STOCK 46185R100     25        400    SHARES                         X        1         0     0   400
INVITROGEN CORP
  COM                COMMON STOCK 46185R100    154       2422    SHARES                X                 1      2257     0   165
IOWA
  TELECOMMUNICATIONS
  SERVIC             COMMON STOCK 462594201     50       2500    SHARES                         X        1      2500     0     0
IOWA
  TELECOMMUNICATIONS
  SERVICES           COMMON STOCK 462594201     43       2150    SHARES         X                        2         0  2150     0
IPC HLDGS LTD        ORDINARY     G4933P101   1396      48400    SHARES                X                 3     48400     0     0
IPC HOLDINGS LTD     COMMON STOCK G4933P101     92       3175    SHARES                X                 1      2900     0   275
IRON MTN INC PA
  COM                COMMON STOCK 462846106    196       7500    SHARES         X                        2         0  7500     0
ISHARES COHEN &      PREFERRED
  STEERS RLTY IN     STOCK        464287564     52        500    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES DJ SELECT    PREFERRED
  DIVIDEND IND       STOCK        464287168     18        250    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES DJ SELECT    PREFERRED
  DIVIDEND IND       STOCK        464287168    149       2085    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES DJ US        PREFERRED
  BASIC MATERIALS    STOCK        464287838     40        625    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES DJ US
  HOME CONSTRUCT
  FD                 COMMON STOCK 464288752   2805      82150    SHARES         X                        2         0 82150     0
ISHARES DOW JONES    PREFERRED
  US TRANS IND       STOCK        464287192      5         60    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES DOW JONES    PREFERRED
  US UTIL SECT       STOCK        464287697     37        385    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES
  FTSE/XINHUA
  CHINA 25           COMMON STOCK 464287184    615       6000    SHARES         X                        2         0  6000     0
ISHARES
  FTSE/XINHUA        PREFERRED
  CHINA 25           STOCK        464287184     24        234    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES GOLDMAN      PREFERRED
  SACHS TECH INX     STOCK        464287549     18        350    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES LEHMAN       PREFERRED
  UST INF PR S       STOCK        464287176    125       1235    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES MSCI
  AUSTRALIA INDEX    PREFERRED
  F                  STOCK        464286103     11        415    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES MSCI
  CANADA INDEX FD    COMMON STOCK 464286509     39       1500    SHARES         X                        2         0  1500     0
ISHARES MSCI         PREFERRED
  CANADA INDEX FD    STOCK        464286509     10        365    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES MSCI EAFE
  INDEX FD           COMMON STOCK 464287465   1304      17100    SHARES         X                        2         0 17100     0
ISHARES MSCI EAFE    PREFERRED
  INDEX FD           STOCK        464287465   1310      17180    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES MSCI EAFE    PREFERRED
  INDEX FD           STOCK        464287465    799      10480    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES MSCI         PREFERRED
  EMERGING MARKETS   STOCK        464287234     86        735    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES MSCI         PREFERRED
  EMERGING MARKETS   STOCK        464287234     26        224    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES MSCI
  EMERGING
  MARKETS INDEX      COMMON STOCK 464287234     23        200    SHARES         X                        2         0   200     0
ISHARES MSCI         PREFERRED
  GERMANY INDEX FD   STOCK        464286806     16        560    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES MSCI         PREFERRED
  JAPAN INDEX FD     STOCK        464286848     13        900    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES MSCI         PREFERRED
  JAPAN INDEX FD     STOCK        464286848    138       9500    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES MSCI
  PACIFIC
  EX-JAPAN INDEX     COMMON STOCK 464286665    416       3100    SHARES         X                        2         0  3100     0
ISHARES MSCI
  SINGAPORE INDEX
  F                  COMMON STOCK 464286673      5        416    SHARES                X                 1       416     0     0
ISHARES MSCI
  SPAIN INDEX FD     COMMON STOCK 464286764     42        750    SHARES         X                        2         0   750     0
ISHARES RUSSELL      PREFERRED
  1000 INDEX FD      STOCK        464287622   3873      50027    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES RUSSELL      PREFERRED
  1000 VALUE IND     STOCK        464287598     46        555    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES RUSSELL
  2000 GRWTH FD      COMMON STOCK 464287648     64        800    SHARES         X                        2         0   800     0
ISHARES RUSSELL      PREFERRED
  2000 GRWTH FD      STOCK        464287648     96       1200    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES RUSSELL      PREFERRED
  2000 INDEX FD      STOCK        464287655     21        260    SHARES                         X        1      N.A.  N.A.  N.A.
ISHARES RUSSELL      PREFERRED
  2000 INDEX FD      STOCK        464287655   1666      20958    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES RUSSELL      PREFERRED
  2000 VALUE         STOCK        464287630     25        311    SHARES                X                 1      N.A.  N.A.  N.A.
ISHARES RUSSELL
  MID CAP GROWTH
  INDEX              COMMON STOCK 464287481    127       1190    SHARES         X                        2         0  1190     0
ISHARES S&P 100
  INDEX FUND         COMMON STOCK 464287101    146       2250    SHARES         X                        2         0  2250     0
ISHARES S&P 500
  BARRA VALUE IN     COMMON STOCK 464287408    229       2950    SHARES                X                 1      2950     0     0



                                   28 of 58





                                                                                     COLUMN 6                      COLUMN 8
                                                             COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                    COLUMN 2               COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1         TITLE OF     COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS        CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    -------------- --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
ISHARES S&P       PREFERRED
  500 INDEX FD    STOCK          464287200    1992    13997     SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  500/BARRA       PREFERRED
  GRWTH IN        STOCK          464287309     778     12035    SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  EUROPE 350      PREFERRED
  INDEX F         STOCK          464287861     163     1500     SHARES                         X        1       N.A.   N.A.  N.A.
ISHARES S&P
  EUROPE 350      PREFERRED
  INDEX F         STOCK          464287861      11     103      SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  EUROPE 350
  INDEX FD        COMMON STOCK   464287861      27     250      SHARES         X                        2          0    250     0
ISHARES S&P
  GLOBAL
  ENERGY SECT     COMMON STOCK   464287341      39     350      SHARES         X                        2          0    350     0
ISHARES S&P
  MIDCAP 400      PREFERRED
  BARRA G         STOCK          464287606     716     8513     SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  MIDCAP 400
  BARRA GRWTH I   COMMON STOCK   464287606     652     7750     SHARES         X                        2          0   7750     0
ISHARES S&P
  MIDCAP 400      PREFERRED
  INDEX F         STOCK          464287507     706     8350     SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  MIDCAP          PREFERRED
  400/BARRA V     STOCK          464287705      42     500      SHARES                         X        1       N.A.   N.A.  N.A.
ISHARES S&P
  MIDCAP          PREFERRED
  400/BARRA V     STOCK          464287705     323     3865     SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  MIDCAP
  400/BARRA
  VAL IND         COMMON STOCK   464287705     426     5098     SHARES         X                        2          0   5098     0
ISHARES S&P
  SMALLCAP 600    PREFERRED
  BARRA           STOCK          464287887     481     3597     SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  SMALLCAP 600    PREFERRED
  BARRA           STOCK          464287879     215     2800     SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  SMALLCAP 600    PREFERRED
  INDEX           STOCK          464287804     313     4615     SHARES                         X        1       N.A.   N.A.  N.A.
ISHARES S&P
  SMALLCAP 600    PREFERRED
  INDEX           STOCK          464287804     786    11570     SHARES                X                 1       N.A.   N.A.  N.A.
ISHARES S&P
  SMALLCAP 600
  INDEX FD        COMMON STOCK   464287804      63     925      SHARES         X                        2          0    925     0
ISHARES S&P
  TOPIX 150
  INDEX           COMMON STOCK   464287382      19     150      SHARES         X                        2          0    150     0
ISHARES TR        S&P MIDCP
                  400 GRW        464287606    1599    19000     SHARES                X                 3      19000      0     0
ISHARES TR        RUSSELL1000GRW 464287614    1007    18100     SHARES                X                 3      18100      0     0
ISHARES TR        RUSL 2000
                  GROW           464287648    1695    21000     SHARES                X                 3      21000      0     0
ISHARES TRUST
  DOW JONES       COMMON STOCK   464287721    5535    102588    SHARES         X                        2          0 102588     0
ISIS
  PHARMACEUTICALS
  COM             COMMON STOCK   464330109       3     350      SHARES                X                 1        350      0     0
ISTAR             COMMON STOCK   45031U101    8839    188745    SHARES         X                        2          0 188745     0
ISTAR FINL INC
  COM             COMMON STOCK   45031U101     117     2500     SHARES                X                 1       N.A.   N.A.  N.A.
I-TRAX INC        COMMON STOCK   45069D203       1     300      SHARES                X                 1        300      0     0
ITT CORP          COMMON STOCK   450911102      51     840      SHARES         X                        2          0    840     0
ITT CORP          COMMON STOCK   450911102     165     2728     SHARES                         X        1       2728      0     0
ITT CORP          COMMON STOCK   450911102     652    10812     SHARES                X                 1       9952      0   860
ITT CORPORATION   COMMON STOCK   450911102      90     1500     SHARES                X                 3       1500      0     0
IXIA              COMMON STOCK   45071R109       7     775      SHARES                X                 1        775      0     0
JABIL CIRCUIT
  INC             COMMON STOCK   466313103     137     6400     SHARES                         X        1       5800      0   600
JABIL CIRCUIT
  INC             COMMON STOCK   466313103     306    14275     SHARES                X                 1      14275      0     0
JABIL CIRCUIT
  INC             COMMON STOCK   466313103      36     1700     SHARES                X                 3       1700      0     0
JACOBS
  ENGINEERING
  GROUP INC C     COMMON STOCK   469814107      70     1500     SHARES                         X        1       1500      0     0
JACOBS
  ENGINEERING
  GROUP INC C     COMMON STOCK   469814107     555    11900     SHARES                X                 1      11900      0     0
JANUS CAPITAL
  GROUP           COMMON STOCK   47102X105      36     1700     SHARES                X                 3       1700      0     0
JARDEN CORP       COMMON STOCK   471109108    1934    50500     SHARES                X                 3      50500      0     0
JARDEN
  CORPORATION     COMMON STOCK   471109108     126     3290     SHARES                X                 1       3000      0   290
JDS UNIPHASE
  CORP            COMMON STOCK   46612J507       5     356      SHARES                X                 1        356      0     0
JDS UNIPHASE
  CORP            COMMON STOCK   46612J507      34     2200     SHARES                X                 3       2200      0     0
JDS UNIPHASE
  CORPORATION     COMMON STOCK   46612J507     299    19611     SHARES         X                        2          0  19611     0
JER INVESTORS
  TRUST INC
  REIT            COMMON STOCK   46614H301    2242    117900    SHARES         X                        2          0 117900     0
JETBLUE
  AIRWAYS
  CORPORATION     COMMON STOCK   477143101      10     843      SHARES         X                        2          0    843     0
JETBLUE
  AIRWAYS
  CORPORATION     COMMON STOCK   477143101      41     3600     SHARES                X                 1       3600      0     0
JM SMUCKER CO     COMMON STOCK   832696405     330     6193     SHARES                         X        1       5595      0   598
JM SMUCKER CO     COMMON STOCK   832696405     144     2703     SHARES                X                 1       2606      0    97
JOHN HANCOCK
  BANK &          PREFERRED
  THRIFT OPP      STOCK          409735107      19     2000     SHARES                X                 1       N.A.   N.A.  N.A.
JOHN HANCOCK
  BANK &
  THRIFT OPP FD   COMMON STOCK   409735107      16     1616     SHARES         X                        2          0   1616     0
JOHN HANCOCK      PREFERRED
  INC SEC TRUST   STOCK          410123103       3     203      SHARES                X                 1       N.A.   N.A.  N.A.
JOHN HANCOCK
  INVESTORS       PREFERRED
  TRUST           STOCK          410142103       6     300      SHARES                         X        1       N.A.   N.A.  N.A.
JOHN HANCOCK
  PATRIOT         PREFERRED
  GLOBAL DI       STOCK          41013G103      13     1000     SHARES                         X        1       N.A.   N.A.  N.A.
JOHN HANCOCK      PREFERRED
  PFD INC FD II   STOCK          41013X106      29     1150     SHARES                X                 1       N.A.   N.A.  N.A.
JOHN HANCOCK
  PFD INC FD      PREFERRED
  III             STOCK          41021P103       9     400      SHARES                X                 1       N.A.   N.A.  N.A.
JOHNSON &
  JOHNSON         COMMON STOCK   478160104    5812    96451     SHARES         X                        2          0  96451     0
JOHNSON &
  JOHNSON         COMMON STOCK   478160104   30211    501347    SHARES                         X        1     486860      0 14487
JOHNSON &
  JOHNSON         COMMON STOCK   478160104   30571    507323    SHARES                X                 1     498903      0  8420
JOHNSON &
  JOHNSON         COMMON STOCK   478160104   12130    201284    SHARES                X                 3     201284      0     0
JOHNSON &
  JOHNSON         COMMON STOCK   478160104      12     200      SHARES                X                 4        200      0     0



                                   29 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
JOHNSON CONTROLS
  INC              COMMON STOCK 478366107     155      1640    SHARES                X                 3       1640      0     0
JOHNSON CONTROLS
  INC COM          COMMON STOCK 478366107     214      2260    SHARES                         X        1       2260      0     0
JOHNSON CONTROLS
  INC COM          COMMON STOCK 478366107     702      7420    SHARES                X                 1       7420      0     0
JONES APPAREL
  GROUP            COMMON STOCK 480074103      28       900    SHARES                X                 3        900      0     0
JOS A BANK
  CLOTHIERS INC    COMMON STOCK 480838101      30       850    SHARES                X                 1        850      0     0
JOY GLOBAL INC     COMMON STOCK 481165108    3165     73786    SHARES                X                 3      73786      0     0
JOY GLOBAL
  INCORPORATED     COMMON STOCK 481165108      41       950    SHARES                         X        1        950      0     0
JOY GLOBAL
  INCORPORATED     COMMON STOCK 481165108    1802     41995    SHARES                X                 1      41430      0   565
JP MORGAN CHASE &
  COMPANY          COMMON STOCK 46625H100   13323    331120    SHARES         X                        2          0 331120     0
JPMORGAN CHASE &
  CO               COMMON STOCK 46625H100    7387    152678    SHARES                         X        1     141039      0 11639
JPMORGAN CHASE &
  CO               COMMON STOCK 46625H100   12281    253851    SHARES                X                 1     250575      0  3276
JPMORGAN CHASE &
  CO               COMMON STOCK 46625H100    5613    116033    SHARES                X                 3     110328      0  5705
JUNIPER NETWORKS
  COM              COMMON STOCK 48203R104     123      6290    SHARES                X                 3       6290      0     0
JUNIPER NETWORKS
  INC              COMMON STOCK 48203R104       4       201    SHARES                X                 1        201      0     0
KADANT INC COM     COMMON STOCK 48282T104      25      1000    SHARES                         X        1       1000      0     0
KANSAS LIFE INS
  CO COM           COMMON STOCK 484836101      68      1500    SHARES                X                 1       1500      0     0
KAYNE ANDERSON     PREFERRED
  MLP INVESTMENT   STOCK        486606106      89      2541    SHARES                X                 1       N.A.   N.A.  N.A.
KB HOME            COMMON STOCK 48666K109      30       700    SHARES                X                 3        700      0     0
KB HOME COM        COMMON STOCK 48666K109       9       200    SHARES                         X        1        200      0     0
KELLOGG CO         COMMON STOCK 487836108     108      2100    SHARES                X                 3       2100      0     0
KELLOGG CO COM     COMMON STOCK 487836108      41       800    SHARES         X                        2          0    800     0
KELLOGG CO COM     COMMON STOCK 487836108    1138     22122    SHARES                         X        1      20525      0  1597
KELLOGG CO COM     COMMON STOCK 487836108    1111     21605    SHARES                X                 1      21605      0     0
KELLWOOD CO        COMMON STOCK 488044108    1267     43200    SHARES                X                 3      43200      0     0
KELLWOOD COMPANY   COMMON STOCK 488044108      80      2740    SHARES                X                 1       2500      0   240
KEYCORP            COMMON STOCK 493267108     166      4445    SHARES                X                 3       4445      0     0
KEYCORP NEW COM    COMMON STOCK 493267108     168      4475    SHARES                         X        1       4475      0     0
KEYCORP NEW COM    COMMON STOCK 493267108     424     11315    SHARES                X                 1      11315      0     0
KEYCORP-NEW        COMMON STOCK 493267108     944     25200    SHARES         X                        2          0  25200     0
KEYSPAN CORP COM   COMMON STOCK 49337W100     121      2950    SHARES                         X        1       2950      0     0
KEYSPAN CORP COM   COMMON STOCK 49337W100      68      1650    SHARES                X                 1       1550      0   100
KEYSPAN
  CORPORATION      COMMON STOCK 49337W100      58      1400    SHARES                X                 3       1400      0     0
KIMBERLY CLARK
  CORP             COMMON STOCK 494368103     433      6316    SHARES         X                        2          0   6316     0
KIMBERLY CLARK
  CORP             COMMON STOCK 494368103    4180     61037    SHARES                         X        1      54087      0  6950
KIMBERLY CLARK
  CORP             COMMON STOCK 494368103    5929     86573    SHARES                X                 1      86573      0     0
KIMBERLY CLARK
  CORP             COMMON STOCK 494368103     372      5430    SHARES                X                 3       5430      0     0
KIMBERLY CLARK
  CORP             COMMON STOCK 494368103       7       100    SHARES                X                 4        100      0     0
KIMCO REALTY CORP  COMMON STOCK 49446R109      97      2000    SHARES                X                 3       2000      0     0
KIMCO REALTY CORP
  (REIT)           COMMON STOCK 49446R109     210      4300    SHARES         X                        2          0   4300     0
KIMCO REALTY CORP
  (REIT)           COMMON STOCK 49446R109      42       860    SHARES                         X        1       N.A.   N.A.  N.A.
KINDER MORGAN
  ENERGY PARTNERS  COMMON STOCK 494550106      54      1025    SHARES                         X        1       1025      0     0
KINDER MORGAN
  ENERGY PARTNERS  COMMON STOCK 494550106     149      2830    SHARES                X                 1       2830      0     0
KINDER MORGAN
  ENERGY PARTNERS
  L P              COMMON STOCK 494550106    6753    128200    SHARES         X                        2          0 128200     0
KINDER MORGAN INC  COMMON STOCK 49455P101     152      1425    SHARES                         X        1       1425      0     0
KINDER MORGAN INC  COMMON STOCK 49455P101      13       125    SHARES                X                 1        125      0     0
KINDER MORGAN INC  COMMON STOCK 49455P101     107      1000    SHARES                X                 3       1000      0     0
KINDER MORGAN
  INCORPORATED     COMMON STOCK 49455P101     899      8450    SHARES         X                        2          0   8450     0
KINDER MORGAN
  MANAGEMENT LLC   COMMON STOCK 49455U100      78      1525    SHARES                X                 1       1525      0     0
KINDER MORGAN
  MGMT LLC         COMMON STOCK 49455U100    4572     89225    SHARES         X                        2          0  89225     0
KINETIC CONCEPTS
  INC              COMMON STOCK 49460W208      48       950    SHARES                         X        1        950      0     0
KINETIC CONCEPTS
  INC              COMMON STOCK 49460W208      29       579    SHARES                X                 1        579      0     0
KINETIC CONCEPTS
  INC              COMMON STOCK 49460W208      20       400    SHARES                X                 3        400      0     0
KING
  PHARMACEUTICALS  COMMON STOCK 495582108      36      1833    SHARES                X                 3       1833      0     0
KING
  PHARMACEUTICALS
  INC COM          COMMON STOCK 495582108      21      1066    SHARES         X                        2          0   1066     0
KING
  PHARMACEUTICALS
  INC COM          COMMON STOCK 495582108      22      1142    SHARES                X                 1       1142      0     0
KINROSS GOLD
  CORPORATION      COMMON STOCK 496902404      20      1419    SHARES                X                 1       1419      0     0
KKR FINANCIAL
  CORP REIT        COMMON STOCK 482476306    1926     70200    SHARES         X                        2          0  70200     0
KLA TENCOR CORP
  COM              COMMON STOCK 482480100      13       239    SHARES                X                 1        239      0     0
KLA-TENCOR CORP    COMMON STOCK 482480100      91      1700    SHARES                X                 3       1700      0     0



                                   30 of 58





                                                                                     COLUMN 6                      COLUMN 8
                                                             COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                      COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1           TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
KNIGHTSBRIDGE
  TANKERS LTD       COMMON STOCK G5299G106      14       500    SHARES                X                 1        500      0     0
KNOLL INC           COMMON STOCK 498904200      97      4050    SHARES                X                 1       3700      0   350
KNOLL INC           COMMON STOCK 498904200    1520     63800    SHARES                X                 3      63800      0     0
KNOLOGY INC         COMMON STOCK 499183804     406     25642    SHARES         X                        2          0  25642     0
KOHLS CORP          COMMON STOCK 500255104     695      9060    SHARES                X                 3       9060      0     0
KOHLS CORP COM      COMMON STOCK 500255104     187      2440    SHARES                         X        1       2440      0     0
KOHLS CORP COM      COMMON STOCK 500255104     481      6278    SHARES                X                 1       6278      0     0
KOMAG INC           COMMON STOCK 500453204      18       560    SHARES                X                 3        560      0     0
KONINKLIJKE
  PHILIPS ELEC N V
  N                 COMMON STOCK 500472303      17       450    SHARES                X                 1        450      0     0
KONINKLIJKE
  PHILIPS ELEC N V
  NY SHR            COMMON STOCK 500472303      38      1000    SHARES         X                        2          0   1000     0
KORN FERRY INTL     COMMON STOCK 500643200    1250     54500    SHARES                X                 3      54500      0     0
KORN/FERRY INTL     COMMON STOCK 500643200     100      4348    SHARES                X                 1       4048      0   300
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104      19       600    SHARES         X                        2          0    600     0
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104     162      5112    SHARES                         X        1       4612      0   500
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104    1098     34666    SHARES                X                 1      33045      0  1621
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104     472     14895    SHARES                X                 3       4565      0 10330
KRAFT FOODS INC CL
  A                 COMMON STOCK 50075N104       3       100    SHARES                X                 4        100      0     0
KROGER CO           COMMON STOCK 501044101     100      3550    SHARES                         X        1       3050      0   500
KROGER CO           COMMON STOCK 501044101     382     13525    SHARES                X                 1      13525      0     0
KROGER CO           COMMON STOCK 501044101     215      7600    SHARES                X                 3       7600      0     0
KROGER CO           COMMON STOCK 501044101      11       400    SHARES                X                 4        400      0     0
K-SWISS INC CL A    COMMON STOCK 482686102      15       552    SHARES                X                 1        552      0     0
KULICKE & SOFFA
  INDS              COMMON STOCK 501242101    1334    144200    SHARES                X                 3     144200      0     0
KULICKE & SOFFA
  INDUSTRIES INC    COMMON STOCK 501242101      86      9300    SHARES                X                 1       8500      0   800
L 3 COMMUNICATIONS
  CORP COM          COMMON STOCK 502424104      83       945    SHARES                         X        1        945      0     0
L-3 COMMUNICATIONS  COMMON STOCK 502424104      96      1100    SHARES                X                 3       1100      0     0
LABORATORY CORP
  AMER              COMMON STOCK 50540R409      73      1000    SHARES                X                 3       1000      0     0
LABORATORY
  CORPORATION OF
  AMER HLDGS        COMMON STOCK 50540R409   13052    179705    SHARES         X                        2          0 179705     0
LAM RESH CORP       COMMON STOCK 512807108      23       485    SHARES                         X        1        485      0     0
LAM RESH CORP       COMMON STOCK 512807108      34       715    SHARES                X                 1        715      0     0
LANCE INC           COMMON STOCK 514606102      11       532    SHARES                X                 1        532      0     0
LANDAMERICA
  FINANCIAL GROUP
  IN                COMMON STOCK 514936103      50       680    SHARES                X                 3        680      0     0
LAS VEGAS SANDS
  CORP              COMMON STOCK 517834107      26       300    SHARES                X                 1        300      0     0
LASALLE HOTEL PROP
  REIT              COMMON STOCK 517942108       5       100    SHARES                X                 1       N.A.   N.A.  N.A.
LASERCARD CORP      COMMON STOCK 51807U101       6       500    SHARES         X                        2          0    500     0
LAUDER ESTEE CO CL
  A                 COMMON STOCK 518439104     510     10440    SHARES                         X        1       7790      0  2650
LAUDER ESTEE CO CL
  A                 COMMON STOCK 518439104    5924    121263    SHARES                X                 1     116220      0  5043
LAUREATE EDUCATION  COMMON STOCK 518613104    1600     27144    SHARES                X                 3      24383      0  2761
LAUREATE EDUCATION
  INC               COMMON STOCK 518613104      94      1600    SHARES                         X        1       1110      0   490
LAUREATE EDUCATION
  INC               COMMON STOCK 518613104    2250     38153    SHARES                X                 1      36450      0  1703
LAW ENFORCEMENT
  ASSOCIATES COR    COMMON STOCK 519485106       1       700    SHARES                X                 1        700      0     0
LAZARD WORLD        PREFERRED
  DIVIDEND & INCOME STOCK        521076109      10       460    SHARES                         X        1       N.A.   N.A.  N.A.
LEAR CORP           COMMON STOCK 521865105      32       875    SHARES                         X        1        725      0   150
LEAR CORP           COMMON STOCK 521865105     121      3301    SHARES                X                 1       3101      0   200
LEAR CORPORATION    COMMON STOCK 521865105    1351     37000    SHARES                X                 3      37000      0     0
LEESPORT FINANCIAL
  CORP              COMMON STOCK 524477106      45      2077    SHARES                X                 1       2077      0     0
LEGG MASON INC      COMMON STOCK 524901105      57       600    SHARES         X                        2          0    600     0
LEGG MASON INC      COMMON STOCK 524901105     447      4743    SHARES                         X        1       4743      0     0
LEGG MASON INC      COMMON STOCK 524901105    3852     40885    SHARES                X                 1      40543      0   342
LEGG MASON INC      COMMON STOCK 524901105    2216     23527    SHARES                X                 3      21733      0  1794
LEGGETT & PLATT INC COMMON STOCK 524660107     181      8000    SHARES                X                 1       8000      0     0
LEGGETT & PLATT INC COMMON STOCK 524660107      32      1400    SHARES                X                 3       1400      0     0
LEHMAN BROS HLDGS   COMMON STOCK 524908100    6555     93569    SHARES                X                 3      87763      0  5806
LEHMAN BROTHERS
  HLDGS INC COM     COMMON STOCK 524908100      14       200    SHARES         X                        2          0    200     0
LEHMAN BROTHERS
  HLDGS INC COM     COMMON STOCK 524908100    1177     16792    SHARES                         X        1      15792      0  1000
LEHMAN BROTHERS
  HLDGS INC COM     COMMON STOCK 524908100    8663    123638    SHARES                X                 1     121492      0  2146
LENNAR CORP         COMMON
                    STOCK A      526057104      46      1100    SHARES                X                 3       1100      0     0
LEVEL 3
  COMMUNICATIONS
  INC               COMMON STOCK 52729N100      38      6184    SHARES                X                 1       6184      0     0
LEVEL 3
  COMMUNICATIONS
  INCORPORATED      COMMON STOCK 52729N100      80     39000    SHARES         X                        2          0  39000     0



                                   31 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
LEXINGTON REALTY
  TRUST            COMMON STOCK 529043101      27      1257    SHARES                         X        1       N.A.  N.A.  N.A.
LEXINGTON REALTY
  TRUST            COMMON STOCK 529043101      26      1235    SHARES                X                 1       N.A.  N.A.  N.A.
LEXMARK INTL       COMMON
                   STOCK A      529771107     111      1900    SHARES                X                 3       1900     0     0
LIBERTY GLOBAL
  INC - CL A       COMMON STOCK 530555101      69      2100    SHARES                         X        1       2100     0     0
LIBERTY GLOBAL
  INC - CL A       COMMON STOCK 530555101       7       213    SHARES                X                 1        213     0     0
LIBERTY GLOBAL
  INC CL C         COMMON STOCK 530555309     104      3400    SHARES                         X        1       3400     0     0
LIBERTY GLOBAL
  INC CL C         COMMON STOCK 530555309       7       216    SHARES                X                 1        216     0     0
LIBERTY GLOBAL
  INC-CL B         COMMON STOCK 530555200      41      1300    SHARES                         X        1       1300     0     0
LIBERTY MEDIA
  HLDG CORP - CAP  COMMON STOCK 53071M302     326      2950    SHARES                         X        1       2950     0     0
LIBERTY MEDIA
  HLDG CORP - CAP  COMMON STOCK 53071M401     144      1300    SHARES                         X        1       1300     0     0
LIBERTY MEDIA
  HLDG CORP - CAP  COMMON STOCK 53071M302     217      1959    SHARES                X                 1       1959     0     0
LIBERTY MEDIA
  HLDG CORP - CAP  COMMON STOCK 53071M302      33       300    SHARES                X                 3        300     0     0
LIBERTY MEDIA
  HLDG CORP - CAP
  SER A            COMMON STOCK 53071M302      16       145    SHARES         X                        2          0   145     0
LIBERTY MEDIA
  HLDG CORP - INTE COMMON STOCK 53071M203     154      6500    SHARES                         X        1       6500     0     0
LIBERTY MEDIA
  HLDG CORP - INTE COMMON STOCK 53071M104     351     14750    SHARES                         X        1      14750     0     0
LIBERTY MEDIA
  HLDG CORP - INTE COMMON STOCK 53071M104     226      9495    SHARES                X                 1       9495     0     0
LIBERTY MEDIA
  HLDG CORP -
  INTERACT A       COMMON STOCK 53071M104      17       725    SHARES         X                        2          0   725     0
LIBERTY PROPERTY
  TRUST (REIT)     COMMON STOCK 531172104      49      1000    SHARES         X                        2          0  1000     0
LIGHTBRIDGE INC    COMMON STOCK 532226107    1753     99800    SHARES                X                 3      99800     0     0
LIGHTBRIDGE INC
  COM              COMMON STOCK 532226107     112      6365    SHARES                X                 1       5800     0   565
LILLY ELI & CO     COMMON STOCK 532457108     488      9079    SHARES         X                        2          0  9079     0
LILLY ELI & CO     COMMON STOCK 532457108    5530    102965    SHARES                         X        1     102220     0   745
LILLY ELI & CO     COMMON STOCK 532457108    6593    122756    SHARES                X                 1     121497     0  1259
LILLY ELI & CO     COMMON STOCK 532457108       5       100    SHARES                X                 4        100     0     0
LIMITED BRANDS INC COMMON STOCK 532716107     180      6900    SHARES                X                 3       6900     0     0
LIMITED BRANDS,
  INC COM          COMMON STOCK 532716107       5       200    SHARES                         X        1        200     0     0
LINCOLN NATIONAL
  CORP             COMMON STOCK 534187109     991     14612    SHARES                         X        1      14612     0     0
LINCOLN NATIONAL
  CORP             COMMON STOCK 534187109    5548     81848    SHARES                X                 1      77137     0  4711
LINCOLN NATIONAL
  CORP             COMMON STOCK 534187109    3199     47191    SHARES                X                 3      44963     0  2228
LINCOLN NATIONAL
  CORP             COMMON STOCK 534187109      14       200    SHARES                X                 4        200     0     0
LINCOLN NATIONAL
  CORPORATION      COMMON STOCK 534187109    3958     58395    SHARES         X                        2          0 58395     0
LINEAR TECHNOLOGY  COMMON STOCK 535678106     167      5300    SHARES                X                 3       5300     0     0
LINEAR TECHNOLOGY
  CORP COM         COMMON STOCK 535678106     139      4405    SHARES                         X        1       2595     0  1810
LINEAR TECHNOLOGY
  CORP COM         COMMON STOCK 535678106     311      9854    SHARES                X                 1       9104     0   750
LIVE NATION INC    COMMON STOCK 538034109       6       277    SHARES                         X        1        277     0     0
LIVE NATION INC    COMMON STOCK 538034109       1        65    SHARES                X                 1         65     0     0
LIVE NATION INC    COMMON STOCK 538034109       1        25    SHARES                X                 4         25     0     0
LIZ CLAIBORNE INC  COMMON STOCK 539320101      26       600    SHARES                         X        1        600     0     0
LIZ CLAIBORNE INC  COMMON STOCK 539320101      36       840    SHARES                X                 3        840     0     0
LOCKHEED MARTIN
  CORP             COMMON STOCK 539830109    6154     63430    SHARES                X                 3      63430     0     0
LOCKHEED MARTIN
  CORPORATION CO   COMMON STOCK 539830109    2616     26962    SHARES                         X        1      25262     0  1700
LOCKHEED MARTIN
  CORPORATION CO   COMMON STOCK 539830109   12423    128048    SHARES                X                 1     126298     0  1750
LOCKHEED MARTIN
  CORPORATION CO   COMMON STOCK 539830109      10       100    SHARES                X                 4        100     0     0
LOCKHEED MARTIN
  CORPORATION COM  COMMON STOCK 539830109    1145     11798    SHARES         X                        2          0 11798     0
LOEWS CORP         COMMON STOCK 540424108     173      3800    SHARES                X                 3       3800     0     0
LOEWS CORP COM     COMMON STOCK 540424108     164      3600    SHARES         X                        2          0  3600     0
LOEWS CORP COM     COMMON STOCK 540424108      55      1200    SHARES                         X        1       1200     0     0
LOEWS CORP COM     COMMON STOCK 540424108     123      2700    SHARES                X                 1       2700     0     0
LOGITECH
  INTERNATIONAL
  SA - RE          COMMON STOCK H50430232      82      2940    SHARES                X                 1       2700     0   240
LOGITECH INTL      ADR          H50430232    1288     46300    SHARES                X                 3      46300     0     0
LOOPNET INC        COMMON STOCK 543524300      58      3400    SHARES                X                 1       3100     0   300
LOOPNET INC        COMMON STOCK 543524300     906     53000    SHARES                X                 3      53000     0     0
LOWES CO           COMMON STOCK 548661107    1595     50622    SHARES                X                 3      43209     0  7413
LOWES COS INC COM  COMMON STOCK 548661107     553     17564    SHARES                         X        1      13659     0  3905
LOWES COS INC COM  COMMON STOCK 548661107    5597    177753    SHARES                X                 1     172662     0  5091
LSI CORPORATION    COMMON STOCK 502161102    1487    142460    SHARES                X                 3     142460     0     0
LSI LOGIC CORP COM COMMON STOCK 502161102      68      6500    SHARES                         X        1       6500     0     0
LSI LOGIC CORP COM COMMON STOCK 502161102      93      8950    SHARES                X                 1       8200     0   750
LUBRIZOL CORP      COMMON STOCK 549271104     878     17032    SHARES                         X        1      17032     0     0



                                   32 of 58





                                                                                    COLUMN 6                       COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
LUBRIZOL CORP      COMMON STOCK 549271104      26       500    SHARES                X                 1        500     0       0
LUBRIZOL CORP      COMMON STOCK 549271104      98      1900    SHARES                X                 3       1900     0       0
LUMERA CORP        COMMON STOCK 55024R106       5      1000    SHARES                         X        1       1000     0       0
LUMINENT MORTGAGE
  CAPITAL INC      COMMON STOCK 550278303      51      5700    SHARES         X                        2          0  5700       0
LUMINENT MORTGAGE
  CAPITAL INC      COMMON STOCK 550278303      27      3000    SHARES                         X        1       N.A.  N.A.    N.A.
LYONDELL CHEMICAL
  CO               COMMON STOCK 552078107      60      2000    SHARES                X                 3       2000     0       0
LYONDELL CHEMICAL
  COMPANY COM      COMMON STOCK 552078107      12       400    SHARES                X                 1        400     0       0
M & T BANK CORP    COMMON STOCK 55261F104     347      3000    SHARES         X                        2          0  3000       0
M & T BANK CORP    COMMON STOCK 55261F104   19232    166034    SHARES                         X        1      34750     0  131284
M & T BANK CORP    COMMON STOCK 55261F104   67561    583277    SHARES                X                 1     575833     0    7444
M & T BANK CORP    COMMON STOCK 55261F104      96       830    SHARES                X                 3        830     0       0
MACK CALI RLTY
  CORP             COMMON STOCK 554489104      10       200    SHARES                X                 1       N.A.  N.A.    N.A.
MAF BANCORP INC
  COM              COMMON STOCK 55261R108     317      7674    SHARES                X                 1       7674     0       0
MAGELAN MIDSTREAM
  PARTNERS LP      COMMON STOCK 559080106    3070     65600    SHARES         X                        2          0 65600       0
MAGELLAN
  MIDSTREAM
  HOLDINGS         COMMON STOCK 55907R108      40      1500    SHARES         X                        2          0  1500       0
MAGNA INTL INC CL
  A                COMMON STOCK 559222401      11       150    SHARES                         X        1        150     0       0
MAGNA INTL INC CL
  A                COMMON STOCK 559222401      45       600    SHARES                X                 1        600     0       0
MAGUIRE
  PROPERTIES INC   COMMON STOCK 559775101     356     10000    SHARES         X                        2          0 10000       0
MAIDENFORM BRANDS  COMMON STOCK 560305104    1663     72100    SHARES                X                 3      72100     0       0
MAIDENFORM BRANDS
  INC              COMMON STOCK 560305104     108      4700    SHARES                X                 1       4300     0     400
MAINE & MARITIMES
  CORP             COMMON STOCK 560377103       8       400    SHARES                X                 1        400     0       0
MANITOWOC CO INC
  COM              COMMON STOCK 563571108       5        75    SHARES                X                 1         75     0       0
MANNKIND CORP      COMMON STOCK 56400P201     552     38600    SHARES                X                 3      38600     0       0
MANNKIND
  CORPORATION      COMMON STOCK 56400P201      34      2410    SHARES                X                 1       2200     0     210
MANOR CARE INC     COMMON STOCK 564055101      32       590    SHARES                X                 3        590     0       0
MANOR CARE INC COM COMMON STOCK 564055101     220      4042    SHARES         X                        2          0  4042       0
MANOR CARE INC COM COMMON STOCK 564055101     231      4250    SHARES                         X        1       4250     0       0
MANPOWER INC WIS   COMMON STOCK 56418H100     111      1500    SHARES                X                 1       1500     0       0
MANULIFE
  FINANCIAL CORP   COMMON STOCK 56501R106     882     25600    SHARES         X                        2          0 25600       0
MANULIFE
  FINANCIAL CORP   COMMON STOCK 56501R106      48      1404    SHARES                         X        1       1404     0       0
MANULIFE
  FINANCIAL CORP   COMMON STOCK 56501R106    1225     35556    SHARES                X                 1      35556     0       0
MARATHON OIL CORP  COMMON STOCK 565849106      33       330    SHARES         X                        2          0   330       0
MARATHON OIL CORP  COMMON STOCK 565849106     314      3180    SHARES                         X        1       3180     0       0
MARATHON OIL CORP  COMMON STOCK 565849106    1003     10153    SHARES                X                 1      10153     0       0
MARATHON OIL CORP  COMMON STOCK 565849106     634      6415    SHARES                X                 3       4415     0    2000
MARATHON OIL CORP  COMMON STOCK 565849106      40       400    SHARES                X                 4        400     0       0
MARINEMAX INC      COMMON STOCK 567908108     859     37100    SHARES                X                 3      37100     0       0
MARINEMAX
  INCORPORATED     COMMON STOCK 567908108      56      2400    SHARES                X                 1       2200     0     200
MARINER ENERGY INC COMMON STOCK 56845T305       8       404    SHARES                X                 1        404     0       0
MARKEL CORP COM    COMMON STOCK 570535104     286       590    SHARES         X                        2          0   590       0
MARKET VECTORS     PREFERRED
  GOLD MINERS      STOCK        57060U100       5       115    SHARES                X                 1       N.A.  N.A.    N.A.
MARKWEST ENERGY
  PARTNERS LP      COMMON STOCK 570759100      39      1100    SHARES         X                        2          0  1100       0
MARRIOTT INTL INC  COMMON
                   STOCK A      571903202     171      3500    SHARES                X                 3       3500     0       0
MARRIOTT INTL INC
  CL A             COMMON STOCK 571903202    1602     32720    SHARES         X                        2          0 32720       0
MARRIOTT INTL INC
  CL A             COMMON STOCK 571903202     163      3338    SHARES                X                 1       3338     0       0
MARSH & MCLENNAN
  COS              COMMON STOCK 571748102     146      4980    SHARES                X                 3       4980     0       0
MARSH & MCLENNAN
  COS INC COM      COMMON STOCK 571748102      29      1000    SHARES         X                        2          0  1000       0
MARSH & MCLENNAN
  COS INC COM      COMMON STOCK 571748102     167      5700    SHARES                         X        1       5700     0       0
MARSH & MCLENNAN
  COS INC COM      COMMON STOCK 571748102      70      2400    SHARES                X                 1       2400     0       0
MARSHALL & ILSLEY  COMMON STOCK 571834100     269      5800    SHARES                X                 3       5800     0       0
MARSHALL & ILSLEY
  CORP             COMMON STOCK 571834100      14       300    SHARES                         X        1        300     0       0
MARSHALL & ILSLEY
  CORP             COMMON STOCK 571834100     297      6416    SHARES                X                 1       6416     0       0
MARTEK BIOSCIENCES COMMON STOCK 572901106    1185     57500    SHARES                X                 3      57500     0       0
MARTEK
  BIOSCIENCES CORP COMMON STOCK 572901106     131      6363    SHARES                X                 1       5873     0     490
MARTHA STEWART
  LIVING-CL A      COMMON STOCK 573083102      12       700    SHARES                X                 1        700     0       0
MARTIN MARIETTA
  MATERIALS INC    COMMON STOCK 573284106      68       500    SHARES         X                        2          0   500       0
MARVEL TECHNOLOGY
  GROUP LTD        COMMON STOCK G5876H105      13       750    SHARES                X                 1        750     0       0
MASCO CORP         COMMON STOCK 574599106     454     16569    SHARES                         X        1      16569     0       0
MASCO CORP         COMMON STOCK 574599106    1182     43155    SHARES                X                 1      43155     0       0



                                   33 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
MASCO CORP         COMMON STOCK 574599106     189      6900    SHARES                X                 3       6900      0    0
MASSEY ENERGY CO
  COM              COMMON STOCK 576206106      36      1500    SHARES                         X        1       1500      0    0
MASSEY ENERGY CO
  COM              COMMON STOCK 576206106      43      1773    SHARES                X                 1       1773      0    0
MASTERCARD INC CL
  A                COMMON STOCK 57636Q104      16       150    SHARES         X                        2          0    150    0
MASTERCARD INC CL
  A                COMMON STOCK 57636Q104       5        50    SHARES                X                 1         50      0    0
MATSUSHITA ELEC
  IND SPON ADR     COMMON STOCK 576879209      10       500    SHARES                X                 1        500      0    0
MATTEL INC         COMMON STOCK 577081102     151      5469    SHARES                         X        1       5469      0    0
MATTEL INC         COMMON STOCK 577081102      11       400    SHARES                X                 1        400      0    0
MATTEL INC         COMMON STOCK 577081102      98      3540    SHARES                X                 3       3540      0    0
MAX RE CAPITAL
  LIMITED          COMMON STOCK G6052F103       4       165    SHARES                X                 1        165      0    0
MAXIM INTEGRATED
  PRO              COMMON STOCK 57772K101      79      2700    SHARES                X                 3       2700      0    0
MAXIM INTEGRATED
  PRODS INC COM    COMMON STOCK 57772K101      50      1705    SHARES                X                 1       1705      0    0
MAXWELL
  TECHNOLOGIES INC COMMON STOCK 577767106     163     13000    SHARES                         X        1      13000      0    0
MAXYGEN INC        COMMON STOCK 577776107     119     10700    SHARES         X                        2          0  10700    0
MBIA INC           COMMON STOCK 55262C100     265      4050    SHARES                X                 3       4050      0    0
MBIA INC COM       COMMON STOCK 55262C100      82      1250    SHARES         X                        2          0   1250    0
MC GRAW HILL
  COMPANIES INC    COMMON STOCK 580645109      94      1500    SHARES         X                        2          0   1500    0
MC GRAW HILL
  COMPANIES INC    COMMON STOCK 580645109    1863     29630    SHARES                         X        1      24030      0 5600
MC GRAW HILL
  COMPANIES INC    COMMON STOCK 580645109     667     10600    SHARES                X                 1      10600      0    0
MCAFEE INC         COMMON STOCK 579064106     163      5600    SHARES         X                        2          0   5600    0
MCAFEE INC         COMMON STOCK 579064106      47      1600    SHARES                X                 3       1600      0    0
MCCLATCHY CO       COMMON STOCK 579489105       6       204    SHARES                X                 1        204      0    0
MCCORMICK & CO INC COMMON STOCK 579780107       2        50    SHARES                X                 3         50      0    0
MCCORMICK & CO INC COMMON STOCK 579780206      78      2000    SHARES                X                 3       2000      0    0
MCCORMICK &
  CO-NON VTG SHS   COMMON STOCK 579780206     655     17000    SHARES                         X        1      13675      0 3325
MCCORMICK &
  CO-NON VTG SHS   COMMON STOCK 579780206    2769     71876    SHARES                X                 1      70701      0 1175
MCDERMOTT INTL INC COMMON STOCK 580037109      16       336    SHARES                         X        1          0      0  336
MCDERMOTT INTL INC COMMON STOCK 580037109     290      5930    SHARES                X                 1       5715      0  215
MCDERMOTT INTL INC COMMON STOCK 580037109     710     14500    SHARES                X                 3      14500      0    0
MCDONALDS CORP     COMMON STOCK 580135101     492     10900    SHARES                X                 3      10900      0    0
MCDONALDS CORP COM COMMON STOCK 580135101      14       300    SHARES         X                        2          0    300    0
MCDONALDS CORP COM COMMON STOCK 580135101    1630     36176    SHARES                         X        1      29306      0 6870
MCDONALDS CORP COM COMMON STOCK 580135101    3110     69030    SHARES                X                 1      68280      0  750
MCDONALDS CORP COM COMMON STOCK 580135101      14       300    SHARES                X                 4        300      0    0
MCGRAW HILL COS
  INC              COMMON STOCK 580645109     195      3100    SHARES                X                 3       3100      0    0
MCKESSON CORP      COMMON STOCK 58155Q103     151      2581    SHARES                X                 3       2581      0    0
MCKESSON
  CORPORATION COM  COMMON STOCK 58155Q103       9       150    SHARES                         X        1        150      0    0
MCKESSON
  CORPORATION COM  COMMON STOCK 58155Q103      24       418    SHARES                X                 1        418      0    0
MCMORAN
  EXPLORATION CO   COMMON STOCK 582411104       2       125    SHARES                         X        1        125      0    0
MCMORAN
  EXPLORATION CO   COMMON STOCK 582411104       2       125    SHARES                X                 1        125      0    0
MEADOW VALLEY
  CORPORATION      COMMON STOCK 583185103     288     22220    SHARES         X                        2          0  22220    0
MEADWESTVACO CORP  COMMON STOCK 583334107      15       489    SHARES                X                 1        489      0    0
MEADWESTVACO CORP  COMMON STOCK 583334107     138      4465    SHARES                X                 3       4465      0    0
MEDAREX INC        COMMON STOCK 583916101      95      7330    SHARES                X                 1       6700      0  630
MEDAREX INC        COMMON STOCK 583916101    1453    112300    SHARES                X                 3     112300      0    0
MEDCO HEALTH SOL   COMMON STOCK 58405U102     181      2500    SHARES                X                 3       2500      0    0
MEDCO HEALTH
  SOLUTIONS INC    COMMON STOCK 58405U102      87      1206    SHARES         X                        2          0   1206    0
MEDCO HEALTH
  SOLUTIONS INC    COMMON STOCK 58405U102    1676     23102    SHARES                         X        1      20368      0 2734
MEDCO HEALTH
  SOLUTIONS INC    COMMON STOCK 58405U102     999     13779    SHARES                X                 1      13128      0  651
MEDCO HEALTH
  SOLUTIONS INC    COMMON STOCK 58405U102       2        24    SHARES                X                 4         24      0    0
MEDICIS
  PHARMACEUTICAL
  CORP CL A NEW    COMMON STOCK 584690309      25       800    SHARES         X                        2          0    800    0
MEDIMMUNE INC      COMMON STOCK 584699102      75      2050    SHARES                X                 3       2050      0    0
MEDIMMUNE INC COM  COMMON STOCK 584699102     150      4130    SHARES         X                        2          0   4130    0
MEDTRONIC INC      COMMON STOCK 585055106    2782     56702    SHARES                         X        1      51062      0 5640
MEDTRONIC INC      COMMON STOCK 585055106    5754    117282    SHARES                X                 1     115032      0 2250
MEDTRONIC INC      COMMON STOCK 585055106     573     11675    SHARES                X                 3       9925      0 1750
MEDTRONIC
  INCORPORATED     COMMON STOCK 585055106   20003    407718    SHARES         X                        2          0 407718    0
MELLON FINANCIAL
  CORP             COMMON STOCK 58551A108     124      2872    SHARES                         X        1       2872      0    0
MELLON FINANCIAL
  CORP             COMMON STOCK 58551A108    2525     58521    SHARES                X                 1      58521      0    0



                                   34 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
MELLON FINANCIAL
  CORPORATION      COMMON STOCK 58551A108     211      5400    SHARES         X                        2          0   5400     0
MELLON FINL CORP   COMMON STOCK 58551A108     152      3535    SHARES                X                 3       3535      0     0
MEMC ELECTR MATLS  COMMON STOCK 552715104    1761     29065    SHARES                X                 3      29065      0     0
MEMC ELECTRONIC
  MATERIALS INC    COMMON STOCK 552715104     679     11202    SHARES                X                 1      10897      0   305
MEMRY CORP         COMMON STOCK 586263204       1       350    SHARES                X                 1        350      0     0
MENTOR CORP MINN
  COM              COMMON STOCK 587188103      41       900    SHARES                         X        1        700      0   200
MENTOR CORP MINN
  COM              COMMON STOCK 587188103      36       775    SHARES                X                 1        775      0     0
MENTOR GRAPHICS
  CORP             COMMON STOCK 587200106    1308     80000    SHARES                X                 3      80000      0     0
MENTOR GRAPHICS
  CORP COM         COMMON STOCK 587200106      84      5150    SHARES                X                 1       4700      0   450
MERCANTILE BANK
  CORPORATION      COMMON STOCK 587376104      10       302    SHARES                X                 1        302      0     0
MERCER
  INTERNATIONAL
  INC - SBI        COMMON STOCK 588056101      80      6665    SHARES                X                 1       6100      0   565
MERCER INTL INC    COMMON STOCK 588056101    1256    105000    SHARES                X                 3     105000      0     0
MERCK & CO INC     COMMON STOCK 589331107     936     21178    SHARES                X                 3      21178      0     0
MERCK & CO INC COM COMMON STOCK 589331107     708     16028    SHARES         X                        2          0  16028     0
MERCK & CO INC COM COMMON STOCK 589331107    8370    189484    SHARES                         X        1     165679      0 23805
MERCK & CO INC COM COMMON STOCK 589331107    8073    182775    SHARES                X                 1     176475      0  6300
MERCK & CO INC COM COMMON STOCK 589331107       9       200    SHARES                X                 4        200      0     0
MERCURY GENERAL
  CORP             COMMON STOCK 589400100     111      2100    SHARES                X                 3       2100      0     0
MEREDITH CORP      COMMON STOCK 589433101      21       360    SHARES                X                 3        360      0     0
MERIDIAN GOLD
  INCORPORATED     COMMON STOCK 589975101       6       250    SHARES                X                 1        250      0     0
MERRILL LYNCH & CO COMMON STOCK 590188108     629      7700    SHARES                X                 3       7700      0     0
MERRILL LYNCH &
  CO INC           COMMON STOCK 590188108    1086     13300    SHARES                         X        1      12265      0  1035
MERRILL LYNCH &
  CO INC           COMMON STOCK 590188108    2925     35817    SHARES                X                 1      35442      0   375
MERRILL LYNCH &
  CO INC           COMMON STOCK 590188108       8       100    SHARES                X                 4        100      0     0
MERRILL LYNCH &
  COMPANY
  INCORPORATED     COMMON STOCK 590188108    2345     28718    SHARES         X                        2          0  28718     0
MESA LABORATORIES
  INC COM          COMMON STOCK 59064R109      23      1250    SHARES                X                 1       1250      0     0
METHANEX CORP      COMMON STOCK 59151K108      31      1400    SHARES                X                 3       1400      0     0
METHANEX
  CORPORATION      COMMON STOCK 59151K108      96      4284    SHARES                X                 1       3984      0   300
METLIFE CAP TR I   COMMON STOCK 59156R108      22       350    SHARES         X                        2          0    350     0
METLIFE CAP TR I   COMMON STOCK 59156R108      96      1528    SHARES                         X        1       1528      0     0
METLIFE CAP TR I   COMMON STOCK 59156R108      55       876    SHARES                X                 1        876      0     0
METLIFE INC        COMMON STOCK 59156R108     410      6500    SHARES                X                 3       6500      0     0
MFS INTERMEDIATE   PREFERRED
  INCOME TRUST     STOCK        55273C107      62     10000    SHARES                         X        1       N.A.   N.A.  N.A.
MFS MUN INCOME TR
  SH BEN INT       OTHER        552738106      15      1700    SHARES                X                 1       N.A.   N.A.  N.A.
MFS SPECIAL VALUE  PREFERRED
  TRUST            STOCK        55274E102      23      2125    SHARES                         X        1       N.A.   N.A.  N.A.
MGIC INVT CORP     COMMON STOCK 552848103     194      3300    SHARES                X                 3       3300      0     0
MGM MIRAGE         COMMON STOCK 552953101       3        50    SHARES                X                 1         50      0     0
MHI HOSPITALITY
  CORP             COMMON STOCK 55302L102      12      1200    SHARES                X                 1       N.A.   N.A.  N.A.
MICREL INC COM     COMMON STOCK 594793101      18      1600    SHARES                X                 3       1600      0     0
MICROCHIP
  TECHNOLOGY       COMMON STOCK 595017104     352      9900    SHARES                X                 3       9900      0     0
MICROCHIP
  TECHNOLOGY INC
  COM              COMMON STOCK 595017104      84      2358    SHARES                X                 1       2213      0   145
MICRON TECHNOLOGY  COMMON STOCK 595112103      77      6400    SHARES                X                 3       6400      0     0
MICRON TECHNOLOGY
  INC COM          COMMON STOCK 595112103       5       400    SHARES                         X        1        400      0     0
MICRON TECHNOLOGY
  INC COM          COMMON STOCK 595112103       5       400    SHARES                X                 1        400      0     0
MICROS SYSTEMS INC COMMON STOCK 594901100     707     13100    SHARES                         X        1      13100      0     0
MICROSOFT CORP     COMMON STOCK 594918104    7493    268838    SHARES                         X        1     237767      0 31071
MICROSOFT CORP     COMMON STOCK 594918104   23214    832927    SHARES                X                 1     808728      0 24199
MICROSOFT CORP     COMMON STOCK 594918104   12410    445328    SHARES                X                 3     422564      0 22764
MICROSOFT CORP     COMMON STOCK 594918104      31      1100    SHARES                X                 4       1100      0     0
MICROSOFT
  CORPORATION      COMMON STOCK 594918104    3343    119964    SHARES         X                        2          0 119964     0
MICROSTRATEGY INC  COMMON STOCK 594972408       3        27    SHARES         X                        2          0     27     0
MID PENN BANCORP
  INCORPORATED     COMMON STOCK 59540G107      26      1102    SHARES                X                 1       1102      0     0
MID-AMERICA
  APARTMENT
  COMMUNITIES      COMMON STOCK 59522J103      84      1500    SHARES         X                        2          0   1500     0
MIDCAP SPDR TRUST
  SERIES 1 S&P     COMMON STOCK 595635103    2723     17617    SHARES                         X        1      17617      0     0
MIDCAP SPDR TRUST
  SERIES 1 S&P     COMMON STOCK 595635103    2007     12984    SHARES                X                 1      12984      0     0
MIDCAP SPDR TRUST
  SERIES 1 S&P 400 COMMON STOCK 595635103     205      1325    SHARES         X                        2          0   1325     0
MILLENNIUM
  PHARMACEUTICALS
  COM              COMMON STOCK 599902103      12      1072    SHARES         X                        2          0   1072     0
MILLENNIUM
  PHARMACEUTICALS
  COM              COMMON STOCK 599902103      57      5000    SHARES                         X        1       5000      0     0
MILLIPORE CORP     COMMON STOCK 601073109      31       430    SHARES                X                 3        430      0     0



                                   35 of 58





                                                                                         COLUMN 6
                                                                 COLUMN 5          INVESTMENT AUTHORITY
                                                         ------------------------ ----------------------
                       COLUMN 2                COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1            TITLE OF      COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER          CLASS         CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
--------------       --------------- --------- --------- --------- --------- ---- ---- -------- -------- --------
                                                                           
MINDSPEED
  TECHNOLOGIES INC   COMMON STOCK    602682106      0         66    SHARES                X                 1
MINE SAFETY
  APPLIANCES CO      COMMON STOCK    602720104     27        650    SHARES                X                 1
MIRANT CORP          COMMON STOCK    60467R100      0         11    SHARES                         X        1
MIRANT CORP          COMMON STOCK    60467R100      1         17    SHARES                X                 1
MIRANT CORP-W/
  I-CW11 1           COMMON STOCK    60467R118      1         35    SHARES                         X        1
MIRANT CORP-W/
  I-CW11 1           COMMON STOCK    60467R118      2         80    SHARES                X                 1
MKS INSTRUMENT INC   COMMON STOCK    55306N104    347      13600    SHARES                X                 3
MKS INSTRUMENTS INC  COMMON STOCK    55306N104     75       2940    SHARES                X                 1
ML MACADAMIA
  ORCHARDS           COMMON STOCK    55307U107      1        100    SHARES                         X        1
MOHAWK INDUSTRIES
  INC COM            COMMON STOCK    608190104     57        700    SHARES                X                 1
MOLEX INC            COMMON STOCK    608554101     77       2715    SHARES                         X        1
MOLEX INC            COMMON STOCK    608554101    107       3812    SHARES                X                 1
MOLEX INC            COMMON STOCK    608554101     32       1150    SHARES                X                 3
MOLSON COORS BREWING COMMON STOCK B  60871R209     38        400    SHARES                X                 3
MOLSON COORS
  BREWING COMPANY    COMMON STOCK    60871R209     28        300    SHARES                         X        1
MONOGRAM
  BIOSCIENCES INC    COMMON STOCK    60975U108     10       5000    SHARES         X                        2
MONSANTO CO          COMMON STOCK    61166W101    258       4700    SHARES                X                 3
MONSANTO COMPANY     COMMON STOCK    61166W101    685      12456    SHARES                         X        1
MONSANTO COMPANY     COMMON STOCK    61166W101    194       3522    SHARES                X                 1
MONSTER WORLDWIDE    COMMON STOCK    611742107     52       1100    SHARES                X                 3
MONTGOMERY ST
  INCOME SECS INC    PREFERRED STOCK 614115103     81       4653    SHARES                X                 1
MOODYS CORP          COMMON STOCK    615369105    534       8600    SHARES                         X        1
MOODYS CORP          COMMON STOCK    615369105     99       1590    SHARES                X                 1
MOODYS CORP          COMMON STOCK    615369105    124       2000    SHARES                X                 3
MOOG INC CL A        COMMON STOCK    615394202      3         75    SHARES                X                 1
MORGAN STAN DEAN
  QUALITY MUN I      PREFERRED STOCK 61745P734     20       1413    SHARES                         X        1
MORGAN STANLEY       COMMON STOCK    617446448   7084      89922    SHARES                X                 3
MORGAN STANLEY
  EMERGING MKTS D    PREFERRED STOCK 61744H105     16       1500    SHARES                X                 1
MORGAN STANLEY
  GROUP INC          COMMON STOCK    617446448   2365      30032    SHARES                         X        1
MORGAN STANLEY
  GROUP INC          COMMON STOCK    617446448   9267     117657    SHARES                X                 1
MORGAN STANLEY
  GROUP INC          COMMON STOCK    617446448      8        100    SHARES                X                 4
MORGAN STANLEY HIGH
  YLD FD INC         PREFERRED STOCK 61744M104      2        300    SHARES                X                 1
MORGAN STANLEY INSD
  MUNI INCOM         PREFERRED STOCK 61745P791     41       2814    SHARES                         X        1
MORGAN STANLEY
  QUALITY MUNI IN    PREFERRED STOCK 61745P668     24       1708    SHARES                         X        1
MOTOROLA INC         COMMON STOCK    620076109    406      23000    SHARES         X                        2
MOTOROLA INC         COMMON STOCK    620076109   1273      72060    SHARES                         X        1
MOTOROLA INC         COMMON STOCK    620076109   3031     171539    SHARES                X                 1
MOTOROLA INC         COMMON STOCK    620076109    898      50831    SHARES                X                 3
MOTOROLA INC         COMMON STOCK    620076109      3        150    SHARES                X                 4
MPS GROUP INC        COMMON STOCK    553409103     83       5900    SHARES                X                 1
MPS GROUP INC        COMMON STOCK    553409103   1312      92700    SHARES                X                 3
MRV COMMUNICATIONS
  INC                COMMON STOCK    553477100      2        645    SHARES         X                        2
MUELLER INDS INC     COMMON STOCK    624756102    795      26400    SHARES                X                 3
MUELLER INDS INC COM COMMON STOCK    624756102     49       1640    SHARES                X                 1
MULTI COLOR CORP     COMMON STOCK    625383104   1381      39300    SHARES                X                 3
MULTI-COLOR
  CORPORATION        COMMON STOCK    625383104     88       2510    SHARES                X                 1
MUNICIPAL MTG & EQ
  LLC                COMMON STOCK    62624B101     93       3250    SHARES                         X        1
MUNICIPAL MTG & EQ
  LLC                COMMON STOCK    62624B101     57       2003    SHARES                X                 1
MURPHY OIL CORP      COMMON STOCK    626717102     43        800    SHARES         X                        2
MURPHY OIL CORP      COMMON STOCK    626717102     80       1500    SHARES                         X        1
MURPHY OIL CORP      COMMON STOCK    626717102     57       1075    SHARES                X                 1
MURPHY OIL CORP      COMMON STOCK    626717102     85       1600    SHARES                X                 3
MYLAN LABORATORIES
  INC                COMMON STOCK    628530107     32       1500    SHARES                         X        1
MYLAN LABORATORIES
  INC                COMMON STOCK    628530107     17        800    SHARES                X                 1
MYLAN LABS INC       COMMON STOCK    628530107     42       2000    SHARES                X                 3
MYRIAD GENETICS INC
  COM                COMMON STOCK    62855J104      5        150    SHARES                X                 1
N J RES CORP         COMMON STOCK    646025106     30        600    SHARES                X                 1
NABI
  BIOPHARMACEUTICALS COMMON STOCK    629519109     11       2000    SHARES                X                 1
NABORS INDS LTD      COMMON STOCK    G6359F103    116       3900    SHARES                X                 3



                          COLUMN 8
                      VOTING AUTHORITY
                     -------------------

   COLUMN 1
NAME OF ISSUER        SOLE  SHARED OTHER
--------------       ------ ------ -----
                          
MINDSPEED
  TECHNOLOGIES INC       66     0     0
MINE SAFETY
  APPLIANCES CO         650     0     0
MIRANT CORP              11     0     0
MIRANT CORP              17     0     0
MIRANT CORP-W/
  I-CW11 1               35     0     0
MIRANT CORP-W/
  I-CW11 1               80     0     0
MKS INSTRUMENT INC    13600     0     0
MKS INSTRUMENTS INC    2725     0   215
ML MACADAMIA
  ORCHARDS              100     0     0
MOHAWK INDUSTRIES
  INC COM               700     0     0
MOLEX INC              2715     0     0
MOLEX INC              3812     0     0
MOLEX INC              1150     0     0
MOLSON COORS BREWING    400     0     0
MOLSON COORS
  BREWING COMPANY       300     0     0
MONOGRAM
  BIOSCIENCES INC         0  5000     0
MONSANTO CO            4700     0     0
MONSANTO COMPANY      12456     0     0
MONSANTO COMPANY       2240     0  1282
MONSTER WORLDWIDE      1100     0     0
MONTGOMERY ST
  INCOME SECS INC      N.A.  N.A.  N.A.
MOODYS CORP            8600     0     0
MOODYS CORP            1590     0     0
MOODYS CORP            2000     0     0
MOOG INC CL A            75     0     0
MORGAN STAN DEAN
  QUALITY MUN I        N.A.  N.A.  N.A.
MORGAN STANLEY        84549     0  5373
MORGAN STANLEY
  EMERGING MKTS D      N.A.  N.A.  N.A.
MORGAN STANLEY
  GROUP INC           29370     0   662
MORGAN STANLEY
  GROUP INC          114533     0  3124
MORGAN STANLEY
  GROUP INC             100     0     0
MORGAN STANLEY HIGH
  YLD FD INC           N.A.  N.A.  N.A.
MORGAN STANLEY INSD
  MUNI INCOM           N.A.  N.A.  N.A.
MORGAN STANLEY
  QUALITY MUNI IN      N.A.  N.A.  N.A.
MOTOROLA INC              0 23000     0
MOTOROLA INC          67610     0  4450
MOTOROLA INC         168389     0  3150
MOTOROLA INC          45831     0  5000
MOTOROLA INC            150     0     0
MPS GROUP INC          5400     0   500
MPS GROUP INC         92700     0     0
MRV COMMUNICATIONS
  INC                     0   645     0
MUELLER INDS INC      26400     0     0
MUELLER INDS INC COM   1508     0   132
MULTI COLOR CORP      39300     0     0
MULTI-COLOR
  CORPORATION          2300     0   210
MUNICIPAL MTG & EQ
  LLC                  3250     0     0
MUNICIPAL MTG & EQ
  LLC                  2003     0     0
MURPHY OIL CORP           0   800     0
MURPHY OIL CORP        1500     0     0
MURPHY OIL CORP        1075     0     0
MURPHY OIL CORP        1600     0     0
MYLAN LABORATORIES
  INC                     0     0  1500
MYLAN LABORATORIES
  INC                   800     0     0
MYLAN LABS INC         2000     0     0
MYRIAD GENETICS INC
  COM                   150     0     0
N J RES CORP            600     0     0
NABI
  BIOPHARMACEUTICALS   2000     0     0
NABORS INDS LTD        2900     0  1000



                                   36 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
NABORS INDUSTRIES
  LTD              COMMON STOCK G6359F103    827      27869    SHARES                         X        1      27369      0  500
NABORS INDUSTRIES
  LTD              COMMON STOCK G6359F103   2052      69144    SHARES                X                 1      68650      0  494
NAM TAI
  ELECTRONICS
  INCORPORAT       COMMON STOCK 629865205      6        500    SHARES                         X        1          0      0  500
NANOGEN INC        COMMON STOCK 630075109      1        600    SHARES                X                 1        600      0    0
NASDAQ-100 SHARES  COMMON STOCK 631100104    262       6025    SHARES         X                        2          0   6025    0
NASDAQ-100 SHARES  COMMON STOCK 631100104   4861     111680    SHARES                         X        1     111680      0    0
NASDAQ-100 SHARES  COMMON STOCK 631100104    302       6937    SHARES                X                 1       6937      0    0
NATCO GROUP INC    COMMON STOCK 63227W203    101       2960    SHARES                X                 1       2700      0  260
NATCO GROUP INC    COMMON STOCK 63227W203   1535      45000    SHARES                X                 3      45000      0    0
NATIONAL
  AUSTRALIA BK LTD COMMON STOCK 632525408     81        500    SHARES                X                 1        500      0    0
NATIONAL CITY CORP COMMON STOCK 635405103    190       5100    SHARES                X                 3       5100      0    0
NATIONAL CITY
  CORP COM         COMMON STOCK 635405103    507      13600    SHARES         X                        2          0  13600    0
NATIONAL CITY
  CORP COM         COMMON STOCK 635405103     45       1215    SHARES                         X        1       1215      0    0
NATIONAL CITY
  CORP COM         COMMON STOCK 635405103    673      18075    SHARES                X                 1      18075      0    0
NATIONAL OILWELL
  VAR              COMMON STOCK 637071101    117       1500    SHARES                X                 3       1500      0    0
NATIONAL PENN
  BANCSHARES INC   COMMON STOCK 637138108    129       6836    SHARES                         X        1       6836      0    0
NATIONAL PENN
  BANCSHARES INC   COMMON STOCK 637138108    153       8113    SHARES                X                 1       8113      0    0
NATIONAL RETAIL
  PROPERTIES INC   COMMON STOCK 637417106     17        700    SHARES                         X        1       N.A.   N.A. N.A.
NATIONAL
  SEMICONDUCT      COMMON STOCK 637640103     60       2470    SHARES                X                 3       2470      0    0
NATIONAL
  SEMICONDUCTOR
  CORP CO          COMMON STOCK 637640103     91       3790    SHARES                         X        1       3790      0    0
NATIONAL
  SEMICONDUCTOR
  CORP CO          COMMON STOCK 637640103     57       2350    SHARES                X                 1       2350      0    0
NATIONWIDE HEALTH
  PROPERTIES (     COMMON STOCK 638620104     47       1500    SHARES                         X        1       N.A.   N.A. N.A.
NATIONWIDE HEALTH
  PROPERTIES
  (REIT)           COMMON STOCK 638620104     63       2000    SHARES         X                        2          0   2000    0
NATL FUEL GAS CO   COMMON STOCK 636180101     43       1000    SHARES                         X        1       1000      0    0
NATURAL GAS
  SERVICES GROUP   COMMON STOCK 63886Q109     57       4000    SHARES                         X        1       4000      0    0
NATURAL RESOURCE
  PARTNERS L P     COMMON STOCK 63900P103    840      12500    SHARES         X                        2          0  12500    0
NATURAL RESOURCE
  PARTNERS L P     COMMON STOCK 63900P103     15        217    SHARES                X                 1        217      0    0
NAVIGATORS GROUP
  INC              COMMON STOCK 638904102   1856      37000    SHARES                X                 3      37000      0    0
NAVTEQ CORP        COMMON STOCK 63936L100      2         70    SHARES                X                 1         70      0    0
NBT BANCORP INC.
  COM              COMMON STOCK 628778102     12        500    SHARES                X                 1        500      0    0
NCR CORP           COMMON STOCK 62886E108     72       1500    SHARES                X                 3       1500      0    0
NCR CORP COM       COMMON STOCK 62886E108     72       1506    SHARES                         X        1       1458      0   48
NCR CORP COM       COMMON STOCK 62886E108      5        109    SHARES                X                 1        109      0    0
NEENAH PAPER INC   COMMON STOCK 640079109      3         69    SHARES         X                        2          0     69    0
NEENAH PAPER INC   COMMON STOCK 640079109      3         84    SHARES                         X        1         65      0   19
NEENAH PAPER INC   COMMON STOCK 640079109     41       1020    SHARES                X                 1       1020      0    0
NETSOL
  TECHNOLOGIES INC COMMON STOCK 64115A204      1        500    SHARES                X                 1        500      0    0
NETWORK APPLIANCE  COMMON STOCK 64120L104    136       3700    SHARES                X                 3       3700      0    0
NETWORK APPLIANCE
  INC COM          COMMON STOCK 64120L104      2         51    SHARES                X                 1         51      0    0
NETWORK APPLIANCE
  INCORPORATED     COMMON STOCK 64120L104    332       4000    SHARES         X                        2          0   4000    0
NEUROCRINE
  BIOSCIENCES INC  COMMON STOCK 64125C109      6        500    SHARES                         X        1          0      0  500
NEW AMERICAN HIGH  PREFERRED
  INCOME FD IN     STOCK        641876107      8       3500    SHARES                         X        1       N.A.   N.A. N.A.
NEW PLAN EXCEL
  REALTY TR (REIT  COMMON STOCK 648053106     98       2975    SHARES                         X        1       N.A.   N.A. N.A.
NEW PLAN EXCEL
  REALTY TR (REIT  COMMON STOCK 648053106     26        800    SHARES                X                 1       N.A.   N.A. N.A.
NEW PLAN EXCEL
  REALTY TRUST INC COMMON STOCK 648053106   3657     113500    SHARES         X                        2          0 113500    0
NEW YORK CMNTY
  BANCO            COMMON STOCK 649445103    169       9600    SHARES                X                 3       9600      0    0
NEW YORK TIMES CO  COMMON
                   STOCK A      650111107     30       1270    SHARES                X                 3       1270      0    0
NEW YORK TIMES CO
  CL A             COMMON STOCK 650111107    235      10000    SHARES                         X        1      10000      0    0
NEW YORK TIMES CO
  CL A             COMMON STOCK 650111107     29       1220    SHARES                X                 1       1220      0    0
NEWELL RUBBERMAID
  IN               COMMON STOCK 651229106     70       2250    SHARES                X                 3       2250      0    0
NEWELL RUBBERMAID
  INC COM          COMMON STOCK 651229106    407      13082    SHARES                         X        1      12582      0  500
NEWELL RUBBERMAID
  INC COM          COMMON STOCK 651229106    843      27102    SHARES                X                 1      27102      0    0
NEWELL RUBBERMAID
  INC COM          COMMON STOCK 651229106      3        100    SHARES                X                 4        100      0    0
NEWFIELD EXPL CO   COMMON STOCK 651290108    651      15600    SHARES                X                 3      15600      0    0
NEWFIELD
  EXPLORATION CO   COMMON STOCK 651290108    168       4039    SHARES                X                 1       3814      0  225
NEWMARKET
  CORPORATION      COMMON STOCK 651587107    221       5440    SHARES                         X        1       5440      0    0
NEWMARKET
  CORPORATION      COMMON STOCK 651587107     89       2200    SHARES                X                 1       2200      0    0
NEWMARKET
  CORPORATION      COMMON STOCK 651587107     12        300    SHARES                X                 3        300      0    0
NEWMONT MINING     COMMON STOCK 651639106     42       1000    SHARES                         X        1        100      0  900



                                   37 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
NEWMONT MINING     COMMON STOCK 651639106     54       1291    SHARES                X                 1       1240     0    51
NEWMONT MINING
  CORP             COMMON STOCK 651639106    168       4000    SHARES                X                 3       4000     0     0
NEWS CORP INC-A    COMMON STOCK 65248E104    109       4703    SHARES                         X        1       4661     0    42
NEWS CORP INC-A    COMMON STOCK 65248E104   2552     110362    SHARES                X                 1     108491     0  1871
NEWS CORP INC-A    COMMON STOCK 65248E104   4173     180522    SHARES                X                 3     173687     0  6835
NEWS CORP- CLASS B COMMON STOCK 65248E203     20        800    SHARES                         X        1        800     0     0
NEWS CORP- CLASS B COMMON STOCK 65248E203     61       2500    SHARES                X                 1       2500     0     0
NEXEN INC          COMMON STOCK 65334H102     15        240    SHARES                X                 1        240     0     0
NFJ DIVIDEND,
  INTEREST,        PREFERRED
  PREMIUM          STOCK        65337H109    113       4445    SHARES                X                 1       N.A.  N.A.  N.A.
NICHOLAS-
  APPLEGATE INTL   PREFERRED
  & PREM           STOCK        65370C108     18        600    SHARES                         X        1       N.A.  N.A.  N.A.
NICOR INC          COMMON STOCK 654086107     46        950    SHARES                         X        1        950     0     0
NICOR INC          COMMON STOCK 654086107     24        500    SHARES                X                 1        500     0     0
NICOR INC          COMMON STOCK 654086107     16        340    SHARES                X                 3        340     0     0
NIKE INC           COMMON
                   STOCK B      654106103    726       6838    SHARES                X                 3       6838     0     0
NIKE INC CL B      COMMON STOCK 654106103    119       1120    SHARES                         X        1        970     0   150
NIKE INC CL B      COMMON STOCK 654106103   1164      10958    SHARES                X                 1      10858     0   100
NISOURCE INC       COMMON STOCK 65473P105     48       1971    SHARES                         X        1       1971     0     0
NISOURCE INC       COMMON STOCK 65473P105    113       4621    SHARES                X                 1       4621     0     0
NISOURCE INC       COMMON STOCK 65473P105    154       6300    SHARES                X                 3       6300     0     0
NISSAN MTR LTD
  SPONSORED ADR    COMMON STOCK 654744408     21       1000    SHARES                X                 1       1000     0     0
NOBLE CORPORATION  COMMON STOCK G65422100    111       1415    SHARES                X                 1       1415     0     0
NOBLE CORPORATION  COMMON STOCK G65422100     94       1200    SHARES                X                 3       1200     0     0
NOBLE ENERGY INC   COMMON STOCK 655044105    133       2225    SHARES                         X        1       2225     0     0
NOBLE ENERGY INC   COMMON STOCK 655044105    450       7550    SHARES                X                 1       7170     0   380
NOBLE ENERGY INC   COMMON STOCK 655044105   1551      26000    SHARES                X                 3      26000     0     0
NOKIA CORP
  SPONSORED ADR    COMMON STOCK 654902204      9        400    SHARES         X                        2          0   400     0
NOKIA CORP
  SPONSORED ADR    COMMON STOCK 654902204    354      15455    SHARES                         X        1      14655     0   800
NOKIA CORP
  SPONSORED ADR    COMMON STOCK 654902204   1002      43706    SHARES                X                 1      43706     0     0
NORDSTROM INC      COMMON STOCK 655664100    630      11900    SHARES                X                 3      11900     0     0
NORDSTROM INC COM  COMMON STOCK 655664100    159       3005    SHARES                X                 1       2860     0   145
NORFOLK SOUTHERN   COMMON STOCK 655844108    210       4150    SHARES                X                 3       4150     0     0
NORFOLK SOUTHERN
  CORP             COMMON STOCK 655844108     10        200    SHARES         X                        2          0   200     0
NORFOLK SOUTHERN
  CORP             COMMON STOCK 655844108    857      16933    SHARES                         X        1      14233     0  2700
NORFOLK SOUTHERN
  CORP             COMMON STOCK 655844108    892      17635    SHARES                X                 1      17635     0     0
NORTEL NETWORKS
  CORP             COMMON STOCK 656568508      1         53    SHARES                         X        1         53     0     0
NORTEL NETWORKS
  CORP             COMMON STOCK 656568508      3        142    SHARES                X                 1        142     0     0
NORTH EUROPEAN
  OIL REALTY TRUST COMMON STOCK 659310106      2         50    SHARES         X                        2          0    50     0
NORTHEAST
  UTILITIES COM    COMMON STOCK 664397106     12        375    SHARES                X                 1        375     0     0
NORTHERN TR CORP   COMMON STOCK 665859104    310       5170    SHARES                X                 3       5170     0     0
NORTHERN TRUST
  CORP COM         COMMON STOCK 665859104      1         20    SHARES                X                 1         20     0     0
NORTHROP GRUMMAN
  CO               COMMON STOCK 666807102    334       4500    SHARES                X                 3       4500     0     0
NORTHROP GRUMMAN
  CORP             COMMON STOCK 666807102    318       4286    SHARES                         X        1       4286     0     0
NORTHROP GRUMMAN
  CORP             COMMON STOCK 666807102    622       8386    SHARES                X                 1       8386     0     0
NORTHWEST BANCORP
  INCORPORATED     COMMON STOCK 667328108     17        621    SHARES                X                 1        621     0     0
NORTHWEST NATURAL
  GAS COMPANY      COMMON STOCK 667655104     32        700    SHARES                         X        1        700     0     0
NORTHWEST NATURAL
  GAS COMPANY      COMMON STOCK 667655104     75       1650    SHARES                X                 1       1650     0     0
NOVARTIS AG        ADR          66987V109   4637      84867    SHARES                X                 3      78983     0  5884
NOVARTIS AG ADR    COMMON STOCK 66987V109    876      16043    SHARES                         X        1      13473     0  2570
NOVARTIS AG ADR    COMMON STOCK 66987V109   6326     115790    SHARES                X                 1     113119     0  2671
NOVASTAR
  FINANCIAL
  INCORPORATE      COMMON STOCK 669947400      3        500    SHARES                         X        1       N.A.  N.A.  N.A.
NOVELIS INC        COMMON STOCK 67000X106     12        270    SHARES                         X        1        270     0     0
NOVELL INC         COMMON STOCK 670006105     76      10475    SHARES                         X        1      10475     0     0
NOVELL INC         COMMON STOCK 670006105    156      21670    SHARES                X                 1      21670     0     0
NOVELL INC         COMMON STOCK 670006105     21       2925    SHARES                X                 3       2925     0     0
NOVELL INC         COMMON STOCK 670006105      9       1200    SHARES                X                 4       1200     0     0
NOVELLUS SYS INC   COMMON STOCK 670008101    112       3500    SHARES                X                 3       3500     0     0
NOVOGEN LTD-SPONS
  ADR              COMMON STOCK 67010F103     20       2000    SHARES                         X        1       2000     0     0
NOVO-NORDISK A/S
  SPONS ADR        COMMON STOCK 670100205    113       1250    SHARES         X                        2          0  1250     0
NOVO-NORDISK A/S
  SPONS ADR        COMMON STOCK 670100205      3         35    SHARES                X                 1         35     0     0



                                   38 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
NSTAR COM          COMMON STOCK 67019E107     30        840    SHARES                X                 1       840     0     0
NU SKIN
  ENTERPRISES INC  COMMON STOCK 67018T105     13        800    SHARES         X                        2         0   800     0
NUCOR CORP         COMMON STOCK 670346105    125       1920    SHARES                         X        1      1920     0     0
NUCOR CORP         COMMON STOCK 670346105    183       2800    SHARES                X                 3      2800     0     0
NUVEEN DIV
  ADVANTAGE MUN    PREFERRED
  FD 2             STOCK        67070F100      9        500    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN INSD MUNI
  OPPORTUNITY      COMMON STOCK 670984103      7        500    SHARES         X                        2         0   500     0
NUVEEN INSD MUNI   PREFERRED
  OPPORTUNITY      STOCK        670984103      6        396    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN INSD
  QUALITY MUN FD   COMMON STOCK 67062N103     11        760    SHARES         X                        2         0   760     0
NUVEEN INSD        PREFERRED
  QUALITY MUN FD   STOCK        67062N103     69       4624    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN INSURED
  PREM INC MUNI
  FD II            COMMON STOCK 6706D8104     41       3100    SHARES         X                        2         0  3100     0
NUVEEN
  INVESTMENTS INC  COMMON STOCK 67090F106    639      13500    SHARES         X                        2         0 13500     0
NUVEEN
  INVESTMENTS INC  COMMON STOCK 67090F106     50       1065    SHARES                         X        1      1065     0     0
NUVEEN
  INVESTMENTS INC  COMMON STOCK 67090F106      5        115    SHARES                X                 1       115     0     0
NUVEEN INVT        PREFERRED
  QUALITY MUNI FD  STOCK        67062E103      5        333    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN MARYLAND    PREFERRED
  DIVIDEND ADV M   STOCK        67069R107     85       5289    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN MARYLAND
  PREM INC MUN FD  COMMON STOCK 67061Q107     39       2600    SHARES         X                        2         0  2600     0
NUVEEN MD DIV      PREFERRED
  ADVANTAGE MUN FD STOCK        67070V105     66       4059    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN MD DIV
  ADVANTAGE MUN
  FD 2             COMMON STOCK 67070V105     16       1000    SHARES         X                        2         0  1000     0
NUVEEN MUNI
  MARKET           PREFERRED
  OPPORTUNITY      STOCK        67062W103    227      15000    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN MUNI
  MARKET           PREFERRED
  OPPORTUNITY      STOCK        67062W103     27       1800    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN MUNICIPAL   PREFERRED
  ADVANTAGE FD     STOCK        67062H106     50       3142    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN MUNICIPAL   PREFERRED
  ADVANTAGE FD     STOCK        67062H106     10        650    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN MUNICIPAL   PREFERRED
  VALUE FUND       STOCK        670928100     27       2594    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN MUNICIPAL   PREFERRED
  VALUE FUND       STOCK        670928100     31       2963    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN NY INVT     PREFERRED
  QUALITY MUN FD   STOCK        67062X101     42       2965    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN PA
  DIVIDEND ADV     PREFERRED
  MUNI FD          STOCK        67070E103     16       1000    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN PA
  DIVIDEND ADV     PREFERRED
  MUNI FD          STOCK        67071W102     15        979    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN PA INVT     PREFERRED
  QUALITY MUN FD   STOCK        670972108    149      10572    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN PA INVT     PREFERRED
  QUALITY MUN FD   STOCK        670972108    144      10218    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN PA PREM     PREFERRED
  INCOME MUN FD 2  STOCK        67061F101     47       3392    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN PA PREM     PREFERRED
  INCOME MUN FD 2  STOCK        67061F101     74       5316    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN
  PERFORMANCE      PREFERRED
  PLUS MUNI F      STOCK        67062P108     14        900    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN
  PERFORMANCE      PREFERRED
  PLUS MUNI F      STOCK        67062P108     45       3000    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN PFD & CONV  PREFERRED
  INCOME FD II     STOCK        67073D102      7        500    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN PFD & CONV  PREFERRED
  INCOME FD II     STOCK        67073D102     36       2560    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN PFD & CVRT  PREFERRED
  INCOME FUND      STOCK        67073B106     21       1500    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN PREM INC    PREFERRED
  MUN FD 4         STOCK        6706K4105      5        368    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN PREM INC    PREFERRED
  MUN FD 4         STOCK        6706K4105      6        440    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN PREMIER     PREFERRED
  INSD MUNI INC F  STOCK        670987106     15       1000    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN PREMIER     PREFERRED
  INSD MUNI INC F  STOCK        670987106      6        410    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN PREMIER
  INSD MUNI INC FD COMMON STOCK 670987106     16       1050    SHARES         X                        2         0  1050     0
NUVEEN QUALITY     PREFERRED
  INCOME MUNI FD   STOCK        670977107      3        210    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN QUALITY     PREFERRED
  INCOME MUNI FD   STOCK        670977107      8        500    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN QUALITY     PREFERRED
  PFD INCOME FD 2  STOCK        67072C105     60       4085    SHARES                X                 1      N.A.  N.A.  N.A.
NUVEEN QUALITY     PREFERRED
  PFD INCOME FD 3  STOCK        67072W101    102       7000    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN SELECT
  QUALITY MUN FD   COMMON STOCK 670973106      7        450    SHARES         X                        2         0   450     0
NUVEEN SELECT      PREFERRED
  QUALITY MUN FD   STOCK        670973106      6        406    SHARES                         X        1      N.A.  N.A.  N.A.
NUVEEN VA DVD ADV
  MUNI BOND FUND   COMMON STOCK 67069M108     11        625    SHARES         X                        2         0   625     0
NUVEEN VA DVD ADV
  MUNI FD 2        COMMON STOCK 67071C106     11        650    SHARES         X                        2         0   650     0
NVIDIA CORP        COMMON STOCK 67066G104     89       3100    SHARES                X                 3      3100     0     0
NYER MEDICAL
  GROUP
  INCORPORATE      COMMON STOCK 670711100      2        825    SHARES                X                 1       825     0     0
NYSE GROUP INC     COMMON STOCK 62949W103     19        200    SHARES                         X        1       200     0     0
NYSE GROUP INC     COMMON STOCK 62949W103    122       1302    SHARES                X                 1       502     0   800
OCCIDENTAL PETE
  CORP             COMMON STOCK 674599105    567      11500    SHARES                X                 3     11500     0     0
OCCIDENTAL PETE
  CORP COM         COMMON STOCK 674599105    162       3290    SHARES                         X        1      3290     0     0
OCCIDENTAL PETE
  CORP COM         COMMON STOCK 674599105    297       6033    SHARES                X                 1      6033     0     0
OCCIDENTAL
  PETROLEUM
  CORPORATION      COMMON STOCK 674599105    539      10930    SHARES         X                        2         0 10930     0
OCEANEERING INTL
  INC COM          COMMON STOCK 675232102     25        600    SHARES                X                 1       600     0     0
OCWEN FINANCIAL
  CORP             COMMON STOCK 675746309     14       1100    SHARES                X                 3      1100     0     0



                                   39 of 58





                                                                                   COLUMN 6                      COLUMN 8
                                                           COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                   ------------------------ ----------------------          -------------------
                    COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1         TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER       CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------    ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                   
OFFICE DEPOT
  INC             COMMON STOCK 676220106     60       1700    SHARES                X                 1       1700     0     0
OFFICE DEPOT
  INC             COMMON STOCK 676220106     98       2800    SHARES                X                 3       2800     0     0
OFFICEMAX INC     COMMON STOCK 67622P101     35        673    SHARES                X                 1        673     0     0
OFFICEMAX INC     COMMON STOCK 67622P101     36        675    SHARES                X                 3        675     0     0
OGE ENERGY
  CORP COM        COMMON STOCK 670837103    105       2710    SHARES                         X        1       2710     0     0
OGE ENERGY
  CORP COM        COMMON STOCK 670837103     54       1400    SHARES                X                 1       1400     0     0
OHIO CAS CORP     COMMON STOCK 677240103      7        240    SHARES                X                 1        240     0     0
OLD NATIONAL
  BANCORP COM     COMMON STOCK 680033107    115       6306    SHARES                X                 1       6306     0     0
OLD REPUBLIC
  INTL CORP COM   COMMON STOCK 680223104    104       4700    SHARES                X                 1       4700     0     0
OLIN CORP COM     COMMON STOCK 680665205     17       1000    SHARES                         X        1       1000     0     0
OLIN CORP COM     COMMON STOCK 680665205     18       1050    SHARES                X                 1       1050     0     0
OMEGA
  FINANCIAL
  CORP            COMMON STOCK 682092101    383      13427    SHARES                         X        1      11000     0  2427
OMEGA
  FINANCIAL
  CORP            COMMON STOCK 682092101     82       2888    SHARES                X                 1       2888     0     0
OMI CORP COM
  NEW             COMMON STOCK Y6476W104    269      10000    SHARES         X                        2          0 10000     0
OMNICARE INC
  COM             COMMON STOCK 681904108     20        500    SHARES                         X        1        500     0     0
OMNICOM GROUP
  INC             COMMON STOCK 681919106    150       1470    SHARES                X                 3       1470     0     0
OMNICOM GROUP
  INC COM         COMMON STOCK 681919106    202       1975    SHARES                         X        1       1975     0     0
OMNICOM GROUP
  INC COM         COMMON STOCK 681919106    249       2434    SHARES                X                 1       2434     0     0
OMNIVISION
  TECHNOLOGIES
  INC             COMMON STOCK 682128103     17       1294    SHARES                X                 1       1294     0     0
ON TRACK
  INNOVATION      COMMON STOCK M8791A109      6        900    SHARES                X                 3        900     0     0
ON TRACK
  INNOVATIONS
  LTD             COMMON STOCK M8791A109     11       1500    SHARES                X                 1       1500     0     0
ONEOK INC         COMMON STOCK 682680103      9        200    SHARES                         X        1        200     0     0
ONEOK INC         COMMON STOCK 682680103     37        820    SHARES                X                 1        820     0     0
ONEOK PARTNERS
  LP              COMMON STOCK 68268N103     41        600    SHARES         X                        2          0   600     0
ONEOK PARTNERS
  LP              COMMON STOCK 68268N103    135       2000    SHARES                         X        1       2000     0     0
ONEOK PARTNERS
  LP              COMMON STOCK 68268N103     47        700    SHARES                X                 1        700     0     0
ONEOK PARTNERS
  LP              COMMON STOCK 68268N103    338       5000    SHARES                X                 3          0     0  5000
ONYX
  PHARMACEUTICALS COMMON STOCK 683399109    896      36100    SHARES                X                 3      36100     0     0
ONYX
  PHARMACEUTICALS
  INC             COMMON STOCK 683399109     60       2400    SHARES                X                 1       2200     0   200
OPPENHEIMER
  HLDGS           COMMON STOCK 683797104     33       1000    SHARES                X                 3       1000     0     0
OPPENHEIMER
  HOLDINGS INC
  CL A            COMMON STOCK 683797104     73       2185    SHARES                X                 1       2000     0   185
OPSWARE INC       COMMON STOCK 68383A101    772     106500    SHARES                X                 3     106500     0     0
OPSWARE, INC.     COMMON STOCK 68383A101     49       6690    SHARES                X                 1       6100     0   590
OPTEUM INC        COMMON STOCK 68384A100      0        100    SHARES                X                 1       N.A.  N.A.  N.A.
ORACLE CORP       COMMON STOCK 68389X105   1623      89570    SHARES                X                 3      89570     0     0
ORACLE
  CORPORATION     COMMON STOCK 68389X105    928      51166    SHARES         X                        2          0 51166     0
ORACLE
  CORPORATION
  COM             COMMON STOCK 68389X105    580      31980    SHARES                         X        1      31980     0     0
ORACLE
  CORPORATION
  COM             COMMON STOCK 68389X105   2430     134024    SHARES                X                 1     133324     0   700
ORACLE
  CORPORATION
  COM             COMMON STOCK 68389X105     15        850    SHARES                X                 4        850     0     0
O'REILLY
  AUTOMOTIVE
  INC COM         COMMON STOCK 686091109    430      13000    SHARES         X                        2          0 13000     0
OSHKOSH TRUCK
  CORP            COMMON STOCK 688239201     19        350    SHARES                X                 1        350     0     0
OSI RESTAURANT
  PARTNERS INC    COMMON STOCK 67104A101     49       1250    SHARES                         X        1       1250     0     0
OSI RESTAURANT
  PARTNERS INC    COMMON STOCK 67104A101     17        435    SHARES                X                 1        435     0     0
OTELCO INC        COMMON STOCK 688823202     28       1355    SHARES                X                 1       1355     0     0
OVERSEAS
  SHIPHOLDING     COMMON STOCK 690368105    964      15400    SHARES                X                 3      15400     0     0
OVERSEAS
  SHIPHOLDING
  GROUP INC       COMMON STOCK 690368105     61        980    SHARES                X                 1        900     0    80
P G & E CORP      COMMON STOCK 69331C108     72       1500    SHARES                         X        1          0     0  1500
P G & E CORP      COMMON STOCK 69331C108     61       1274    SHARES                X                 1       1274     0     0
PACCAR INC        COMMON STOCK 693718108    396       5400    SHARES         X                        2          0  5400     0
PACCAR INC        COMMON STOCK 693718108     14        187    SHARES                X                 1        187     0     0
PACCAR INC        COMMON STOCK 693718108    377       5142    SHARES                X                 3       2642     0  2500
PACER
  INTERNATIONAL
  INC             COMMON STOCK 69373H106     18        663    SHARES                X                 1        663     0     0
PACIFIC
  SUNWEAR OF
  CALIFORNIA      COMMON STOCK 694873100     27       1300    SHARES                X                 3       1300     0     0
PACKAGING CORP
  AMER            COMMON STOCK 695156109     90       3700    SHARES                X                 3       3700     0     0
PACTIV CORP       COMMON STOCK 695257105     56       1665    SHARES                X                 3       1665     0     0
PACTIV CORP COM   COMMON STOCK 695257105     36       1066    SHARES                X                 1       1066     0     0
PAIN
  THERAPEUTICS
  INCORPORATED    COMMON STOCK 69562K100     24       3000    SHARES                X                 3       3000     0     0
PALATIN
  TECHNOLOGIES
  INC             COMMON STOCK 696077304      9       5000    SHARES         X                        2          0  5000     0
PALL CORP         COMMON STOCK 696429307     37        980    SHARES                X                 3        980     0     0



                                   40 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
PALL CORP COM      COMMON STOCK 696429307     76       2000    SHARES                         X        1      2000     0     0
PALM INC           COMMON STOCK 696643105      2         87    SHARES                         X        1        87     0     0
PALM INC           COMMON STOCK 696643105     23       1259    SHARES                X                 1      1259     0     0
PAPA JOHNS
  INTERNATIONAL
  INC              COMMON STOCK 698813102      4        147    SHARES                X                 1       147     0     0
PAR
  PHARMACEUTICALS
  COS INC          COMMON STOCK 69888P106      7        286    SHARES                X                 1       286     0     0
PARAMETRIC
  TECHNOLOGY CORP  COMMON STOCK 699173209     89       4664    SHARES                         X        1      4664     0     0
PARKER HANNIFIN
  CORP             COMMON STOCK 701094104    155       1796    SHARES                         X        1      1796     0     0
PARKER HANNIFIN
  CORP             COMMON STOCK 701094104    294       3406    SHARES                X                 1      3406     0     0
PARKER HANNIFIN
  CORP             COMMON STOCK 701094104     86       1000    SHARES                X                 3      1000     0     0
PARKWAY
  PROPERTIES
  INCORPORATED     COMMON STOCK 70159Q104     78       1500    SHARES         X                        2         0  1500     0
PARTNERRE LTD      COMMON STOCK G6852T105     55        805    SHARES                         X        1       805     0     0
PARTNERS TRUST
  FINANCIAL GROUP  COMMON STOCK 70213F102     14       1213    SHARES                         X        1         0     0  1213
PARTNERS TRUST
  FINANCIAL GROUP  COMMON STOCK 70213F102     61       5357    SHARES                X                 1      5357     0     0
PATTERSON
  COMPANIES        COMMON STOCK 703395103     39       1100    SHARES                X                 3      1100     0     0
PATTERSON
  COMPANIES INC    COMMON STOCK 703395103     12        334    SHARES                         X        1       334     0     0
PATTERSON-UTI
  ENERGY INC       COMMON STOCK 703481101     21        950    SHARES                         X        1       950     0     0
PATTERSON-UTI
  ENERGY INC       COMMON STOCK 703481101     16        704    SHARES                X                 1       704     0     0
PATTERSON-UTI
  ENERGY INC       COMMON STOCK 703481101     29       1300    SHARES                X                 3      1300     0     0
PAXAR CORP         COMMON STOCK 704227107   1711      59600    SHARES                X                 3     59600     0     0
PAXAR CORP COM     COMMON STOCK 704227107    110       3830    SHARES                X                 1      3500     0   330
PAYCHEX INC        COMMON STOCK 704326107    114       3000    SHARES                X                 3      3000     0     0
PAYCHEX INC COM    COMMON STOCK 704326107    293       7750    SHARES         X                        2         0  7750     0
PAYCHEX INC COM    COMMON STOCK 704326107     79       2075    SHARES                         X        1      2075     0     0
PAYCHEX INC COM    COMMON STOCK 704326107    377       9950    SHARES                X                 1      9950     0     0
PAYLESS
  SHOESOURCE INC
  COM              COMMON STOCK 704379106     17        500    SHARES                X                 3       500     0     0
PDL BIOPHARMA INC  COMMON STOCK 69329Y104      7        300    SHARES                         X        1       300     0     0
PDL BIOPHARMA INC  COMMON STOCK 69329Y104    189       8692    SHARES                X                 1      8102     0   590
PDL BIOPHARMA INC  COMMON STOCK 69329Y104    862      39700    SHARES                X                 3     39700     0     0
PEABODY ENERGY
  CORP             COMMON STOCK 704549104    307       7640    SHARES                         X        1      4845     0  2795
PEABODY ENERGY
  CORP             COMMON STOCK 704549104   1944      48300    SHARES                X                 1     46050     0  2250
PEABODY ENERGY
  CORP             COMMON STOCK 704549104    677      16800    SHARES                X                 3     15300     0  1500
PEDIATRIX MED GRP  COMMON STOCK 705324101   3153      55265    SHARES                X                 3     55265     0     0
PEDIATRIX MEDICAL
  GROUP INC CO     COMMON STOCK 705324101    731      12815    SHARES                X                 1     12465     0   350
PEETS COFFEE &
  TEA INC COM      COMMON STOCK 705560100      6        200    SHARES                X                 1       200     0     0
PENN ESTATE INV
  TR (REIT)        COMMON STOCK 709102107     62       1400    SHARES         X                        2         0  1400     0
PENN ESTATE INV
  TR (REIT)        COMMON STOCK 709102107     13        300    SHARES                         X        1      N.A.  N.A.  N.A.
PENN ESTATE INV
  TR (REIT)        COMMON STOCK 709102107     67       1516    SHARES                X                 1      N.A.  N.A.  N.A.
PENN NATL GAMING
  INC              COMMON STOCK 707569109      3         75    SHARES                X                 1        75     0     0
PENN TREATY
  AMERICAN CORP    COMMON STOCK 707874400      0         21    SHARES                         X        1        21     0     0
PENN VA RESOURCE
  PARTNERS LP      COMMON STOCK 707884102     28       1000    SHARES                         X        1      1000     0     0
PENN VIRGINIA GP
  HOLDINGS LP      COMMON STOCK 70788P105     43       1700    SHARES         X                        2         0  1700     0
PENNEY J C INC     COMMON STOCK 708160106   4177      50830    SHARES                X                 3     48404     0  2426
PENNEY JC CO INC   COMMON STOCK 708160106     82       1000    SHARES         X                        2         0  1000     0
PENNEY JC CO INC   COMMON STOCK 708160106    198       2408    SHARES                         X        1      2408     0     0
PENNEY JC CO INC   COMMON STOCK 708160106   2029      24699    SHARES                X                 1     23898     0   801
PENNICHUCK
  CORPORATION NEW  COMMON STOCK 708254206     23       1000    SHARES                         X        1      1000     0     0
PENNICHUCK
  CORPORATION NEW  COMMON STOCK 708254206     21        889    SHARES                X                 1       889     0     0
PENNS WOODS
  BANCORP INC.     COMMON STOCK 708430103    311       9017    SHARES                X                 3      9017     0     0
PENNSYLVANIA
  COMMERCE BANCORP COMMON STOCK 708677109    204       7166    SHARES                X                 1      7166     0     0
PENNWEST ENERGY
  TRUST            COMMON STOCK 707885109     38       1300    SHARES         X                        2         0  1300     0
PENNWEST ENERGY
  TRUST            COMMON STOCK 707885109     88       3010    SHARES                         X        1      3010     0     0
PENSION WORLDWIDE
  INC              COMMON STOCK 709600100     66       2200    SHARES                X                 1      2000     0   200
PENSON WORLDWIDE   COMMON STOCK 709600100   1026      34000    SHARES                X                 3     34000     0     0
PENTAIR INC        COMMON STOCK 709631105    131       4200    SHARES                X                 3      4200     0     0
PENTAIR INC COM    COMMON STOCK 709631105    243       7800    SHARES                         X        1      7800     0     0
PENTAIR INC COM    COMMON STOCK 709631105     25        800    SHARES                X                 1       800     0     0
PEOPLES BK
  BRIDGEPORT CT    COMMON STOCK 710198102    150       3374    SHARES         X                        2         0  3374     0
PEOPLESUPPORT INC  COMMON STOCK 712714302      1        100    SHARES                X                 1       100     0     0
PEPCO HOLDINGS INC COMMON STOCK 713291102    106       3655    SHARES         X                        2         0  3655     0



                                   41 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
PEPCO HOLDINGS INC COMMON STOCK 713291102     579     19936    SHARES                         X        1      17636      0  2300
PEPCO HOLDINGS INC COMMON STOCK 713291102     466     16068    SHARES                X                 1      14542      0  1526
PEPSI BOTTLING GRP COMMON STOCK 713409100      35      1100    SHARES                X                 3       1100      0     0
PEPSIAMERICAS INC
  COM              COMMON STOCK 71343P200      13       600    SHARES                         X        1        600      0     0
PEPSICO INC        COMMON STOCK 713448108    8666    136338    SHARES                X                 3     130516      0  5822
PEPSICO INC COM    COMMON STOCK 713448108   16575    260781    SHARES                         X        1     236194      0 24587
PEPSICO INC COM    COMMON STOCK 713448108   27040    425424    SHARES                X                 1     420792      0  4632
PEPSICO INC COM    COMMON STOCK 713448108      10       150    SHARES                X                 4        150      0     0
PEPSICO
  INCORPORATED     COMMON STOCK 713448108    4687     73732    SHARES         X                        2          0  73732     0
PERFORMANCE FOOD
  GROUP CO         COMMON STOCK 713755106      12       400    SHARES                         X        1        400      0     0
PERFORMANCE FOOD
  GROUP CO         COMMON STOCK 713755106      22       700    SHARES                X                 1        700      0     0
PERKINELMER INC    COMMON STOCK 714046109      25      1030    SHARES                X                 3       1030      0     0
PERKINELMER INC
  COM              COMMON STOCK 714046109      97      4000    SHARES                         X        1       4000      0     0
PERKINELMER INC
  COM              COMMON STOCK 714046109      29      1200    SHARES                X                 1       1200      0     0
PERRIGO CO         COMMON STOCK 714290103    1651     93500    SHARES                X                 3      93500      0     0
PERRIGO COMPANY    COMMON STOCK 714290103     209     11826    SHARES                X                 1      10941      0   885
PETE & RES CORP
  COM              COMMON STOCK 716549100      35      1000    SHARES                X                 1       1000      0     0
PETMED EXPRESS INC COMMON STOCK 716382106       9       800    SHARES                X                 1        800      0     0
PETRO-CANADA       COMMON STOCK 71644E102      63      1600    SHARES                         X        1       1600      0     0
PETROCHINA CO LTD
  ADR              COMMON STOCK 71646E100      53       450    SHARES                         X        1        450      0     0
PETROHAWK ENERGY   COMMON STOCK 716495106    1221     92700    SHARES                X                 3      92700      0     0
PETROHAWK ENERGY
  CORP             COMMON STOCK 716495106      78      5900    SHARES                X                 1       5400      0   500
PETROLEO
  BRASILEIRO SA
  ADR              COMMON STOCK 71654V101      20       220    SHARES         X                        2          0    220     0
PETSMART INC       COMMON STOCK 716768106     462     14005    SHARES                         X        1      14005      0     0
PETSMART INC       COMMON STOCK 716768106    1232     37370    SHARES                X                 1      37370      0     0
PFIZER INC         COMMON STOCK 717081103   12534    496217    SHARES                         X        1     482183      0 14034
PFIZER INC         COMMON STOCK 717081103   20935    828800    SHARES                X                 1     814850      0 13950
PFIZER INC         COMMON STOCK 717081103    6314    249952    SHARES                X                 3     249952      0     0
PFIZER INC         COMMON STOCK 717081103      13       500    SHARES                X                 4        500      0     0
PFIZER
  INCORPORATED     COMMON STOCK 717081103    8181    323897    SHARES         X                        2          0 323897     0
PG&E CORP          COMMON STOCK 69331C108     144      2980    SHARES                X                 3       2980      0     0
PHARMACEUTIAL
  PRODUCT DEVEL IN COMMON STOCK 717124101     753     22355    SHARES                X                 1      21825      0   530
PHARMACEUTIAL
  PRODUCT DEVEL IN COMMON STOCK 717124101    2796     83020    SHARES                X                 3      83020      0     0
PHARMACEUTICAL     PREFERRED
  HOLDERS TRUST    STOCK        71712A206      39       500    SHARES                         X        1       N.A.   N.A.  N.A.
PHH CORPORATION    COMMON STOCK 693320202       0        12    SHARES                         X        1         12      0     0
PHOENIX COS INC
  COM              COMMON STOCK 71902E109      25      1798    SHARES         X                        2          0   1798     0
PHOENIX COS INC
  COM              COMMON STOCK 71902E109      22      1588    SHARES                         X        1       1588      0     0
PHOENIX COS INC
  COM              COMMON STOCK 71902E109      20      1455    SHARES                X                 1       1455      0     0
PICO HOLDINGS INC
  COM              COMMON STOCK 693366205      72      1691    SHARES                X                 1          0      0  1691
PIEDMONT NAT GAS
  INC              COMMON STOCK 720186105      11       400    SHARES                         X        1          0      0   400
PIEDMONT NAT GAS
  INC              COMMON STOCK 720186105      65      2480    SHARES                X                 1       2480      0     0
PIMCO CORPORATE    PREFERRED
  INCOME FUND      STOCK        72200U100      12       740    SHARES                X                 1       N.A.   N.A.  N.A.
PIMCO MUNICIPAL
  INCOME FUND      COMMON STOCK 72200R107      18      1000    SHARES         X                        2          0   1000     0
PIMCO MUNICIPAL    PREFERRED
  INCOME FUND      STOCK        72200R107       1        71    SHARES                X                 1       N.A.   N.A.  N.A.
PIMCO MUNICIPAL    PREFERRED
  INCOME FUND II   STOCK        72200W106     206     13200    SHARES                         X        1       N.A.   N.A.  N.A.
PIMCO MUNICIPAL    PREFERRED
  INCOME FUND II   STOCK        72201A103      22      1335    SHARES                X                 1       N.A.   N.A.  N.A.
PIMCO RCM STRAT    PREFERRED
  GLOBAL GOVT      STOCK        72200X104      16      1500    SHARES                X                 1       N.A.   N.A.  N.A.
PINNACLE AIRLINES
  CORP             COMMON STOCK 723443107      16       920    SHARES                X                 3        920      0     0
PINNACLE DATA
  SYSTEMS INC      COMMON STOCK 723454104       1       300    SHARES                X                 1        300      0     0
PINNACLE WEST CAP  COMMON STOCK 723484101      43       900    SHARES                X                 3        900      0     0
PINNACLE WEST
  CAPITAL CORP     COMMON STOCK 723484101      24       500    SHARES                X                 1        500      0     0
PIONEER NATURAL
  RES              COMMON STOCK 723787107     349      8100    SHARES                X                 3       8100      0     0
PIONEER NATURAL
  RESOURCES CO     COMMON STOCK 723787107      82      1903    SHARES                X                 1       1803      0   100
PIPER JAFFRAY
  COMPANIES INC    COMMON STOCK 724078100       1        10    SHARES                         X        1         10      0     0
PIPER JAFFRAY
  COMPANIES INC    COMMON STOCK 724078100       0         4    SHARES                X                 1          4      0     0
PIPER JAFFRAY
  COMPANIES INC    COMMON STOCK 724078100      56       900    SHARES                X                 3        900      0     0
PIPER JAFFRAY
  COMPANIES INC    COMMON STOCK 724078100       0         4    SHARES                X                 4          4      0     0
PITNEY BOWES INC   COMMON STOCK 724479100     146      3205    SHARES                X                 3       3205      0     0
PITNEY BOWES INC
  COM              COMMON STOCK 724479100     213      4700    SHARES                         X        1       4700      0     0



                                   42 of 58





                                                                                    COLUMN 6                       COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY             VOTING AUTHORITY
                                                    ------------------------ ----------------------          --------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ ------
                                                                                    
PITNEY BOWES INC
  COM              COMMON STOCK 724479100     470     10350    SHARES                X                 1      10350      0      0
PLAINS ALL
  AMERICAN
  PIPELINE L P     COMMON STOCK 726503105    8656    150250    SHARES         X                        2          0 150250      0
PLAINS
  EXPLORATION &
  PRODUCT C        COMMON STOCK 726505100      90      2000    SHARES                         X        1       2000      0      0
PLATINUM
  UNDERWRITER      COMMON STOCK G7127P100    1790     55800    SHARES                X                 3      55800      0      0
PLATINUM
  UNDERWRITERS
  HOLDINGS         COMMON STOCK G7127P100     116      3620    SHARES                X                 1       3300      0    320
PLUM CREEK TIMBER
  CO               COMMON STOCK 729251108      61      1550    SHARES                X                 3       1550      0      0
PLUM CREEK TIMBER
  CO INC           COMMON STOCK 729251108      69      1750    SHARES         X                        2          0   1750      0
PLUM CREEK TIMBER
  CO INC           COMMON STOCK 729251108      66      1680    SHARES                X                 1       N.A.   N.A.   N.A.
PMC-SIERRA INC     COMMON STOCK 69344F106      12      1700    SHARES                X                 3       1700      0      0
PNC FINANCIAL
  SERVICES GROUP I COMMON STOCK 693475105    5671     78791    SHARES                         X        1      73977      0   4814
PNC FINANCIAL
  SERVICES GROUP I COMMON STOCK 693475105   12937    179761    SHARES                X                 1     176701      0   3060
PNC FINANCIAL
  SERVICES GROUP I COMMON STOCK 693475105     317      4406    SHARES                X                 3       4406      0      0
PNC FINANCIAL
  SERVICES GROUP
  INC              COMMON STOCK 693475105     967     13431    SHARES         X                        2          0  13431      0
PNM RESOURCES INC  COMMON STOCK 69349H107      39      1208    SHARES                X                 1       1208      0      0
POLARIS INDS INC   COMMON STOCK 731068102     106      2200    SHARES                X                 3       2200      0      0
POLO RALPH LAUREN  COMMON
                   STOCK A      731572103      44       500    SHARES                X                 3        500      0      0
POLO RALPH LAUREN
  CORPORATION      COMMON STOCK 731572103       9       100    SHARES                X                 1        100      0      0
POOL CORP          COMMON STOCK 73278L105     107      3000    SHARES         X                        2          0   3000      0
POWERSHARES DYN    PREFERRED
  BIOTECH & GENO   STOCK        73935X856      54      3000    SHARES                         X        1       N.A.   N.A.   N.A.
POZEN INC          COMMON STOCK 73941U102    1762    119410    SHARES                X                 3     119410      0      0
POZEN INCORPORATED COMMON STOCK 73941U102     171     11588    SHARES                X                 1      10673      0    915
PPG INDS INC       COMMON STOCK 693506107    1475     20973    SHARES                         X        1      19348      0   1625
PPG INDS INC       COMMON STOCK 693506107     544      7735    SHARES                X                 1       6935      0    800
PPG INDUSTRIES INC COMMON STOCK 693506107     189      2690    SHARES                X                 3       2690      0      0
PPL CORP           COMMON STOCK 69351T106     132      3230    SHARES                X                 3       3230      0      0
PPL CORP COM       COMMON STOCK 69351T106    1963     47998    SHARES                         X        1      40436      0   7562
PPL CORP COM       COMMON STOCK 69351T106    6038    147617    SHARES                X                 1     145717      0   1900
PRAXAIR INC        COMMON STOCK 74005P104     328      5210    SHARES                X                 3       2710      0   2500
PRAXAIR INC COM    COMMON STOCK 74005P104     193      3071    SHARES                         X        1       3071      0      0
PRAXAIR INC COM    COMMON STOCK 74005P104      92      1462    SHARES                X                 1        862      0    600
PRECISION
  CASTPARTS        COMMON STOCK 740189105    6345     60983    SHARES                X                 3      56922      0   4061
PRECISION
  CASTPARTS CORP
  COM              COMMON STOCK 740189105      11       105    SHARES                         X        1        105      0      0
PRECISION
  CASTPARTS CORP
  COM              COMMON STOCK 740189105    3424     32909    SHARES                X                 1      32022      0    887
PRECISION
  DRILLING
  CORP-US$         COMMON STOCK 740215108      39      1700    SHARES         X                        2          0   1700      0
PRECISION
  DRILLING
  CORP-US$         COMMON STOCK 740215108      48      2100    SHARES                         X        1       2100      0      0
PRICE T ROWE
  GROUP INC COM    COMMON STOCK 74144T108     510     10800    SHARES         X                        2          0  10800      0
PRICE T ROWE
  GROUP INC COM    COMMON STOCK 74144T108    1241     26290    SHARES                         X        1      26100      0    190
PRICE T ROWE
  GROUP INC COM    COMMON STOCK 74144T108    1551     32860    SHARES                X                 1      32860      0      0
PRICE T ROWE GRP   COMMON STOCK 74144T108     109      2300    SHARES                X                 3       2300      0      0
PRIMEWEST ENERGY
  TRUST            COMMON STOCK 741930309      12       600    SHARES                         X        1        600      0      0
PRINCIPAL FINL
  GROUP INC        COMMON STOCK 74251V102      94      1575    SHARES                X                 1       1575      0      0
PRINCIPAL FINL GRP COMMON STOCK 74251V102     144      2400    SHARES                X                 3       2400      0      0
PROASSURANCE CORP  COMMON STOCK 74267C106     224      4380    SHARES                X                 1       4070      0    310
PROASSURANCE CORP  COMMON STOCK 74267C106    2348     45900    SHARES                X                 3      45900      0      0
PROCTER & GAMBLE
  CO               COMMON STOCK 742718109   13776    218096    SHARES                X                 3     208062      0  10034
PROCTER & GAMBLE
  CO COM           COMMON STOCK 742718109   35379    560156    SHARES                         X        1     452638      0 107518
PROCTER & GAMBLE
  CO COM           COMMON STOCK 742718109   40333    638583    SHARES                X                 1     623916      0  14667
PROCTER & GAMBLE
  CO COM           COMMON STOCK 742718109      19       295    SHARES                X                 4        295      0      0
PROCTER & GAMBLE
  CORPORATION      COMMON STOCK 742718109   19350    306379    SHARES         X                        2          0 306379      0
PROGRESS ENERGY
  INC              COMMON STOCK 743263105     107      2127    SHARES                X                 3       2127      0      0
PROGRESS ENERGY
  INC COM          COMMON STOCK 743263105     162      3209    SHARES                         X        1       3209      0      0
PROGRESS ENERGY
  INC COM          COMMON STOCK 743263105     430      8531    SHARES                X                 1       7931      0    600
PROGRESSIVE CORP   COMMON STOCK 743315103     141      6440    SHARES                X                 3       6440      0      0
PROGRESSIVE CORP
  COM              COMMON STOCK 743315103      87      4000    SHARES                X                 1       4000      0      0
PROLOGIS           COMMON STOCK 743410102     143      2200    SHARES                X                 3       2200      0      0
PROLOGIS (REIT)    COMMON STOCK 743410102     110      1688    SHARES         X                        2          0   1688      0
PROLOGIS (REIT)    COMMON STOCK 743410102      28       430    SHARES                X                 1       N.A.   N.A.   N.A.
PROTECTIVE LIFE
  CORP             COMMON STOCK 743674103     101      2300    SHARES                X                 3       2300      0      0
PROVIDENT
  BANKSHARES
  CORPORATI        COMMON STOCK 743859100      92      2810    SHARES                         X        1       2810      0      0



                                   43 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
PROVIDENT
  BANKSHARES
  CORPORATI        COMMON STOCK 743859100    737      22427    SHARES                X                 1      22427      0    0
PROVIDENT ENERGY
  TRUST UNITS      COMMON STOCK 74386K104     18       1700    SHARES                         X        1       1700      0    0
PROVIDENT ENERGY
  TRUST UNITS      COMMON STOCK 74386K104     65       6000    SHARES                X                 1       6000      0    0
PROVIDENT
  FINANCIAL
  SERVICES I       COMMON STOCK 74386T105     17       1000    SHARES                X                 1       1000      0    0
PROXYMED INC       COMMON STOCK 744290305      1        500    SHARES                         X        1        500      0    0
PRUDENTIAL
  FINANCIAL INC    COMMON STOCK 744320102     89        988    SHARES                         X        1        988      0    0
PRUDENTIAL
  FINANCIAL INC    COMMON STOCK 744320102    325       3597    SHARES                X                 1       3597      0    0
PRUDENTIAL FINL    COMMON STOCK 744320102    370       4100    SHARES                X                 3       4100      0    0
PSYCHIATRIC
  SOLUTION         COMMON STOCK 74439H108   3482      86400    SHARES                X                 3      86400      0    0
PSYCHIATRIC
  SOLUTIONS INC    COMMON STOCK 74439H108     48       1200    SHARES                         X        1       1200      0    0
PSYCHIATRIC
  SOLUTIONS INC    COMMON STOCK 74439H108    355       8809    SHARES                X                 1       8124      0  685
PUBLIC STORAGE INC COMMON STOCK 74460D109     99       1050    SHARES                X                 3       1050      0    0
PUBLIC STORAGE
  INC COM          COMMON STOCK 74460D109      5         56    SHARES                X                 1       N.A.   N.A. N.A.
PUBLIC SVC ENTERPR COMMON STOCK 744573106    175       2110    SHARES                X                 3       2110      0    0
PUBLIC SVC
  ENTERPRISE
  GROUP IN         COMMON STOCK 744573106    334       4028    SHARES                         X        1       4028      0    0
PUBLIC SVC
  ENTERPRISE
  GROUP IN         COMMON STOCK 744573106    381       4588    SHARES                X                 1       4588      0    0
PUGET ENERGY INC
  COM              COMMON STOCK 745310102     22        875    SHARES                         X        1        875      0    0
PUGET ENERGY INC
  COM              COMMON STOCK 745310102     60       2340    SHARES                X                 1       2340      0    0
PULTE HOMES INC    COMMON STOCK 745867101     53       2000    SHARES                X                 3       2000      0    0
PULTE HOMES INC
  COM              COMMON STOCK 745867101    132       5000    SHARES         X                        2          0   5000    0
PURE CYCLE CORP    COMMON STOCK 746228303     80      10000    SHARES                         X        1      10000      0    0
PUTNAM MANAGED     PREFERRED
  MUNICIPAL INCOM  STOCK        746823103     17       2146    SHARES                         X        1       N.A.   N.A. N.A.
PUTNAM PREMIER     PREFERRED
  INCOME TRUST     STOCK        746853100      2        300    SHARES                         X        1       N.A.   N.A. N.A.
PUTNAM PREMIER     PREFERRED
  INCOME TRUST     STOCK        746853100      1        144    SHARES                X                 1       N.A.   N.A. N.A.
QLOGIC CORP        COMMON STOCK 747277101     24       1400    SHARES                X                 3       1400      0    0
QLT INC            COMMON STOCK 746927102     65       8320    SHARES                X                 3       8320      0    0
QUALCOMM INC       COMMON STOCK 747525103   7764     182022    SHARES                X                 3     174858      0 7164
QUALCOMM INC COM   COMMON STOCK 747525103    299       7000    SHARES         X                        2          0   7000    0
QUALCOMM INC COM   COMMON STOCK 747525103    832      19495    SHARES                         X        1      19095      0  400
QUALCOMM INC COM   COMMON STOCK 747525103   7364     172622    SHARES                X                 1     170827      0 1795
QUEST DIAGNOSTICS  COMMON STOCK 74834L100     70       1400    SHARES                X                 3       1400      0    0
QUEST DIAGNOSTICS
  INC              COMMON STOCK 74834L100     90       1800    SHARES         X                        2          0   1800    0
QUEST DIAGNOSTICS
  INC              COMMON STOCK 74834L100    403       8073    SHARES                         X        1       7773      0  300
QUEST DIAGNOSTICS
  INC              COMMON STOCK 74834L100    565      11328    SHARES                X                 1      11328      0    0
QUESTAR CORP       COMMON STOCK 748356102     71        800    SHARES                X                 3        800      0    0
QUESTAR CORP COM   COMMON STOCK 748356102    152       1700    SHARES                         X        1       1700      0    0
QUESTAR CORP COM   COMMON STOCK 748356102    134       1500    SHARES                X                 1       1500      0    0
QWEST COMMUNCTN
  INTL             COMMON STOCK 749121109    125      13854    SHARES                X                 3      13854      0    0
QWEST
  COMMUNICATIONS
  INTERNATIONAL    COMMON STOCK 749121109   2941     327155    SHARES         X                        2          0 327155    0
QWEST
  COMMUNICATIONS
  INTL INC         COMMON STOCK 749121109     16       1814    SHARES                         X        1       1604      0  210
QWEST
  COMMUNICATIONS
  INTL INC         COMMON STOCK 749121109     26       2931    SHARES                X                 1       2931      0    0
R H DONNELLEY CORP COMMON STOCK 74955W307     17        240    SHARES                         X        1        240      0    0
R H DONNELLEY CORP COMMON STOCK 74955W307      8        111    SHARES                X                 1        111      0    0
RADA ELECTRONIC
  INDS LTD         COMMON STOCK M81863116      0        200    SHARES                X                 1        200      0    0
RADIAN GROUP INC   COMMON STOCK 750236101   5110      93117    SHARES                X                 3      89579      0 3538
RADIAN GROUP INC
  COM              COMMON STOCK 750236101   2143      39053    SHARES                X                 1      37711      0 1342
RADIOSHACK CORP    COMMON STOCK 750438103     30       1100    SHARES                X                 3       1100      0    0
RAINING DATA
  CORPORATION      COMMON STOCK 75087R108    199      70000    SHARES         X                        2          0  70000    0
RAIT FINANCIAL
  TRUST            COMMON STOCK 749227104     14        500    SHARES                         X        1       N.A.   N.A. N.A.
RALCORP HLDGS INC  COMMON STOCK 751028101   1518      23600    SHARES                X                 3      23600      0    0
RALCORP HOLDINGS
  INC COM          COMMON STOCK 751028101     98       1530    SHARES                X                 1       1400      0  130
RANGE RESOURCES
  CORPORATION      COMMON STOCK 75281A109     11        315    SHARES                X                 1        315      0    0
RAYONIER INC COM   COMMON STOCK 754907103    123       2850    SHARES                         X        1       2850      0    0
RAYONIER INC COM   COMMON STOCK 754907103     12        288    SHARES                X                 1        288      0    0
RAYONIER
  INCORPORATED     COMMON STOCK 754907103   2481      57700    SHARES         X                        2          0  57700    0
RAYTHEON           COMMON STOCK 755111507    205       3900    SHARES                X                 3       3900      0    0
RAYTHEON CO COM
  NEW              COMMON STOCK 755111507   1036      19754    SHARES                         X        1      19254      0  500
RAYTHEON CO COM
  NEW              COMMON STOCK 755111507    604      11518    SHARES                X                 1      10194      0 1324
RAYTHEON CO COM
  NEW              COMMON STOCK 755111507     10        200    SHARES                X                 4        200      0    0



                                   44 of 58





                                                                                         COLUMN 6
                                                                 COLUMN 5          INVESTMENT AUTHORITY
                                                         ------------------------ ----------------------
                       COLUMN 2                COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1            TITLE OF      COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER          CLASS         CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
--------------       --------------- --------- --------- --------- --------- ---- ---- -------- -------- --------
                                                                           
REALOGY CORP         COMMON STOCK    75605E100     45       1528    SHARES                         X        1
REALOGY CORP         COMMON STOCK    75605E100      9        312    SHARES                X                 1
REALOGY CORP         COMMON STOCK    75605E100     80       2700    SHARES                X                 3
REALTY INCOME
  CORP               COMMON STOCK    756109104    169       6000    SHARES         X                        2
RED HAT INC          COMMON STOCK    756577102    915      39900    SHARES                X                 3
RED HAT INC COM      COMMON STOCK    756577102     11        500    SHARES         X                        2
RED HAT INC COM      COMMON STOCK    756577102     58       2535    SHARES                X                 1
REDWOOD TRUST
  INC-REIT           COMMON STOCK    758075402     52       1000    SHARES         X                        2
REDWOOD TRUST
  INC-REIT           COMMON STOCK    758075402     22        420    SHARES                X                 1
REGENERX
  BIOPHARMACEUTICALS
  INC                COMMON STOCK    75886X108     26      11400    SHARES         X                        2
REGIONS
  FINANCIAL
  CORP               COMMON STOCK    7591EP100      6        164    SHARES         X                        2
REGIONS
  FINANCIAL
  CORP               COMMON STOCK    7591EP100    267       7559    SHARES                         X        1
REGIONS
  FINANCIAL
  CORP               COMMON STOCK    7591EP100    114       3223    SHARES                X                 1
REGIONS FINL
  CORP               COMMON STOCK    7591EP100    219       6197    SHARES                X                 3
REGIS CORP MINN      COMMON STOCK    758932107      4        100    SHARES                X                 1
REPSOL YPF SA
  SPON ADR           COMMON STOCK    76026T205     34       1000    SHARES                X                 1
RESEARCH IN
  MOTION
  LIMITED            COMMON STOCK    760975102   3740      27400    SHARES         X                        2
REUTERS GROUP
  PLC SPONS ADR      COMMON STOCK    76132M102     40        719    SHARES                X                 1
REYNOLDS
  AMERICAN INC       COMMON STOCK    761713106     56        900    SHARES                         X        1
REYNOLDS
  AMERICAN INC       COMMON STOCK    761713106    107       1716    SHARES                X                 1
REYNOLDS AMERN
  INC                COMMON STOCK    761713106     94       1500    SHARES                X                 3
RF MICRO
  DEVICES INC
  COM                COMMON STOCK    749941100     81      12974    SHARES                X                 1
RF
  MICRODEVICES
  INC                COMMON STOCK    749941100    261      41800    SHARES                X                 3
RITE AID CORP
  COM                COMMON STOCK    767754104      3        600    SHARES                         X        1
RITE AID CORP
  COM                COMMON STOCK    767754104     32       5600    SHARES                X                 1
ROBBINS &
  MEYERS INC         COMMON STOCK    770196103     81       2180    SHARES                X                 1
ROBBINS &
  MYERS INC          COMMON STOCK    770196103   1260      33800    SHARES                X                 3
ROBERT HALF
  INTL INC           COMMON STOCK    770323103     68       1840    SHARES                X                 3
ROBERT HALF
  INTL INC COM       COMMON STOCK    770323103     45       1205    SHARES                         X        1
ROBERT HALF
  INTL INC COM       COMMON STOCK    770323103     76       2040    SHARES                X                 1
ROCHESTER
  MEDICAL CORP       COMMON STOCK    771497104      3        150    SHARES                X                 1
ROCKWELL
  AUTOMATION         COMMON STOCK    773903109   6738     112553    SHARES                X                 3
ROCKWELL
  AUTOMATION
  INC.               COMMON STOCK    773903109     98       1632    SHARES         X                        2
ROCKWELL
  AUTOMATION
  INC.               COMMON STOCK    773903109    997      16660    SHARES                         X        1
ROCKWELL
  AUTOMATION
  INC.               COMMON STOCK    773903109   6872     114788    SHARES                X                 1
ROCKWELL
  COLLINS COM        COMMON STOCK    774341101    109       1632    SHARES         X                        2
ROCKWELL
  COLLINS COM        COMMON STOCK    774341101    164       2455    SHARES                         X        1
ROCKWELL
  COLLINS COM        COMMON STOCK    774341101    347       5182    SHARES                X                 1
ROCKWELL
  COLLINS INC        COMMON STOCK    774341101     96       1440    SHARES                X                 3
ROHM & HAAS CO       COMMON STOCK    775371107    615      11896    SHARES                         X        1
ROHM & HAAS CO       COMMON STOCK    775371107     22        431    SHARES                X                 1
ROHM & HAAS CO       COMMON STOCK    775371107     59       1150    SHARES                X                 3
ROSS STORES INC      COMMON STOCK    778296103    862      25050    SHARES                X                 3
ROSS STORES
  INC COM            COMMON STOCK    778296103    155       4500    SHARES                         X        1
ROSS STORES
  INC COM            COMMON STOCK    778296103    770      22391    SHARES                X                 1
ROWAN COS INC        COMMON STOCK    779382100     34       1060    SHARES                X                 3
ROYAL BANK
  SCOTLAND PFD
  6.4% S             PREFERRED STOCK 780097796     52       2000    SHARES                X                 1
ROYAL BK CANADA      COMMON STOCK    780087102     40        800    SHARES         X                        2
ROYAL BK CANADA      COMMON STOCK    780087102     50       1000    SHARES                         X        1
ROYAL DUTCH
  SHELL
  PLC-ADR A          COMMON STOCK    780259206    332       5014    SHARES         X                        2
ROYAL DUTCH
  SHELL
  PLC-ADR A          COMMON STOCK    780259206   3607      54401    SHARES                         X        1
ROYAL DUTCH
  SHELL
  PLC-ADR A          COMMON STOCK    780259206   3635      54834    SHARES                X                 1
ROYAL DUTCH
  SHELL
  PLC-ADR A          COMMON STOCK    780259206     42        630    SHARES                X                 3
ROYAL DUTCH
  SHELL
  PLC-ADR B          COMMON STOCK    780259107     53        800    SHARES         X                        2
ROYCE VALUE
  TRUST (CE)         COMMON STOCK    780910105     22       1000    SHARES                X                 1
RPM
  INCORPORATED
  OHIO               COMMON STOCK    749685103    839      36300    SHARES         X                        2
RPM INTL INC         COMMON STOCK    749685103     74       3190    SHARES                         X        1
RPM INTL INC         COMMON STOCK    749685103     12        500    SHARES                X                 1
RTI
  INTERNATIONAL
  METALS INC         COMMON STOCK    74973W107      3         35    SHARES                X                 1



                          COLUMN 8
                      VOTING AUTHORITY
                     -------------------

   COLUMN 1
NAME OF ISSUER        SOLE  SHARED OTHER
--------------       ------ ------ -----
                          
REALOGY CORP           1528     0     0
REALOGY CORP            312     0     0
REALOGY CORP           2700     0     0
REALTY INCOME
  CORP                    0  6000     0
RED HAT INC           39900     0     0
RED HAT INC COM           0   500     0
RED HAT INC COM        2300     0   235
REDWOOD TRUST
  INC-REIT                0  1000     0
REDWOOD TRUST
  INC-REIT             N.A.  N.A.  N.A.
REGENERX
  BIOPHARMACEUTICALS
  INC                     0 11400     0
REGIONS
  FINANCIAL
  CORP                    0   164     0
REGIONS
  FINANCIAL
  CORP                 7559     0     0
REGIONS
  FINANCIAL
  CORP                 3223     0     0
REGIONS FINL
  CORP                 6197     0     0
REGIS CORP MINN         100     0     0
REPSOL YPF SA
  SPON ADR             1000     0     0
RESEARCH IN
  MOTION
  LIMITED                 0 27400     0
REUTERS GROUP
  PLC SPONS ADR         719     0     0
REYNOLDS
  AMERICAN INC          900     0     0
REYNOLDS
  AMERICAN INC         1716     0     0
REYNOLDS AMERN
  INC                  1500     0     0
RF MICRO
  DEVICES INC
  COM                 12294     0   680
RF
  MICRODEVICES
  INC                 41800     0     0
RITE AID CORP
  COM                   600     0     0
RITE AID CORP
  COM                  3300     0  2300
ROBBINS &
  MEYERS INC           2000     0   180
ROBBINS &
  MYERS INC           33800     0     0
ROBERT HALF
  INTL INC             1840     0     0
ROBERT HALF
  INTL INC COM         1100     0   105
ROBERT HALF
  INTL INC COM         2040     0     0
ROCHESTER
  MEDICAL CORP          150     0     0
ROCKWELL
  AUTOMATION         106274     0  6279
ROCKWELL
  AUTOMATION
  INC.                    0  1632     0
ROCKWELL
  AUTOMATION
  INC.                13330     0  3330
ROCKWELL
  AUTOMATION
  INC.               111239     0  3549
ROCKWELL
  COLLINS COM             0  1632     0
ROCKWELL
  COLLINS COM          2375     0    80
ROCKWELL
  COLLINS COM          5182     0     0
ROCKWELL
  COLLINS INC          1440     0     0
ROHM & HAAS CO        11896     0     0
ROHM & HAAS CO          431     0     0
ROHM & HAAS CO         1150     0     0
ROSS STORES INC       22550     0  2500
ROSS STORES
  INC COM              2975     0  1525
ROSS STORES
  INC COM             21362     0  1029
ROWAN COS INC          1060     0     0
ROYAL BANK
  SCOTLAND PFD
  6.4% S               N.A.  N.A.  N.A.
ROYAL BK CANADA           0   800     0
ROYAL BK CANADA        1000     0     0
ROYAL DUTCH
  SHELL
  PLC-ADR A               0  5014     0
ROYAL DUTCH
  SHELL
  PLC-ADR A           49601     0  4800
ROYAL DUTCH
  SHELL
  PLC-ADR A           54434     0   400
ROYAL DUTCH
  SHELL
  PLC-ADR A             630     0     0
ROYAL DUTCH
  SHELL
  PLC-ADR B               0   800     0
ROYCE VALUE
  TRUST (CE)           1000     0     0
RPM
  INCORPORATED
  OHIO                    0 36300     0
RPM INTL INC           3190     0     0
RPM INTL INC            500     0     0
RTI
  INTERNATIONAL
  METALS INC             35     0     0



                                   45 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
RUBY TUESDAY       COMMON STOCK 781182100      11       400    SHARES                X                 1        400     0      0
RYDER SYSTEMS INC  COMMON STOCK 783549108      23       470    SHARES                X                 3        470     0      0
RYDEX RUSSELL TOP  PREFERRED
  50 ETF           STOCK        78355W205     555      5280    SHARES                         X        1       N.A.  N.A.   N.A.
RYLAND GROUP INC   COMMON STOCK 783764103      46      1100    SHARES         X                        2          0  1100      0
S & T BANCORP INC  COMMON STOCK 783859101      13       400    SHARES                         X        1        400     0      0
SABRE HOLDING CORP COMMON
                   STOCK A      785905100      36      1100    SHARES                X                 3       1100     0      0
SABRE HOLDINGS
  CORPORATION COM  COMMON STOCK 785905100       9       283    SHARES                         X        1        283     0      0
SAFECO CORP        COMMON STOCK 786429100      61       925    SHARES                X                 3        925     0      0
SAFETY INSURANCE
  GRP              COMMON STOCK 78648T100      13       322    SHARES                X                 1        322     0      0
SAFEWAY INC        COMMON STOCK 786514208     170      4655    SHARES                X                 3       4655     0      0
SAFEWAY INC COM    COMMON STOCK 786514208      66      1800    SHARES                         X        1        300     0   1500
SAFEWAY INC COM    COMMON STOCK 786514208       9       252    SHARES                X                 1        252     0      0
SAIC INC           COMMON STOCK 78390X101      85      4925    SHARES                X                 1       4500     0    425
SAIC INC           COMMON STOCK 78390X101    1335     77100    SHARES                X                 3      77100     0      0
SALESFORCE.COM INC COMMON STOCK 79466L302       2        43    SHARES                X                 1         43     0      0
SALISBURY BANCORP
  INC              COMMON STOCK 795226109     209      5700    SHARES         X                                5700     0      0
SALLY BEAUTY
  COMPANY INC      COMMON STOCK 79546E104       1       100    SHARES                X                 1        100     0      0
SAN JUAN BASIN
  ROYALTY TR       COMMON STOCK 798241105       6       200    SHARES                         X        1        200     0      0
SAN JUAN BASIN
  ROYALTY TR       COMMON STOCK 798241105      31      1000    SHARES                X                 1       1000     0      0
SANDISK CORP       COMMON STOCK 80004C101      85      1950    SHARES                X                 3       1950     0      0
SANDISK CORP COM   COMMON STOCK 80004C101       4       100    SHARES                         X        1        100     0      0
SANDISK CORP COM   COMMON STOCK 80004C101     123      2805    SHARES                X                 1       2805     0      0
SANDY SPRING
  BANCORP INC      COMMON STOCK 800363103    1251     36100    SHARES                         X        1      36100     0      0
SANDY SPRING
  BANCORP INC      COMMON STOCK 800363103       7       200    SHARES                X                 1        200     0      0
SANMINA-SCI CORP   COMMON STOCK 800907107      14      4000    SHARES                X                 3       4000     0      0
SANOFI-AVENTIS     SPONSORED
                   ADR          80105N105     109      2500    SHARES                X                 3       2500     0      0
SANOFI-AVENTIS ADR COMMON STOCK 80105N105      61      1400    SHARES                         X        1       1400     0      0
SANOFI-AVENTIS ADR COMMON STOCK 80105N105      44      1000    SHARES                X                 1       1000     0      0
SAP AG SPONS ADR   COMMON STOCK 803054204      11       250    SHARES         X                        2          0   250      0
SAP AG SPONS ADR   COMMON STOCK 803054204      54      1200    SHARES                         X        1       1200     0      0
SAP AG SPONS ADR   COMMON STOCK 803054204      13       300    SHARES                X                 1        300     0      0
SAP AG SPONS ADR   COMMON STOCK 803054204     241      5400    SHARES                X                 3       5400     0      0
SARA LEE CORP      COMMON STOCK 803111103     872     51540    SHARES                         X        1      45740     0   5800
SARA LEE CORP      COMMON STOCK 803111103     339     20043    SHARES                X                 1      20043     0      0
SARA LEE CORP      COMMON STOCK 803111103     139      8220    SHARES                X                 3       8220     0      0
SASOL LTD
  SPONS-ADR        COMMON STOCK 803866300      33      1000    SHARES                         X        1       1000     0      0
SAUL CENTERS
  INCORPORATED     COMMON STOCK 804395101     142      2500    SHARES         X                        2          0  2500      0
SCANA CORP NEW COM COMMON STOCK 80589M102     307      7110    SHARES                         X        1       7110     0      0
SCANA CORP NEW COM COMMON STOCK 80589M102     342      7911    SHARES                X                 1       7911     0      0
SCANA CORP NEW COM COMMON STOCK 80589M102      95      2200    SHARES                X                 3       2200     0      0
SCHERING PLOUGH
  CORP             COMMON STOCK 806605101     398     15600    SHARES         X                        2          0 15600      0
SCHERING PLOUGH
  CORP             COMMON STOCK 806605101    1375     53886    SHARES                         X        1      42136     0  11750
SCHERING PLOUGH
  CORP             COMMON STOCK 806605101    2314     90708    SHARES                X                 1      90708     0      0
SCHERING PLOUGH
  CORP             COMMON STOCK 806605101     336     13180    SHARES                X                 3      13180     0      0
SCHERING-PLOUGH    PREFERRED
  CV PFD 6.0% 09   STOCK        806605606      46       775    SHARES                         X        1       N.A.  N.A.   N.A.
SCHLUMBERGER LTD   COMMON STOCK 806857108    2412     34906    SHARES         X                        2          0 34906      0
SCHLUMBERGER LTD   COMMON STOCK 806857108    5176     74911    SHARES                         X        1      69516     0   5395
SCHLUMBERGER LTD   COMMON STOCK 806857108   17026    246403    SHARES                X                 1     244968     0   1435
SCHLUMBERGER LTD   COMMON STOCK 806857108    5742     83082    SHARES                X                 3      77240     0   5842
SCHLUMBERGER LTD   COMMON STOCK 806857108      28       400    SHARES                X                 4        400     0      0
SCHWAB CHARLES
  CORP             COMMON STOCK 808513105     163      8900    SHARES                X                 3       8900     0      0
SCHWAB CHARLES
  CORP NEW COM     COMMON STOCK 808513105     315     17247    SHARES                X                 1      17247     0      0
SCOLR PHARMA INC   COMMON STOCK 78402X107      24     10000    SHARES         X                        2          0 10000      0
SCOTTISH POWER
  PLC ADR          COMMON STOCK 81013T804      27       428    SHARES                         X        1        428     0      0
SCRIPPS E W CO     COMMON
  OHIO             STOCK A      811054204      31       700    SHARES                X                 3        700     0      0
SEAGATE TECHNOLOGY COMMON STOCK G7945J104     215      9234    SHARES                         X        1       6609     0   2625
SEAGATE TECHNOLOGY COMMON STOCK G7945J104    2247     96446    SHARES                X                 1      92743     0   3703
SEAGATE TECHNOLOGY COMMON STOCK G7945J104    1269     54431    SHARES                X                 3      50946     0   3485
SEALED AIR CORP    COMMON STOCK 81211K100      43      1364    SHARES                X                 3       1364     0      0



                                   46 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
SEARS HOLDING CORP COMMON STOCK 812350106     400      2221    SHARES                X                 3      2221      0     0
SEARS HOLDINGS
  CORP             COMMON STOCK 812350106      31       172    SHARES                         X        1       172      0     0
SEARS HOLDINGS
  CORP             COMMON STOCK 812350106     811      4500    SHARES                X                 1      4270      0   230
SEASPAN CORP       COMMON STOCK Y75638109     147      5500    SHARES                         X        1      5500      0     0
SEI CORP COM       COMMON STOCK 784117103      23       390    SHARES                         X        1       390      0     0
SEI CORP COM       COMMON STOCK 784117103     104      1735    SHARES                X                 1      1735      0     0
SELECT COMFORT
  CORPORATION      COMMON STOCK 81616X103      18      1000    SHARES                X                 3      1000      0     0
SELECT SECTOR SPDR SBI CONS
                   DISCR        81369Y407    1063     28000    SHARES                X                 3     28000      0     0
SELECTIVE INS
  GROUP INC        COMMON STOCK 816300107       5       200    SHARES                X                 1       200      0     0
SELIGMAN SELECT    PREFERRED
  MUNICIPAL FD     STOCK        816344105      10      1000    SHARES                         X        1      N.A.   N.A.  N.A.
SEMICONDUCTOR MFG
  INTL CORP-ADR    COMMON STOCK 81663N206       7      1000    SHARES         X                        2         0   1000     0
SEMPRA ENERGY      COMMON STOCK 816851109     139      2276    SHARES                X                 3      2276      0     0
SEMPRA ENERGY COM  COMMON STOCK 816851109      38       626    SHARES                         X        1       626      0     0
SEMPRA ENERGY COM  COMMON STOCK 816851109      12       200    SHARES                X                 1       200      0     0
SENIOR HOUSING
  PROPERTIES TR (  COMMON STOCK 81721M109       2       100    SHARES                         X        1      N.A.   N.A.  N.A.
SENIOR HOUSING
  PROPERTIES TR (  COMMON STOCK 81721M109      12       500    SHARES                X                 1      N.A.   N.A.  N.A.
SEPRACOR INC       COMMON STOCK 817315104     937     20089    SHARES                X                 3     20089      0     0
SEPRACOR INC COM   COMMON STOCK 817315104     198      4251    SHARES                X                 1      3966      0   285
SERVICE
  CORPORATION INTL COMMON STOCK 817565104      87      7300    SHARES         X                        2         0   7300     0
SERVICEMASTER CO
  COM              COMMON STOCK 81760N109     223     14500    SHARES                         X        1         0      0 14500
SEVERN BANCORP INC COMMON STOCK 81811M100     569     28150    SHARES                         X        1     28150      0     0
SEVERN BANCORP INC COMMON STOCK 81811M100      10       484    SHARES                X                 1       484      0     0
SHERWIN WILLIAMS
  CO               COMMON STOCK 824348106      60       910    SHARES                X                 3       910      0     0
SHERWIN WILLIAMS
  CO COM           COMMON STOCK 824348106     343      5200    SHARES                         X        1       200      0  5000
SHERWIN WILLIAMS
  CO COM           COMMON STOCK 824348106      25       380    SHARES                X                 1       380      0     0
SHIP FINANCE INTL
  LTD              COMMON STOCK G81075106       4       140    SHARES                X                 1       140      0     0
SHUFFLE MASTER INC COMMON STOCK 825549108     112      6143    SHARES                X                 1      6143      0     0
SHUFFLE MASTER INC COMMON STOCK 825549108     550     30100    SHARES                X                 3     30100      0     0
SIERRA HEALTH
  SERVICES INC     COMMON STOCK 826322109      68      1650    SHARES                X                 1      1500      0   150
SIERRA HEALTH
  SERVICES INC     COMMON STOCK 826322109    1233     29950    SHARES                X                 3     29950      0     0
SIERRA PAC RES     COMMON STOCK 826428104      13       742    SHARES                X                 1       742      0     0
SIGMA ALDRICH CORP COMMON STOCK 826552101      46      1100    SHARES                X                 3      1100      0     0
SIMON PPTY INC     COMMON STOCK 828806109     217      1950    SHARES                X                 3      1950      0     0
SIMON PROPERTY
  GROUP
  INCORPORATED     COMMON STOCK 828806109    2316     20814    SHARES         X                        2         0  20814     0
SIMON PROPERTY
  GRP INC (REIT)   COMMON STOCK 828806109    1382     12425    SHARES                         X        1      N.A.   N.A.  N.A.
SIMON PROPERTY
  GRP INC (REIT)   COMMON STOCK 828806109    1795     16134    SHARES                X                 1      N.A.   N.A.  N.A.
SIRIUS SATELLITE
  RADIO INC COM    COMMON STOCK 82966U103      62     19500    SHARES         X                        2         0  19500     0
SIRIUS SATELLITE
  RADIO INC COM    COMMON STOCK 82966U103       3      1000    SHARES                         X        1      1000      0     0
SIRIUS SATELLITE
  RADIO INC COM    COMMON STOCK 82966U103      24      7570    SHARES                X                 1      7570      0     0
SIX FLAGS INC      COMMON STOCK 83001P109      24      4000    SHARES         X                        2         0   4000     0
SKYWORKS
  SOLUTIONSINC     COMMON STOCK 83088M102       0        70    SHARES                X                 1        70      0     0
SL GREEN REALTY
  CORP (REIT)      COMMON STOCK 78440X101       9        67    SHARES                X                 1      N.A.   N.A.  N.A.
SLM CORP           COMMON STOCK 78442P106     144      3525    SHARES                X                 3      3525      0     0
SLM CORP COM       COMMON STOCK 78442P106     133      3246    SHARES                X                 1      3246      0     0
SLM CORP.          COMMON STOCK 78442P106   18881    461640    SHARES         X                        2         0 461640     0
SMITH INTL INC     COMMON STOCK 832110100     288      6000    SHARES                         X        1      6000      0     0
SMITH INTL INC     COMMON STOCK 832110100    2225     46300    SHARES                X                 1     46300      0     0
SMITH INTL INC     COMMON STOCK 832110100      86      1800    SHARES                X                 3      1800      0     0
SMITHFIELD FOODS
  INC              COMMON STOCK 832248108      27       900    SHARES         X                        2         0    900     0
SMITHFIELD FOODS
  INC              COMMON STOCK 832248108      30      1000    SHARES                         X        1      1000      0     0
SNAP ON INC        COMMON STOCK 833034101      84      1750    SHARES                X                 1      1600      0   150
SNAP-ON INC        COMMON STOCK 833034101    1360     28280    SHARES                X                 3     28280      0     0
SOLECTRON CORP     COMMON STOCK 834182107       6      1950    SHARES                         X        1      1950      0     0
SOLECTRON CORP     COMMON STOCK 834182107       3       900    SHARES                X                 1       900      0     0
SOLECTRON CORP     COMMON STOCK 834182107      24      7500    SHARES                X                 3      7500      0     0
SOLECTRON
  CORPORATION      COMMON STOCK 834182107     307     97400    SHARES         X                        2         0  97400     0
SOMANETICS CORP    COMMON STOCK 834445405      40      2000    SHARES                         X        1      2000      0     0
SONOCO PRODUCTS
  CO COM           COMMON STOCK 835495102      26       700    SHARES                         X        1       700      0     0
SONY CORP -
  SPONSORED ADR    COMMON STOCK 835699307      61      1200    SHARES                         X        1      1200      0     0



                                   47 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
SORL AUTO PARTS
  INC              COMMON STOCK 78461U101     88      10230    SHARES                X                 1       9401      0   829
SORL AUTO PARTS
  INC              COMMON STOCK 78461U101   1391     161850    SHARES                X                 3     161850      0     0
SOUTH FINL GROUP
  INC              COMMON STOCK 837841105    104       4200    SHARES                X                 3       4200      0     0
SOUTH JERSEY
  INDUSTRIES INC   COMMON STOCK 838518108     20        518    SHARES                X                 1        518      0     0
SOUTHERN CO        COMMON STOCK 842587107    238       6500    SHARES                X                 3       6500      0     0
SOUTHERN CO COM    COMMON STOCK 842587107     62       1703    SHARES         X                        2          0   1703     0
SOUTHERN CO COM    COMMON STOCK 842587107   1256      34266    SHARES                         X        1      33266      0  1000
SOUTHERN CO COM    COMMON STOCK 842587107   1071      29228    SHARES                X                 1      28228      0  1000
SOUTHERN COPPER
  CORP             COMMON STOCK 84265V105      3         40    SHARES                X                 1         40      0     0
SOUTHERN UNION CO
  NEW COM          COMMON STOCK 844030106    101       3312    SHARES                X                 1       3312      0     0
SOUTHWEST
  AIRLINES CO COM  COMMON STOCK 844741108    116       7900    SHARES                         X        1       7900      0     0
SOUTHWEST
  AIRLINES CO COM  COMMON STOCK 844741108     67       4562    SHARES                X                 1       4562      0     0
SOUTHWEST
  AIRLINES CO COM  COMMON STOCK 844741108    309      20996    SHARES                X                 3      20996      0     0
SOUTHWEST GAS
  CORP COM         COMMON STOCK 844895102     39       1000    SHARES                         X        1       1000      0     0
SOUTHWESTERN
  ENERGY           COMMON STOCK 845467109   1657      40455    SHARES                X                 3      40455      0     0
SOUTHWESTERN
  ENERGY COMPANY   COMMON STOCK 845467109    604      14748    SHARES                X                 1      14343      0   405
SOVEREIGN BANCORP  COMMON STOCK 845905108     85       3340    SHARES                X                 3       3340      0     0
SOVEREIGN BANCORP
  INC              COMMON STOCK 845905108     75       2940    SHARES                         X        1       2520      0   420
SOVEREIGN BANCORP
  INC              COMMON STOCK 845905108   4094     160920    SHARES                X                 1     158196      0  2724
SPAR GROUP INC     COMMON STOCK 784933103      0        450    SHARES                X                 1        450      0     0
SPDR TRUST SERIES
  1 S&P 500 IN     COMMON STOCK 78462F103   9233      65023    SHARES                         X        1      65023      0     0
SPDR TRUST SERIES
  1 S&P 500 IN     COMMON STOCK 78462F103   6711      47261    SHARES                X                 1      47261      0     0
SPECTRA ENERGY
  CORP             COMMON STOCK 847560109    438      16670    SHARES                         X        1      16420      0   250
SPECTRA ENERGY
  CORP             COMMON STOCK 847560109    368      14014    SHARES                X                 1      14014      0     0
SPECTRA ENERGY
  CORP             COMMON STOCK 847560109    259       9890    SHARES                X                 3       9890      0     0
SPECTRUM CTL INC
  COM              COMMON STOCK 847615101    114       9300    SHARES                         X        1       9300      0     0
SPEEDWAY
  MOTORSPORTS
  INCORPORA        COMMON STOCK 847788106      4        100    SHARES                         X        1        100      0     0
SPHERION
  CORPORATION      COMMON STOCK 848420105     88       9975    SHARES                X                 1       9100      0   875
SPHERION
  CORPORATION      COMMON STOCK 848420105   1383     156800    SHARES                X                 3     156800      0     0
SPRINT NEXTEL      COMMON STOCK 852061100    477      25164    SHARES                X                 3      25164      0     0
SPRINT NEXTEL      COMMON STOCK 852061100   3363     177414    SHARES         X                        2          0 177414     0
SPRINT NEXTEL CORP COMMON STOCK 852061100    230      12107    SHARES                         X        1      12107      0     0
SPRINT NEXTEL CORP COMMON STOCK 852061100    450      23717    SHARES                X                 1      15517      0  8200
SPX CORP COM       COMMON STOCK 784635104     42        597    SHARES                         X        1        597      0     0
SRA INTERNATIONAL
  INCORPORATED CL
  A                COMMON STOCK 78464R105     85       3500    SHARES         X                        2          0   3500     0
ST JOE COMPANY     COMMON STOCK 790148100   8301     158688    SHARES         X                        2          0 158688     0
ST JOE CORP        COMMON STOCK 790148100    175       3338    SHARES                         X        1       3338      0     0
ST JOE CORP        COMMON STOCK 790148100    742      14180    SHARES                X                 1      12980      0  1200
ST JUDE MEDICAL
  INC              COMMON STOCK 790849103    117       3100    SHARES                X                 3       3100      0     0
ST MARY LAND &
  EXPLORATION
  COMPANY          COMMON STOCK 792228108    220       6000    SHARES         X                        2          0   6000     0
STANDARD & POORS
  DEP RCPTS UT
  SER 1            COMMON STOCK 78462F103    850       5988    SHARES         X                        2          0   5988     0
STANDARD PARKING   COMMON STOCK 853790103    216       6107    SHARES                X                 3       6107      0     0
STANDARD PARKING
  CORP             COMMON STOCK 853790103     19        536    SHARES                X                 1        490      0    46
STANLEY WORKS      COMMON STOCK 854616109    316       5700    SHARES                X                 3        700      0  5000
STANLEY WORKS COM  COMMON STOCK 854616109    493       8900    SHARES                         X        1       2900      0  6000
STANLEY WORKS COM  COMMON STOCK 854616109    476       8600    SHARES                X                 1       8600      0     0
STAPLES INC        COMMON STOCK 855030102   3798     147001    SHARES                X                 3     136510      0 10491
STAPLES INC COM    COMMON STOCK 855030102   1624      62844    SHARES                         X        1      62144      0   700
STAPLES INC COM    COMMON STOCK 855030102   7683     297319    SHARES                X                 1     291243      0  6076
STAR GAS PARTNERS
  LP               COMMON STOCK 85512C105      2        500    SHARES                X                 1        500      0     0
STARBUCKS CORP     COMMON STOCK 855244109    585      18620    SHARES                X                 3      18620      0     0
STARBUCKS CORP COM COMMON STOCK 855244109     85       2700    SHARES                         X        1       2700      0     0
STARBUCKS CORP COM COMMON STOCK 855244109   1054      33617    SHARES                X                 1      33617      0     0
STARBUCKS
  CORPORATION      COMMON STOCK 855244109   3716     118513    SHARES         X                        2          0 118513     0
STARWOOD HOTELS &
  RESORTS WORL     COMMON STOCK 85590A401     21        329    SHARES                X                 1        329      0     0
STARWOOD
  HTLS&RESORT      COMMON STOCK 85590A401    117       1800    SHARES                X                 3       1800      0     0
STATE STREET CORP  COMMON STOCK 857477103    440       6800    SHARES         X                        2          0   6800     0
STATE STREET CORP  COMMON STOCK 857477103   5647      87214    SHARES                         X        1      87214      0     0
STATE STREET CORP  COMMON STOCK 857477103    177       2732    SHARES                X                 1       2732      0     0



                                   48 of 58





                                                                                     COLUMN 6                      COLUMN 8
                                                             COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                     ------------------------ ----------------------          -------------------
                      COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1           TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER         CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------      ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                     
STATE STREET CORP   COMMON STOCK 857477103     188      2900    SHARES                X                 3       2900      0     0
STATOIL ASA
  SPONSORED ADR     COMMON STOCK 85771P102      18       650    SHARES                X                 3        650      0     0
STEEL DYNAMICS INC  COMMON STOCK 858119100      22       500    SHARES                X                 3        500      0     0
STEELCASE INC CL A  COMMON STOCK 858155203      20      1000    SHARES                         X        1          0      0  1000
STEELCASE INC CL A  COMMON STOCK 858155203      28      1400    SHARES                X                 3       1400      0     0
STEINWAY MUSICAL
  INSTRUMENTS INC   COMMON STOCK 858495104      81      2500    SHARES         X                        2          0   2500     0
STEMCELLS
  INCORPORATED      COMMON STOCK 85857R105       3      1000    SHARES         X                        2          0   1000     0
STERICYCLE INC COM  COMMON STOCK 858912108      16       200    SHARES         X                        2          0    200     0
STERIS CORP         COMMON STOCK 859152100      47      1775    SHARES                X                 1       1600      0   175
STERIS CORP         COMMON STOCK 859152100     738     27800    SHARES                X                 3      27800      0     0
STERLING FINANCIAL
  CORP              COMMON STOCK 859317109     111      5000    SHARES                         X        1          0      0  5000
STERLING FINANCIAL
  CORP              COMMON STOCK 859317109    1174     52892    SHARES                X                 1      23825      0 29067
STIFEL FINANCIAL
  CORPORATION       COMMON STOCK 860630102       8       176    SHARES         X                        2          0    176     0
STMICROELECTRONICS
  N V               COMMON STOCK 861012102       2       100    SHARES                X                 1        100      0     0
STORA ENSO OYJ
  SPONSORED ADR     COMMON STOCK 86210M106      26      1500    SHARES                         X        1       1500      0     0
STORM CAT ENERGY
  CORP              COMMON STOCK 862168101      19     20000    SHARES         X                        2          0  20000     0
STRATEGIC
  DIAGNOSTICS INC
  COM               COMMON STOCK 862700101     205     40000    SHARES                         X        1      40000      0     0
STRATEGIC HOTEL &
  RESORTS INC       COMMON STOCK 86272T106      16       700    SHARES                X                 1       N.A.   N.A.  N.A.
STREETTRACKS GOLD
  TRUST             COMMON STOCK 863307104      20       300    SHARES                         X        1        300      0     0
STREETTRACKS GOLD
  TRUST             COMMON STOCK 863307104     233      3543    SHARES                X                 3       3543      0     0
STRYKER CORP        COMMON STOCK 863667101     166      2500    SHARES                X                 3       2500      0     0
STRYKER CORP COM    COMMON STOCK 863667101    4603     69400    SHARES         X                        2          0  69400     0
STRYKER CORP COM    COMMON STOCK 863667101      80      1200    SHARES                         X        1       1000      0   200
STRYKER CORP COM    COMMON STOCK 863667101     506      7630    SHARES                X                 1       7630      0     0
STURM RUGER & CO
  INC COM           COMMON STOCK 864159108      13      1000    SHARES                         X        1       1000      0     0
STURM RUGER & CO
  INC COM           COMMON STOCK 864159108       3       250    SHARES                X                 1        250      0     0
SUBURBAN PROPANE
  PARTNERS LP L     COMMON STOCK 864482104      44      1000    SHARES                         X        1          0      0  1000
SUBURBAN PROPANE
  PARTNERS LP L     COMMON STOCK 864482104      11       250    SHARES                X                 1        250      0     0
SUBURBAN PROPANE
  PARTNERS LP
  LIMITED           COMMON STOCK 864482104      44      1000    SHARES         X                        2          0   1000     0
SUN LIFE FINL INC   COMMON STOCK 866796105     147      3237    SHARES                X                 1       3237      0     0
SUN MICROSYSTEM INC COMMON STOCK 866810104     190     31600    SHARES                X                 3      31600      0     0
SUN MICROSYSTEMS
  INC COM           COMMON STOCK 866810104      32      5300    SHARES                         X        1       5300      0     0
SUN MICROSYSTEMS
  INC COM           COMMON STOCK 866810104      88     14559    SHARES                X                 1      14559      0     0
SUN MICROSYSTEMS
  INCORPORATED      COMMON STOCK 866810104     130     21600    SHARES         X                        2          0  21600     0
SUNCOM WIRELESS     COMMON STOCK 86722Q108     484    288294    SHARES         X                              288294      0     0
SUNCOR ENERGY INC   COMMON STOCK 867229106      23       300    SHARES         X                        2          0    300     0
SUNCOR ENERGY INC   COMMON STOCK 867229106      46       600    SHARES                         X        1        600      0     0
SUNCOR ENERGY INC   COMMON STOCK 867229106      78      1025    SHARES                X                 1       1025      0     0
SUNOCO INC          COMMON STOCK 86764P109     245      3470    SHARES                X                 3       3470      0     0
SUNOCO INC COM      COMMON STOCK 86764P109     132      1874    SHARES                X                 1       1874      0     0
SUNOCO LOGISTICS
  PARTNERS LP       COMMON STOCK 86764L108     895     15100    SHARES         X                        2          0  15100     0
SUNOCO LOGISTICS
  PARTNERS LP       COMMON STOCK 86764L108      89      1500    SHARES                         X        1       1500      0     0
SUNRISE SENIOR
  LIVING            COMMON STOCK 86768K106   10074    254905    SHARES         X                        2          0 254905     0
SUNRISE SENIOR
  LIVING INC        COMMON STOCK 86768K106       8       200    SHARES                X                 1        200      0     0
SUNTECH POWER HLDGS ADR          86800C104    1350     39000    SHARES                X                 3      39000      0     0
SUNTECH POWER
  HOLDINGS CO       COMMON STOCK 86800C104      87      2510    SHARES                X                 1       2300      0   210
SUNTRUST BANKS INC  COMMON STOCK 867914103    1060     12764    SHARES         X                        2          0  12764     0
SUNTRUST BANKS INC  COMMON STOCK 867914103    1657     19959    SHARES                         X        1      18259      0  1700
SUNTRUST BANKS INC  COMMON STOCK 867914103     746      8983    SHARES                X                 1       8983      0     0
SUNTRUST BANKS INC  COMMON STOCK 867914103     556      6703    SHARES                X                 3       6703      0     0
SUPERIOR ENERGY
  SERVICES INC C    COMMON STOCK 868157108      24       700    SHARES                X                 1        700      0     0
SUPERVALU INC       COMMON STOCK 868536103      94      2400    SHARES                X                 1       2400      0     0
SUPERVALU INC       COMMON STOCK 868536103      70      1800    SHARES                X                 3       1800      0     0
SUSQUEHANNA
  BANCSHARES INC PA COMMON STOCK 869099101    1630     70296    SHARES                X                 1      60284      0 10012
SUTRON CORPORATION  COMMON STOCK 869380105     128     20000    SHARES                         X        1      20000      0     0
SWS GROUP INC       COMMON STOCK 78503N107      79      3170    SHARES                X                 1       2900      0   270
SWS GROUP INC       COMMON STOCK 78503N107    1223     49300    SHARES                X                 3      49300      0     0
SYKES ENTERPRISES
  IN                COMMON STOCK 871237103    1574     86300    SHARES                X                 3      86300      0     0
SYKES ENTERPRISES
  INC               COMMON STOCK 871237103      96      5280    SHARES                X                 1       4800      0   480



                                   49 of 58





                                                                                           COLUMN 6
                                                                   COLUMN 5          INVESTMENT AUTHORITY
                                                           ------------------------ ----------------------
                         COLUMN 2                COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1              TITLE OF      COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER            CLASS         CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
--------------         --------------- --------- --------- --------- --------- ---- ---- -------- -------- --------
                                                                             
SYMANTEC CORP          COMMON STOCK    871503108     145      8400    SHARES                X                 3
SYMANTEC CORP COM      COMMON STOCK    871503108     148      8534    SHARES                         X        1
SYMANTEC CORP COM      COMMON STOCK    871503108     214     12373    SHARES                X                 1
SYNOPSYS INC COM       COMMON STOCK    871607107      39      1500    SHARES                         X        1
SYNOPSYS INC COM       COMMON STOCK    871607107      20       750    SHARES                X                 1
SYNOVUS FINL CORP      COMMON STOCK    87161C105      90      2792    SHARES                X                 3
SYNOVUS FINL CORP COM  COMMON STOCK    87161C105      29       900    SHARES                         X        1
SYSCO CORP             COMMON STOCK    871829107   10465    309331    SHARES                         X        1
SYSCO CORP             COMMON STOCK    871829107    9041    267242    SHARES                X                 1
SYSCO CORP             COMMON STOCK    871829107    5221    154331    SHARES                X                 3
SYSCO CORP             COMMON STOCK    871829107       8       250    SHARES                X                 4
SYSCO CORPORATION      COMMON STOCK    871829107    5982    176821    SHARES         X                        2
SYSTEMAX INC           COMMON STOCK    871851101      26      1370    SHARES                X                 3
TAIWAN SEMICONDUCTOR
  SPON ADR             COMMON STOCK    874039100      28      2610    SHARES                X                 1
TALISMAN ENERGY INC    COMMON STOCK    87425E103       4       210    SHARES                         X        1
TALISMAN ENERGY INC    COMMON STOCK    87425E103      53      3030    SHARES                X                 1
TARGET CORP            COMMON STOCK    87612E106    1002     16900    SHARES         X                        2
TARGET CORP COM        COMMON STOCK    87612E106    1654     27905    SHARES                         X        1
TARGET CORP COM        COMMON STOCK    87612E106    8204    138442    SHARES                X                 1
TARGET CORP COM        COMMON STOCK    87612E106    1528     25776    SHARES                X                 3
TAYLOR DEVICES INC     COMMON STOCK    877163105      81     16400    SHARES                         X        1
TCF FINANCIAL CORP     COMMON STOCK    872275102      69      2600    SHARES                X                 3
TD AMERITRADE HOLDING
  CORP                 COMMON STOCK    87236Y108       6       384    SHARES                X                 1
TD BANKNORTH INC       COMMON STOCK    87235A101     111      3440    SHARES                         X        1
TD BANKNORTH INC       COMMON STOCK    87235A101       2        64    SHARES                X                 1
TECH DATA CORP COM     COMMON STOCK    878237106      18       500    SHARES                         X        1
TECHNE CORP            COMMON STOCK    878377100     555      9723    SHARES         X                        2
TECK COMINCO LTD- CL B COMMON STOCK    878742204      20       282    SHARES                X                 1
TECO ENERGY INC        COMMON STOCK    872375100     421     24450    SHARES                         X        1
TECO ENERGY INC        COMMON STOCK    872375100     174     10092    SHARES                X                 1
TECO ENERGY INC        COMMON STOCK    872375100      87      5000    SHARES                X                 3
TEKTRONIX INC          COMMON STOCK    879131100      17       600    SHARES                X                 3
TELECOM NEW ZEALAND
  SPON ADR             COMMON STOCK    879278208       3       100    SHARES                X                 1
TELEDYNE TECH INC      COMMON STOCK    879360105    1617     43200    SHARES                X                 3
TELEDYNE TECHNOLOGIES
  INC COM              COMMON STOCK    879360105      75      2000    SHARES                         X        1
TELEDYNE TECHNOLOGIES
  INC COM              COMMON STOCK    879360105     104      2775    SHARES                X                 1
TELEFLEX INC COM       COMMON STOCK    879369106     170      2500    SHARES         X                        2
TELEFONAKTIEBOLAGET
  LM ERICSSO           COMMON STOCK    294821608      51      1380    SHARES                         X        1
TELEFONICA S A
  SPONSORED ADR        COMMON STOCK    879382208      37       555    SHARES         X                        2
TELEFONICA S A
  SPONSORED ADR        COMMON STOCK    879382208     100      1500    SHARES                X                 1
TELEFONOS DE MEXICO
  SA DE CV             COMMON STOCK    879403707     147      4396    SHARES                X                 1
TELEFONOS DE MEXICO
  SP ADR L             COMMON STOCK    879403780     100      3000    SHARES                         X        1
TELEFONOS DE MEXICO
  SP ADR L             COMMON STOCK    879403780     224      6692    SHARES                X                 1
TELLABS INC            COMMON STOCK    879664100      42      4285    SHARES                X                 3
TEMPLE INLAND INC      COMMON STOCK    879868107      48       800    SHARES         X                        2
TEMPLE INLAND INC      COMMON STOCK    879868107       6       100    SHARES                         X        1
TEMPLE INLAND INC      COMMON STOCK    879868107       8       128    SHARES                X                 1
TEMPLE INLAND INC      COMMON STOCK    879868107      54       900    SHARES                X                 3
TEMPLETON DRAGON FUND
  INC                  PREFERRED STOCK 88018T101       2       100    SHARES                X                 1
TEMPLETON GLOBAL
  INCOME FUND-D        PREFERRED STOCK 880198106     403     41543    SHARES                X                 1
TENET HEALTHCARE       COMMON STOCK    88033G100      23      3637    SHARES                X                 3
TENET HEALTHCARE CORP  COMMON STOCK    88033G100      10      1500    SHARES                X                 1
TEPPCO PARTNERS
  LIMITED PARTNERSHIP  COMMON STOCK    872384102    4085     92000    SHARES         X                        2
TEPPCO PARTNERS LTD
  PARTNERS             COMMON STOCK    872384102     109      2450    SHARES                X                 1
TERADYNE INC           COMMON STOCK    880770102     417     25200    SHARES         X                        2
TERADYNE INC           COMMON STOCK    880770102      25      1500    SHARES                X                 3
TEREX CORP             COMMON STOCK    880779103      21       287    SHARES                X                 1
TEREX CORP             COMMON STOCK    880779103      65       900    SHARES                X                 3
TERRA INDUSTRIES INC   COMMON STOCK    880915103       0        27    SHARES                         X        1



                            COLUMN 8
                        VOTING AUTHORITY
                       -------------------

   COLUMN 1
NAME OF ISSUER          SOLE  SHARED OTHER
--------------         ------ ------ -----
                            
SYMANTEC CORP            8400      0     0
SYMANTEC CORP COM        8310      0   224
SYMANTEC CORP COM       12373      0     0
SYNOPSYS INC COM            0      0  1500
SYNOPSYS INC COM          750      0     0
SYNOVUS FINL CORP        2792      0     0
SYNOVUS FINL CORP COM     900      0     0
SYSCO CORP             304766      0  4565
SYSCO CORP             261769      0  5473
SYSCO CORP             142559      0 11772
SYSCO CORP                250      0     0
SYSCO CORPORATION           0 176821     0
SYSTEMAX INC             1370      0     0
TAIWAN SEMICONDUCTOR
  SPON ADR               2610      0     0
TALISMAN ENERGY INC         0      0   210
TALISMAN ENERGY INC      3030      0     0
TARGET CORP                 0  16900     0
TARGET CORP COM         26880      0  1025
TARGET CORP COM        135942      0  2500
TARGET CORP COM         25776      0     0
TAYLOR DEVICES INC      16400      0     0
TCF FINANCIAL CORP       2600      0     0
TD AMERITRADE HOLDING
  CORP                    384      0     0
TD BANKNORTH INC         3440      0     0
TD BANKNORTH INC           64      0     0
TECH DATA CORP COM        500      0     0
TECHNE CORP                 0   9723     0
TECK COMINCO LTD- CL B    282      0     0
TECO ENERGY INC         24150      0   300
TECO ENERGY INC         10092      0     0
TECO ENERGY INC          5000      0     0
TEKTRONIX INC             600      0     0
TELECOM NEW ZEALAND
  SPON ADR                100      0     0
TELEDYNE TECH INC       43200      0     0
TELEDYNE TECHNOLOGIES
  INC COM                2000      0     0
TELEDYNE TECHNOLOGIES
  INC COM                2775      0     0
TELEFLEX INC COM            0   2500     0
TELEFONAKTIEBOLAGET
  LM ERICSSO             1380      0     0
TELEFONICA S A
  SPONSORED ADR             0    555     0
TELEFONICA S A
  SPONSORED ADR          1500      0     0
TELEFONOS DE MEXICO
  SA DE CV               4396      0     0
TELEFONOS DE MEXICO
  SP ADR L               1000      0  2000
TELEFONOS DE MEXICO
  SP ADR L               6692      0     0
TELLABS INC              4285      0     0
TEMPLE INLAND INC           0    800     0
TEMPLE INLAND INC           0      0   100
TEMPLE INLAND INC         128      0     0
TEMPLE INLAND INC         900      0     0
TEMPLETON DRAGON FUND
  INC                    N.A.   N.A.  N.A.
TEMPLETON GLOBAL
  INCOME FUND-D          N.A.   N.A.  N.A.
TENET HEALTHCARE         3637      0     0
TENET HEALTHCARE CORP    1500      0     0
TEPPCO PARTNERS
  LIMITED PARTNERSHIP       0  92000     0
TEPPCO PARTNERS LTD
  PARTNERS               2450      0     0
TERADYNE INC                0  25200     0
TERADYNE INC             1500      0     0
TEREX CORP                287      0     0
TEREX CORP                900      0     0
TERRA INDUSTRIES INC       27      0     0



                                   50 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
TESSERA
  TECHNOLOGIES     COMMON STOCK 88164L100    982      24700    SHARES                X                 3      24700      0     0
TESSERA
  TECHNOLOGIES INC COMMON STOCK 88164L100     62       1550    SHARES                X                 1       1400      0   150
TEVA
  PHARMACEUTICAL
  SPONS ADR        COMMON STOCK 881624209     37       1000    SHARES         X                        2          0   1000     0
TEVA
  PHARMACEUTICAL
  SPONS ADR        COMMON STOCK 881624209     86       2300    SHARES                         X        1       2300      0     0
TEVA
  PHARMACEUTICAL
  SPONS ADR        COMMON STOCK 881624209    367       9815    SHARES                X                 1       9815      0     0
TEXAS INSTRUMENTS  COMMON STOCK 882508104   3715     123404    SHARES                X                 3     117353      0  6051
TEXAS INSTRUMENTS
  INC              COMMON STOCK 882508104   2143      71192    SHARES                         X        1      63742      0  7450
TEXAS INSTRUMENTS
  INC              COMMON STOCK 882508104   5959     197985    SHARES                X                 1     192062      0  5923
TEXAS INSTRUMENTS
  INC              COMMON STOCK 882508104      3        100    SHARES                X                 4        100      0     0
TEXAS INSTRUMENTS
  INCORPORATED     COMMON STOCK 882508104   3048     101283    SHARES         X                        2          0 101283     0
TEXTRON INC        COMMON STOCK 883203101     99       1100    SHARES                X                 3       1100      0     0
TEXTRON INC COM    COMMON STOCK 883203101     99       1100    SHARES                         X        1        100      0  1000
TEXTRON INC COM    COMMON STOCK 883203101    419       4668    SHARES                X                 1       4668      0     0
TEXTRON INC PFD    PREFERRED
  CV $1.40 SER B   STOCK        883203309     64        200    SHARES                X                 1       N.A.   N.A.  N.A.
TF FINANCIAL CORP  COMMON STOCK 872391107    153       5000    SHARES                X                 1       5000      0     0
THE CHEESECAKE
  FACTORY          COMMON STOCK 163072101     27       1012    SHARES         X                        2          0   1012     0
THE DIRECTV GROUP
  INC              COMMON STOCK 25459L106     33       1448    SHARES                         X        1       1448      0     0
THE DIRECTV GROUP
  INC              COMMON STOCK 25459L106     13        554    SHARES                X                 1        505      0    49
THE GYMBOREE
  CORPORATION      COMMON STOCK 403777105     25        620    SHARES                X                 3        620      0     0
THE HERSHEY
  COMPANY          COMMON STOCK 427866108    131       2400    SHARES         X                        2          0   2400     0
THE HERSHEY
  COMPANY          COMMON STOCK 427866108   2567      46959    SHARES                         X        1      34614      0 12345
THE HERSHEY
  COMPANY          COMMON STOCK 427866108   5326      97438    SHARES                X                 1      93982      0  3456
THE HERSHEY
  COMPANY          COMMON STOCK 427866108   3283      60073    SHARES                X                 3      57390      0  2683
THE MACERICH
  COMPANY (REIT)   COMMON STOCK 554382101     18        200    SHARES         X                        2          0    200     0
THE MOSAIC COMPANY COMMON STOCK 61945A107     11        400    SHARES                         X        1        400      0     0
THE MOSAIC COMPANY COMMON STOCK 61945A107     11        400    SHARES                X                 1        400      0     0
THE NAVIGATORS
  GROUP INC        COMMON STOCK 638904102    115       2295    SHARES                X                 1       2100      0   195
THE PANTRY INC     COMMON STOCK 698657103      7        150    SHARES                X                 1        150      0     0
THE PMI GROUP INC  COMMON STOCK 69344M101    127       2800    SHARES         X                        2          0   2800     0
THE SCOTTS
  MIRACLE-GRO
  COMPANY          COMMON STOCK 810186106    594      13500    SHARES                X                 1      13500      0     0
THE SCOTTS
  MIRACLE-GRO
  COMPANY CL A     COMMON STOCK 810186106    154       3500    SHARES         X                        2          0   3500     0
THE TRAVELERS
  COMPANIES INC    COMMON STOCK 89417E109    670      12944    SHARES         X                        2          0  12944     0
THE TRAVELERS
  COMPANIES INC    COMMON STOCK 89417E109    621      12002    SHARES                         X        1      11643      0   359
THE TRAVELERS
  COMPANIES INC    COMMON STOCK 89417E109   1982      38285    SHARES                X                 1      38181      0   104
THE TRAVELERS
  COMPANIES INC    COMMON STOCK 89417E109   1243      24005    SHARES                X                 3      24005      0     0
THE TRAVELERS
  COMPANIES INC    COMMON STOCK 89417E109      8        160    SHARES                X                 4        160      0     0
THE WESTERN UNION  COMMON STOCK 959802109    143       6500    SHARES                X                 3       6500      0     0
THERMO FISHER SCI  COMMON STOCK 883556102    911      19500    SHARES                X                 3      19500      0     0
THERMO FISHER
  SCIENTIFIC INC   COMMON STOCK 883556102     94       2000    SHARES         X                        2          0   2000     0
THERMO FISHER
  SCIENTIFIC INC   COMMON STOCK 883556102     63       1350    SHARES                         X        1       1350      0     0
THERMO FISHER
  SCIENTIFIC INC   COMMON STOCK 883556102    511      10926    SHARES                X                 1      10926      0     0
THOR INDS INC      COMMON STOCK 885160101   1295      32900    SHARES                X                 3      32900      0     0
THOR INDUSTRIES
  INCORPORATED     COMMON STOCK 885160101     82       2080    SHARES                X                 1       1900      0   180
THORNBURG MTG INC
  (REIT)           COMMON STOCK 885218107    137       5250    SHARES                         X        1       N.A.   N.A.  N.A.
THORNBURG MTG INC
  (REIT)           COMMON STOCK 885218107    354      13625    SHARES                X                 1       N.A.   N.A.  N.A.
TIDEWATER INC      COMMON STOCK 886423102     59       1000    SHARES                X                 1       1000      0     0
TIFFANY & CO       COMMON STOCK 886547108   1283      28200    SHARES         X                        2          0  28200     0
TIFFANY & CO       COMMON STOCK 886547108    127       2784    SHARES                X                 1       2784      0     0
TIFFANY & CO       COMMON STOCK 886547108     50       1100    SHARES                X                 3       1100      0     0
TIM HORTONS INC    COMMON STOCK 88706M103      8        270    SHARES                         X        1        270      0     0
TIM HORTONS INC    COMMON STOCK 88706M103    140       4603    SHARES                X                 1       4603      0     0
TIME WARNER INC    COMMON STOCK 887317105   2209     112006    SHARES         X                        2          0 112006     0
TIME WARNER INC    COMMON STOCK 887317105    801      40607    SHARES                         X        1      37907      0  2700
TIME WARNER INC    COMMON STOCK 887317105   1343      68103    SHARES                X                 1      64203      0  3900
TIME WARNER INC    COMMON STOCK 887317105    663      33605    SHARES                X                 3      33605      0     0
TIMKEN CO          COMMON STOCK 887389104    109       3600    SHARES                X                 3       3600      0     0
TIMKEN CO COM      COMMON STOCK 887389104     38       1240    SHARES                         X        1       1240      0     0
TIVO INC           COMMON STOCK 888706108      1        100    SHARES                X                 1        100      0     0
TJX COMPANIES COM  COMMON STOCK 872540109      4        165    SHARES                X                 1        165      0     0



                                   51 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
TJX COMPANIES INC  COMMON STOCK 872540109     109      4040    SHARES                X                 3      4040      0     0
TOLL BROS INC      COMMON STOCK 889478103     146      5350    SHARES         X                        2         0   5350     0
TOLL BROS INC      COMMON STOCK 889478103     467     17050    SHARES                         X        1     16550      0   500
TOLL BROS INC      COMMON STOCK 889478103    1793     65476    SHARES                X                 1     65276      0   200
TOLL BROS INC      COMMON STOCK 889478103      11       400    SHARES                X                 4       400      0     0
TOLL BROTHERS INC  COMMON STOCK 889478103     312     11400    SHARES                X                 3     11400      0     0
TOMPKINS TRUSTCO
  INC              COMMON STOCK 890110109      19       450    SHARES                X                 1       450      0     0
TOOTSIE ROLL
  INDUSTRIES       COMMON STOCK 890516107      57      1907    SHARES                X                 1      1907      0     0
TORCHMARK CORP     COMMON STOCK 891027104      52       800    SHARES                X                 3       800      0     0
TORO CO COM        COMMON STOCK 891092108      88      1720    SHARES                X                 1      1720      0     0
TORONTO-DOMINION
  BANK             COMMON STOCK 891160509      85      1410    SHARES                         X        1      1410      0     0
TORONTO-DOMINION
  BANK             COMMON STOCK 891160509      13       211    SHARES                X                 1       211      0     0
TOTAL SA
  SPONSORED ADR    COMMON STOCK 89151E109      13       185    SHARES                X                 1       185      0     0
TOYOTA MOTOR CORP
  SPON ADR         COMMON STOCK 892331307      35       275    SHARES                         X        1       275      0     0
TOYOTA MOTOR CORP
  SPON ADR         COMMON STOCK 892331307      34       267    SHARES                X                 1       267      0     0
TRACTOR SUPPLY
  COMPANY          COMMON STOCK 892356106     206      4000    SHARES         X                        2         0   4000     0
TRADESTATION
  GROUP INC        COMMON STOCK 89267P105      11       900    SHARES                X                 1       900      0     0
TRANSACT
  TECHNOLOGIES
  INC COM          COMMON STOCK 892918103       7      1000    SHARES                X                 1      1000      0     0
TRANSCANADA CORP   COMMON STOCK 89353D107      10       300    SHARES                         X        1       300      0     0
TRANSCEND
  SERVICES INC     COMMON STOCK 893929208       3       325    SHARES                X                 1       325      0     0
TRANSMONTAIGNE
  PARTNERS LP      COMMON STOCK 89376V100      43      1200    SHARES         X                        2         0   1200     0
TRANSOCEAN INC     COMMON STOCK G90078109     212      2600    SHARES         X                        2         0   2600     0
TRANSOCEAN INC     COMMON STOCK G90078109     384      4700    SHARES                         X        1      4650      0    50
TRANSOCEAN INC     COMMON STOCK G90078109    2133     26107    SHARES                X                 1     26107      0     0
TRANSOCEAN INC     ORDINARY     G90078109     204      2500    SHARES                X                 3      2500      0     0
TRAVELCENTERS OF
  AMERICA LLC      COMMON STOCK 894174101       1        30    SHARES                         X        1        30      0     0
TRAVELCENTERS OF
  AMERICA LLC      COMMON STOCK 894174101       2        50    SHARES                X                 1        50      0     0
TREDEGAR CORP      COMMON STOCK 894650100      57      2500    SHARES                X                 1      2500      0     0
TRIAD HOSPITALS
  INC              COMMON STOCK 89579K109     105      2000    SHARES                         X        1         0      0  2000
TRIBUNE CO         COMMON STOCK 896047107      51      1600    SHARES                X                 3      1600      0     0
TRIBUNE CO NEW COM COMMON STOCK 896047107     103      3200    SHARES         X                        2         0   3200     0
TRIBUNE CO NEW COM COMMON STOCK 896047107      42      1300    SHARES                         X        1      1300      0     0
TRIBUNE CO NEW COM COMMON STOCK 896047107      19       600    SHARES                X                 1       600      0     0
TRICO MARINE
  SERVICE          COMMON STOCK 896106200    1397     37500    SHARES                X                 3     37500      0     0
TRICO MARINE
  SERVICES         COMMON STOCK 896106200      90      2410    SHARES                X                 1      2200      0   210
TRI-CONTINENTAL    PREFERRED
  CORP             STOCK        895436103       3       116    SHARES                X                 1      N.A.   N.A.  N.A.
TRIDENT
  MICROSYSTEMS     COMMON STOCK 895919108    1990     99200    SHARES                X                 3     99200      0     0
TRIDENT
  MICROSYSTEMS INC COMMON STOCK 895919108     234     11683    SHARES                X                 1     10818      0   865
TRIMBLE NAV LTD
  COM              COMMON STOCK 896239100     188      7000    SHARES         X                        2         0   7000     0
TRINITY
  INDUSTRIES INC   COMMON STOCK 896522109      57      1350    SHARES                         X        1      1350      0     0
TRINITY
  INDUSTRIES INC   COMMON STOCK 896522109       6       150    SHARES                X                 1       150      0     0
TRONOX INC-CLASS B COMMON STOCK 897051207       1        76    SHARES                         X        1        76      0     0
TRONOX INC-CLASS B COMMON STOCK 897051207       3       221    SHARES                X                 1        60      0   161
TUPPERWARE BRANDS
  CORP             COMMON STOCK 899896104      11       450    SHARES                         X        1       450      0     0
TUPPERWARE BRANDS
  CORP             COMMON STOCK 899896104      12       500    SHARES                X                 1       500      0     0
TXU CORP           COMMON STOCK 873168108     340      5300    SHARES                X                 3      5300      0     0
TXU CORP COM       COMMON STOCK 873168108     186      2900    SHARES                         X        1      2900      0     0
TXU CORP COM       COMMON STOCK 873168108     267      4160    SHARES                X                 1      4160      0     0
TYCO
  INTERNATIONAL
  LIMITED NEW      COMMON STOCK 902124106   10748    340675    SHARES         X                        2         0 340675     0
TYCO
  INTERNATIONAL
  LTD              COMMON STOCK 902124106     854     27082    SHARES                         X        1     23868      0  3214
TYCO
  INTERNATIONAL
  LTD              COMMON STOCK 902124106     670     21251    SHARES                X                 1      9533      0 11718
TYCO
  INTERNATIONAL
  LTD              COMMON STOCK 902124106     560     17741    SHARES                X                 3     17741      0     0
TYLER
  TECHNOLOGIES INC COMMON STOCK 902252105      15      1200    SHARES                X                 3      1200      0     0
TYSON FOODS INC    COMMON
                   STOCK A      902494103      72      3700    SHARES                X                 3      3700      0     0
TYSON FOODS INC
  COM              COMMON STOCK 902494103      23      1200    SHARES                         X        1      1200      0     0
U S BANCORP DEL
  COM NEW          COMMON STOCK 902973304    1043     29829    SHARES                         X        1     24523      0  5306
U S BANCORP DEL
  COM NEW          COMMON STOCK 902973304    2927     83709    SHARES                X                 1     83309      0   400
U S BANCORP DEL
  COM NEW          COMMON STOCK 902973304    1071     30600    SHARES                X                 3     30600      0     0
U S BANCORP DEL
  COM NEW          COMMON STOCK 902973304      16       453    SHARES                X                 4       453      0     0



                                   52 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
UAL CORPORATION    COMMON STOCK 902549807       7       189    SHARES         X                        2          0    189    0
UBS AG             COMMON STOCK H89231338     209      3522    SHARES                X                 1       3522      0    0
UBS AG             COMMON STOCK H89231338      55       930    SHARES                X                 3        930      0    0
UDR INC REIT       COMMON STOCK 902653104      15       500    SHARES         X                        2          0    500    0
UDR INC REIT       COMMON STOCK 902653104      61      2000    SHARES                         X        1       N.A.   N.A. N.A.
UDR INC REIT       COMMON STOCK 902653104      21       700    SHARES                X                 1       N.A.   N.A. N.A.
UDR INC REIT       COMMON STOCK 902653104      52      1700    SHARES                X                 3       N.A.   N.A. N.A.
UGI CORP           COMMON STOCK 902681105     160      6000    SHARES                         X        1       6000      0    0
UGI CORP           COMMON STOCK 902681105     251      9400    SHARES                X                 1       9400      0    0
ULTRA CLEAN
  HOLDINGS INC     COMMON STOCK 90385V107       3       160    SHARES                X                 1        160      0    0
UNDER ARMOUR
  INC-CLASS A      COMMON STOCK 904311107     113      2200    SHARES         X                        2          0   2200    0
UNIBANCO-GDR       COMMON STOCK 90458E107      44       500    SHARES                X                 3        500      0    0
UNILEVER NV NY
  SHARES           COMMON STOCK 904784709     250      8547    SHARES                         X        1       8547      0    0
UNILEVER NV NY
  SHARES           COMMON STOCK 904784709     575     19671    SHARES                X                 1      19671      0    0
UNILEVER PLC
  SPONSORED ADR    COMMON STOCK 904767704      54      1800    SHARES                         X        1       1800      0    0
UNILEVER PLC
  SPONSORED ADR    COMMON STOCK 904767704       5       160    SHARES                X                 1        160      0    0
UNION BANKSHARES
  CORPORATION      COMMON STOCK 905399101       8       300    SHARES                         X        1        300      0    0
UNION PAC CORP     COMMON STOCK 907818108     437      4300    SHARES                X                 3       2300      0 2000
UNION PACIFIC
  CORP COM         COMMON STOCK 907818108     833      8207    SHARES         X                        2          0   8207    0
UNION PACIFIC
  CORP COM         COMMON STOCK 907818108     910      8965    SHARES                         X        1       4165      0 4800
UNION PACIFIC
  CORP COM         COMMON STOCK 907818108    1011      9959    SHARES                X                 1       9959      0    0
UNISYS CORPORATION COMMON STOCK 909214108      25      3000    SHARES                X                 3       3000      0    0
UNIT CORP COM      COMMON STOCK 909218109      51      1000    SHARES                         X        1       1000      0    0
UNITED AMER
  INDEMNTY         COMMON STOCK 90933T109    1396     60200    SHARES                X                 3      60200      0    0
UNITED AMERICA
  INDEMNITY LTD    COMMON STOCK 90933T109      91      3930    SHARES                X                 1       3600      0  330
UNITED BANKSHARES
  INC              COMMON STOCK 909907107      29       824    SHARES         X                        2          0    824    0
UNITED PARCEL
  SERVICE CL B     COMMON STOCK 911312106    1579     22532    SHARES                         X        1      20332      0 2200
UNITED PARCEL
  SERVICE CL B     COMMON STOCK 911312106    7384    105339    SHARES                X                 1     102848      0 2491
UNITED PARCEL
  SERVICE CL B     COMMON STOCK 911312106    5619     80153    SHARES                X                 3      75522      0 4631
UNITED PARCEL
  SERVICE CL B     COMMON STOCK 911312106      11       150    SHARES                X                 4        150      0    0
UNITED PARCEL
  SERVICE INC
  CLASS B          COMMON STOCK 911312106   11815    168538    SHARES         X                        2          0 168538    0
UNITED RETAIL
  GROUP INC        COMMON STOCK 911380103      81      6770    SHARES                X                 1       6200      0  570
UNITED RETAIL GRP  COMMON STOCK 911380103    1278    106300    SHARES                X                 3     106300      0    0
UNITED STATES STL  COMMON STOCK 912909108     119      1200    SHARES                X                 3       1200      0    0
UNITED STS STL
  CORP NEW         COMMON STOCK 912909108      15       153    SHARES                         X        1        153      0    0
UNITED STS STL
  CORP NEW         COMMON STOCK 912909108      81       821    SHARES                X                 1        821      0    0
UNITED SURGICAL
  PARTNERS INTL    COMMON STOCK 913016309      23       750    SHARES                         X        1        750      0    0
UNITED
  TECHNOLOGIES     COMMON STOCK 913017109    1329     20410    SHARES                X                 3      20410      0    0
UNITED
  TECHNOLOGIES
  CORP COM         COMMON STOCK 913017109    3549     54597    SHARES                         X        1      51297      0 3300
UNITED
  TECHNOLOGIES
  CORP COM         COMMON STOCK 913017109    8197    126112    SHARES                X                 1     121240      0 4872
UNITED
  TECHNOLOGIES
  CORPORATION      COMMON STOCK 913017109    2337     35940    SHARES         X                        2          0  35940    0
UNITEDHEALTH
  GROUP INC        COMMON STOCK 91324P102     506      9551    SHARES                         X        1       6251      0 3300
UNITEDHEALTH
  GROUP INC        COMMON STOCK 91324P102    4563     86134    SHARES                X                 1      84397      0 1737
UNITEDHEALTH
  GROUP INC        COMMON STOCK 91324P102    4729     89323    SHARES                X                 3      84448      0 4875
UNITEDHEALTH
  GROUP INC.       COMMON STOCK 91324P102   15846    299157    SHARES         X                        2          0 299157    0
UNITRIN INC COM    COMMON STOCK 913275103     158      3358    SHARES                X                 1       3358      0    0
UNIVERSAL
  COMPRESSION
  HOLDINGS         COMMON STOCK 913431102      68      1000    SHARES                         X        1       1000      0    0
UNIVERSAL DISPLAY
  CORP             COMMON STOCK 91347P105       8       500    SHARES         X                        2          0    500    0
UNIVERSAL DISPLAY
  CORP             COMMON STOCK 91347P105      20      1300    SHARES                X                 1       1300      0    0
UNIVERSAL
  STAINLESS &
  ALLOY PR         COMMON STOCK 913837100      28       600    SHARES                         X        1        600      0    0
UNIVEST CORP OF PA COMMON STOCK 915271100      61      2454    SHARES                X                 1       2454      0    0
UNUM GROUP         COMMON STOCK 91529Y106      69      2995    SHARES                X                 3       2995      0    0
UNUMPROVIDENT
  CORPORATION      COMMON STOCK 91529Y106    2853    123873    SHARES         X                        2          0 123873    0
URBAN OUTFITTERS   COMMON STOCK 917047102     928     35000    SHARES                X                 3      35000      0    0
URBAN OUTFITTERS
  INC              COMMON STOCK 917047102     204      7679    SHARES                X                 1       7159      0  520
URSTADT BIDDLE
  PPTYS INC CL A   COMMON STOCK 917286205      59      3000    SHARES                         X        1       N.A.   N.A. N.A.
URSTADT BIDDLE
  PPTYS INC CL A   COMMON STOCK 917286205      29      1500    SHARES                X                 1       N.A.   N.A. N.A.
US BANCORP NEW     COMMON STOCK 902973304     682     19500    SHARES         X                        2          0  19500    0
USEC INC           COMMON STOCK 90333E108     103      6350    SHARES                X                 1       5800      0  550



                                   53 of 58





                                                                                       COLUMN 6
                                                               COLUMN 5          INVESTMENT AUTHORITY
                                                       ------------------------ ----------------------
                     COLUMN 2                COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF      COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS         CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS
--------------     --------------- --------- --------- --------- --------- ---- ---- -------- -------- --------
                                                                         
USEC INC           COMMON STOCK    90333E108    1590     97800    SHARES                X                 3
USG CORP           COMMON STOCK    903293405      11       240    SHARES                X                 1
UST INC            COMMON STOCK    902911106     182      3140    SHARES                X                 3
UST INC COM        COMMON STOCK    902911106     151      2600    SHARES                         X        1
UST INC COM        COMMON STOCK    902911106     500      8625    SHARES                X                 1
UTI WORLDWIDE INC  COMMON STOCK    G87210103      98      4000    SHARES         X                        2
UTSTARCOM INC      COMMON STOCK    918076100      67      8050    SHARES                X                 3
V F CORP           COMMON STOCK    918204108     780      9440    SHARES                         X        1
V F CORP           COMMON STOCK    918204108      99      1200    SHARES                X                 1
V F CORP           COMMON STOCK    918204108      58       700    SHARES                X                 3
VALASSIS
  COMMUNICATION
  INC COM          COMMON STOCK    918866104      23      1344    SHARES                X                 1
VALERO ENERGY CORP COMMON STOCK    91913Y100     339      5250    SHARES                X                 3
VALERO ENERGY
  CORP COM         COMMON STOCK    91913Y100     322      5000    SHARES                         X        1
VALERO ENERGY
  CORP COM         COMMON STOCK    91913Y100     445      6900    SHARES                X                 1
VALERO GP
  HOLDINGS LLC     COMMON STOCK    91914G108      42      1500    SHARES         X                        2
VALERO L P         COMMON STOCK    91913W104      27       400    SHARES                X                 1
VALERO L P         COMMON STOCK    91913W104     200      3000    SHARES                X                 3
VALSPAR CORP       COMMON STOCK    920355104      89      3200    SHARES                X                 3
VAN KAMPEN
  MUNICIPAL
  OPPORTUNI        PREFERRED STOCK 920935103     115      7385    SHARES                         X        1
VAN KAMPEN PENN
  VALUE MUNI INC   PREFERRED STOCK 92112T108     387     26478    SHARES                         X        1
VAN KAMPEN PENN
  VALUE MUNI INC   PREFERRED STOCK 92112T108     195     13352    SHARES                X                 1
VAN KAMPEN TR FOR
  INV GR MUNIC     PREFERRED STOCK 920929106      92      5851    SHARES                         X        1
VAN KAMPEN TRUST
  INSURED MUNIC    PREFERRED STOCK 920928108       8       505    SHARES                X                 1
VANGUARD EMERGING
  MKTS ETF         PREFERRED STOCK 922042858      27       345    SHARES                         X        1
VANGUARD ENERGY
  ETF              PREFERRED STOCK 92204A306      37       425    SHARES                         X        1
VANGUARD
  MATERIALS ETF    PREFERRED STOCK 92204A801      19       250    SHARES                X                 1
VANGUARD MID-CAP
  ETF              PREFERRED STOCK 922908629      51       678    SHARES                X                 1
VANGUARD TOTAL
  STOCK MARKET ET  PREFERRED STOCK 922908769     410      2898    SHARES                         X        1
VANGUARD TOTAL
  STOCK MARKET ET  PREFERRED STOCK 922908769     125       882    SHARES                X                 1
VARIAN INC         COMMON STOCK    922206107       7       120    SHARES                X                 1
VARIAN MED SYS INC COMMON STOCK    92220P105    1771     37105    SHARES                X                 3
VARIAN MEDICAL
  SYS INC COM      COMMON STOCK    92220P105      48      1000    SHARES         X                        2
VARIAN MEDICAL
  SYS INC COM      COMMON STOCK    92220P105     187      3916    SHARES                         X        1
VARIAN MEDICAL
  SYS INC COM      COMMON STOCK    92220P105    2413     50588    SHARES                X                 1
VARIAN
  SEMICONDUCTOR
  EQUIP ASS        COMMON STOCK    922207105      10       180    SHARES                X                 1
VECTOR GROUP LTD   COMMON STOCK    92240M108      10       525    SHARES                         X        1
VERIFONE HLDGS INC COMMON STOCK    92342Y109    1282     34900    SHARES                X                 3
VERIFONE HOLDINGS
  INC              COMMON STOCK    92342Y109      37      1000    SHARES         X                        2
VERIFONE HOLDINGS
  INC              COMMON STOCK    92342Y109      83      2255    SHARES                X                 1
VERIGY LTD         COMMON STOCK    Y93691106       7       280    SHARES         X                        2
VERIGY LTD         COMMON STOCK    Y93691106       4       151    SHARES                         X        1
VERIGY LTD         COMMON STOCK    Y93691106      32      1349    SHARES                X                 1
VERISIGN INC       COMMON STOCK    92343E102      58      2311    SHARES                X                 3
VERISIGN INC COM   COMMON STOCK    92343E102      16       650    SHARES                         X        1
VERISIGN INC COM   COMMON STOCK    92343E102      63      2505    SHARES                X                 1
VERIZON
  COMMUNICATIONS   COMMON STOCK    92343V104    9994    263562    SHARES         X                        2
VERIZON
  COMMUNICATIONS
  COM              COMMON STOCK    92343V104    9948    262348    SHARES                         X        1
VERIZON
  COMMUNICATIONS
  COM              COMMON STOCK    92343V104   17615    464523    SHARES                X                 1
VERIZON
  COMMUNICATIONS
  COM              COMMON STOCK    92343V104    3954    104294    SHARES                X                 3
VERTEX
  PHARMACEUTICALS
  INC              COMMON STOCK    92532F100     226      8043    SHARES                X                 1
VERTEX
  PHARMACEUTICALS
  INC              COMMON STOCK    92532F100     800     28525    SHARES                X                 3
VERTRUE INC        COMMON STOCK    92534N101    1385     28800    SHARES                X                 3
VERTRUE
  INCORPORATED     COMMON STOCK    92534N101      89      1850    SHARES                X                 1
VIACOM INC         COMMON STOCK B  92553P201     243      5900    SHARES                X                 3
VIACOM INC CL A    COMMON STOCK    92553P102       9       225    SHARES                         X        1
VIACOM INC-CLASS B COMMON STOCK    92553P201      34       831    SHARES         X                        2
VIACOM INC-CLASS B COMMON STOCK    92553P201     255      6208    SHARES                         X        1
VIACOM INC-CLASS B COMMON STOCK    92553P201     585     14220    SHARES                X                 1
VIACOM INC-CLASS B COMMON STOCK    92553P201       4       100    SHARES                X                 4



                        COLUMN 8
                    VOTING AUTHORITY
                   -------------------

   COLUMN 1
NAME OF ISSUER      SOLE  SHARED OTHER
--------------     ------ ------ -----
                        
USEC INC            97800      0     0
USG CORP              240      0     0
UST INC              3140      0     0
UST INC COM          2600      0     0
UST INC COM          8625      0     0
UTI WORLDWIDE INC       0   4000     0
UTSTARCOM INC        8050      0     0
V F CORP             9440      0     0
V F CORP             1200      0     0
V F CORP              700      0     0
VALASSIS
  COMMUNICATION
  INC COM            1344      0     0
VALERO ENERGY CORP   5250      0     0
VALERO ENERGY
  CORP COM           5000      0     0
VALERO ENERGY
  CORP COM           6900      0     0
VALERO GP
  HOLDINGS LLC          0   1500     0
VALERO L P            400      0     0
VALERO L P              0      0  3000
VALSPAR CORP         3200      0     0
VAN KAMPEN
  MUNICIPAL
  OPPORTUNI          N.A.   N.A.  N.A.
VAN KAMPEN PENN
  VALUE MUNI INC     N.A.   N.A.  N.A.
VAN KAMPEN PENN
  VALUE MUNI INC     N.A.   N.A.  N.A.
VAN KAMPEN TR FOR
  INV GR MUNIC       N.A.   N.A.  N.A.
VAN KAMPEN TRUST
  INSURED MUNIC      N.A.   N.A.  N.A.
VANGUARD EMERGING
  MKTS ETF           N.A.   N.A.  N.A.
VANGUARD ENERGY
  ETF                N.A.   N.A.  N.A.
VANGUARD
  MATERIALS ETF      N.A.   N.A.  N.A.
VANGUARD MID-CAP
  ETF                N.A.   N.A.  N.A.
VANGUARD TOTAL
  STOCK MARKET ET    N.A.   N.A.  N.A.
VANGUARD TOTAL
  STOCK MARKET ET    N.A.   N.A.  N.A.
VARIAN INC            120      0     0
VARIAN MED SYS INC  37105      0     0
VARIAN MEDICAL
  SYS INC COM           0   1000     0
VARIAN MEDICAL
  SYS INC COM        3916      0     0
VARIAN MEDICAL
  SYS INC COM       50203      0   385
VARIAN
  SEMICONDUCTOR
  EQUIP ASS           180      0     0
VECTOR GROUP LTD      525      0     0
VERIFONE HLDGS INC  34900      0     0
VERIFONE HOLDINGS
  INC                   0   1000     0
VERIFONE HOLDINGS
  INC                2065      0   190
VERIGY LTD              0    280     0
VERIGY LTD            151      0     0
VERIGY LTD           1349      0     0
VERISIGN INC         2311      0     0
VERISIGN INC COM      650      0     0
VERISIGN INC COM     2505      0     0
VERIZON
  COMMUNICATIONS        0 263562     0
VERIZON
  COMMUNICATIONS
  COM              248547      0 13801
VERIZON
  COMMUNICATIONS
  COM              453483      0 11040
VERIZON
  COMMUNICATIONS
  COM              100428      0  3866
VERTEX
  PHARMACEUTICALS
  INC                7953      0    90
VERTEX
  PHARMACEUTICALS
  INC               28525      0     0
VERTRUE INC         28800      0     0
VERTRUE
  INCORPORATED       1700      0   150
VIACOM INC           5900      0     0
VIACOM INC CL A       225      0     0
VIACOM INC-CLASS B      0    831     0
VIACOM INC-CLASS B   4658      0  1550
VIACOM INC-CLASS B  14220      0     0
VIACOM INC-CLASS B    100      0     0



                                   54 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
VIDESH SANCHAR
  NIGAM LTD ADR    COMMON STOCK 92659G600       9       500    SHARES                         X        1        500      0    0
VISHAY
  INTERTECHNOLOGY
  INC COM          COMMON STOCK 928298108      14      1000    SHARES                X                 1       1000      0    0
VISICU INC         COMMON STOCK 92831L204    1950    249998    SHARES                X                 1     249998      0    0
VK ADVANTAGE MUNI  PREFERRED
  INCOME TR I      STOCK        92112K107      13       933    SHARES                X                 1       N.A.   N.A. N.A.
VODAFONE GROUP
  PLC - SP ADR     COMMON STOCK 92857W209     214      7964    SHARES         X                        2          0   7964    0
VODAFONE GROUP
  PLC - SP ADR     COMMON STOCK 92857W209     373     13894    SHARES                         X        1      13733      0  161
VODAFONE GROUP
  PLC - SP ADR     COMMON STOCK 92857W209    1020     37982    SHARES                X                 1      37982      0    0
VODAFONE GROUP
  PLC - SP ADR     COMMON STOCK 92857W209      47      1750    SHARES                X                 3          0      0 1750
VOLT INFORMATION
  SCIENCES         COMMON STOCK 928703107      43      1630    SHARES                X                 3       1630      0    0
VOLVO AB SPONS
  ADR B            COMMON STOCK 928856400      50       600    SHARES                         X        1          0      0  600
VORNADO REALTY
  TRUST            COMMON STOCK 929042109     611      5114    SHARES         X                        2          0   5114    0
VORNADO RLTY TR    COMMON STOCK 929042109     134      1125    SHARES                X                 3       1125      0    0
VSE CORPORATION    COMMON STOCK 918284100     350      8500    SHARES                         X        1       8500      0    0
VULCAN MATERIAL
  COM              COMMON STOCK 929160109       5        41    SHARES                X                 1         41      0    0
VULCAN MATERIALS
  CO               COMMON STOCK 929160109      93       800    SHARES                X                 3        800      0    0
W HOLDING COMPANY
  INC              COMMON STOCK 929251106      31      6250    SHARES                X                 3       6250      0    0
W P CAREY & CO LLC COMMON STOCK 92930Y107     167      5019    SHARES                         X        1       N.A.   N.A. N.A.
W P CAREY & CO LLC COMMON STOCK 92930Y107       9       263    SHARES                X                 1       N.A.   N.A. N.A.
W W GRAINGER INC
  COM              COMMON STOCK 384802104      77      1000    SHARES         X                        2          0   1000    0
W W GRAINGER INC
  COM              COMMON STOCK 384802104     124      1600    SHARES                         X        1       1600      0    0
W W GRAINGER INC
  COM              COMMON STOCK 384802104     402      5200    SHARES                X                 1       5200      0    0
WABTEC             COMMON STOCK 929740108    1452     42100    SHARES                X                 3      42100      0    0
WABTEC CORP COM    COMMON STOCK 929740108     192      5573    SHARES                X                 1       5193      0  380
WACHOVIA CORP      2ND NEW
                   COMMON       929903102    5552    100863    SHARES                X                 3      96047      0 4816
WACHOVIA CORP COM  COMMON STOCK 929903102    6021    109381    SHARES                         X        1     101206      0 8175
WACHOVIA CORP COM  COMMON STOCK 929903102   15905    288927    SHARES                X                 1     279787      0 9140
WACHOVIA CORP COM  COMMON STOCK 929903102       6       100    SHARES                X                 4        100      0    0
WACHOVIA
  CORPORATION NEW  COMMON STOCK 929903102    3066     55692    SHARES         X                        2          0  55692    0
WADDELL & REED
  FINL INC CL A    COMMON STOCK 930059100      28      1200    SHARES                         X        1       1200      0    0
WADDELL & REED
  FINL INC CL A    COMMON STOCK 930059100      14       600    SHARES                X                 1        600      0    0
WAL MART STORES
  INC              COMMON STOCK 931142103    6773    144244    SHARES                X                 3     135707      0 8537
WAL MART STORES
  INC COM          COMMON STOCK 931142103     841     17916    SHARES         X                        2          0  17916    0
WAL MART STORES
  INC COM          COMMON STOCK 931142103    4583     97607    SHARES                         X        1      89267      0 8340
WAL MART STORES
  INC COM          COMMON STOCK 931142103   14012    298452    SHARES                X                 1     293523      0 4929
WAL MART STORES
  INC COM          COMMON STOCK 931142103      14       300    SHARES                X                 4        300      0    0
WALGREEN CO        COMMON STOCK 931422109      92      2000    SHARES         X                        2          0   2000    0
WALGREEN CO        COMMON STOCK 931422109    1060     23092    SHARES                         X        1      16922      0 6170
WALGREEN CO        COMMON STOCK 931422109    1398     30458    SHARES                X                 1      29508      0  950
WALGREEN CO        COMMON STOCK 931422109     395      8600    SHARES                X                 3       8600      0    0
WASHINGTON MUTUAL  COMMON STOCK 939322103     493     12200    SHARES                X                 3      12200      0    0
WASHINGTON MUTUAL
  COM              COMMON STOCK 939322103     660     16350    SHARES                         X        1      15350      0 1000
WASHINGTON MUTUAL
  COM              COMMON STOCK 939322103    1409     34894    SHARES                X                 1      34894      0    0
WASHINGTON MUTUAL
  COM              COMMON STOCK 939322103      12       300    SHARES                X                 4        300      0    0
WASHINGTON MUTUAL
  INCORPORATED     COMMON STOCK 939322103    8649    214180    SHARES         X                        2          0 214180    0
WASHINGTON POST
  CO CL B          COMMON STOCK 939640108     573       750    SHARES         X                        2          0    750    0
WASHINGTON REAL
  ESTATE INVT (R   COMMON STOCK 939653101      22       600    SHARES                         X        1       N.A.   N.A. N.A.
WASHINGTON REAL
  ESTATE INVT (R   COMMON STOCK 939653101     239      6382    SHARES                X                 1       N.A.   N.A. N.A.
WASTE CONNECTIONS
  I                COMMON STOCK 941053100     692     23100    SHARES                X                 3      23100      0    0
WASTE CONNECTIONS
  INC              COMMON STOCK 941053100     146      4883    SHARES                X                 1       4583      0  300
WASTE MANAGEMENT
  INC              COMMON STOCK 94106L109    1649     47956    SHARES                X                 3      45670      0 2286
WASTE MANAGEMENT
  INC COM          COMMON STOCK 94106L109     163      4747    SHARES                         X        1       3247      0 1500
WASTE MANAGEMENT
  INC COM          COMMON STOCK 94106L109     531     15426    SHARES                X                 1      14802      0  624
WATERS CORP        COMMON STOCK 941848103      49       850    SHARES                X                 3        850      0    0
WATSON
  PHARMACEUTCLS    COMMON STOCK 942683103      24       900    SHARES                X                 3        900      0    0
WATSON
  PHARMACEUTICALS
  INC COM          COMMON STOCK 942683103      40      1526    SHARES                         X        1       1526      0    0
WCI INDUSTRIES     COMMON STOCK 92923C104      32      1500    SHARES         X                        2          0   1500    0
WCI INDUSTRIES     COMMON STOCK 92923C104       3       150    SHARES                X                 1        150      0    0
WD 40 CO COM       COMMON STOCK 929236107      70      2200    SHARES                         X        1       2200      0    0
WEATHERFORD INTL
  LTD              COMMON STOCK G95089101    2176     48223    SHARES                X                 3      48223      0    0



                                   55 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
WEATHERFORD INTL
  LTD BERMUDA      COMMON STOCK G95089101     210      4659    SHARES                         X        1       4659      0    0
WEATHERFORD INTL
  LTD BERMUDA      COMMON STOCK G95089101    1792     39739    SHARES                X                 1      39439      0  300
WEBSTER FINANCIAL
  CORP             COMMON STOCK 947890109     542     11356    SHARES         X                               11356      0    0
WEIGHT WATCHERS
  INTL INC NEW     COMMON STOCK 948626106      17       375    SHARES                X                 1        375      0    0
WEINGARTEN REALTY
  INVESTORS        COMMON STOCK 948741103    5922    124523    SHARES         X                        2          0 124523    0
WEINGARTEN REALTY
  INVESTORS (R     COMMON STOCK 948741103      24       500    SHARES                         X        1       N.A.   N.A. N.A.
WEINGARTEN REALTY
  INVESTORS (R     COMMON STOCK 948741103      48      1000    SHARES                X                 1       N.A.   N.A. N.A.
WEIS MARKETS INC   COMMON STOCK 948849104       7       150    SHARES                         X        1        150      0    0
WEIS MARKETS INC   COMMON STOCK 948849104      60      1350    SHARES                X                 1        900      0  450
WELLPOINT INC      COMMON STOCK 94973V107      69       850    SHARES                X                 1        850      0    0
WELLPOINT INC      COMMON STOCK 94973V107     430      5300    SHARES                X                 3       5300      0    0
WELLS FARGO & CO   COMMON STOCK 949746101    5172    150204    SHARES                         X        1     144638      0 5566
WELLS FARGO & CO   COMMON STOCK 949746101   12748    370257    SHARES                X                 1     368457      0 1800
WELLS FARGO & CO   COMMON STOCK 949746101    1435     41700    SHARES                X                 3      41700      0    0
WELLS FARGO & CO   COMMON STOCK 949746101       7       200    SHARES                X                 4        200      0    0
WELLS FARGO &
  COMPANY NEW      COMMON STOCK 949746101   11824    343401    SHARES         X                        2          0 343401    0
WENDYS INTL INC    COMMON STOCK 950590109      29       935    SHARES                X                 3        935      0    0
WENDYS INTL INC
  COM              COMMON STOCK 950590109       6       200    SHARES                         X        1        200      0    0
WENDYS INTL INC
  COM              COMMON STOCK 950590109     105      3370    SHARES                X                 1       3370      0    0
WERNER
  ENTERPRISES INC  COMMON STOCK 950755108      27      1485    SHARES                X                 1       1485      0    0
WESCO
  INTERNATIONAL
  INCORPORAT       COMMON STOCK 95082P105      19       300    SHARES                X                 3        300      0    0
WESTAR ENERGY INC  COMMON STOCK 95709T100       6       200    SHARES                         X        1        200      0    0
WESTAR ENERGY INC  COMMON STOCK 95709T100       8       300    SHARES                X                 1        300      0    0
WESTERN ASSET      PREFERRED
  GLOBAL HIGH INC  STOCK        95766B109      28      2000    SHARES                X                 1       N.A.   N.A. N.A.
WESTERN ASSET      PREFERRED
  HIGH INC OPPORTU STOCK        95766K109      16      2281    SHARES                X                 1       N.A.   N.A. N.A.
WESTERN ASSET      PREFERRED
  MANAGED MUNICIPA STOCK        95766M105      11      1016    SHARES                         X        1       N.A.   N.A. N.A.
WESTERN ASSET
  MANAGED
  MUNICIPALS FD    COMMON STOCK 95766M105     258     22791    SHARES         X                        2          0  22791    0
WESTERN ASSET      PREFERRED
  MUNICIPAL HIGH I STOCK        95766N103       9      1050    SHARES                X                 1       N.A.   N.A. N.A.
WESTERN ASSET/
  CLAYMORE US
  TREAS INFL       COMMON STOCK 95766R104      48      4000    SHARES         X                        2          0   4000    0
WESTERN REFINING
  INC              COMMON STOCK 959319104      32       828    SHARES                X                 1        828      0    0
WESTERN UNION
  COMPANY          COMMON STOCK 959802109     452     20573    SHARES                         X        1      19873      0  700
WESTERN UNION
  COMPANY          COMMON STOCK 959802109     611     27823    SHARES                X                 1      27823      0    0
WESTERN UNION
  COMPANY          COMMON STOCK 959802109       4       200    SHARES                X                 4        200      0    0
WESTLAKE CHEMICAL
  CORPORATION      COMMON STOCK 960413102      16       605    SHARES                X                 1        605      0    0
WESTN DIGITAL CORP COMMON STOCK 958102105      15       867    SHARES                X                 1        867      0    0
WEYERHAEUSER CO    COMMON STOCK 962166104     131      1750    SHARES                X                 3       1750      0    0
WEYERHAEUSER CO
  COM              COMMON STOCK 962166104     449      6002    SHARES                         X        1       5204      0  798
WEYERHAEUSER CO
  COM              COMMON STOCK 962166104     234      3137    SHARES                X                 1       3137      0    0
WGL HLDGS INC COM  COMMON STOCK 92924F106      57      1796    SHARES         X                        2          0   1796    0
WGL HLDGS INC COM  COMMON STOCK 92924F106      62      1932    SHARES                         X        1       1932      0    0
WGL HLDGS INC COM  COMMON STOCK 92924F106      58      1828    SHARES                X                 3       1828      0    0
WHEELING-
  PITTSBURG CORP   COMMON STOCK 963142302       6       245    SHARES                X                 1        245      0    0
WHIRLPOOL CORP     COMMON STOCK 963320106      76       900    SHARES                X                 3        900      0    0
WHIRLPOOL CORP COM COMMON STOCK 963320106      63       742    SHARES                         X        1        742      0    0
WHIRLPOOL CORP COM COMMON STOCK 963320106      67       792    SHARES                X                 1        792      0    0
WHITE MOUNTAINS
  INSURANCE GROUP
  LTD              COMMON STOCK G9618E107     283       500    SHARES         X                        2          0    500    0
WHITING PETROLEUM
  CORPORATION      COMMON STOCK 966387102      59      1500    SHARES                         X        1       1500      0    0
WHOLE FOODS
  MARKET
  INCORPORATED     COMMON STOCK 966837106     727     16220    SHARES         X                        2          0  16220    0
WHOLE FOODS MKT
  INC              COMMON STOCK 966837106      58      1300    SHARES                X                 3       1300      0    0
WHOLE FOODS MKT
  INC COM          COMMON STOCK 966837106      27       600    SHARES                         X        1        600      0    0
WHOLE FOODS MKT
  INC COM          COMMON STOCK 966837106      58      1300    SHARES                X                 1       1300      0    0
WILBER CORP COM    COMMON STOCK 967797101       7       750    SHARES                X                 1        750      0    0
WILLIAM SONOMA
  INC COM          COMMON STOCK 969904101     140      3953    SHARES                X                 1       3688      0  265
WILLIAMS
  COMPANIES
  INCORPORATED     COMMON STOCK 969457100     316     11100    SHARES         X                        2          0  11100    0
WILLIAMS COMPANY
  INC (THE)        COMMON STOCK 969457100      34      1200    SHARES                         X        1          0      0 1200
WILLIAMS COMPANY
  INC (THE)        COMMON STOCK 969457100      29      1024    SHARES                X                 1       1024      0    0
WILLIAMS COS INC   COMMON STOCK 969457100     146      5125    SHARES                X                 3       5125      0    0
WILLIAMS PARTNERS
  LP               COMMON STOCK 96950F104      43       900    SHARES         X                        2          0    900    0
WILLIAMS SONOMA
  INC              COMMON STOCK 969904101     638     18000    SHARES                X                 3      18000      0    0



                                   56 of 58





                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          -------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS  SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ------ ------ -----
                                                                                    
WILLIS GROUP
  HLDGS LTD        COMMON STOCK G96655108      16       400    SHARES                X                 3        400     0      0
WILMINGTON TRUST
  CORP             COMMON STOCK 971807102      25       600    SHARES                         X        1        600     0      0
WILMINGTON TRUST
  CRP              COMMON STOCK 971807102     143      3400    SHARES                X                 3       3400     0      0
WINDSTREAM CORP    COMMON STOCK 97381W104     402     27361    SHARES                         X        1      23019     0   4342
WINDSTREAM CORP    COMMON STOCK 97381W104     148     10104    SHARES                X                 1      10104     0      0
WINDSTREAM CORP    COMMON STOCK 97381W104     160     10853    SHARES                X                 3      10853     0      0
WISCONSIN ENERGY
  CORP COM         COMMON STOCK 976657106     188      3875    SHARES                         X        1       3875     0      0
WISCONSIN ENERGY
  CORP COM         COMMON STOCK 976657106     228      4695    SHARES                X                 1       4695     0      0
WORTHINGTON INDS
  INC COM          COMMON STOCK 981811102     268     13000    SHARES                         X        1          0     0  13000
WRIGLEY WM JR CO   COMMON STOCK 982526105     946     18583    SHARES         X                        2          0 18583      0
WRIGLEY WM JR CO   COMMON STOCK 982526105     368      7218    SHARES                         X        1       6468     0    750
WRIGLEY WM JR CO   COMMON STOCK 982526105     505      9910    SHARES                X                 1       9910     0      0
WRIGLEY WM JR CO   COMMON STOCK 982526105     161      3150    SHARES                X                 3       3150     0      0
WYETH              COMMON STOCK 983024100    2506     50100    SHARES         X                        2          0 50100      0
WYETH              COMMON STOCK 983024100   16595    331697    SHARES                         X        1     281064     0  50633
WYETH              COMMON STOCK 983024100   16505    329897    SHARES                X                 1     325707     0   4190
WYETH              COMMON STOCK 983024100    5398    107904    SHARES                X                 3     107904     0      0
WYETH              COMMON STOCK 983024100      15       300    SHARES                X                 4        300     0      0
WYNDHAM WORLDWIDE
  CO               COMMON STOCK 98310W108      55      1600    SHARES                X                 3       1600     0      0
WYNDHAM WORLDWIDE
  CORP             COMMON STOCK 98310W108      21       623    SHARES                         X        1        623     0      0
WYNDHAM WORLDWIDE
  CORP             COMMON STOCK 98310W108       9       250    SHARES                X                 1        250     0      0
WYNN RESORTS
  LIMITED          COMMON STOCK 983134107      11       121    SHARES                X                 1        121     0      0
XANSER CORP        COMMON STOCK 98389J103       2       400    SHARES                X                 1        400     0      0
XCEL ENERGY INC    COMMON STOCK 98389B100      75      3028    SHARES                X                 3       3028     0      0
XCEL ENERGY INC
  COM              COMMON STOCK 98389B100     191      7734    SHARES                         X        1       7734     0      0
XCEL ENERGY INC
  COM              COMMON STOCK 98389B100      70      2821    SHARES                X                 1       2821     0      0
XEROX CORP         COMMON STOCK 984121103     171     10140    SHARES                         X        1      10140     0      0
XEROX CORP         COMMON STOCK 984121103      44      2600    SHARES                X                 1       2600     0      0
XEROX CORP         COMMON STOCK 984121103     147      8700    SHARES                X                 3       8500     0    200
XILINX INC         COMMON STOCK 983919101      69      2700    SHARES                X                 3       2700     0      0
XL CAP LTD         COMMON STOCK G98255105     108      1550    SHARES                X                 3       1550     0      0
XM SATELLITE
  RADIO HLDGS INC  COMMON STOCK 983759101       8       644    SHARES                X                 1        644     0      0
XM SATELLITE
  RADIO HLDGS INC
  CL A             COMMON STOCK 983759101     199     13800    SHARES         X                        2          0 13800      0
X-RITE INC COM     COMMON STOCK 983857103       3       250    SHARES                X                 1        250     0      0
XTO ENERGY INC     COMMON STOCK 98385X106    1289     23556    SHARES                X                 3      23556     0      0
XTO ENERGY INC COM COMMON STOCK 98385X106     190      3463    SHARES                         X        1       3463     0      0
XTO ENERGY INC COM COMMON STOCK 98385X106    2220     40512    SHARES                X                 1      40352     0    160
XYRATEX LTD        COMMON STOCK G98268108      61      2571    SHARES                X                 1       2352     0    219
XYRATEX LTD        COMMON STOCK G98268108     955     40000    SHARES                X                 3      40000     0      0
YAHOO INC          COMMON STOCK 984332106     661     21145    SHARES                X                 3      21145     0      0
YAHOO INC COM      COMMON STOCK 984332106     188      6000    SHARES         X                        2          0  6000      0
YAHOO INC COM      COMMON STOCK 984332106      22       710    SHARES                         X        1        710     0      0
YAHOO INC COM      COMMON STOCK 984332106     329     10510    SHARES                X                 1      10510     0      0
YAMANA GOLD INC    COMMON STOCK 98462Y100       1       100    SHARES                X                 1        100     0      0
YORK WATER COMPANY COMMON STOCK 987184108    1198     70444    SHARES                         X        1      70444     0      0
YORK WATER COMPANY COMMON STOCK 987184108    1435     84383    SHARES                X                 1      84383     0      0
YRC WORLDWIDE INC  COMMON STOCK 984249102      16       390    SHARES                X                 3        390     0      0
YUM BRANDS INC     COMMON STOCK 988498101     174      3025    SHARES                X                 3       3025     0      0
YUM! BRANDS INC    COMMON STOCK 988498101     915     15840    SHARES         X                        2          0 15840      0
YUM! BRANDS INC    COMMON STOCK 988498101     385      6673    SHARES                         X        1       4753     0   1920
YUM! BRANDS INC    COMMON STOCK 988498101     411      7121    SHARES                X                 1       7121     0      0
ZEBRA
  TECHNOLOGIES
  CORP CL A        COMMON STOCK 989207105      87      2250    SHARES                         X        1       2250     0      0
ZENITH NATIONAL
  INSURANCE CORP   COMMON STOCK 989390109      66      1400    SHARES         X                        2          0  1400      0
ZIMMER HLDGS INC
  COM              COMMON STOCK 98956P102    1821     21317    SHARES                         X        1      20347     0    970
ZIMMER HLDGS INC
  COM              COMMON STOCK 98956P102    6471     75769    SHARES                X                 1      74164     0   1605
ZIMMER HLDGS INC
  COM              COMMON STOCK 98956P102    4180     48935    SHARES                X                 3      45130     0   3805
ZIMMER HOLDINGS
  INCORPORATED     COMMON STOCK 98956P102    6310     73883    SHARES         X                        2          0 73883      0
ZIONS
  BANCORPORATION   COMMON STOCK 989701107    1523     18023    SHARES                X                 3      15716     0   2307
ZIONS
  BANCORPORATION
  COM              COMMON STOCK 989701107     285      3371    SHARES                         X        1       2471     0    900



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                                                                                    COLUMN 6                      COLUMN 8
                                                            COLUMN 5          INVESTMENT AUTHORITY            VOTING AUTHORITY
                                                    ------------------------ ----------------------          ------------------
                     COLUMN 2             COLUMN 4  SHARES OR           PUT                         COLUMN 7
   COLUMN 1          TITLE OF   COLUMN 3    VALUE   PRINCIPAL SHARES OR  OR       SHARED - SHARED -  OTHER
NAME OF ISSUER        CLASS      CUSIP    (X$1,000)  AMOUNT   PRINCIPAL CALL SOLE DEFINED   OTHER   MANAGERS SOLE  SHARED OTHER
--------------     ------------ --------- --------- --------- --------- ---- ---- -------- -------- -------- ----- ------ -----
                                                                                   
ZIONS
  BANCORPORATION
  COM              COMMON STOCK 989701107     3960     46853   SHARES                X                 1     45286   0    1567
ZOLL MEDICAL CORP  COMMON STOCK 989922109       14       540   SHARES                X                 3       540   0       0

                                           4033837  92353522


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