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

Form 13F

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: June 30, 2003

Check here if Amendment [X]; Amendment Number: 1
This Amendment (Check only one.):
[X] is a restatement.
[ ] adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name: 		Northern Trust Corporation
Address: 		50 South LaSalle Street, Chicago, IL 60657

Form 13F File Number: 	28-290

The 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 parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name: 		Perry R. Pero
Title: 		Vice Chairman
Phone: 		(312) 630-6000

Signature, Place, and Date of Signing:

				Chicago, IL		September 10, 2003
 [Signature]			[City, State]		[Date]

This amendment corrects the amount and value of reported holdings for
Goodyear Tire & Rubber Company Common Stock.

Report Type (Check only one.):

[X] 13F HOLDINGS REPORT. (Check here if all holdings of this reporting
manager 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 manager are reported in this report and a portion are reported
 by other reporting manager(s).)


Form 13F SUMMARY PAGE
Report Summary:


Number of Other Included Managers:	09

Form 13F Information Table Entry Total:	18,749.

Form 13F Information Table Value Total: 	$135,718,052.
(thousands)

This amendment corrects the amount and value of reported holdings for
Goodyear Tire & Rubber Company Common Stock.

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.


No.	Form 13F File #	Name

01	28-10495		The Northern Trust Company
02	28-10484		Northern Trust Bank, N.A.
03	28-10482		Northern Trust Bank of California N.A.
04	28-10485		Northern Trust Bank of Florida N.A.
05	28-10486		Northern Trust Bank of Texas N.A.
06	28-2437			Strategic Investment Management
07	28-6060			Harrold J. McComas
08	28-10487		Northern Trust Investments, Inc.
10	28-10488		Northern Trust Bank, FSB


                                                  


 FORM 13F                                                                                                      PAGE      1
 ________
 DATE 06-30-03                                                     NAME OF REPORTING MANAGER - NORTHERN TRUST CORPORATION 28-290
                                                                           ITEM 6:
                                                                          INVESTMENT                      ITEM 8:
                                                                          DISCRETION              VOTING AUTHORITY (SHARES)
                                                             ITEM 5:                      ITEM 7:
                              ITEM 2:  ITEM 3:    ITEM 4:   SHARES OR                      MGRS.
        ITEM 1:		      TITLE OF  CUSIP   FAIR MARKET PRINCIPAL                      SEE
      NAME OF ISSUER          CLASS    NUMBER   VALUE (000)  AMOUNT                      INSTR V      SOLE      SHARED        NONE

DAIMLERCHRYSLER AG              COM   D1668R123          60       1,722  SH     DEFINED     01         622       1,100           0
DAIMLERCHRYSLER AG              COM   D1668R123         691      19,912  SH     DEFINED     04      19,912           0           0
DAIMLERCHRYSLER AG              COM   D1668R123          38       1,099  SH     OTHER       04       1,099           0           0
DAIMLERCHRYSLER AG              COM   D1668R123         222       6,406  SH     DEFINED  01,08       6,406           0           0
DAIMLERCHRYSLER AG              COM   D1668R123          13         364  SH     DEFINED     10           0         350          14

ACE LTD                         COM   G0070K103      41,180   1,200,942  SH     DEFINED     01     574,614     613,753      12,575
ACE LTD                         COM   G0070K103         676      19,700  SH     OTHER       01           0      19,500         200
ACE LTD                         COM   G0070K103           6         169  SH     DEFINED     03           0           0         169
ACE LTD                         COM   G0070K103          31         900  SH     DEFINED     04         900           0           0
ACE LTD                         COM   G0070K103          51       1,500  SH     OTHER       04       1,500           0           0
ACE LTD                         COM   G0070K103          22         650  SH     OTHER    01,06           0           0         650
ACE LTD                         COM   G0070K103      28,916     843,276  SH     DEFINED  01,08     775,083      68,193           0
ACE LTD                         COM   G0070K103          67       1,940  SH     DEFINED     10       1,940           0           0

AMDOCS LTD                      COM   G02602103       2,256      94,000  SH     DEFINED     01      93,500         500           0

ARCH CAP GROUP LTD              COM   G0450A105         375      10,800  SH     DEFINED     01       3,300       7,500           0
ARCH CAP GROUP LTD              COM   G0450A105         196       5,651  SH     DEFINED  01,08           0       5,651           0

ACCENTURE LTD BERMUDA           COM   G1150G111       6,252     345,600  SH     DEFINED     01     329,500      16,100           0
ACCENTURE LTD BERMUDA           COM   G1150G111          33       1,800  SH     OTHER       01         800       1,000           0
ACCENTURE LTD BERMUDA           COM   G1150G111           9         500  SH     DEFINED     02         500           0           0
ACCENTURE LTD BERMUDA           COM   G1150G111       1,183      65,375  SH     DEFINED     03      39,450      19,325       6,600
ACCENTURE LTD BERMUDA           COM   G1150G111         208      11,500  SH     OTHER       03      10,500         300         700
ACCENTURE LTD BERMUDA           COM   G1150G111       1,342      74,188  SH     DEFINED     04      71,199           0       2,989
ACCENTURE LTD BERMUDA           COM   G1150G111         112       6,216  SH     OTHER       04       6,168           0          48
ACCENTURE LTD BERMUDA           COM   G1150G111          13         700  SH     DEFINED     05           0         400         300
ACCENTURE LTD BERMUDA           COM   G1150G111       1,132      62,600  SH     DEFINED  01,08      62,600           0           0

BUNGE LIMITED                   COM   G16962105       1,679      58,700  SH     DEFINED     01      45,600           0      13,100
BUNGE LIMITED                   COM   G16962105          17         600  SH     OTHER       01           0         600           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      2
________

COOPER INDS LTD                 COM   G24182100      19,015     460,407  SH     DEFINED     01     235,357     217,322       7,728
COOPER INDS LTD                 COM   G24182100           3          75  SH     OTHER       01           0           0          75
COOPER INDS LTD                 COM   G24182100          20         478  SH     DEFINED     02           0         478           0
COOPER INDS LTD                 COM   G24182100           8         200  SH     OTHER       02         200           0           0
COOPER INDS LTD                 COM   G24182100           2          50  SH     DEFINED     03           0          50           0
COOPER INDS LTD                 COM   G24182100         124       3,000  SH     OTHER       03       3,000           0           0
COOPER INDS LTD                 COM   G24182100         108       2,614  SH     DEFINED     04       2,614           0           0
COOPER INDS LTD                 COM   G24182100          84       2,036  SH     OTHER       04       1,436           0         600
COOPER INDS LTD                 COM   G24182100           8         200  SH     OTHER    01,06           0           0         200
COOPER INDS LTD                 COM   G24182100      12,726     308,144  SH     DEFINED  01,08     283,573      24,571           0
COOPER INDS LTD                 COM   G24182100         117       2,826  SH     DEFINED     10       2,826           0           0

EVEREST RE GROUP LTD            COM   G3223R108      74,952     979,771  SH     DEFINED     01     604,170     276,706      98,895
EVEREST RE GROUP LTD            COM   G3223R108       6,036      78,907  SH     OTHER       01      25,347      41,950      11,610
EVEREST RE GROUP LTD            COM   G3223R108       2,996      39,160  SH     DEFINED     02      22,760      15,300       1,100
EVEREST RE GROUP LTD            COM   G3223R108         526       6,875  SH     OTHER       02       3,725       2,450         700
EVEREST RE GROUP LTD            COM   G3223R108       6,080      79,478  SH     DEFINED     03      45,538      21,440      12,500
EVEREST RE GROUP LTD            COM   G3223R108       1,267      16,567  SH     OTHER       03      10,922       3,045       2,600
EVEREST RE GROUP LTD            COM   G3223R108      34,381     449,419  SH     DEFINED     04     439,409           0      10,010
EVEREST RE GROUP LTD            COM   G3223R108       7,448      97,362  SH     OTHER       04      92,762           0       4,600
EVEREST RE GROUP LTD            COM   G3223R108       2,501      32,698  SH     DEFINED     05      25,038       4,160       3,500
EVEREST RE GROUP LTD            COM   G3223R108         212       2,775  SH     OTHER       05         700       2,075           0
EVEREST RE GROUP LTD            COM   G3223R108       5,070      66,270  SH     DEFINED  01,08      34,037      32,233           0
EVEREST RE GROUP LTD            COM   G3223R108       3,733      48,795  SH     DEFINED     10      44,565       2,300       1,930
EVEREST RE GROUP LTD            COM   G3223R108       1,414      18,485  SH     OTHER       10      10,675       7,110         700

FRESH DEL MONTE PRODUCE INC     COM   G36738105         958      37,300  SH     DEFINED     01      10,400      26,900           0
FRESH DEL MONTE PRODUCE INC     COM   G36738105          26       1,000  SH     DEFINED     04       1,000           0           0
FRESH DEL MONTE PRODUCE INC     COM   G36738105       2,704     105,257  SH     DEFINED  01,08      23,727      81,530           0

GARMIN LTD                      COM   G37260109       2,350      58,900  SH     DEFINED     01      48,600       4,650       5,650
GARMIN LTD                      COM   G37260109           4         100  SH     OTHER       04         100           0           0
GARMIN LTD                      COM   G37260109          10         250  SH     DEFINED     10         250           0           0

GLOBALSANTAFE CORP              COM   G3930E101       1,157      49,589  SH     DEFINED     01      48,259           0       1,330
GLOBALSANTAFE CORP              COM   G3930E101         548      23,500  SH     OTHER       01           0      23,500           0
GLOBALSANTAFE CORP              COM   G3930E101          34       1,463  SH     OTHER       02       1,330         133           0
GLOBALSANTAFE CORP              COM   G3930E101          37       1,600  SH     DEFINED     03       1,600           0           0
GLOBALSANTAFE CORP              COM   G3930E101          70       3,000  SH     DEFINED     04       3,000           0           0
GLOBALSANTAFE CORP              COM   G3930E101           6         238  SH     DEFINED     05          39           0         199
GLOBALSANTAFE CORP              COM   G3930E101       5,420     232,227  SH     DEFINED  01,08      96,517     135,710           0
GLOBALSANTAFE CORP              COM   G3930E101          10         440  SH     DEFINED     10         230           0         210


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      3
________

HELEN OF TROY CORP LTD          COM   G4388N106         603      39,800  SH     DEFINED     01       6,100      33,700           0
HELEN OF TROY CORP LTD          COM   G4388N106           6         400  SH     OTHER       04         400           0           0
HELEN OF TROY CORP LTD          COM   G4388N106         991      65,390  SH     DEFINED  01,08      11,777      53,613           0

INGERSOLL-RAND COMPANY LTD      COM   G4776G101      38,321     809,837  SH     DEFINED     01     398,342     404,353       7,142
INGERSOLL-RAND COMPANY LTD      COM   G4776G101         415       8,775  SH     OTHER       01           0       8,700          75
INGERSOLL-RAND COMPANY LTD      COM   G4776G101          38         802  SH     DEFINED     02         747           0          55
INGERSOLL-RAND COMPANY LTD      COM   G4776G101          14         300  SH     OTHER       02           0         300           0
INGERSOLL-RAND COMPANY LTD      COM   G4776G101          81       1,705  SH     DEFINED     03       1,565         140           0
INGERSOLL-RAND COMPANY LTD      COM   G4776G101          85       1,800  SH     DEFINED     04       1,800           0           0
INGERSOLL-RAND COMPANY LTD      COM   G4776G101         237       5,000  SH     OTHER       04       3,350           0       1,650
INGERSOLL-RAND COMPANY LTD      COM   G4776G101          35         750  SH     DEFINED     05         750           0           0
INGERSOLL-RAND COMPANY LTD      COM   G4776G101          19         400  SH     OTHER    01,06           0           0         400
INGERSOLL-RAND COMPANY LTD      COM   G4776G101      24,892     526,039  SH     DEFINED  01,08     483,004      43,035           0
INGERSOLL-RAND COMPANY LTD      COM   G4776G101          30         627  SH     DEFINED     10          27         600           0

MARVELL TECHNOLOGY GROUP LTD    COM   G5876H105         206       6,000  SH     DEFINED     01       5,000       1,000           0
MARVELL TECHNOLOGY GROUP LTD    COM   G5876H105          72       2,100  SH     DEFINED  01,08       2,100           0           0

MONTPELIER RE HOLDINGS LTD      COM   G62185106       1,071      33,900  SH     DEFINED     01      21,900           0      12,000

NABORS INDUSTRIES LTD           COM   G6359F103      33,343     843,497  SH     DEFINED     01     436,848     377,049      29,600
NABORS INDUSTRIES LTD           COM   G6359F103       1,017      25,725  SH     OTHER       01       2,150      23,500          75
NABORS INDUSTRIES LTD           COM   G6359F103           2          40  SH     DEFINED     02           0           0          40
NABORS INDUSTRIES LTD           COM   G6359F103          28         700  SH     OTHER       02         500         200           0
NABORS INDUSTRIES LTD           COM   G6359F103         231       5,850  SH     DEFINED     03       3,050       2,500         300
NABORS INDUSTRIES LTD           COM   G6359F103          22         550  SH     OTHER       03         250         300           0
NABORS INDUSTRIES LTD           COM   G6359F103       1,030      26,060  SH     DEFINED     04      25,860           0         200
NABORS INDUSTRIES LTD           COM   G6359F103          55       1,400  SH     OTHER       04         900           0         500
NABORS INDUSTRIES LTD           COM   G6359F103           8         200  SH     DEFINED     05         200           0           0
NABORS INDUSTRIES LTD           COM   G6359F103          16         400  SH     OTHER    01,06           0           0         400
NABORS INDUSTRIES LTD           COM   G6359F103      19,045     481,774  SH     DEFINED  01,08     442,532      39,242           0
NABORS INDUSTRIES LTD           COM   G6359F103         194       4,920  SH     DEFINED     10       2,720       2,200           0
NABORS INDUSTRIES LTD           COM   G6359F103         131       3,325  SH     OTHER       10           0       3,325           0

NOBLE CORPORATION               COM   G65422100      22,038     642,498  SH     DEFINED     01     325,277     313,421       3,800
NOBLE CORPORATION               COM   G65422100         489      14,265  SH     OTHER       01           0      14,190          75
NOBLE CORPORATION               COM   G65422100           2          70  SH     DEFINED     02          70           0           0
NOBLE CORPORATION               COM   G65422100           2          50  SH     DEFINED     03           0          50           0
NOBLE CORPORATION               COM   G65422100         248       7,230  SH     DEFINED     04       5,730           0       1,500
NOBLE CORPORATION               COM   G65422100          10         300  SH     OTHER    01,06           0           0         300
NOBLE CORPORATION               COM   G65422100      14,633     426,617  SH     DEFINED  01,08     392,463      34,154           0
NOBLE CORPORATION               COM   G65422100          14         420  SH     DEFINED     10         420           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      4
________

SEAGATE TECHNOLOGY              COM   G7945J104         265      15,000  SH     DEFINED     01      14,600         400           0
SEAGATE TECHNOLOGY              COM   G7945J104       1,857     105,200  SH     DEFINED  01,08      30,600      74,600           0

STEWART W P & CO LTD            COM   G84922106         348      15,550  SH     OTHER       01           0           0      15,550

UTI WORLDWIDE INC               COM   G87210103       1,279      41,450  SH     DEFINED     01      19,800       3,300      18,350

TRANSOCEAN INC                  COM   G90078109      63,234   2,878,182  SH     DEFINED     01   1,729,969   1,021,898     126,315
TRANSOCEAN INC                  COM   G90078109       3,382     153,943  SH     OTHER       01      68,170      70,252      15,521
TRANSOCEAN INC                  COM   G90078109       1,897      86,355  SH     DEFINED     02      74,231      12,124           0
TRANSOCEAN INC                  COM   G90078109         305      13,887  SH     OTHER       02      11,032       2,845          10
TRANSOCEAN INC                  COM   G90078109         562      25,567  SH     DEFINED     03       6,986      17,161       1,420
TRANSOCEAN INC                  COM   G90078109         113       5,152  SH     OTHER       03       1,502       3,300         350
TRANSOCEAN INC                  COM   G90078109       4,800     218,481  SH     DEFINED     04     214,434           0       4,047
TRANSOCEAN INC                  COM   G90078109       1,456      66,282  SH     OTHER       04      57,949           0       8,333
TRANSOCEAN INC                  COM   G90078109       2,785     126,745  SH     DEFINED     05      96,768      22,862       7,115
TRANSOCEAN INC                  COM   G90078109         350      15,945  SH     OTHER       05       8,081       7,089         775
TRANSOCEAN INC                  COM   G90078109          18         800  SH     OTHER    01,06           0           0         800
TRANSOCEAN INC                  COM   G90078109      23,323   1,061,595  SH     DEFINED  01,08     975,488      86,107           0
TRANSOCEAN INC                  COM   G90078109         534      24,319  SH     DEFINED     10      19,101       2,718       2,500
TRANSOCEAN INC                  COM   G90078109         144       6,570  SH     OTHER       10       3,917       2,653           0

WEATHERFORD INTERNATIONAL LT    COM   G95089101      11,313     269,989  SH     DEFINED     01      81,715     188,274           0
WEATHERFORD INTERNATIONAL LT    COM   G95089101         523      12,483  SH     OTHER       01           0      12,483           0
WEATHERFORD INTERNATIONAL LT    COM   G95089101           6         135  SH     DEFINED     03           0           0         135
WEATHERFORD INTERNATIONAL LT    COM   G95089101          56       1,340  SH     DEFINED     04       1,340           0           0
WEATHERFORD INTERNATIONAL LT    COM   G95089101       8,036     191,786  SH     DEFINED  01,08     116,124      75,662           0
WEATHERFORD INTERNATIONAL LT    COM   G95089101          34         815  SH     DEFINED     10         490           0         325

WHITE MTNS INS GROUP LTD        COM   G9618E107         675       1,708  SH     DEFINED     01       1,708           0           0
WHITE MTNS INS GROUP LTD        COM   G9618E107         237         600  SH     OTHER       01         100         500           0
WHITE MTNS INS GROUP LTD        COM   G9618E107          55         140  SH     DEFINED     02           0         140           0
WHITE MTNS INS GROUP LTD        COM   G9618E107       2,321       5,877  SH     DEFINED  01,08       1,077       4,800           0

WILLIS GROUP HOLDINGS LTD       COM   G96655108         154       5,000  SH     DEFINED     01           0       5,000           0
WILLIS GROUP HOLDINGS LTD       COM   G96655108          49       1,600  SH     DEFINED     10       1,600           0           0

XOMA LTD                        COM   G9825R107         362      68,100  SH     DEFINED     01      13,400      54,700           0
XOMA LTD                        COM   G9825R107           8       1,500  SH     OTHER       01           0       1,500           0
XOMA LTD                        COM   G9825R107           1         100  SH     OTHER       04         100           0           0
XOMA LTD                        COM   G9825R107         610     114,747  SH     DEFINED  01,08      30,531      84,216           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      5
________

XL CAP LTD                      COM   G98255105      51,740     623,368  SH     DEFINED     01     301,442     316,551       5,375
XL CAP LTD                      COM   G98255105         342       4,125  SH     OTHER       01       2,000       2,000         125
XL CAP LTD                      COM   G98255105           2          20  SH     DEFINED     02           0           0          20
XL CAP LTD                      COM   G98255105         154       1,850  SH     DEFINED     03       1,800          50           0
XL CAP LTD                      COM   G98255105         100       1,200  SH     DEFINED     04       1,200           0           0
XL CAP LTD                      COM   G98255105           2          30  SH     DEFINED     05          30           0           0
XL CAP LTD                      COM   G98255105          29         350  SH     OTHER    01,06           0           0         350
XL CAP LTD                      COM   G98255105      36,765     442,952  SH     DEFINED  01,08     406,549      36,403           0
XL CAP LTD                      COM   G98255105          12         145  SH     DEFINED     10         145           0           0

ALCON INC                       COM   H01301102      16,756     366,646  SH     DEFINED     01     259,451      95,209      11,986
ALCON INC                       COM   H01301102       2,884      63,103  SH     OTHER       01      35,554      21,979       5,570
ALCON INC                       COM   H01301102         556      12,174  SH     DEFINED     02       9,000       2,874         300
ALCON INC                       COM   H01301102         109       2,375  SH     OTHER       02         400       1,975           0
ALCON INC                       COM   H01301102       2,956      64,685  SH     DEFINED     03      35,175      26,295       3,215
ALCON INC                       COM   H01301102         571      12,505  SH     OTHER       03       8,365       2,600       1,540
ALCON INC                       COM   H01301102       3,472      75,965  SH     DEFINED     04      74,575           0       1,390
ALCON INC                       COM   H01301102         637      13,935  SH     OTHER       04      13,935           0           0
ALCON INC                       COM   H01301102       2,387      52,235  SH     DEFINED     05      43,245       5,145       3,845
ALCON INC                       COM   H01301102         219       4,800  SH     OTHER       05       2,215       2,585           0
ALCON INC                       COM   H01301102       1,639      35,875  SH     DEFINED     10      30,985       4,400         490
ALCON INC                       COM   H01301102          74       1,620  SH     OTHER       10         220       1,400           0

UBS AG                          COM   H8920M855          54         983  SH     DEFINED     01           0          33         950
UBS AG                          COM   H8920M855         411       7,417  SH     OTHER       01           0       7,417           0
UBS AG                          COM   H8920M855          19         335  SH     DEFINED     02          60         275           0
UBS AG                          COM   H8920M855          38         684  SH     OTHER       03         684           0           0
UBS AG                          COM   H8920M855          96       1,725  SH     DEFINED     04       1,725           0           0
UBS AG                          COM   H8920M855         168       3,038  SH     OTHER       04       3,038           0           0
UBS AG                          COM   H8920M855          50         900  SH     OTHER       05           0           0         900
UBS AG                          COM   H8920M855         181       3,270  SH     DEFINED     10       3,270           0           0

CHECK POINT SOFTWARE TECH LT    COM   M22465104         954      48,900  SH     DEFINED     01      29,100           0      19,800
CHECK POINT SOFTWARE TECH LT    COM   M22465104           4         195  SH     DEFINED     02         195           0           0
CHECK POINT SOFTWARE TECH LT    COM   M22465104          53       2,700  SH     OTHER       03       2,700           0           0
CHECK POINT SOFTWARE TECH LT    COM   M22465104           2         100  SH     DEFINED     04         100           0           0
CHECK POINT SOFTWARE TECH LT    COM   M22465104          17         890  SH     OTHER       04         890           0           0
CHECK POINT SOFTWARE TECH LT    COM   M22465104         438      22,485  SH     DEFINED  01,08      22,485           0           0
CHECK POINT SOFTWARE TECH LT    COM   M22465104         104       5,322  SH     DEFINED     10       5,322           0           0

CLICKSOFTWARE TECHNOLOGIES L    COM   M25082104         102      56,586  SH     DEFINED     01      56,586           0           0

TARO PHARMACEUTICAL INDS LTD    COM   M8737E108       2,760      50,150  SH     DEFINED     01      50,150           0           0
TARO PHARMACEUTICAL INDS LTD    COM   M8737E108          47         855  SH     DEFINED     03         700           0         155


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      6
________

TECNOMATIX TECHNOLOGIES LTD     COM   M8743P105         155      13,900  SH     DEFINED     04      13,900           0           0
TECNOMATIX TECHNOLOGIES LTD     COM   M8743P105          56       5,000  SH     OTHER       04       5,000           0           0

VERISITY LTD                    COM   M97385112         415      35,000  SH     DEFINED  01,08       8,500      26,500           0

CNH GLOBAL N V                  COM   N20935206         124      12,955  SH     DEFINED     01           0      12,955           0
CNH GLOBAL N V                  COM   N20935206           0          35  SH     DEFINED     10          35           0           0

CORE LABORATORIES N V           COM   N22717107         225      20,800  SH     OTHER       01           0      20,800           0
CORE LABORATORIES N V           COM   N22717107           8         695  SH     DEFINED     10         580           0         115

ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103       3,264     140,950  SH     DEFINED     01      82,350      47,800      10,800
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103          51       2,185  SH     OTHER       01           0       2,185           0
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103         190       8,225  SH     DEFINED     02       8,225           0           0
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103         907      39,175  SH     DEFINED     03      22,425       9,550       7,200
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103          27       1,150  SH     OTHER       03       1,150           0           0
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103       4,965     214,396  SH     DEFINED     04     208,646           0       5,750
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103         832      35,920  SH     OTHER       04      35,920           0           0
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103         931      40,200  SH     DEFINED     05      32,775       1,400       6,025
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103      18,954     818,390  SH     DEFINED  01,08      11,227     744,848      62,315
ROYAL CARIBBEAN CRUISES LTD     COM   V7780T103         904      39,050  SH     DEFINED     10      36,950       2,100           0

FLEXTRONICS INTL LTD            COM   Y2573F102      14,500   1,390,222  SH     DEFINED     01   1,141,699     186,975      61,548
FLEXTRONICS INTL LTD            COM   Y2573F102       3,643     349,317  SH     OTHER       01     147,826      74,400     127,091
FLEXTRONICS INTL LTD            COM   Y2573F102       2,971     284,845  SH     DEFINED     02     235,045      40,200       9,600
FLEXTRONICS INTL LTD            COM   Y2573F102         510      48,850  SH     OTHER       02      46,900       1,950           0
FLEXTRONICS INTL LTD            COM   Y2573F102       1,130     108,310  SH     DEFINED     03      71,330      16,880      20,100
FLEXTRONICS INTL LTD            COM   Y2573F102         238      22,800  SH     OTHER       03      14,800       8,000           0
FLEXTRONICS INTL LTD            COM   Y2573F102      10,771   1,032,735  SH     DEFINED     04   1,011,930           0      20,805
FLEXTRONICS INTL LTD            COM   Y2573F102       3,034     290,919  SH     OTHER       04     276,254           0      14,665
FLEXTRONICS INTL LTD            COM   Y2573F102       1,921     184,185  SH     DEFINED     05     136,775      35,285      12,125
FLEXTRONICS INTL LTD            COM   Y2573F102         123      11,750  SH     OTHER       05       8,150       3,600           0
FLEXTRONICS INTL LTD            COM   Y2573F102       1,847     177,108  SH     DEFINED  01,08     177,108           0           0
FLEXTRONICS INTL LTD            COM   Y2573F102         305      29,220  SH     DEFINED     10      27,820       1,400           0
FLEXTRONICS INTL LTD            COM   Y2573F102          81       7,800  SH     OTHER       10       7,800           0           0

GENERAL MARITIME CORP           COM   Y2692M103         367      36,200  SH     DEFINED     01       7,500      28,700           0
GENERAL MARITIME CORP           COM   Y2692M103         654      64,400  SH     DEFINED  01,08      15,400      49,000           0

OMI CORP NEW                    COM   Y6476W104       1,385     224,900  SH     DEFINED     01     168,200      56,700           0
OMI CORP NEW                    COM   Y6476W104         826     134,118  SH     DEFINED  01,08      32,172     101,946           0

AAON INC                        COM   000360206         806      43,514  SH     DEFINED     01      19,014      24,500           0
AAON INC                        COM   000360206         561      30,313  SH     DEFINED  01,08       7,743      22,570           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      7
________

AAR CORP                        COM   000361105         699      98,963  SH     DEFINED     01      53,401      43,762       1,800
AAR CORP                        COM   000361105           4         600  SH     OTHER    01,06           0           0         600
AAR CORP                        COM   000361105       1,517     214,923  SH     DEFINED  01,08     159,710      55,213           0

ABC BANCORP                     COM   000400101         659      46,464  SH     DEFINED     01      33,814      12,000         650
ABC BANCORP                     COM   000400101         364      25,660  SH     DEFINED  01,08       6,554      19,106           0

A C MOORE ARTS & CRAFTS INC     COM   00086T103         964      47,905  SH     DEFINED     01      26,355      20,900         650
A C MOORE ARTS & CRAFTS INC     COM   00086T103       1,374      68,315  SH     DEFINED  01,08      37,902      30,413           0

ACTV INC                        COM   00088E104          60      61,800  SH     DEFINED     01      10,600      51,200           0
ACTV INC                        COM   00088E104          81      83,247  SH     DEFINED  01,08      25,147      58,100           0

A D A M INC                     COM   00088U108           9       6,500  SH     DEFINED     01         600       5,900           0
A D A M INC                     COM   00088U108          16      11,259  SH     DEFINED  01,08       1,559       9,700           0

A CONSULTING TEAM INC           COM   000881102           4       7,900  SH     DEFINED     01         800       7,100           0
A CONSULTING TEAM INC           COM   000881102           1       2,526  SH     DEFINED  01,08         126       2,400           0

A D C TELECOMMUNICATIONS        COM   000886101      10,551   4,587,183  SH     DEFINED     01   2,424,943   2,092,493      69,747
A D C TELECOMMUNICATIONS        COM   000886101          23       9,850  SH     OTHER       01           0       9,100         750
A D C TELECOMMUNICATIONS        COM   000886101          17       7,250  SH     DEFINED     02       6,250           0       1,000
A D C TELECOMMUNICATIONS        COM   000886101           1         300  SH     DEFINED     03           0         300           0
A D C TELECOMMUNICATIONS        COM   000886101           0         200  SH     DEFINED     04         200           0           0
A D C TELECOMMUNICATIONS        COM   000886101           5       2,100  SH     OTHER    01,06           0           0       2,100
A D C TELECOMMUNICATIONS        COM   000886101       7,827   3,402,904  SH     DEFINED  01,08   3,096,395     306,509           0
A D C TELECOMMUNICATIONS        COM   000886101           3       1,120  SH     DEFINED     10       1,120           0           0

ADE CORP MASS                   COM   00089C107         304      35,898  SH     DEFINED     01      19,125      16,573         200
ADE CORP MASS                   COM   00089C107         256      30,300  SH     DEFINED  01,08       6,757      23,543           0

ACM INCOME FUND INC             UNDEF 000912105           0       3,134         DEFINED     01       2,974         160           0
ACM INCOME FUND INC             UNDEF 000912105           0       4,958         DEFINED     03           0       4,958           0
ACM INCOME FUND INC             UNDEF 000912105           1       5,325         OTHER       03           0           0       5,325
ACM INCOME FUND INC             UNDEF 000912105         177      18,604         DEFINED     04      18,604           0           0
ACM INCOME FUND INC             UNDEF 000912105          81       8,540         OTHER       04       8,540           0           0
ACM INCOME FUND INC             UNDEF 000912105           4      46,000         DEFINED     10           0      46,000           0
ACM INCOME FUND INC             UNDEF 000912105           0       2,000         OTHER       10       2,000           0           0

ACM MANAGED INCOME FD INC       COM   000919100          94      17,851  SH     OTHER       04      17,851           0           0

ABN AMRO HLDG NV                COM   000937102         706      37,000  SH     DEFINED     01      35,000           0       2,000
ABN AMRO HLDG NV                COM   000937102          13         682  SH     DEFINED     02          94           0         588


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      8
________

ACT TELECONFERENCING INC        COM   000955104          16       8,600  SH     DEFINED     01       1,100       7,500           0
ACT TELECONFERENCING INC        COM   000955104          15       8,000  SH     DEFINED  01,08       2,800       5,200           0

ABM INDS INC                    COM   000957100       2,368     153,765  SH     DEFINED     01      89,955      61,260       2,550
ABM INDS INC                    COM   000957100          69       4,500  SH     OTHER       01       4,500           0           0
ABM INDS INC                    COM   000957100          11         730  SH     DEFINED     02           0           0         730
ABM INDS INC                    COM   000957100          15       1,000  SH     OTHER    01,06           0           0       1,000
ABM INDS INC                    COM   000957100       3,176     206,261  SH     DEFINED  01,08     121,437      84,824           0

AEP INDS INC                    COM   001031103         119      16,672  SH     DEFINED     01       7,043       9,529         100
AEP INDS INC                    COM   001031103         112      15,704  SH     DEFINED  01,08       3,649      12,055           0

AFC ENTERPRISES INC             COM   00104Q107         957      58,449  SH     DEFINED     01      30,290      27,359         800
AFC ENTERPRISES INC             COM   00104Q107           9         550  SH     OTHER    01,06           0           0         550
AFC ENTERPRISES INC             COM   00104Q107       1,349      82,406  SH     DEFINED  01,08      36,369      46,037           0
AFC ENTERPRISES INC             COM   00104Q107           7         400  SH     DEFINED     10         400           0           0

AFLAC INC                       COM   001055102     105,667   3,436,313  SH     DEFINED     01   1,851,869   1,520,949      63,495
AFLAC INC                       COM   001055102       3,877     126,073  SH     OTHER       01      54,803      69,770       1,500
AFLAC INC                       COM   001055102       2,863      93,095  SH     DEFINED     02      71,935      17,160       4,000
AFLAC INC                       COM   001055102       1,393      45,300  SH     OTHER       02      36,370       8,930           0
AFLAC INC                       COM   001055102       5,202     169,175  SH     DEFINED     03      71,170      65,160      32,845
AFLAC INC                       COM   001055102       1,011      32,869  SH     OTHER       03      20,034       3,635       9,200
AFLAC INC                       COM   001055102      11,499     373,948  SH     DEFINED     04     360,698           0      13,250
AFLAC INC                       COM   001055102       9,518     309,529  SH     OTHER       04     303,689           0       5,840
AFLAC INC                       COM   001055102         677      22,005  SH     DEFINED     05      19,105       2,600         300
AFLAC INC                       COM   001055102         240       7,800  SH     OTHER       05       7,800           0           0
AFLAC INC                       COM   001055102          40       1,300  SH     OTHER    01,06           0           0       1,300
AFLAC INC                       COM   001055102      71,009   2,309,232  SH     DEFINED  01,08   2,107,034     202,198           0
AFLAC INC                       COM   001055102       1,007      32,732  SH     DEFINED     10      28,382       3,300       1,050
AFLAC INC                       COM   001055102         111       3,599  SH     OTHER       10         100       3,499           0

AGCO CORP                       COM   001084102       5,617     328,852  SH     DEFINED     01     178,680     145,654       4,518
AGCO CORP                       COM   001084102          93       5,465  SH     DEFINED     04       5,465           0           0
AGCO CORP                       COM   001084102       2,844     166,539  SH     DEFINED  01,08     112,904      53,635           0

AGL RES INC                     COM   001204106       7,307     287,215  SH     DEFINED     01     154,275     128,940       4,000
AGL RES INC                     COM   001204106         134       5,250  SH     DEFINED     04       5,250           0           0
AGL RES INC                     COM   001204106         112       4,393  SH     OTHER       04       4,393           0           0
AGL RES INC                     COM   001204106       4,489     176,469  SH     DEFINED  01,08     104,148      72,321           0
AGL RES INC                     COM   001204106           6         228  SH     DEFINED     10           0           0         228

AG SVCS AMER INC                COM   001250109          32       5,400  SH     DEFINED     01       1,100       4,300           0
AG SVCS AMER INC                COM   001250109          57       9,673  SH     DEFINED  01,08       2,389       7,284           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE      9
________

AHL SVCS INC                    COM   001296102          32      22,871  SH     DEFINED     01       3,071      19,800           0
AHL SVCS INC                    COM   001296102          32      23,346  SH     DEFINED  01,08       4,400      18,946           0

AES CORP                        COM   00130H105      20,277   3,193,277  SH     DEFINED     01   1,646,244   1,501,218      45,815
AES CORP                        COM   00130H105          10       1,521  SH     OTHER       01       1,021           0         500
AES CORP                        COM   00130H105          52       8,200  SH     DEFINED     03       8,000         200           0
AES CORP                        COM   00130H105          30       4,676  SH     DEFINED     04       4,676           0           0
AES CORP                        COM   00130H105           9       1,350  SH     OTHER       04         900           0         450
AES CORP                        COM   00130H105          11       1,800  SH     DEFINED     05         800           0       1,000
AES CORP                        COM   00130H105           5         800  SH     OTHER       05         800           0           0
AES CORP                        COM   00130H105           9       1,400  SH     OTHER    01,06           0           0       1,400
AES CORP                        COM   00130H105      13,130   2,067,746  SH     DEFINED  01,08   1,851,646     216,100           0
AES CORP                        COM   00130H105          20       3,196  SH     DEFINED     10         796       2,400           0

AK STL HLDG CORP                COM   001547108       1,312     362,560  SH     DEFINED     01     130,740     229,690       2,130
AK STL HLDG CORP                COM   001547108           7       2,000  SH     DEFINED     05           0           0       2,000
AK STL HLDG CORP                COM   001547108           0           1  SH     OTHER       05           0           1           0
AK STL HLDG CORP                COM   001547108       1,045     288,693  SH     DEFINED  01,08     212,247      76,446           0

AMB PROPERTY CORP               COM   00163T109       7,526     267,174  SH     DEFINED     01     104,918     158,110       4,146
AMB PROPERTY CORP               COM   00163T109       5,167     183,432  SH     DEFINED  01,08     123,332      60,100           0

AMC ENTMT INC                   COM   001669100       1,405     122,839  SH     DEFINED     01      58,036      62,853       1,950
AMC ENTMT INC                   COM   001669100       1,146     100,205  SH     DEFINED  01,08      37,500      62,705           0

AMLI RESIDENTIAL PPTYS TR       COM   001735109       1,191      50,571  SH     DEFINED     01      27,887      21,884         800
AMLI RESIDENTIAL PPTYS TR       COM   001735109          14         600  SH     OTHER       02         600           0           0
AMLI RESIDENTIAL PPTYS TR       COM   001735109          90       3,808  SH     DEFINED     04       3,808           0           0
AMLI RESIDENTIAL PPTYS TR       COM   001735109       1,404      59,621  SH     DEFINED  01,08      29,086      30,535           0

AMN HEALTHCARE SERVICES INC     COM   001744101       1,293     101,846  SH     DEFINED     01      62,024      39,700         122
AMN HEALTHCARE SERVICES INC     COM   001744101       1,048      82,482  SH     DEFINED  01,08      24,400      58,082           0

AMR CORP                        COM   001765106       2,574     234,015  SH     DEFINED     01     134,750      91,440       7,825
AMR CORP                        COM   001765106           1         100  SH     DEFINED     03           0         100           0
AMR CORP                        COM   001765106          23       2,120  SH     DEFINED     04       2,120           0           0
AMR CORP                        COM   001765106           7         600  SH     OTHER       04         400           0         200
AMR CORP                        COM   001765106       4,372     397,475  SH     DEFINED  01,08     263,475     134,000           0
AMR CORP                        COM   001765106           3         250  SH     DEFINED     10           0         250           0

AMX CORP NEW                    COM   00180C105          42      13,900  SH     DEFINED     01       1,800      12,100           0
AMX CORP NEW                    COM   00180C105          60      20,025  SH     DEFINED  01,08       5,149      14,876           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     10
________

AOL TIME WARNER INC             COM   00184A105     412,985  25,667,171  SH     DEFINED     01  13,605,521  11,683,518     378,132
AOL TIME WARNER INC             COM   00184A105       4,970     308,916  SH     OTHER       01       5,152      24,923     278,841
AOL TIME WARNER INC             COM   00184A105         181      11,246  SH     DEFINED     02       3,246       2,250       5,750
AOL TIME WARNER INC             COM   00184A105          84       5,250  SH     OTHER       02       4,300         950           0
AOL TIME WARNER INC             COM   00184A105         145       9,014  SH     DEFINED     03       6,890       2,000         124
AOL TIME WARNER INC             COM   00184A105         314      19,514  SH     OTHER       03       6,864         650      12,000
AOL TIME WARNER INC             COM   00184A105         702      43,606  SH     DEFINED     04      30,856           0      12,750
AOL TIME WARNER INC             COM   00184A105       1,636     101,689  SH     OTHER       04      96,587           0       5,102
AOL TIME WARNER INC             COM   00184A105          24       1,497  SH     DEFINED     05       1,497           0           0
AOL TIME WARNER INC             COM   00184A105          32       2,000  SH     OTHER       05           0       2,000           0
AOL TIME WARNER INC             COM   00184A105         185      11,500  SH     OTHER    01,06           0           0      11,500
AOL TIME WARNER INC             COM   00184A105     310,789  19,315,678  SH     DEFINED  01,08  17,592,777   1,722,901           0
AOL TIME WARNER INC             COM   00184A105         131       8,170  SH     DEFINED     10       5,770       1,200       1,200
AOL TIME WARNER INC             COM   00184A105          16       1,000  SH     OTHER       10       1,000           0           0

APAC CUSTOMER SERVICES INC      COM   00185E106         279     110,452  SH     DEFINED     01      55,279      54,513         660
APAC CUSTOMER SERVICES INC      COM   00185E106         275     108,772  SH     DEFINED  01,08      34,627      74,145           0

APA OPTICS INC                  COM   001853100           5       2,300  SH     DEFINED     01       2,300           0           0
APA OPTICS INC                  COM   001853100          37      17,987  SH     DEFINED  01,08       3,070      14,917           0

AT&T CORP                       COM   001957505      86,571   4,497,185  SH     DEFINED     01   2,388,209   2,039,505      69,471
AT&T CORP                       COM   001957505         104       5,408  SH     OTHER       01       4,241         237         930
AT&T CORP                       COM   001957505          18         910  SH     DEFINED     02         329          73         508
AT&T CORP                       COM   001957505          75       3,896  SH     OTHER       02       2,581       1,315           0
AT&T CORP                       COM   001957505           9         454  SH     DEFINED     03          69         283         102
AT&T CORP                       COM   001957505          14         709  SH     OTHER       03         709           0           0
AT&T CORP                       COM   001957505           6         336  SH     DEFINED     05         336           0           0
AT&T CORP                       COM   001957505           0           5  SH     OTHER       05           5           0           0
AT&T CORP                       COM   001957505          39       2,020  SH     OTHER    01,06           0           0       2,020
AT&T CORP                       COM   001957505      65,854   3,420,983  SH     DEFINED  01,08   3,113,340     307,643           0
AT&T CORP                       COM   001957505          44       2,291  SH     DEFINED     10       2,106          80         105
AT&T CORP                       COM   001957505          22       1,136  SH     OTHER       10         255         881           0

A S V INC                       COM   001963107         169      11,600  SH     DEFINED     01       1,800       9,800           0
A S V INC                       COM   001963107         265      18,200  SH     DEFINED  01,08       5,000      13,200           0

AP PHARMA INC                   COM   00202J104          46      27,500  SH     DEFINED     01       4,200      23,300           0
AP PHARMA INC                   COM   00202J104          58      34,741  SH     DEFINED  01,08       5,178      29,563           0

ATMI INC                        COM   00207R101       2,481      99,449  SH     DEFINED     01      58,296      38,353       2,800
ATMI INC                        COM   00207R101          25       1,000  SH     DEFINED     04           0           0       1,000
ATMI INC                        COM   00207R101          15         600  SH     OTHER    01,06           0           0         600
ATMI INC                        COM   00207R101       2,808     112,558  SH     DEFINED  01,08      58,385      54,173           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     11
________

ATP OIL & GAS CORP              COM   00208J108         121      19,200  SH     DEFINED     01       2,100      17,100           0
ATP OIL & GAS CORP              COM   00208J108          32       5,000  SH     DEFINED     04       5,000           0           0
ATP OIL & GAS CORP              COM   00208J108         228      36,200  SH     DEFINED  01,08       9,200      27,000           0

ATS MED INC                     COM   002083103          90      23,200  SH     DEFINED     01       4,500      18,700           0
ATS MED INC                     COM   002083103           4       1,000  SH     DEFINED     04       1,000           0           0
ATS MED INC                     COM   002083103           4       1,000  SH     OTHER       04       1,000           0           0
ATS MED INC                     COM   002083103         150      38,487  SH     DEFINED  01,08       8,883      29,604           0

AT&T WIRELESS SVCS INC          COM   00209A106     126,205  15,372,148  SH     DEFINED     01   8,135,132   7,005,120     231,896
AT&T WIRELESS SVCS INC          COM   00209A106         492      59,888  SH     OTHER       01      41,658       9,349       8,881
AT&T WIRELESS SVCS INC          COM   00209A106         282      34,395  SH     DEFINED     02      25,430       6,474       2,491
AT&T WIRELESS SVCS INC          COM   00209A106         187      22,825  SH     OTHER       02       8,408      12,568       1,849
AT&T WIRELESS SVCS INC          COM   00209A106         186      22,664  SH     DEFINED     03       8,045      13,232       1,387
AT&T WIRELESS SVCS INC          COM   00209A106          76       9,205  SH     OTHER       03       7,762       1,091         352
AT&T WIRELESS SVCS INC          COM   00209A106         609      74,123  SH     DEFINED     04      69,061           0       5,062
AT&T WIRELESS SVCS INC          COM   00209A106         467      56,840  SH     OTHER       04      47,840           0       9,000
AT&T WIRELESS SVCS INC          COM   00209A106         932     113,528  SH     DEFINED     05      78,038      32,611       2,879
AT&T WIRELESS SVCS INC          COM   00209A106         246      29,981  SH     OTHER       05      19,860      10,121           0
AT&T WIRELESS SVCS INC          COM   00209A106          57       6,900  SH     OTHER    01,06           0           0       6,900
AT&T WIRELESS SVCS INC          COM   00209A106      93,119  11,342,114  SH     DEFINED  01,08  10,350,806     991,308           0
AT&T WIRELESS SVCS INC          COM   00209A106         107      13,049  SH     DEFINED     10      11,676       1,300          73
AT&T WIRELESS SVCS INC          COM   00209A106          66       8,016  SH     OTHER       10       2,768       5,248           0

ATC HEALTHCARE INC              COM   00209C102           4       6,600  SH     DEFINED     01       4,700       1,900           0
ATC HEALTHCARE INC              COM   00209C102          22      34,460  SH     DEFINED  01,08       5,134      29,326           0

ATA HOLDINGS CORP               COM   00209H101         123      16,673  SH     DEFINED     01       4,573      12,000         100
ATA HOLDINGS CORP               COM   00209H101         170      23,090  SH     DEFINED  01,08       5,814      17,276           0

AVI BIOPHARMA INC               COM   002346104         162      26,600  SH     DEFINED     01       4,400      22,200           0
AVI BIOPHARMA INC               COM   002346104         817     134,074  SH     DEFINED  01,08     100,574      33,500           0

AVX CORP NEW                    COM   002444107       1,125     102,321  SH     DEFINED     01      70,718      29,053       2,550
AVX CORP NEW                    COM   002444107           2         200  SH     DEFINED     04         200           0           0
AVX CORP NEW                    COM   002444107       1,815     165,109  SH     DEFINED  01,08      56,367     108,742           0

AXS-ONE INC                     COM   002458107           3       3,200  SH     DEFINED     01       3,200           0           0
AXS-ONE INC                     COM   002458107          19      20,200  SH     DEFINED  01,08       5,200      15,000           0

AXT INC                         COM   00246W103          78      63,633  SH     DEFINED     01      32,469      30,714         450
AXT INC                         COM   00246W103           1         500  SH     DEFINED     04         500           0           0
AXT INC                         COM   00246W103          55      44,975  SH     DEFINED  01,08       6,447      38,528           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     12
________

AZZ INC                         COM   002474104          97       8,800  SH     DEFINED     01       4,100       4,700           0
AZZ INC                         COM   002474104         155      14,072  SH     DEFINED  01,08       2,538      11,534           0

AAIPHARMA INC                   COM   00252W104       1,323      66,613  SH     DEFINED     01      37,346      28,892         375
AAIPHARMA INC                   COM   00252W104       2,208     111,187  SH     DEFINED  01,08      67,970      43,217           0

AASTROM BIOSCIENCES INC         COM   00253U107          34      33,900  SH     DEFINED     01       6,800      27,100           0
AASTROM BIOSCIENCES INC         COM   00253U107           6       6,165  SH     DEFINED  01,08       6,165           0           0

AARON RENTS INC                 COM   002535201         842      32,621  SH     DEFINED     01      25,941       5,320       1,360
AARON RENTS INC                 COM   002535201          10         400  SH     OTHER    01,06           0           0         400
AARON RENTS INC                 COM   002535201         870      33,734  SH     DEFINED  01,08      26,608       7,126           0

AARON RENTS INC                 COM   002535300         367      15,100  SH     DEFINED     01       4,100      11,000           0
AARON RENTS INC                 COM   002535300         757      31,168  SH     DEFINED  01,08       9,257      21,911           0

ABAXIS INC                      COM   002567105         136      21,000  SH     DEFINED     01       3,900      17,100           0
ABAXIS INC                      COM   002567105         189      29,190  SH     DEFINED  01,08       7,096      22,094           0

ABBOTT LABS                     COM   002824100     542,855  12,405,284  SH     DEFINED     01   7,228,317   4,757,354     419,613
ABBOTT LABS                     COM   002824100     114,606   2,618,970  SH     OTHER       01     894,827   1,424,920     299,223
ABBOTT LABS                     COM   002824100      14,033     320,690  SH     DEFINED     02     217,181      94,546       8,963
ABBOTT LABS                     COM   002824100      26,028     594,791  SH     OTHER       02     559,051      34,830         910
ABBOTT LABS                     COM   002824100      19,143     437,453  SH     DEFINED     03     226,726     140,030      70,697
ABBOTT LABS                     COM   002824100       7,442     170,060  SH     OTHER       03     141,535      20,235       8,290
ABBOTT LABS                     COM   002824100      51,640   1,180,081  SH     DEFINED     04   1,114,361           0      65,720
ABBOTT LABS                     COM   002824100      55,994   1,279,559  SH     OTHER       04   1,172,304           0     107,255
ABBOTT LABS                     COM   002824100       6,386     145,934  SH     DEFINED     05     124,484      11,550       9,900
ABBOTT LABS                     COM   002824100       2,347      53,642  SH     OTHER       05      22,282      15,210      16,150
ABBOTT LABS                     COM   002824100         175       4,000  SH     OTHER    01,06           0           0       4,000
ABBOTT LABS                     COM   002824100     332,128   7,589,761  SH     DEFINED  01,08   6,338,722   1,147,632     103,407
ABBOTT LABS                     COM   002824100      14,563     332,800  SH     DEFINED     10     169,575      95,551      67,674
ABBOTT LABS                     COM   002824100     204,258   4,667,687  SH     OTHER       10     171,285   4,492,352       4,050

ABERCROMBIE & FITCH CO          COM   002896207       9,771     343,914  SH     DEFINED     01     141,496     186,668      15,750
ABERCROMBIE & FITCH CO          COM   002896207          58       2,040  SH     DEFINED     04       2,040           0           0
ABERCROMBIE & FITCH CO          COM   002896207           9         300  SH     OTHER       04         200           0         100
ABERCROMBIE & FITCH CO          COM   002896207       6,489     228,389  SH     DEFINED  01,08     164,785      63,604           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     13
________

ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107           0       4,582         DEFINED     01       4,582           0           0
ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107           1      18,200         OTHER       01      18,200           0           0
ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107           0       5,580         DEFINED     02           0       3,580       2,000
ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107           0       1,988         OTHER       02       1,988           0           0
ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107           0       1,000         DEFINED     03       1,000           0           0
ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107          67      12,032         DEFINED     04      12,032           0           0
ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107          68      12,132         OTHER       04      12,132           0           0
ABERDEEN ASIA PACIFIC INCOM     UNDEF 003009107           0       2,100         OTHER       10           0           0       2,100

ABGENIX INC                     COM   00339B107       2,892     276,721  SH     DEFINED     01     159,050     113,271       4,400
ABGENIX INC                     COM   00339B107          13       1,200  SH     OTHER       01           0       1,200           0
ABGENIX INC                     COM   00339B107       2,388     228,521  SH     DEFINED  01,08     127,668     100,853           0

ABINGTON BANCORP INC NEW        COM   00350P100         100       4,000  SH     DEFINED     01           0       4,000           0
ABINGTON BANCORP INC NEW        COM   00350P100         275      11,002  SH     DEFINED  01,08       1,556       9,446           0

ABIOMED INC                     COM   003654100         297      56,298  SH     DEFINED     01      31,378      24,620         300
ABIOMED INC                     COM   003654100           8       1,575  SH     DEFINED     04       1,575           0           0
ABIOMED INC                     COM   003654100         307      58,114  SH     DEFINED  01,08      10,258      47,856           0

ABLE LABORATORIES INC           COM   00371N407         803      40,780  SH     DEFINED     01      36,780       4,000           0
ABLE LABORATORIES INC           COM   00371N407          20       1,000  SH     DEFINED     03           0       1,000           0
ABLE LABORATORIES INC           COM   00371N407       1,206      61,220  SH     DEFINED  01,08      44,083      17,137           0

ABLEST INC                      COM   00371W100          10       1,900  SH     DEFINED     01         400       1,500           0
ABLEST INC                      COM   00371W100          49       9,430  SH     DEFINED  01,08       1,234       8,196           0

ABRAMS INDS INC                 COM   003788106          12       3,200  SH     DEFINED     01           0       3,200           0
ABRAMS INDS INC                 COM   003788106          33       8,440  SH     DEFINED  01,08       1,227       7,213           0

ABRAXAS PETE CORP               COM   003830106           6       5,200  SH     DEFINED     01       5,200           0           0
ABRAXAS PETE CORP               COM   003830106          35      32,500  SH     DEFINED  01,08       7,000      25,500           0

ACACIA RESH CORP                COM   003881208         126      52,399  SH     DEFINED     01      38,102      13,942         355
ACACIA RESH CORP                COM   003881208          58      24,293  SH     DEFINED  01,08         687      23,606           0

ACACIA RESH CORP                COM   003881307          66      54,511  SH     DEFINED     01      31,523      22,978          10
ACACIA RESH CORP                COM   003881307          41      33,972  SH     DEFINED  01,08       1,232      32,740           0

ACADIA RLTY TR                  COM   004239109         624      68,152  SH     DEFINED     01      49,722      17,630         800
ACADIA RLTY TR                  COM   004239109         709      77,434  SH     DEFINED  01,08      36,184      41,250           0

ACCLAIM ENTMT INC               COM   004325205         159     208,812  SH     DEFINED     01     109,250      97,812       1,750
ACCLAIM ENTMT INC               COM   004325205         126     165,588  SH     DEFINED  01,08      39,106     126,482           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     14
________

ACCREDITED HOME LENDRS HLDG     COM   00437P107          74       3,800  SH     DEFINED     01       3,800           0           0
ACCREDITED HOME LENDRS HLDG     COM   00437P107       1,161      59,710  SH     DEFINED  01,08      45,700      14,010           0

ACCREDO HEALTH INC              COM   00437V104       1,722      79,529  SH     DEFINED     01      58,530      18,498       2,501
ACCREDO HEALTH INC              COM   00437V104           2          73  SH     OTHER       04          73           0           0
ACCREDO HEALTH INC              COM   00437V104          22       1,000  SH     DEFINED     05       1,000           0           0
ACCREDO HEALTH INC              COM   00437V104          21         950  SH     OTHER    01,06           0           0         950
ACCREDO HEALTH INC              COM   00437V104       2,670     123,326  SH     DEFINED  01,08      90,325      33,001           0
ACCREDO HEALTH INC              COM   00437V104          65       3,000  SH     DEFINED     10       3,000           0           0

ACE CASH EXPRESS INC            COM   004403101          37       3,400  SH     DEFINED     01         800       2,600           0
ACE CASH EXPRESS INC            COM   004403101         192      17,650  SH     DEFINED  01,08       4,312      13,338           0

ACE COMM CORP                   COM   004404109          11      11,500  SH     DEFINED     01       1,200      10,300           0
ACE COMM CORP                   COM   004404109          12      12,847  SH     DEFINED  01,08       2,421      10,426           0

ACETO CORP                      COM   004446100         245      13,200  SH     DEFINED     01       1,950      11,250           0
ACETO CORP                      COM   004446100       1,142      61,630  SH     DEFINED  01,08      40,004      21,626           0

ACLARA BIOSCIENCES INC          COM   00461P106         155      36,800  SH     DEFINED     01       7,000      29,800           0
ACLARA BIOSCIENCES INC          COM   00461P106         274      64,870  SH     DEFINED  01,08      17,870      47,000           0

ACMAT CORP                      COM   004616207          53       5,700  SH     DEFINED     01           0       5,700           0
ACMAT CORP                      COM   004616207          66       7,197  SH     DEFINED  01,08       1,021       6,176           0

ACME COMMUNICATION INC          COM   004631107         285      37,525  SH     DEFINED     01      20,825      16,500         200
ACME COMMUNICATION INC          COM   004631107         217      28,587  SH     DEFINED  01,08       7,896      20,691           0

ACME UTD CORP                   COM   004816104           6       1,400  SH     DEFINED     01           0       1,400           0
ACME UTD CORP                   COM   004816104          50      12,377  SH     DEFINED  01,08       1,434      10,943           0

ACTIVISION INC NEW              COM   004930202       3,850     299,177  SH     DEFINED     01     109,393     185,509       4,275
ACTIVISION INC NEW              COM   004930202       3,086     239,812  SH     DEFINED  01,08     172,062      67,750           0

ACTION PERFORMANCE COS INC      COM   004933107       1,699      89,442  SH     DEFINED     01      60,417      27,400       1,625
ACTION PERFORMANCE COS INC      COM   004933107           7         350  SH     OTHER    01,06           0           0         350
ACTION PERFORMANCE COS INC      COM   004933107       1,574      82,857  SH     DEFINED  01,08      52,563      30,294           0

ACTEL CORP                      COM   004934105       2,952     143,429  SH     DEFINED     01     105,393      35,936       2,100
ACTEL CORP                      COM   004934105           7         352  SH     DEFINED     02           0           0         352
ACTEL CORP                      COM   004934105          10         500  SH     OTHER    01,06           0           0         500
ACTEL CORP                      COM   004934105       2,503     121,646  SH     DEFINED  01,08      80,024      41,622           0

ACRES GAMING INC                COM   004936100         111       9,900  SH     DEFINED     01       1,800       8,100           0
ACRES GAMING INC                COM   004936100         198      17,600  SH     DEFINED  01,08       4,665      12,935           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     15
________

ACTIVE POWER INC                COM   00504W100         234     139,125  SH     DEFINED     01      84,241      54,034         850
ACTIVE POWER INC                COM   00504W100         149      88,515  SH     DEFINED  01,08      17,800      70,715           0

ACTIVCARD CORP                  COM   00506J107         196      20,800  SH     DEFINED     01       7,900      12,900           0
ACTIVCARD CORP                  COM   00506J107         392      41,600  SH     DEFINED  01,08      30,600      11,000           0

ACTUATE CORP                    COM   00508B102         456     164,599  SH     DEFINED     01      91,568      71,931       1,100
ACTUATE CORP                    COM   00508B102           8       3,000  SH     DEFINED     02           0           0       3,000
ACTUATE CORP                    COM   00508B102         390     140,806  SH     DEFINED  01,08      27,106     113,700           0

ACTUANT CORP                    COM   00508X203       1,956      41,335  SH     DEFINED     01      19,094      17,391       4,850
ACTUANT CORP                    COM   00508X203          14         300  SH     DEFINED     04         300           0           0
ACTUANT CORP                    COM   00508X203       2,006      42,382  SH     DEFINED  01,08      21,607      20,775           0

ACUITY BRANDS INC               COM   00508Y102       2,118     116,542  SH     DEFINED     01      86,218      28,824       1,500
ACUITY BRANDS INC               COM   00508Y102          15         800  SH     OTHER    01,06           0           0         800
ACUITY BRANDS INC               COM   00508Y102       3,141     172,857  SH     DEFINED  01,08      96,171      76,686           0
ACUITY BRANDS INC               COM   00508Y102         273      15,000  SH     DEFINED     10           0           0      15,000

ACXIOM CORP                     COM   005125109       4,600     301,615  SH     DEFINED     01      99,931     178,899      22,785
ACXIOM CORP                     COM   005125109       3,510     230,139  SH     DEFINED  01,08     168,160      61,979           0

ADAMS EXPRESS CO                COM   006212104         130      11,043  SH     DEFINED     01       9,613           0       1,430
ADAMS EXPRESS CO                COM   006212104          27       2,263  SH     OTHER       01       2,263           0           0
ADAMS EXPRESS CO                COM   006212104          86       7,250  SH     OTHER       03           0       7,250           0
ADAMS EXPRESS CO                COM   006212104         103       8,732  SH     DEFINED     04       8,732           0           0
ADAMS EXPRESS CO                COM   006212104          66       5,549  SH     OTHER       04       5,549           0           0
ADAMS EXPRESS CO                COM   006212104          90       7,658  SH     DEFINED     10           0       7,658           0

ADAMS RES & ENERGY INC          COM   006351308          39       4,300  SH     DEFINED     01         800       3,500           0
ADAMS RES & ENERGY INC          COM   006351308         106      11,774  SH     DEFINED  01,08       1,859       9,915           0

ADAPTEC INC                     COM   00651F108       1,796     225,885  SH     DEFINED     01      84,476     133,657       7,752
ADAPTEC INC                     COM   00651F108          17       2,100  SH     OTHER    01,06           0           0       2,100
ADAPTEC INC                     COM   00651F108       3,200     402,487  SH     DEFINED  01,08     258,641     143,846           0

ADMINISTAFF INC                 COM   007094105         801      77,811  SH     DEFINED     01      40,864      34,697       2,250
ADMINISTAFF INC                 COM   007094105           5         525  SH     OTHER    01,06           0           0         525
ADMINISTAFF INC                 COM   007094105         962      93,426  SH     DEFINED  01,08      47,334      46,092           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     16
________

ADOBE SYS INC                   COM   00724F101      41,795   1,303,243  SH     DEFINED     01     687,170     593,659      22,414
ADOBE SYS INC                   COM   00724F101          38       1,200  SH     OTHER       01         700         300         200
ADOBE SYS INC                   COM   00724F101           3         100  SH     DEFINED     02           0         100           0
ADOBE SYS INC                   COM   00724F101          47       1,470  SH     OTHER       02           0       1,470           0
ADOBE SYS INC                   COM   00724F101           3         100  SH     DEFINED     03           0         100           0
ADOBE SYS INC                   COM   00724F101         255       7,944  SH     DEFINED     04       7,944           0           0
ADOBE SYS INC                   COM   00724F101         104       3,250  SH     OTHER       04       1,250           0       2,000
ADOBE SYS INC                   COM   00724F101          13         400  SH     OTHER       05           0         400           0
ADOBE SYS INC                   COM   00724F101          19         600  SH     OTHER    01,06           0           0         600
ADOBE SYS INC                   COM   00724F101      33,615   1,048,171  SH     DEFINED  01,08     958,489      89,682           0
ADOBE SYS INC                   COM   00724F101         251       7,835  SH     DEFINED     10         790       7,000          45

ADOLOR CORP                     COM   00724X102       1,264     103,033  SH     DEFINED     01      64,359      36,874       1,800
ADOLOR CORP                     COM   00724X102       1,592     129,780  SH     DEFINED  01,08      74,664      55,116           0

ADTRAN INC                      COM   00738A106      13,055     252,909  SH     DEFINED     01     170,505      70,204      12,200
ADTRAN INC                      COM   00738A106          77       1,500  SH     OTHER       04       1,500           0           0
ADTRAN INC                      COM   00738A106       4,080      79,040  SH     DEFINED  01,08      45,768      33,272           0

ADVANCED AUTO PARTS INC         COM   00751Y106       1,287      21,141  SH     DEFINED     01      14,741       5,700         700
ADVANCED AUTO PARTS INC         COM   00751Y106       2,480      40,722  SH     DEFINED  01,08      18,148      22,574           0

ADVANCED DIGITAL INFORMATION    COM   007525108       2,093     211,024  SH     DEFINED     01     129,169      78,055       3,800
ADVANCED DIGITAL INFORMATION    COM   007525108       2,129     214,659  SH     DEFINED  01,08      99,436     115,223           0

ADVANCED MAGNETICS INC          COM   00753P103          60       5,900  SH     DEFINED     01       1,400       4,500           0
ADVANCED MAGNETICS INC          COM   00753P103         185      18,065  SH     DEFINED  01,08       3,042      15,023           0

ADVANCED MARKETING SVCS INC     COM   00753T105         851      65,461  SH     DEFINED     01      30,831      33,630       1,000
ADVANCED MARKETING SVCS INC     COM   00753T105           5         400  SH     OTHER    01,06           0           0         400
ADVANCED MARKETING SVCS INC     COM   00753T105         991      76,223  SH     DEFINED  01,08      27,818      48,405           0

ADVANCED FIBRE COMMUNICATION    COM   00754A105       7,110     434,040  SH     DEFINED     01     266,183     164,111       3,746
ADVANCED FIBRE COMMUNICATION    COM   00754A105          49       3,000  SH     OTHER       01           0           0       3,000
ADVANCED FIBRE COMMUNICATION    COM   00754A105           8         500  SH     DEFINED     03         500           0           0
ADVANCED FIBRE COMMUNICATION    COM   00754A105       3,061     186,881  SH     DEFINED  01,08     127,063      59,818           0

ADVANCED PHOTONIX INC           COM   00754E107           6       7,300  SH     DEFINED     01       1,500       5,800           0
ADVANCED PHOTONIX INC           COM   00754E107          23      26,150  SH     DEFINED  01,08       1,883      24,267           0

ADVANCED NEUROMODULATION SYS    COM   00757T101       2,898      56,274  SH     DEFINED     01      40,895      14,779         600
ADVANCED NEUROMODULATION SYS    COM   00757T101       2,841      55,171  SH     DEFINED  01,08      33,556      21,615           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     17
________

ADVO INC                        COM   007585102       3,216      72,424  SH     DEFINED     01      40,098      30,276       2,050
ADVO INC                        COM   007585102          18         400  SH     OTHER       01         400           0           0
ADVO INC                        COM   007585102          89       2,000  SH     DEFINED     04       2,000           0           0
ADVO INC                        COM   007585102          18         400  SH     OTHER    01,06           0           0         400
ADVO INC                        COM   007585102       4,427      99,709  SH     DEFINED  01,08      51,369      48,340           0

AEHR TEST SYSTEMS               COM   00760J108          28       9,800  SH     DEFINED     01       1,000       8,800           0
AEHR TEST SYSTEMS               COM   00760J108          23       8,356  SH     DEFINED  01,08       2,756       5,600           0

ADVANCED POWER TECHNOLOGY IN    COM   00761E108         127      16,441  SH     DEFINED     01       7,589       8,752         100
ADVANCED POWER TECHNOLOGY IN    COM   00761E108         166      21,481  SH     DEFINED  01,08       5,000      16,481           0

ADVISORY BRD CO                 COM   00762W107       2,498      62,058  SH     DEFINED     01      59,558       2,200         300
ADVISORY BRD CO                 COM   00762W107       2,157      53,565  SH     DEFINED  01,08      31,193      22,372           0

ADVANCED MEDICAL OPTICS INC     COM   00763M108         977      57,329  SH     DEFINED     01      28,716      26,475       2,138
ADVANCED MEDICAL OPTICS INC     COM   00763M108          12         694  SH     OTHER       01         694           0           0
ADVANCED MEDICAL OPTICS INC     COM   00763M108           1          40  SH     DEFINED     03           0          40           0
ADVANCED MEDICAL OPTICS INC     COM   00763M108           5         271  SH     OTHER       03         267           4           0
ADVANCED MEDICAL OPTICS INC     COM   00763M108           7         414  SH     DEFINED     04         414           0           0
ADVANCED MEDICAL OPTICS INC     COM   00763M108           4         250  SH     OTHER       04         250           0           0
ADVANCED MEDICAL OPTICS INC     COM   00763M108           0          22  SH     DEFINED     05          22           0           0
ADVANCED MEDICAL OPTICS INC     COM   00763M108          15         888  SH     OTHER       05           0           0         888
ADVANCED MEDICAL OPTICS INC     COM   00763M108          10         574  SH     OTHER    01,06           0           0         574
ADVANCED MEDICAL OPTICS INC     COM   00763M108       1,957     114,802  SH     DEFINED  01,08      72,539      42,263           0
ADVANCED MEDICAL OPTICS INC     COM   00763M108           2          96  SH     OTHER       10          96           0           0

AEROFLEX INC                    COM   007768104       2,129     277,209  SH     DEFINED     01     198,591      73,718       4,900
AEROFLEX INC                    COM   007768104           9       1,200  SH     OTHER    01,06           0           0       1,200
AEROFLEX INC                    COM   007768104       1,983     258,168  SH     DEFINED  01,08     152,265     105,903           0

AEROGEN INC                     COM   007779101           2       3,900  SH     DEFINED     01       3,900           0           0
AEROGEN INC                     COM   007779101          15      27,400  SH     DEFINED  01,08       5,900      21,500           0

AEROPOSTALE                     COM   007865108         731      34,024  SH     DEFINED     01      28,524       5,000         500
AEROPOSTALE                     COM   007865108       1,607      74,805  SH     DEFINED  01,08      21,627      53,178           0

ADVANCEPCS                      COM   00790K109      10,675     279,074  SH     DEFINED     01     104,864     168,880       5,330
ADVANCEPCS                      COM   00790K109          50       1,300  SH     DEFINED     03       1,000           0         300
ADVANCEPCS                      COM   00790K109          79       2,065  SH     DEFINED     04       2,065           0           0
ADVANCEPCS                      COM   00790K109       7,999     209,123  SH     DEFINED  01,08     147,623      61,500           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     18
________

ADVANCED MICRO DEVICES INC      COM   007903107      12,654   1,974,085  SH     DEFINED     01   1,034,377     908,799      30,909
ADVANCED MICRO DEVICES INC      COM   007903107           8       1,275  SH     OTHER       01       1,000           0         275
ADVANCED MICRO DEVICES INC      COM   007903107           1         200  SH     OTHER       02           0         200           0
ADVANCED MICRO DEVICES INC      COM   007903107           1         150  SH     DEFINED     03           0         150           0
ADVANCED MICRO DEVICES INC      COM   007903107          99      15,510  SH     DEFINED     04      15,510           0           0
ADVANCED MICRO DEVICES INC      COM   007903107           4         700  SH     DEFINED     05           0           0         700
ADVANCED MICRO DEVICES INC      COM   007903107           6         900  SH     OTHER    01,06           0           0         900
ADVANCED MICRO DEVICES INC      COM   007903107       9,835   1,534,329  SH     DEFINED  01,08   1,396,710     137,619           0
ADVANCED MICRO DEVICES INC      COM   007903107           0          50  SH     DEFINED     10          50           0           0

AEGON N V                       COM   007924103         599      59,669  SH     DEFINED     01      36,025      22,890         754
AEGON N V                       COM   007924103         414      41,223  SH     OTHER       01      29,987      11,236           0
AEGON N V                       COM   007924103           3         316  SH     DEFINED     02           0         316           0
AEGON N V                       COM   007924103          32       3,174  SH     OTHER       02       3,174           0           0
AEGON N V                       COM   007924103          37       3,689  SH     DEFINED     03       2,533       1,156           0
AEGON N V                       COM   007924103          33       3,308  SH     OTHER       03       3,308           0           0
AEGON N V                       COM   007924103          52       5,171  SH     DEFINED     04       5,171           0           0
AEGON N V                       COM   007924103         165      16,469  SH     OTHER       04      16,469           0           0
AEGON N V                       COM   007924103          42       4,160  SH     OTHER       05           0       4,160           0
AEGON N V                       COM   007924103           8         833  SH     DEFINED  01,08         833           0           0

ADVANTA CORP                    COM   007942105         284      28,900  SH     DEFINED     01       5,600      23,300           0
ADVANTA CORP                    COM   007942105         498      50,611  SH     DEFINED  01,08      11,748      38,863           0

ADVANTA CORP                    COM   007942204         508      50,872  SH     DEFINED     01      41,372       8,600         900
ADVANTA CORP                    COM   007942204         218      21,867  SH     DEFINED  01,08       9,064      12,803           0

ADVANCED ENVIRON RECYCLING T    COM   007947104          23      16,550  SH     DEFINED     01         300      16,250           0
ADVANCED ENVIRON RECYCLING T    COM   007947104          16      11,539  SH     DEFINED  01,08      11,339         200           0

ADVANCED ENERGY INDS            COM   007973100       1,019      71,256  SH     DEFINED     01      37,662      32,394       1,200
ADVANCED ENERGY INDS            COM   007973100           9         625  SH     OTHER    01,06           0           0         625
ADVANCED ENERGY INDS            COM   007973100       1,618     113,113  SH     DEFINED  01,08      64,196      48,917           0

ADVENT SOFTWARE INC             COM   007974108       1,770     103,380  SH     DEFINED     01      39,218      62,512       1,650
ADVENT SOFTWARE INC             COM   007974108           1          45  SH     DEFINED     04          45           0           0
ADVENT SOFTWARE INC             COM   007974108       1,294      75,603  SH     DEFINED  01,08      52,603      23,000           0

AEROSONIC CORP DEL              COM   008015307          57       5,800  SH     DEFINED     01         600       5,200           0
AEROSONIC CORP DEL              COM   008015307          11       1,100  SH     DEFINED     04       1,100           0           0
AEROSONIC CORP DEL              COM   008015307          96       9,686  SH     DEFINED  01,08       1,759       7,927           0

AETHER SYS INC                  COM   00808V105         644     134,239  SH     DEFINED     01      82,657      49,482       2,100
AETHER SYS INC                  COM   00808V105       1,105     230,161  SH     DEFINED  01,08     157,490      72,671           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     19
________

AETRIUM INC                     COM   00817R103          15      10,100  SH     DEFINED     01       2,000       8,100           0
AETRIUM INC                     COM   00817R103          31      20,886  SH     DEFINED  01,08       2,523      18,363           0

AETNA INC NEW                   COM   00817Y108      59,636     990,633  SH     DEFINED     01     567,052     409,863      13,718
AETNA INC NEW                   COM   00817Y108         307       5,100  SH     OTHER       01       1,000       3,500         600
AETNA INC NEW                   COM   00817Y108           9         152  SH     DEFINED     02         112           0          40
AETNA INC NEW                   COM   00817Y108           3          50  SH     DEFINED     03           0          50           0
AETNA INC NEW                   COM   00817Y108          12         200  SH     OTHER       03           0         200           0
AETNA INC NEW                   COM   00817Y108         328       5,454  SH     DEFINED     04       5,454           0           0
AETNA INC NEW                   COM   00817Y108         144       2,400  SH     OTHER       04       2,400           0           0
AETNA INC NEW                   COM   00817Y108          24         400  SH     OTHER    01,06           0           0         400
AETNA INC NEW                   COM   00817Y108      39,860     662,134  SH     DEFINED  01,08     603,063      59,071           0
AETNA INC NEW                   COM   00817Y108           8         125  SH     DEFINED     10         125           0           0
AETNA INC NEW                   COM   00817Y108         452       7,500  SH     OTHER       10           0       7,500           0

AFFILIATED COMPUTER SERVICES    COM   008190100      39,267     858,680  SH     DEFINED     01     562,477     282,842      13,361
AFFILIATED COMPUTER SERVICES    COM   008190100       1,287      28,135  SH     OTHER       01      16,075      11,800         260
AFFILIATED COMPUTER SERVICES    COM   008190100         650      14,211  SH     DEFINED     02      10,655       3,300         256
AFFILIATED COMPUTER SERVICES    COM   008190100         270       5,900  SH     OTHER       02       2,100       3,500         300
AFFILIATED COMPUTER SERVICES    COM   008190100       4,053      88,628  SH     DEFINED     03      45,334      38,096       5,198
AFFILIATED COMPUTER SERVICES    COM   008190100         615      13,445  SH     OTHER       03       8,959       2,360       2,126
AFFILIATED COMPUTER SERVICES    COM   008190100       7,139     156,105  SH     DEFINED     04     150,830           0       5,275
AFFILIATED COMPUTER SERVICES    COM   008190100       1,845      40,340  SH     OTHER       04      39,515           0         825
AFFILIATED COMPUTER SERVICES    COM   008190100       1,128      24,670  SH     DEFINED     05      21,745       1,950         975
AFFILIATED COMPUTER SERVICES    COM   008190100          27         600  SH     OTHER       05         600           0           0
AFFILIATED COMPUTER SERVICES    COM   008190100      15,240     333,253  SH     DEFINED  01,08     238,963      94,290           0
AFFILIATED COMPUTER SERVICES    COM   008190100         615      13,457  SH     DEFINED     10      12,107         300       1,050
AFFILIATED COMPUTER SERVICES    COM   008190100          49       1,075  SH     OTHER       10         400         375         300

AFFILIATED MANAGERS GROUP       COM   008252108       3,012      49,425  SH     DEFINED     01      18,720      29,666       1,039
AFFILIATED MANAGERS GROUP       COM   008252108       4,013      65,846  SH     DEFINED  01,08      34,002      31,844           0

AFFYMETRIX INC                  COM   00826T108       1,240      62,895  SH     DEFINED     01      38,056      22,039       2,800
AFFYMETRIX INC                  COM   00826T108           0           4  SH     OTHER       04           4           0           0
AFFYMETRIX INC                  COM   00826T108       1,902      96,516  SH     DEFINED  01,08      55,986      40,530           0

AFTERMARKET TECHNOLOGY CORP     COM   008318107       1,040      98,114  SH     DEFINED     01      74,114      24,000           0
AFTERMARKET TECHNOLOGY CORP     COM   008318107         607      57,234  SH     DEFINED  01,08      22,126      35,108           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     20
________

AGERE SYS INC                   COM   00845V100         841     361,154  SH     DEFINED     01     337,646      23,502           6
AGERE SYS INC                   COM   00845V100           0         173  SH     OTHER       01         155          18           0
AGERE SYS INC                   COM   00845V100           5       2,237  SH     DEFINED     02       2,234           3           0
AGERE SYS INC                   COM   00845V100           0         132  SH     OTHER       02          83          49           0
AGERE SYS INC                   COM   00845V100           0           3  SH     DEFINED     03           0           0           3
AGERE SYS INC                   COM   00845V100           0          40  SH     OTHER       03          35           5           0
AGERE SYS INC                   COM   00845V100          35      14,896  SH     DEFINED     04      14,896           0           0
AGERE SYS INC                   COM   00845V100           0          92  SH     OTHER       04          89           0           3
AGERE SYS INC                   COM   00845V100          15       6,510  SH     DEFINED     05       6,510           0           0
AGERE SYS INC                   COM   00845V100           0          13  SH     OTHER       05          13           0           0
AGERE SYS INC                   COM   00845V100       2,789   1,196,848  SH     DEFINED  01,08     225,600     971,248           0
AGERE SYS INC                   COM   00845V100           0          93  SH     DEFINED     10          67          26           0
AGERE SYS INC                   COM   00845V100           0           8  SH     OTHER       10           8           0           0

AGERE SYS INC                   COM   00845V209       3,926   1,706,953  SH     DEFINED     01     954,059     682,406      70,488
AGERE SYS INC                   COM   00845V209          10       4,469  SH     OTHER       01       3,984         485           0
AGERE SYS INC                   COM   00845V209           5       2,027  SH     DEFINED     02       1,946          81           0
AGERE SYS INC                   COM   00845V209           8       3,375  SH     OTHER       02       2,135       1,240           0
AGERE SYS INC                   COM   00845V209           0         128  SH     DEFINED     03          10           0         118
AGERE SYS INC                   COM   00845V209           3       1,098  SH     OTHER       03         895         203           0
AGERE SYS INC                   COM   00845V209           7       2,849  SH     DEFINED     04       2,849           0           0
AGERE SYS INC                   COM   00845V209          12       5,207  SH     OTHER       04       2,411           0       2,796
AGERE SYS INC                   COM   00845V209           1         276  SH     DEFINED     05         276           0           0
AGERE SYS INC                   COM   00845V209           1         366  SH     OTHER       05         366           0           0
AGERE SYS INC                   COM   00845V209       5,324   2,314,858  SH     DEFINED  01,08   2,098,441     216,417           0
AGERE SYS INC                   COM   00845V209           5       2,328  SH     DEFINED     10       1,667         661           0
AGERE SYS INC                   COM   00845V209           0         205  SH     OTHER       10         205           0           0

AGILENT TECHNOLOGIES INC        COM   00846U101      56,664   2,898,416  SH     DEFINED     01   1,587,334   1,265,898      45,184
AGILENT TECHNOLOGIES INC        COM   00846U101         351      17,940  SH     OTHER       01       6,180       8,739       3,021
AGILENT TECHNOLOGIES INC        COM   00846U101          28       1,445  SH     DEFINED     02         740         305         400
AGILENT TECHNOLOGIES INC        COM   00846U101          59       3,007  SH     OTHER       02       2,284         723           0
AGILENT TECHNOLOGIES INC        COM   00846U101          44       2,258  SH     DEFINED     03         457       1,801           0
AGILENT TECHNOLOGIES INC        COM   00846U101          24       1,219  SH     OTHER       03       1,143           0          76
AGILENT TECHNOLOGIES INC        COM   00846U101         197      10,072  SH     DEFINED     04       9,615           0         457
AGILENT TECHNOLOGIES INC        COM   00846U101         253      12,950  SH     OTHER       04      10,725           0       2,225
AGILENT TECHNOLOGIES INC        COM   00846U101          26       1,309  SH     OTHER       05          90       1,219           0
AGILENT TECHNOLOGIES INC        COM   00846U101          23       1,200  SH     OTHER    01,06           0           0       1,200
AGILENT TECHNOLOGIES INC        COM   00846U101      39,183   2,004,239  SH     DEFINED  01,08   1,822,886     181,353           0
AGILENT TECHNOLOGIES INC        COM   00846U101          53       2,703  SH     DEFINED     10       1,129       1,244         330
AGILENT TECHNOLOGIES INC        COM   00846U101          56       2,877  SH     OTHER       10       2,828          49           0

AGILE SOFTWARE CORP DEL         COM   00846X105       1,348     139,868  SH     DEFINED     01      80,138      58,780         950
AGILE SOFTWARE CORP DEL         COM   00846X105          53       5,464  SH     OTHER       01           0           0       5,464
AGILE SOFTWARE CORP DEL         COM   00846X105       1,178     122,251  SH     DEFINED  01,08      40,490      81,761           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     21
________

AGREE REALTY CORP               COM   008492100          75       3,100  SH     DEFINED     01       3,100           0           0
AGREE REALTY CORP               COM   008492100         194       8,000  SH     DEFINED  01,08       2,000       6,000           0

AIR METHODS CORP                COM   009128307          71       9,200  SH     DEFINED     01       1,200       8,000           0
AIR METHODS CORP                COM   009128307         131      16,889  SH     DEFINED  01,08       4,389      12,500           0

AIR PRODS & CHEMS INC           COM   009158106      64,293   1,545,493  SH     DEFINED     01     894,387     629,450      21,656
AIR PRODS & CHEMS INC           COM   009158106       5,639     135,562  SH     OTHER       01      72,033      60,329       3,200
AIR PRODS & CHEMS INC           COM   009158106       1,133      27,246  SH     DEFINED     02      20,743       5,103       1,400
AIR PRODS & CHEMS INC           COM   009158106         685      16,460  SH     OTHER       02       9,510       6,550         400
AIR PRODS & CHEMS INC           COM   009158106         746      17,940  SH     DEFINED     03      10,570       4,895       2,475
AIR PRODS & CHEMS INC           COM   009158106         485      11,668  SH     OTHER       03       1,000      10,668           0
AIR PRODS & CHEMS INC           COM   009158106       2,170      52,155  SH     DEFINED     04      52,055           0         100
AIR PRODS & CHEMS INC           COM   009158106         823      19,780  SH     OTHER       04      19,780           0           0
AIR PRODS & CHEMS INC           COM   009158106         250       6,012  SH     DEFINED     05       6,012           0           0
AIR PRODS & CHEMS INC           COM   009158106          48       1,150  SH     OTHER       05       1,150           0           0
AIR PRODS & CHEMS INC           COM   009158106          25         600  SH     OTHER    01,06           0           0         600
AIR PRODS & CHEMS INC           COM   009158106      41,829   1,005,497  SH     DEFINED  01,08     915,165      90,332           0
AIR PRODS & CHEMS INC           COM   009158106       2,665      64,064  SH     DEFINED     10       7,693      35,771      20,600
AIR PRODS & CHEMS INC           COM   009158106       1,193      28,677  SH     OTHER       10      23,277       5,400           0

AIRBORNE INC                    CONDB 009269AB7       2,180   2,000,000  PRN    DEFINED     01   2,000,000           0           0

AIRBORNE INC                    COM   009269101       4,767     228,085  SH     DEFINED     01     120,553     104,332       3,200
AIRBORNE INC                    COM   009269101          36       1,700  SH     DEFINED     04           0           0       1,700
AIRBORNE INC                    COM   009269101           2         100  SH     OTHER       04         100           0           0
AIRBORNE INC                    COM   009269101       2,715     129,891  SH     DEFINED  01,08      73,926      55,965           0

AIRGAS INC                      COM   009363102       4,906     292,925  SH     DEFINED     01     158,160     131,165       3,600
AIRGAS INC                      COM   009363102           4         220  SH     DEFINED     03           0           0         220
AIRGAS INC                      COM   009363102       2,920     174,351  SH     DEFINED  01,08     103,074      71,277           0
AIRGAS INC                      COM   009363102          67       4,000  SH     OTHER       10       4,000           0           0

AIRNET COMMUNICATIONS CORP      COM   00941P106           5       5,000  SH     DEFINED     01       5,000           0           0
AIRNET COMMUNICATIONS CORP      COM   00941P106          36      33,893  SH     DEFINED  01,08       5,793      28,100           0

AIRNET SYS INC                  COM   009417106          66      16,400  SH     DEFINED     01       1,600      14,800           0
AIRNET SYS INC                  COM   009417106          72      17,900  SH     DEFINED  01,08       4,500      13,400           0

AIRTRAN HLDGS INC               COM   00949P108       2,568     245,285  SH     DEFINED     01     134,668     107,017       3,600
AIRTRAN HLDGS INC               COM   00949P108          21       2,000  SH     OTHER       01           0       2,000           0
AIRTRAN HLDGS INC               COM   00949P108         209      20,000  SH     DEFINED     04      20,000           0           0
AIRTRAN HLDGS INC               COM   00949P108       2,262     216,089  SH     DEFINED  01,08      89,559     126,530           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     22
________

AKAMAI TECHNOLOGIES INC         COM   00971T101       1,683     352,116  SH     DEFINED     01     215,371     131,045       5,700
AKAMAI TECHNOLOGIES INC         COM   00971T101          14       3,000  SH     DEFINED     02           0           0       3,000
AKAMAI TECHNOLOGIES INC         COM   00971T101           3         700  SH     DEFINED     03           0         700           0
AKAMAI TECHNOLOGIES INC         COM   00971T101          48      10,000  SH     DEFINED     04      10,000           0           0
AKAMAI TECHNOLOGIES INC         COM   00971T101          10       2,000  SH     OTHER       04       2,000           0           0
AKAMAI TECHNOLOGIES INC         COM   00971T101       2,143     448,270  SH     DEFINED  01,08     248,335     199,935           0

AKSYS LTD                       COM   010196103       1,163      90,193  SH     DEFINED     01      57,972      31,521         700
AKSYS LTD                       COM   010196103       1,041      80,683  SH     DEFINED  01,08      32,300      48,383           0

AKZO NOBEL NV                   COM   010199305         309      11,600  SH     OTHER       01       5,600           0       6,000
AKZO NOBEL NV                   COM   010199305          11         410  SH     DEFINED     02         410           0           0
AKZO NOBEL NV                   COM   010199305          64       2,400  SH     DEFINED     03           0       2,400           0
AKZO NOBEL NV                   COM   010199305          22         843  SH     DEFINED     04         428           0         415

ALABAMA NATL BANCORP DELA       COM   010317105       1,661      34,611  SH     DEFINED     01      18,342      15,569         700
ALABAMA NATL BANCORP DELA       COM   010317105       1,538      32,039  SH     DEFINED  01,08      10,105      21,934           0

ALAMO GROUP INC                 COM   011311107         365      29,861  SH     DEFINED     01      18,011      11,700         150
ALAMO GROUP INC                 COM   011311107         242      19,779  SH     DEFINED  01,08       4,730      15,049           0

ALARIS MED INC                  COM   011637105       1,055      81,430  SH     DEFINED     01      27,930      53,200         300
ALARIS MED INC                  COM   011637105       1,515     116,997  SH     DEFINED  01,08      32,140      84,857           0

ALASKA AIR GROUP INC            COM   011659109       2,581     120,339  SH     DEFINED     01      61,279      57,910       1,150
ALASKA AIR GROUP INC            COM   011659109       1,689      78,731  SH     DEFINED  01,08      49,377      29,354           0

ALASKA COMMUNICATIONS SYS GR    COM   01167P101         123      34,179  SH     DEFINED     01      21,235      12,794         150
ALASKA COMMUNICATIONS SYS GR    COM   01167P101         108      30,000  SH     DEFINED     04      30,000           0           0
ALASKA COMMUNICATIONS SYS GR    COM   01167P101         211      58,833  SH     DEFINED  01,08      14,644      44,189           0

ALBANY INTL CORP                COM   012348108       1,763      64,353  SH     DEFINED     01      52,067      11,134       1,152
ALBANY INTL CORP                COM   012348108          18         650  SH     OTHER    01,06           0           0         650
ALBANY INTL CORP                COM   012348108       2,961     108,066  SH     DEFINED  01,08      61,601      46,465           0

ALBANY MOLECULAR RESH INC       COM   012423109       1,824     121,106  SH     DEFINED     01      87,165      33,841         100
ALBANY MOLECULAR RESH INC       COM   012423109       1,632     108,340  SH     DEFINED  01,08      57,013      51,327           0

ALBEMARLE CORP                  COM   012653101       3,847     137,542  SH     DEFINED     01      50,505      85,087       1,950
ALBEMARLE CORP                  COM   012653101       2,707      96,765  SH     DEFINED  01,08      68,566      28,199           0
ALBEMARLE CORP                  COM   012653101          42       1,500  SH     DEFINED     10       1,500           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     23
________

ALBERTO CULVER CO               COM   013068101      16,144     315,929  SH     DEFINED     01     158,058     149,521       8,350
ALBERTO CULVER CO               COM   013068101           3          50  SH     DEFINED     03           0          50           0
ALBERTO CULVER CO               COM   013068101          20         400  SH     DEFINED     04         400           0           0
ALBERTO CULVER CO               COM   013068101           8         150  SH     OTHER    01,06           0           0         150
ALBERTO CULVER CO               COM   013068101       9,705     189,928  SH     DEFINED  01,08     171,088      18,840           0
ALBERTO CULVER CO               COM   013068101           6         109  SH     DEFINED     10         109           0           0

ALBERTO CULVER CO               COM   013068200         430       8,638  SH     DEFINED     01       8,638           0           0
ALBERTO CULVER CO               COM   013068200         443       8,900  SH     OTHER       01           0           0       8,900
ALBERTO CULVER CO               COM   013068200           5          93  SH     DEFINED     02           0           0          93

ALBERTSONS INC                  COM   013104104      42,504   2,213,732  SH     DEFINED     01   1,145,860   1,021,337      46,535
ALBERTSONS INC                  COM   013104104         523      27,260  SH     OTHER       01      14,510      11,700       1,050
ALBERTSONS INC                  COM   013104104         125       6,514  SH     DEFINED     02       5,714           0         800
ALBERTSONS INC                  COM   013104104          95       4,945  SH     OTHER       02       1,445       3,500           0
ALBERTSONS INC                  COM   013104104          57       2,981  SH     DEFINED     03       1,360       1,117         504
ALBERTSONS INC                  COM   013104104         372      19,370  SH     OTHER       03       1,550      17,620         200
ALBERTSONS INC                  COM   013104104         887      46,196  SH     DEFINED     04      45,596           0         600
ALBERTSONS INC                  COM   013104104          92       4,788  SH     OTHER       04       4,788           0           0
ALBERTSONS INC                  COM   013104104           2         100  SH     DEFINED     05         100           0           0
ALBERTSONS INC                  COM   013104104          13         700  SH     OTHER    01,06           0           0         700
ALBERTSONS INC                  COM   013104104      31,022   1,615,721  SH     DEFINED  01,08   1,467,579     148,142           0
ALBERTSONS INC                  COM   013104104         655      34,113  SH     DEFINED     10      34,113           0           0
ALBERTSONS INC                  COM   013104104           6         300  SH     OTHER       10           0           0         300

ALCAN INC                       COM   013716105          15         478  SH     DEFINED     01           0         478           0
ALCAN INC                       COM   013716105         188       6,002  SH     OTHER       01         252       5,750           0
ALCAN INC                       COM   013716105           9         300  SH     DEFINED     04         300           0           0
ALCAN INC                       COM   013716105          59       1,894  SH     OTHER       04       1,894           0           0
ALCAN INC                       COM   013716105           3         100  SH     DEFINED     10           0           0         100

ALCOA INC                       COM   013817101     152,477   5,979,496  SH     DEFINED     01   3,249,923   2,470,237     259,336
ALCOA INC                       COM   013817101       6,657     261,044  SH     OTHER       01     140,625      77,003      43,416
ALCOA INC                       COM   013817101       4,551     178,452  SH     DEFINED     02     137,877      29,475      11,100
ALCOA INC                       COM   013817101         781      30,636  SH     OTHER       02      22,235       6,451       1,950
ALCOA INC                       COM   013817101       4,812     188,710  SH     DEFINED     03      93,193      77,444      18,073
ALCOA INC                       COM   013817101       1,366      53,576  SH     OTHER       03      40,726       5,650       7,200
ALCOA INC                       COM   013817101      31,818   1,247,751  SH     DEFINED     04   1,214,758           0      32,993
ALCOA INC                       COM   013817101      10,863     426,012  SH     OTHER       04     412,753           0      13,259
ALCOA INC                       COM   013817101       4,638     181,879  SH     DEFINED     05     144,909      22,995      13,975
ALCOA INC                       COM   013817101         420      16,485  SH     OTHER       05      11,800       4,685           0
ALCOA INC                       COM   013817101          56       2,200  SH     OTHER    01,06           0           0       2,200
ALCOA INC                       COM   013817101      94,442   3,703,596  SH     DEFINED  01,08   3,349,254     354,342           0
ALCOA INC                       COM   013817101       3,067     120,286  SH     DEFINED     10     105,316       8,875       6,095
ALCOA INC                       COM   013817101       2,168      85,010  SH     OTHER       10      72,200      12,435         375


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     24
________

ALCATEL                         COM   013904305          15       1,730  SH     DEFINED     02         190           0       1,540
ALCATEL                         COM   013904305           4         421  SH     DEFINED     03         421           0           0
ALCATEL                         COM   013904305          43       4,823  SH     OTHER       03           0           0       4,823
ALCATEL                         COM   013904305          25       2,755  SH     DEFINED     04       1,300           0       1,455
ALCATEL                         COM   013904305           0          40  SH     OTHER       05          40           0           0
ALCATEL                         COM   013904305          17       1,947  SH     DEFINED     10       1,947           0           0

ALDERWOODS GROUP INC            COM   014383103         530      99,043  SH     DEFINED     01      77,843      18,900       2,300
ALDERWOODS GROUP INC            COM   014383103         217      40,616  SH     DEFINED  01,08      17,641      22,975           0

ALEXANDER & BALDWIN INC         COM   014482103       5,961     228,403  SH     DEFINED     01     136,647      88,956       2,800
ALEXANDER & BALDWIN INC         COM   014482103          52       2,000  SH     DEFINED     03       2,000           0           0
ALEXANDER & BALDWIN INC         COM   014482103       5,811     222,643  SH     OTHER       04     222,643           0           0
ALEXANDER & BALDWIN INC         COM   014482103       3,583     137,274  SH     DEFINED  01,08      89,859      47,415           0

ALEXANDERS INC                  COM   014752109         791       9,479  SH     DEFINED     01       3,584       5,745         150
ALEXANDERS INC                  COM   014752109       1,574      18,856  SH     DEFINED  01,08       9,206       9,650           0

ALEXANDRIA REAL ESTATE EQ IN    COM   015271109       2,867      63,709  SH     DEFINED     01      38,162      24,597         950
ALEXANDRIA REAL ESTATE EQ IN    COM   015271109       2,873      63,843  SH     DEFINED  01,08      30,341      33,502           0

ALEXION PHARMACEUTICALS INC     COM   015351109       1,069      62,898  SH     DEFINED     01      36,556      25,242       1,100
ALEXION PHARMACEUTICALS INC     COM   015351109       1,309      76,999  SH     DEFINED  01,08      43,473      33,526           0

ALFA CORP                       COM   015385107       2,516     201,266  SH     DEFINED     01     112,056      87,310       1,900
ALFA CORP                       COM   015385107       2,872     229,729  SH     DEFINED  01,08      58,885     170,844           0

ALICO INC                       COM   016230104         388      15,727  SH     DEFINED     01       7,300       8,327         100
ALICO INC                       COM   016230104         264      10,700  SH     DEFINED     04      10,700           0           0
ALICO INC                       COM   016230104           7         300  SH     OTHER       04         300           0           0
ALICO INC                       COM   016230104         466      18,862  SH     DEFINED  01,08       4,395      14,467           0

ALIGN TECHNOLOGY INC            COM   016255101       1,876     148,894  SH     DEFINED     01      86,173      61,871         850
ALIGN TECHNOLOGY INC            COM   016255101       2,156     171,108  SH     DEFINED  01,08      72,335      98,773           0

ALKERMES INC                    COM   01642T108       2,062     194,131  SH     DEFINED     01     118,268      72,513       3,350
ALKERMES INC                    COM   01642T108          18       1,700  SH     DEFINED     04       1,700           0           0
ALKERMES INC                    COM   01642T108           0           4  SH     OTHER       04           4           0           0
ALKERMES INC                    COM   01642T108       2,278     214,458  SH     DEFINED  01,08     107,292     107,166           0
ALKERMES INC                    COM   01642T108          11       1,015  SH     DEFINED     10         370           0         645

ALL AMERICAN SEMICONDUCTOR I    COM   016557407          18       5,960  SH     DEFINED     01         860       5,100           0
ALL AMERICAN SEMICONDUCTOR I    COM   016557407          21       7,040  SH     DEFINED  01,08       1,886       5,154           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     25
________

ALLEGHANY CORP DEL              COM   017175100       1,458       7,633  SH     DEFINED     01       4,887       2,716          30
ALLEGHANY CORP DEL              COM   017175100       2,808      14,701  SH     DEFINED  01,08       9,600       5,101           0

ALLEGHENY ENERGY INC            COM   017361106       6,197     733,431  SH     DEFINED     01     372,624     328,184      32,623
ALLEGHENY ENERGY INC            COM   017361106           1         125  SH     OTHER       01           0           0         125
ALLEGHENY ENERGY INC            COM   017361106           8       1,000  SH     DEFINED     02           0           0       1,000
ALLEGHENY ENERGY INC            COM   017361106          25       3,000  SH     OTHER       02           0       3,000           0
ALLEGHENY ENERGY INC            COM   017361106          30       3,560  SH     DEFINED     03       3,000          50         510
ALLEGHENY ENERGY INC            COM   017361106           6         700  SH     OTHER       03         700           0           0
ALLEGHENY ENERGY INC            COM   017361106          12       1,440  SH     DEFINED     04       1,440           0           0
ALLEGHENY ENERGY INC            COM   017361106           3         300  SH     OTHER    01,06           0           0         300
ALLEGHENY ENERGY INC            COM   017361106       4,941     584,788  SH     DEFINED  01,08     533,400      51,388           0
ALLEGHENY ENERGY INC            COM   017361106          11       1,269  SH     DEFINED     10         642         627           0

ALLEGHENY TECHNOLOGIES INC      COM   01741R102       3,041     460,693  SH     DEFINED     01     242,707     209,868       8,118
ALLEGHENY TECHNOLOGIES INC      COM   01741R102           0          75  SH     OTHER       01           0           0          75
ALLEGHENY TECHNOLOGIES INC      COM   01741R102          32       4,899  SH     DEFINED     03           0       4,899           0
ALLEGHENY TECHNOLOGIES INC      COM   01741R102          20       3,080  SH     OTHER       03       1,540           0       1,540
ALLEGHENY TECHNOLOGIES INC      COM   01741R102          19       2,853  SH     DEFINED     04         928           0       1,925
ALLEGHENY TECHNOLOGIES INC      COM   01741R102           1         200  SH     OTHER    01,06           0           0         200
ALLEGHENY TECHNOLOGIES INC      COM   01741R102       2,246     340,371  SH     DEFINED  01,08     309,871      30,500           0
ALLEGHENY TECHNOLOGIES INC      COM   01741R102           0          10  SH     DEFINED     10          10           0           0

ALLEGIANT BANCORP INC           COM   017476102         800      39,616  SH     DEFINED     01      34,316       4,500         800
ALLEGIANT BANCORP INC           COM   017476102         884      43,767  SH     DEFINED  01,08      13,895      29,872           0

ALLEN ORGAN CO                  COM   017753104          49       1,200  SH     DEFINED     01         100       1,100           0
ALLEN ORGAN CO                  COM   017753104         170       4,168  SH     DEFINED  01,08         631       3,537           0

ALLEN TELECOM INC               COM   018091108       3,758     227,464  SH     DEFINED     01     180,097      44,717       2,650
ALLEN TELECOM INC               COM   018091108          10         600  SH     OTHER    01,06           0           0         600
ALLEN TELECOM INC               COM   018091108       2,566     155,315  SH     DEFINED  01,08      91,967      63,348           0

ALLERGAN INC                    CONDB 018490AE2       1,943   2,000,000  PRN    DEFINED     01   2,000,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     26
________

ALLERGAN INC                    COM   018490102      74,180     962,122  SH     DEFINED     01     599,681     345,485      16,956
ALLERGAN INC                    COM   018490102         411       5,329  SH     OTHER       01       5,129           0         200
ALLERGAN INC                    COM   018490102          14         180  SH     DEFINED     03           0         180           0
ALLERGAN INC                    COM   018490102         322       4,179  SH     OTHER       03       1,204       2,975           0
ALLERGAN INC                    COM   018490102         539       6,985  SH     DEFINED     04       6,985           0           0
ALLERGAN INC                    COM   018490102         156       2,020  SH     OTHER       04       1,520           0         500
ALLERGAN INC                    COM   018490102           8         100  SH     DEFINED     05         100           0           0
ALLERGAN INC                    COM   018490102         308       4,000  SH     OTHER       05           0           0       4,000
ALLERGAN INC                    COM   018490102          23         300  SH     OTHER    01,06           0           0         300
ALLERGAN INC                    COM   018490102      41,126     533,415  SH     DEFINED  01,08     484,285      49,130           0
ALLERGAN INC                    COM   018490102          56         722  SH     DEFINED     10         722           0           0
ALLERGAN INC                    COM   018490102          32         417  SH     OTHER       10         417           0           0

ALLETE INC                      COM   018522102       7,238     272,601  SH     DEFINED     01     100,987     166,764       4,850
ALLETE INC                      COM   018522102         225       8,457  SH     OTHER       01           0       8,457           0
ALLETE INC                      COM   018522102           2          80  SH     DEFINED     02          80           0           0
ALLETE INC                      COM   018522102          27       1,000  SH     OTHER       03           0       1,000           0
ALLETE INC                      COM   018522102         209       7,860  SH     DEFINED     04       7,860           0           0
ALLETE INC                      COM   018522102          29       1,100  SH     OTHER       04         200           0         900
ALLETE INC                      COM   018522102       4,570     172,122  SH     DEFINED  01,08     111,223      60,899           0
ALLETE INC                      COM   018522102          32       1,187  SH     DEFINED     10       1,187           0           0

ALLIANCE CAP MGMT HLDG L P      COM   01855A101         916      25,100  SH     DEFINED     01      17,100       8,000           0
ALLIANCE CAP MGMT HLDG L P      COM   01855A101          73       2,000  SH     DEFINED     03       2,000           0           0
ALLIANCE CAP MGMT HLDG L P      COM   01855A101           7         200  SH     OTHER       03         200           0           0
ALLIANCE CAP MGMT HLDG L P      COM   01855A101          50       1,375  SH     DEFINED     04       1,375           0           0
ALLIANCE CAP MGMT HLDG L P      COM   01855A101         433      11,850  SH     OTHER       04      11,850           0           0
ALLIANCE CAP MGMT HLDG L P      COM   01855A101          44       1,200  SH     DEFINED     10       1,200           0           0
ALLIANCE CAP MGMT HLDG L P      COM   01855A101          73       2,000  SH     OTHER       10       2,000           0           0

ALLIANCE DATA SYSTEMS CORP      COM   018581108       1,704      72,813  SH     DEFINED     01      35,413      29,050       8,350
ALLIANCE DATA SYSTEMS CORP      COM   018581108       1,330      56,850  SH     DEFINED  01,08      34,850      22,000           0

ALLIANCE GAMING CORP            COM   01859P609       2,922     154,513  SH     DEFINED     01      89,183      62,930       2,400
ALLIANCE GAMING CORP            COM   01859P609           5         275  SH     DEFINED     03           0           0         275
ALLIANCE GAMING CORP            COM   01859P609       3,245     171,628  SH     DEFINED  01,08      85,999      85,629           0

ALLIANCE IMAGING INC            COM   018606202         320      72,807  SH     DEFINED     01      40,357      32,200         250
ALLIANCE IMAGING INC            COM   018606202         416      94,445  SH     DEFINED  01,08      23,271      71,174           0

ALLIANCE NATL MUN INCOME FD     UNDEF 01864U106         108       7,458         DEFINED     04       7,458           0           0
ALLIANCE NATL MUN INCOME FD     UNDEF 01864U106         145      10,000         OTHER       04      10,000           0           0

ALLIANCE FIBER OPTIC PRODS I    COM   018680108          16      19,400  SH     DEFINED     01       7,000      12,400           0
ALLIANCE FIBER OPTIC PRODS I    COM   018680108           9      11,500  SH     DEFINED  01,08       5,300       6,200           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     27
________

ALLIANCE SEMICONDUCTOR CORP     COM   01877H100         435      89,099  SH     DEFINED     01      36,992      50,317       1,790
ALLIANCE SEMICONDUCTOR CORP     COM   01877H100           3         700  SH     OTHER    01,06           0           0         700
ALLIANCE SEMICONDUCTOR CORP     COM   01877H100         684     140,262  SH     DEFINED  01,08      75,879      64,383           0

ALLIANT ENERGY CORP             COM   018802108       5,689     298,957  SH     DEFINED     01     113,730     179,067       6,160
ALLIANT ENERGY CORP             COM   018802108          22       1,150  SH     OTHER       01           0       1,150           0
ALLIANT ENERGY CORP             COM   018802108          22       1,152  SH     DEFINED     02         642         400         110
ALLIANT ENERGY CORP             COM   018802108          26       1,352  SH     OTHER       02           0       1,352           0
ALLIANT ENERGY CORP             COM   018802108          17         912  SH     DEFINED     04         912           0           0
ALLIANT ENERGY CORP             COM   018802108          21       1,110  SH     OTHER       04       1,110           0           0
ALLIANT ENERGY CORP             COM   018802108       3,918     205,909  SH     DEFINED  01,08     139,582      66,327           0
ALLIANT ENERGY CORP             COM   018802108           8         400  SH     DEFINED     10         400           0           0
ALLIANT ENERGY CORP             COM   018802108          10         500  SH     OTHER       10           0         500           0

ALLIANT TECHSYSTEMS INC         COM   018804104       2,159      41,595  SH     DEFINED     01      24,785      14,018       2,792
ALLIANT TECHSYSTEMS INC         COM   018804104          17         337  SH     OTHER       01         337           0           0
ALLIANT TECHSYSTEMS INC         COM   018804104           4          70  SH     DEFINED     02           0           0          70
ALLIANT TECHSYSTEMS INC         COM   018804104          38         737  SH     OTHER    01,06           0           0         737
ALLIANT TECHSYSTEMS INC         COM   018804104       4,850      93,433  SH     DEFINED  01,08      67,269      26,164           0

ALLIED CAP CORP NEW             COM   01903Q108       3,140     135,932  SH     DEFINED     01      85,740      44,750       5,442
ALLIED CAP CORP NEW             COM   01903Q108         407      17,640  SH     OTHER       01           0           0      17,640
ALLIED CAP CORP NEW             COM   01903Q108           2         100  SH     OTHER       02           0         100           0
ALLIED CAP CORP NEW             COM   01903Q108          46       2,000  SH     DEFINED     03       2,000           0           0
ALLIED CAP CORP NEW             COM   01903Q108         127       5,500  SH     DEFINED     04       5,500           0           0
ALLIED CAP CORP NEW             COM   01903Q108         144       6,215  SH     OTHER       04       6,215           0           0
ALLIED CAP CORP NEW             COM   01903Q108       4,022     174,094  SH     DEFINED  01,08      99,694      74,400           0
ALLIED CAP CORP NEW             COM   01903Q108          36       1,550  SH     DEFINED     10         500           0       1,050

ALLIED DEFENSE GROUP INC        COM   019118108         116       6,300  SH     DEFINED     01         700       5,600           0
ALLIED DEFENSE GROUP INC        COM   019118108         220      11,920  SH     DEFINED  01,08       2,377       9,543           0

ALLIED HEALTHCARE PRODS INC     COM   019222108           6       1,600  SH     DEFINED     01       1,600           0           0
ALLIED HEALTHCARE PRODS INC     COM   019222108          49      13,783  SH     DEFINED  01,08       3,624      10,159           0

ALLIED HLDGS INC                COM   019223106          27       8,200  SH     DEFINED     01       1,100       7,100           0
ALLIED HLDGS INC                COM   019223106          49      14,800  SH     DEFINED  01,08       3,716      11,084           0

ALLIED IRISH BKS P L C          COM   019228402          56       1,860  SH     OTHER       01           0       1,860           0
ALLIED IRISH BKS P L C          COM   019228402          36       1,210  SH     DEFINED     02       1,210           0           0
ALLIED IRISH BKS P L C          COM   019228402          90       3,000  SH     DEFINED     04       3,000           0           0
ALLIED IRISH BKS P L C          COM   019228402         205       6,850  SH     OTHER       04       6,850           0           0

ALLIED HEALTHCARE INTL INC      COM   01923A109          79      21,100  SH     DEFINED     01       3,100      18,000           0
ALLIED HEALTHCARE INTL INC      COM   01923A109         139      36,902  SH     DEFINED  01,08      10,518      26,384           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     28
________

ALLIED MOTION TECHNOLOGIES I    COM   019330109           8       5,200  SH     DEFINED     01           0       5,200           0
ALLIED MOTION TECHNOLOGIES I    COM   019330109          16      10,598  SH     DEFINED  01,08       2,639       7,959           0

ALLIED WASTE INDS INC           COM   019589308      10,850   1,079,591  SH     DEFINED     01     542,485     522,340      14,766
ALLIED WASTE INDS INC           COM   019589308           2         200  SH     OTHER       01           0           0         200
ALLIED WASTE INDS INC           COM   019589308           1         100  SH     DEFINED     03           0         100           0
ALLIED WASTE INDS INC           COM   019589308          51       5,100  SH     DEFINED     04       5,100           0           0
ALLIED WASTE INDS INC           COM   019589308         313      31,159  SH     DEFINED     05           0           0      31,159
ALLIED WASTE INDS INC           COM   019589308           5         500  SH     OTHER    01,06           0           0         500
ALLIED WASTE INDS INC           COM   019589308       8,055     801,528  SH     DEFINED  01,08     735,928      65,600           0
ALLIED WASTE INDS INC           COM   019589308           0          29  SH     DEFINED     10          29           0           0

ALLIED WASTE INDS INC           CONPF 019589605         881      15,000         DEFINED     01      15,000           0           0

ALLMERICA FINL CORP             COM   019754100       3,192     177,407  SH     DEFINED     01      65,852     107,961       3,594
ALLMERICA FINL CORP             COM   019754100           4         228  SH     DEFINED     02         228           0           0
ALLMERICA FINL CORP             COM   019754100          10         537  SH     DEFINED     03         214           0         323
ALLMERICA FINL CORP             COM   019754100         179       9,970  SH     DEFINED     04       9,970           0           0
ALLMERICA FINL CORP             COM   019754100           4         198  SH     OTHER       04         198           0           0
ALLMERICA FINL CORP             COM   019754100       2,665     148,162  SH     DEFINED  01,08     109,838      38,324           0

ALLOS THERAPEUTICS INC          COM   019777101         251      82,524  SH     DEFINED     01      56,424      25,500         600
ALLOS THERAPEUTICS INC          COM   019777101         198      65,057  SH     DEFINED  01,08      12,984      52,073           0

ALLOY INC                       COM   019855105         778     120,580  SH     DEFINED     01      73,080      45,500       2,000
ALLOY INC                       COM   019855105         686     106,313  SH     DEFINED  01,08      40,796      65,517           0

ALLSCRIPTS HEALTHCARE SOLUTI    COM   01988P108         400     108,225  SH     DEFINED     01      64,880      42,745         600
ALLSCRIPTS HEALTHCARE SOLUTI    COM   01988P108         325      87,744  SH     DEFINED  01,08      26,873      60,871           0

ALLSTATE CORP                   COM   020002101     152,683   4,282,835  SH     DEFINED     01   2,299,826   1,909,379      73,630
ALLSTATE CORP                   COM   020002101       2,258      63,344  SH     OTHER       01      18,380      44,464         500
ALLSTATE CORP                   COM   020002101         373      10,458  SH     DEFINED     02       7,890       2,168         400
ALLSTATE CORP                   COM   020002101         406      11,381  SH     OTHER       02       8,281       1,900       1,200
ALLSTATE CORP                   COM   020002101       1,218      34,160  SH     DEFINED     03      23,162       6,112       4,886
ALLSTATE CORP                   COM   020002101         565      15,858  SH     OTHER       03      14,308       1,550           0
ALLSTATE CORP                   COM   020002101       6,021     168,895  SH     DEFINED     04     166,205           0       2,690
ALLSTATE CORP                   COM   020002101       2,315      64,927  SH     OTHER       04      64,927           0           0
ALLSTATE CORP                   COM   020002101         696      19,514  SH     DEFINED     05      16,414         650       2,450
ALLSTATE CORP                   COM   020002101          64       1,800  SH     OTHER    01,06           0           0       1,800
ALLSTATE CORP                   COM   020002101     136,654   3,833,200  SH     DEFINED  01,08   2,836,874     877,433     118,893
ALLSTATE CORP                   COM   020002101       1,526      42,796  SH     DEFINED     10      38,801       1,725       2,270
ALLSTATE CORP                   COM   020002101         636      17,845  SH     OTHER       10      12,200       5,645           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     29
________

ALLTEL CORP                     COM   020039103      89,146   1,848,726  SH     DEFINED     01     965,986     840,186      42,554
ALLTEL CORP                     COM   020039103      10,388     215,439  SH     OTHER       01       9,602      10,531     195,306
ALLTEL CORP                     COM   020039103         140       2,895  SH     DEFINED     02       2,825           0          70
ALLTEL CORP                     COM   020039103          48       1,000  SH     OTHER       02           0       1,000           0
ALLTEL CORP                     COM   020039103         891      18,484  SH     DEFINED     03       7,433       8,323       2,728
ALLTEL CORP                     COM   020039103         156       3,235  SH     OTHER       03       3,008         227           0
ALLTEL CORP                     COM   020039103       4,691      97,280  SH     DEFINED     04      88,426           0       8,854
ALLTEL CORP                     COM   020039103       1,297      26,904  SH     OTHER       04      19,139           0       7,765
ALLTEL CORP                     COM   020039103         610      12,648  SH     DEFINED     05       8,440         390       3,818
ALLTEL CORP                     COM   020039103         145       3,000  SH     OTHER       05           0       3,000           0
ALLTEL CORP                     COM   020039103          39         800  SH     OTHER    01,06           0           0         800
ALLTEL CORP                     COM   020039103      85,711   1,777,509  SH     DEFINED  01,08   1,143,474     563,146      70,889
ALLTEL CORP                     COM   020039103       1,294      26,830  SH     DEFINED     10      25,780         850         200
ALLTEL CORP                     COM   020039103       2,054      42,600  SH     OTHER       10      22,231      20,369           0

ALLTEL CORP                     CONPF 020039822       4,975     100,000         DEFINED     01     100,000           0           0
ALLTEL CORP                     CONPF 020039822          39         775         DEFINED     10         775           0           0

ALMOST FAMILY INC               COM   020409108          33       4,300  SH     DEFINED     01         600       3,700           0
ALMOST FAMILY INC               COM   020409108          52       6,760  SH     DEFINED  01,08       1,137       5,623           0

ALPHA TECHNOLOGIES GROUP INC    COM   020781100          19      11,100  SH     DEFINED     01       1,400       9,700           0
ALPHA TECHNOLOGIES GROUP INC    COM   020781100          23      13,231  SH     DEFINED  01,08       4,122       9,109           0

ALPHARMA INC                    COM   020813101       2,685     124,301  SH     DEFINED     01      63,801      57,850       2,650
ALPHARMA INC                    COM   020813101           6         300  SH     DEFINED     02           0           0         300
ALPHARMA INC                    COM   020813101          22       1,000  SH     OTHER    01,06           0           0       1,000
ALPHARMA INC                    COM   020813101       3,926     181,752  SH     DEFINED  01,08      98,880      82,872           0

ALTEON INC                      COM   02144G107         168      34,600  SH     DEFINED     01       4,700      29,900           0
ALTEON INC                      COM   02144G107         369      76,000  SH     DEFINED  01,08      28,321      47,679           0

ALTERA CORP                     COM   021441100      38,353   2,334,303  SH     DEFINED     01   1,282,551     995,172      56,580
ALTERA CORP                     COM   021441100          73       4,439  SH     OTHER       01       1,700       1,920         819
ALTERA CORP                     COM   021441100         124       7,540  SH     DEFINED     02       4,640       2,500         400
ALTERA CORP                     COM   021441100          21       1,250  SH     OTHER       02           0       1,250           0
ALTERA CORP                     COM   021441100         571      34,766  SH     DEFINED     03      27,465       6,020       1,281
ALTERA CORP                     COM   021441100          75       4,550  SH     OTHER       03       2,700           0       1,850
ALTERA CORP                     COM   021441100         220      13,360  SH     DEFINED     04      13,360           0           0
ALTERA CORP                     COM   021441100         216      13,175  SH     OTHER       04      13,175           0           0
ALTERA CORP                     COM   021441100         135       8,235  SH     DEFINED     05       7,595           0         640
ALTERA CORP                     COM   021441100          16       1,000  SH     OTHER    01,06           0           0       1,000
ALTERA CORP                     COM   021441100      28,616   1,741,696  SH     DEFINED  01,08   1,597,496     144,200           0
ALTERA CORP                     COM   021441100           1          60  SH     DEFINED     10          60           0           0
ALTERA CORP                     COM   021441100          12         700  SH     OTHER       10         700           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     30
________

ALTIRIS INC                     COM   02148M100       1,555      77,784  SH     DEFINED     01      72,494       4,790         500
ALTIRIS INC                     COM   02148M100       1,355      67,775  SH     DEFINED  01,08      38,431      29,344           0

ALTIGEN COMMUNICATIONS INC      COM   021489109          13       9,200  SH     DEFINED     01       2,700       6,500           0
ALTIGEN COMMUNICATIONS INC      COM   021489109           6       3,937  SH     DEFINED  01,08       2,337       1,600           0

ALTRIA GROUP INC                COM   02209S103     537,939  11,838,448  SH     DEFINED     01   6,333,264   5,282,373     222,811
ALTRIA GROUP INC                COM   02209S103      11,667     256,764  SH     OTHER       01     109,528     109,142      38,094
ALTRIA GROUP INC                COM   02209S103       8,573     188,665  SH     DEFINED     02     175,506      11,045       2,114
ALTRIA GROUP INC                COM   02209S103       1,357      29,867  SH     OTHER       02      18,692       4,265       6,910
ALTRIA GROUP INC                COM   02209S103       3,434      75,562  SH     DEFINED     03      50,471      23,319       1,772
ALTRIA GROUP INC                COM   02209S103       6,458     142,125  SH     OTHER       03     130,685       6,400       5,040
ALTRIA GROUP INC                COM   02209S103       1,332      29,318  SH     DEFINED     05      23,518         100       5,700
ALTRIA GROUP INC                COM   02209S103         727      16,000  SH     OTHER       05       6,750       9,250           0
ALTRIA GROUP INC                COM   02209S103         241       5,300  SH     OTHER    01,06           0           0       5,300
ALTRIA GROUP INC                COM   02209S103     363,463   7,998,744  SH     DEFINED  01,08   7,396,911     601,833           0
ALTRIA GROUP INC                COM   02209S103       3,837      84,434  SH     DEFINED     10      60,834       4,700      18,900
ALTRIA GROUP INC                COM   02209S103       2,426      53,384  SH     OTHER       10      28,784      21,200       3,400

AMAZON COM INC                  CONDB 023135AF3       2,839   3,000,000  PRN    DEFINED     01   3,000,000           0           0

AMAZON COM INC                  COM   023135106      22,633     623,159  SH     DEFINED     01     484,885     114,740      23,534
AMAZON COM INC                  COM   023135106       1,035      28,500  SH     OTHER       01           0      28,500           0
AMAZON COM INC                  COM   023135106           1          25  SH     DEFINED     02           0          25           0
AMAZON COM INC                  COM   023135106           4         100  SH     OTHER       02           0         100           0
AMAZON COM INC                  COM   023135106          25         685  SH     DEFINED     03         685           0           0
AMAZON COM INC                  COM   023135106          25         700  SH     DEFINED     04         700           0           0
AMAZON COM INC                  COM   023135106          44       1,200  SH     OTHER       04         600           0         600
AMAZON COM INC                  COM   023135106      21,725     598,158  SH     DEFINED  01,08     347,046     251,112           0
AMAZON COM INC                  COM   023135106          64       1,760  SH     DEFINED     10       1,760           0           0
AMAZON COM INC                  COM   023135106           7         200  SH     OTHER       10         200           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     31
________

AMBAC FINL GROUP INC            COM   023139108      44,734     675,236  SH     DEFINED     01     381,687     282,584      10,965
AMBAC FINL GROUP INC            COM   023139108       1,521      22,965  SH     OTHER       01       8,125       9,945       4,895
AMBAC FINL GROUP INC            COM   023139108       1,076      16,239  SH     DEFINED     02      12,664       2,825         750
AMBAC FINL GROUP INC            COM   023139108         281       4,242  SH     OTHER       02       1,582       2,660           0
AMBAC FINL GROUP INC            COM   023139108       2,306      34,807  SH     DEFINED     03      18,015      14,305       2,487
AMBAC FINL GROUP INC            COM   023139108         277       4,180  SH     OTHER       03       2,875       1,110         195
AMBAC FINL GROUP INC            COM   023139108         950      14,342  SH     DEFINED     04      14,342           0           0
AMBAC FINL GROUP INC            COM   023139108          94       1,417  SH     OTHER       04       1,117           0         300
AMBAC FINL GROUP INC            COM   023139108         433       6,530  SH     DEFINED     05       5,765         425         340
AMBAC FINL GROUP INC            COM   023139108          25         375  SH     OTHER       05           0         375           0
AMBAC FINL GROUP INC            COM   023139108          17         250  SH     OTHER    01,06           0           0         250
AMBAC FINL GROUP INC            COM   023139108      28,591     431,558  SH     DEFINED  01,08     393,789      37,769           0
AMBAC FINL GROUP INC            COM   023139108       1,794      27,085  SH     DEFINED     10      24,645         650       1,790
AMBAC FINL GROUP INC            COM   023139108         409       6,175  SH     OTHER       10         750       5,025         400

AMBASSADORS GROUP INC           COM   023177108         414      29,651  SH     DEFINED     01      10,351      19,200         100
AMBASSADORS GROUP INC           COM   023177108         283      20,239  SH     DEFINED  01,08       5,368      14,871           0

AMBASSADORS INTL INC            COM   023178106         241      20,100  SH     DEFINED     01       2,100      18,000           0
AMBASSADORS INTL INC            COM   023178106         218      18,200  SH     DEFINED  01,08       5,100      13,100           0

AMCOL INTL CORP                 COM   02341W103         861     107,622  SH     DEFINED     01      66,762      39,710       1,150
AMCOL INTL CORP                 COM   02341W103         522      65,235  SH     DEFINED  01,08      19,084      46,151           0

AMERADA HESS CORP               COM   023551104      23,692     481,741  SH     DEFINED     01     246,389     228,095       7,257
AMERADA HESS CORP               COM   023551104          53       1,075  SH     OTHER       01       1,000           0          75
AMERADA HESS CORP               COM   023551104          18         375  SH     OTHER       02         375           0           0
AMERADA HESS CORP               COM   023551104           6         130  SH     DEFINED     03           0          50          80
AMERADA HESS CORP               COM   023551104         303       6,167  SH     DEFINED     04       1,100           0       5,067
AMERADA HESS CORP               COM   023551104          18         360  SH     OTHER       04         160           0         200
AMERADA HESS CORP               COM   023551104          10         200  SH     OTHER    01,06           0           0         200
AMERADA HESS CORP               COM   023551104      15,993     325,202  SH     DEFINED  01,08     291,480      33,722           0
AMERADA HESS CORP               COM   023551104           4          90  SH     DEFINED     10          15           0          75

AMERCO                          COM   023586100         366      53,063  SH     DEFINED     01      30,035      22,428         600
AMERCO                          COM   023586100         296      42,982  SH     DEFINED  01,08       9,273      33,709           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     32
________

AMEREN CORP                     COM   023608102      41,004     929,793  SH     DEFINED     01     497,044     419,909      12,840
AMEREN CORP                     COM   023608102         463      10,488  SH     OTHER       01       5,100       5,182         206
AMEREN CORP                     COM   023608102         153       3,474  SH     DEFINED     02       1,264       2,210           0
AMEREN CORP                     COM   023608102         123       2,791  SH     OTHER       02         875       1,916           0
AMEREN CORP                     COM   023608102          77       1,756  SH     DEFINED     03           0       1,592         164
AMEREN CORP                     COM   023608102           9         200  SH     OTHER       03         200           0           0
AMEREN CORP                     COM   023608102         373       8,452  SH     DEFINED     04       8,452           0           0
AMEREN CORP                     COM   023608102         315       7,147  SH     OTHER       04       4,635           0       2,512
AMEREN CORP                     COM   023608102          18         417  SH     DEFINED     05         417           0           0
AMEREN CORP                     COM   023608102          18         400  SH     OTHER    01,06           0           0         400
AMEREN CORP                     COM   023608102      32,508     737,142  SH     DEFINED  01,08     675,405      61,737           0
AMEREN CORP                     COM   023608102         201       4,552  SH     DEFINED     10       3,910         642           0
AMEREN CORP                     COM   023608102         411       9,316  SH     OTHER       10       2,538       6,778           0

AMEREN CORP                     CONPF 023608201       2,274      80,000         DEFINED     01      80,000           0           0

AMERIANA BANCORP                COM   023613102          62       4,400  SH     DEFINED     01           0       4,400           0
AMERIANA BANCORP                COM   023613102          13         933  SH     DEFINED     02         933           0           0
AMERIANA BANCORP                COM   023613102          78       5,592  SH     DEFINED  01,08       1,438       4,154           0

AMERICA SVC GROUP INC           COM   02364L109         111       6,200  SH     DEFINED     01       1,100       5,100           0
AMERICA SVC GROUP INC           COM   02364L109         197      11,000  SH     DEFINED  01,08       2,633       8,367           0

AMERICA FIRST TAX EX IVS L P    COM   02364V107           7       1,000  SH     DEFINED     01       1,000           0           0
AMERICA FIRST TAX EX IVS L P    COM   02364V107         396      55,250  SH     DEFINED     04      55,250           0           0

AMERICA MOVIL S A DE C V        COM   02364W105         434      23,162  SH     DEFINED     01      23,162           0           0
AMERICA MOVIL S A DE C V        COM   02364W105          23       1,240  SH     OTHER       01         240       1,000           0
AMERICA MOVIL S A DE C V        COM   02364W105          16         840  SH     DEFINED     02         400           0         440
AMERICA MOVIL S A DE C V        COM   02364W105          35       1,850  SH     DEFINED     03       1,850           0           0
AMERICA MOVIL S A DE C V        COM   02364W105         161       8,605  SH     DEFINED     04       8,000           0         605
AMERICA MOVIL S A DE C V        COM   02364W105          56       3,000  SH     OTHER       04       3,000           0           0

AMERICA ONLINE LATIN AMERICA    COM   02365B100          15      24,500  SH     DEFINED     01      13,600      10,900           0
AMERICA ONLINE LATIN AMERICA    COM   02365B100           0         250  SH     OTHER       01         250           0           0
AMERICA ONLINE LATIN AMERICA    COM   02365B100          64     106,678  SH     DEFINED  01,08      38,080      68,598           0

AMERICA WEST HLDG CORP          COM   023657208         307      45,216  SH     DEFINED     01       8,816      36,400           0
AMERICA WEST HLDG CORP          COM   023657208          41       6,000  SH     DEFINED     02       5,000       1,000           0
AMERICA WEST HLDG CORP          COM   023657208         538      79,167  SH     DEFINED  01,08      26,446      52,721           0

AMCORE FINL INC                 COM   023912108       2,144      92,300  SH     DEFINED     01      53,419      37,281       1,600
AMCORE FINL INC                 COM   023912108         188       8,101  SH     DEFINED     04       8,101           0           0
AMCORE FINL INC                 COM   023912108       1,923      82,785  SH     DEFINED  01,08      34,825      47,960           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     33
________

AMERICAN AXLE & MFG HLDGS IN    COM   024061103         884      36,968  SH     DEFINED     01      25,838      10,883         247
AMERICAN AXLE & MFG HLDGS IN    COM   024061103       1,031      43,133  SH     DEFINED  01,08      10,265      32,868           0

AMERICAN BILTRITE INC           COM   024591109          26       3,600  SH     DEFINED     01           0       3,600           0
AMERICAN BILTRITE INC           COM   024591109          68       9,627  SH     DEFINED  01,08       1,470       8,157           0

AMER BIO MEDICA CORP            COM   024600108           4       3,600  SH     DEFINED     01       3,600           0           0
AMER BIO MEDICA CORP            COM   024600108           8       7,641  SH     DEFINED  01,08       3,341       4,300           0

AMERICAN BLDG CTL INC           COM   024750101          17      14,300  SH     DEFINED     01       2,900      11,400           0
AMERICAN BLDG CTL INC           COM   024750101          26      21,723  SH     DEFINED  01,08       3,814      17,909           0

AMERICAN CAPITAL STRATEGIES     COM   024937104       4,326     172,883  SH     DEFINED     01     111,313      59,020       2,550
AMERICAN CAPITAL STRATEGIES     COM   024937104       3,320     132,702  SH     DEFINED  01,08      70,536      62,166           0

AMERICAN CLAIMS EVALUATION I    COM   025144106           6       3,900  SH     DEFINED     01           0       3,900           0
AMERICAN CLAIMS EVALUATION I    COM   025144106          23      15,300  SH     DEFINED  01,08       2,315      12,985           0

AMERICAN DENTAL PARTNERS        COM   025353103          56       6,300  SH     DEFINED     01         500       5,800           0
AMERICAN DENTAL PARTNERS        COM   025353103          73       8,159  SH     DEFINED  01,08       3,359       4,800           0

AMERICAN EAGLE OUTFITTERS NE    COM   02553E106       3,985     216,563  SH     DEFINED     01      83,701     130,617       2,245
AMERICAN EAGLE OUTFITTERS NE    COM   02553E106       2,657     144,415  SH     DEFINED  01,08      96,181      48,234           0

AMERICAN ECOLOGY CORP           COM   025533407          44      15,900  SH     DEFINED     01         200      15,700           0
AMERICAN ECOLOGY CORP           COM   025533407          64      23,420  SH     DEFINED  01,08       6,255      17,165           0

AMERICAN ELEC PWR INC           COM   025537101      68,167   2,285,173  SH     DEFINED     01   1,217,257   1,031,925      35,991
AMERICAN ELEC PWR INC           COM   025537101         734      24,602  SH     OTHER       01      15,604       7,473       1,525
AMERICAN ELEC PWR INC           COM   025537101           4         140  SH     DEFINED     02         140           0           0
AMERICAN ELEC PWR INC           COM   025537101          37       1,224  SH     OTHER       02         440         300         484
AMERICAN ELEC PWR INC           COM   025537101         117       3,910  SH     DEFINED     03       1,780       1,730         400
AMERICAN ELEC PWR INC           COM   025537101          45       1,520  SH     OTHER       03         360         660         500
AMERICAN ELEC PWR INC           COM   025537101         605      20,295  SH     DEFINED     04      19,379           0         916
AMERICAN ELEC PWR INC           COM   025537101         466      15,620  SH     OTHER       04      15,246           0         374
AMERICAN ELEC PWR INC           COM   025537101          30       1,000  SH     OTHER    01,06           0           0       1,000
AMERICAN ELEC PWR INC           COM   025537101      51,181   1,715,767  SH     DEFINED  01,08   1,553,986     161,781           0
AMERICAN ELEC PWR INC           COM   025537101          97       3,257  SH     DEFINED     10       3,032         225           0
AMERICAN ELEC PWR INC           COM   025537101          78       2,628  SH     OTHER       10       2,628           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     34
________

AMERICAN EXPRESS CO             COM   025816109     440,955  10,546,641  SH     DEFINED     01   6,371,266   3,839,974     335,401
AMERICAN EXPRESS CO             COM   025816109      30,727     734,915  SH     OTHER       01     331,501     326,409      77,005
AMERICAN EXPRESS CO             COM   025816109       6,584     157,472  SH     DEFINED     02     107,917      41,437       8,118
AMERICAN EXPRESS CO             COM   025816109       2,264      54,153  SH     OTHER       02      44,065       6,138       3,950
AMERICAN EXPRESS CO             COM   025816109      12,091     289,199  SH     DEFINED     03     144,377     107,701      37,121
AMERICAN EXPRESS CO             COM   025816109       4,683     111,998  SH     OTHER       03      81,354      22,114       8,530
AMERICAN EXPRESS CO             COM   025816109      28,967     692,832  SH     DEFINED     04     684,227           0       8,605
AMERICAN EXPRESS CO             COM   025816109      11,575     276,840  SH     OTHER       04     239,700           0      37,140
AMERICAN EXPRESS CO             COM   025816109       7,333     175,381  SH     DEFINED     05     158,876       8,565       7,940
AMERICAN EXPRESS CO             COM   025816109       1,601      38,285  SH     OTHER       05      22,720       5,315      10,250
AMERICAN EXPRESS CO             COM   025816109         142       3,400  SH     OTHER    01,06           0           0       3,400
AMERICAN EXPRESS CO             COM   025816109     225,824   5,401,201  SH     DEFINED  01,08   4,914,540     486,661           0
AMERICAN EXPRESS CO             COM   025816109       5,637     134,822  SH     DEFINED     10     111,771      12,871      10,180
AMERICAN EXPRESS CO             COM   025816109       3,957      94,645  SH     OTHER       10      61,830      30,565       2,250

AMERICAN FINL GROUP INC OHIO    COM   025932104       4,181     183,357  SH     DEFINED     01      63,200     118,507       1,650
AMERICAN FINL GROUP INC OHIO    COM   025932104       2,785     122,132  SH     DEFINED  01,08      77,702      44,430           0

AMERICAN GREETINGS CORP         CONDB 026375AJ4       2,430   1,500,000  PRN    DEFINED     01   1,500,000           0           0

AMERICAN GREETINGS CORP         COM   026375105       8,419     428,672  SH     DEFINED     01     219,903     202,108       6,661
AMERICAN GREETINGS CORP         COM   026375105           1          50  SH     OTHER       01           0           0          50
AMERICAN GREETINGS CORP         COM   026375105           4         225  SH     DEFINED     02           0           0         225
AMERICAN GREETINGS CORP         COM   026375105           4         200  SH     OTHER    01,06           0           0         200
AMERICAN GREETINGS CORP         COM   026375105       5,904     300,594  SH     DEFINED  01,08     276,617      23,977           0
AMERICAN GREETINGS CORP         COM   026375105         204      10,379  SH     DEFINED     10      10,379           0           0

AMERICAN HEALTHWAYS INC         COM   02649V104       3,698     102,663  SH     DEFINED     01      83,259      19,004         400
AMERICAN HEALTHWAYS INC         COM   02649V104       2,899      80,491  SH     DEFINED  01,08      54,690      25,801           0

AMERICAN HOME MTG HLDGS INC     COM   02660M108         744      38,450  SH     DEFINED     01      19,850      17,900         700
AMERICAN HOME MTG HLDGS INC     COM   02660M108       1,687      87,113  SH     DEFINED  01,08      60,543      26,570           0

AMERICAN INDEPENDENCE CORP      COM   026760405          68       6,401  SH     DEFINED     01       1,345       5,056           0
AMERICAN INDEPENDENCE CORP      COM   026760405          59       5,574  SH     DEFINED  01,08       2,524       3,050           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     35
________

AMERICAN INTL GROUP INC         COM   026874107   1,016,608  18,423,485  SH     DEFINED     01  10,459,301   7,466,566     497,618
AMERICAN INTL GROUP INC         COM   026874107      58,425   1,058,804  SH     OTHER       01     466,931     509,832      82,041
AMERICAN INTL GROUP INC         COM   026874107      21,666     392,644  SH     DEFINED     02     276,654      98,596      17,394
AMERICAN INTL GROUP INC         COM   026874107       6,571     119,079  SH     OTHER       02      81,808      34,640       2,631
AMERICAN INTL GROUP INC         COM   026874107      33,225     602,123  SH     DEFINED     03     333,780     225,524      42,819
AMERICAN INTL GROUP INC         COM   026874107       9,712     176,007  SH     OTHER       03     133,222      30,682      12,103
AMERICAN INTL GROUP INC         COM   026874107     138,603   2,511,830  SH     DEFINED     04   2,427,045           0      84,785
AMERICAN INTL GROUP INC         COM   026874107      51,933     941,155  SH     OTHER       04     888,194           0      52,961
AMERICAN INTL GROUP INC         COM   026874107      14,968     271,257  SH     DEFINED     05     217,887      38,409      14,961
AMERICAN INTL GROUP INC         COM   026874107       3,229      58,519  SH     OTHER       05      18,002      30,128      10,389
AMERICAN INTL GROUP INC         COM   026874107         370       6,699  SH     OTHER    01,06           0           0       6,699
AMERICAN INTL GROUP INC         COM   026874107     619,333  11,223,862  SH     DEFINED  01,08  10,239,412     984,450           0
AMERICAN INTL GROUP INC         COM   026874107      28,202     511,095  SH     DEFINED     10     343,866      91,153      76,076
AMERICAN INTL GROUP INC         COM   026874107       8,171     148,079  SH     OTHER       10      72,825      73,642       1,612

AMERICAN ITALIAN PASTA CO       COM   027070101       2,764      66,358  SH     DEFINED     01      34,761      28,297       3,300
AMERICAN ITALIAN PASTA CO       COM   027070101          15         350  SH     OTHER    01,06           0           0         350
AMERICAN ITALIAN PASTA CO       COM   027070101       2,490      59,773  SH     DEFINED  01,08      27,279      32,494           0

AMERICAN LD LEASE INC           COM   027118108         399      23,752  SH     DEFINED     01      17,883       5,869           0
AMERICAN LD LEASE INC           COM   027118108          25       1,500  SH     OTHER       04       1,500           0           0
AMERICAN LD LEASE INC           COM   027118108         205      12,224  SH     DEFINED  01,08       3,424       8,800           0

AMERICAN MGMT SYS INC           COM   027352103       2,009     140,414  SH     DEFINED     01      81,644      56,270       2,500
AMERICAN MGMT SYS INC           COM   027352103          11         800  SH     OTHER    01,06           0           0         800
AMERICAN MGMT SYS INC           COM   027352103       3,254     227,412  SH     DEFINED  01,08     129,753      97,659           0

AMERICAN MED SYS HLDGS INC      COM   02744M108       1,320      78,085  SH     DEFINED     01      43,968      33,717         400
AMERICAN MED SYS HLDGS INC      COM   02744M108          11         650  SH     OTHER    01,06           0           0         650
AMERICAN MED SYS HLDGS INC      COM   02744M108       1,662      98,331  SH     DEFINED  01,08      45,655      52,676           0

AMERICAN MED SEC GROUP INC      COM   02744P101       1,158      60,631  SH     DEFINED     01      38,431      22,200           0
AMERICAN MED SEC GROUP INC      COM   02744P101       1,132      59,272  SH     DEFINED  01,08      36,544      22,728           0

AMERICAN MTG ACCEP CO           COM   027568104         326      18,797  SH     DEFINED  01,08       8,097      10,700           0

AMERICAN NATL BANKSHARES INC    COM   027745108         385      14,828  SH     DEFINED     01       7,428       7,300         100
AMERICAN NATL BANKSHARES INC    COM   027745108         372      14,323  SH     DEFINED  01,08       3,485      10,838           0

AMERICAN MED ALERT CORP         COM   027904101          17       6,400  SH     DEFINED     01         800       5,600           0
AMERICAN MED ALERT CORP         COM   027904101          40      14,946  SH     DEFINED  01,08       2,161      12,785           0

AMERICAN NATL INS CO            COM   028591105       1,378      15,983  SH     DEFINED     01      11,292       4,173         518
AMERICAN NATL INS CO            COM   028591105       2,806      32,543  SH     DEFINED  01,08      15,643      16,900           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     36
________

AMERICAN PAC CORP               COM   028740108          83      11,000  SH     DEFINED     01       1,100       9,900           0
AMERICAN PAC CORP               COM   028740108          94      12,562  SH     DEFINED  01,08       3,562       9,000           0

AMERICAN PHARMACEUTICALS PTN    COM   02886P109       3,074      90,668  SH     DEFINED     01      83,068       6,900         700
AMERICAN PHARMACEUTICALS PTN    COM   02886P109       1,566      46,193  SH     DEFINED  01,08      20,200      25,993           0

AMERICAN PHYSICIANS SVC GROU    COM   028882108          16       3,500  SH     DEFINED     01         600       2,900           0
AMERICAN PHYSICIANS SVC GROU    COM   028882108          61      13,018  SH     DEFINED  01,08       1,022      11,996           0

AMERICAN PHYSICIANS CAPITAL     COM   028884104         768      31,383  SH     DEFINED     01      17,693      13,090         600
AMERICAN PHYSICIANS CAPITAL     COM   028884104       1,115      45,536  SH     DEFINED  01,08      28,575      16,961           0

AMERICAN RETIREMENT CORP        COM   028913101         273     129,881  SH     DEFINED     01     116,381      13,500           0
AMERICAN RETIREMENT CORP        COM   028913101          67      32,093  SH     DEFINED  01,08       9,993      22,100           0

AMERICAN PWR CONVERSION CORP    COM   029066107      17,113   1,096,311  SH     DEFINED     01     565,072     511,964      19,275
AMERICAN PWR CONVERSION CORP    COM   029066107           3         175  SH     OTHER       01           0           0         175
AMERICAN PWR CONVERSION CORP    COM   029066107          79       5,050  SH     DEFINED     02       5,050           0           0
AMERICAN PWR CONVERSION CORP    COM   029066107         146       9,385  SH     OTHER       02           0       9,385           0
AMERICAN PWR CONVERSION CORP    COM   029066107           2         100  SH     DEFINED     03           0         100           0
AMERICAN PWR CONVERSION CORP    COM   029066107          81       5,200  SH     OTHER       04       5,200           0           0
AMERICAN PWR CONVERSION CORP    COM   029066107           8         500  SH     OTHER    01,06           0           0         500
AMERICAN PWR CONVERSION CORP    COM   029066107      13,314     852,908  SH     DEFINED  01,08     777,791      75,117           0
AMERICAN PWR CONVERSION CORP    COM   029066107           0          30  SH     DEFINED     10          30           0           0

AMERICAN RLTY INVS INC          COM   029174109          61       4,965  SH     DEFINED     01       1,565       3,400           0
AMERICAN RLTY INVS INC          COM   029174109         168      13,700  SH     DEFINED  01,08       5,000       8,700           0

AMERICAN RESIDENTIAL INVS       COM   02926T103          10       1,100  SH     DEFINED     01       1,100           0           0
AMERICAN RESIDENTIAL INVS       COM   02926T103         109      11,885  SH     DEFINED  01,08       3,685       8,200           0

AMERICAN SCIENCE & ENGR INC     COM   029429107          82       8,300  SH     DEFINED     01       1,000       7,300           0
AMERICAN SCIENCE & ENGR INC     COM   029429107           6         600  SH     OTHER       01           0         600           0
AMERICAN SCIENCE & ENGR INC     COM   029429107         157      15,809  SH     DEFINED  01,08       3,242      12,567           0

AMERICAN SHARED HOSPITAL SVC    COM   029595105          19       3,700  SH     DEFINED     01         800       2,900           0
AMERICAN SHARED HOSPITAL SVC    COM   029595105          53      10,588  SH     DEFINED  01,08       1,803       8,785           0

AMERICAN SOFTWARE INC           COM   029683109         156      35,300  SH     DEFINED     01       4,600      30,700           0
AMERICAN SOFTWARE INC           COM   029683109         237      53,709  SH     DEFINED  01,08      10,172      43,537           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     37
________

AMERICAN STD COS INC DEL        COM   029712106      29,484     398,803  SH     DEFINED     01     211,435     180,536       6,832
AMERICAN STD COS INC DEL        COM   029712106          27         371  SH     DEFINED     03         300           0          71
AMERICAN STD COS INC DEL        COM   029712106          55         750  SH     DEFINED     04         750           0           0
AMERICAN STD COS INC DEL        COM   029712106          15         200  SH     OTHER    01,06           0           0         200
AMERICAN STD COS INC DEL        COM   029712106      23,105     312,521  SH     DEFINED  01,08     285,823      26,698           0
AMERICAN STD COS INC DEL        COM   029712106           1          10  SH     DEFINED     10          10           0           0

AMERICAN STS WTR CO             COM   029899101       1,775      65,036  SH     DEFINED     01      41,863      22,273         900
AMERICAN STS WTR CO             COM   029899101          61       2,250  SH     DEFINED     03       2,250           0           0
AMERICAN STS WTR CO             COM   029899101          33       1,200  SH     OTHER       03           0       1,200           0
AMERICAN STS WTR CO             COM   029899101           5         200  SH     DEFINED     04         200           0           0
AMERICAN STS WTR CO             COM   029899101          41       1,500  SH     OTHER       04       1,500           0           0
AMERICAN STS WTR CO             COM   029899101           8         300  SH     OTHER    01,06           0           0         300
AMERICAN STS WTR CO             COM   029899101       1,456      53,351  SH     DEFINED  01,08      24,082      29,269           0

AMERICAN TOWER CORP             COM   029912201       5,020     567,261  SH     DEFINED     01     337,100     220,811       9,350
AMERICAN TOWER CORP             COM   029912201           2         180  SH     OTHER       03         180           0           0
AMERICAN TOWER CORP             COM   029912201          54       6,100  SH     DEFINED     04       6,100           0           0
AMERICAN TOWER CORP             COM   029912201         142      16,000  SH     OTHER       04      16,000           0           0
AMERICAN TOWER CORP             COM   029912201         221      25,000  SH     OTHER       05      12,500           0      12,500
AMERICAN TOWER CORP             COM   029912201       3,654     412,895  SH     DEFINED  01,08     212,929     199,966           0

AMERICAN SUPERCONDUCTOR CORP    COM   030111108         495      80,768  SH     DEFINED     01      52,516      27,102       1,150
AMERICAN SUPERCONDUCTOR CORP    COM   030111108          18       3,000  SH     OTHER       01           0       3,000           0
AMERICAN SUPERCONDUCTOR CORP    COM   030111108         303      49,443  SH     DEFINED  01,08      10,498      38,945           0
AMERICAN SUPERCONDUCTOR CORP    COM   030111108          11       1,750  SH     OTHER       10       1,750           0           0

AMERICAN TECHNICNAL CERAMICS    COM   030137103         149      27,900  SH     DEFINED     01       1,500      26,400           0
AMERICAN TECHNICNAL CERAMICS    COM   030137103         116      21,680  SH     DEFINED  01,08       3,565      18,115           0

AMERICAN TECHNOLOGY CORP        COM   030145205          79      12,400  SH     DEFINED     01           0      12,400           0
AMERICAN TECHNOLOGY CORP        COM   030145205         167      26,169  SH     DEFINED  01,08       6,369      19,800           0

AMERICAN VANTAGE COS            COM   03037B106          29      14,300  SH     DEFINED     01           0      14,300           0
AMERICAN VANTAGE COS            COM   03037B106           3       1,433  SH     DEFINED  01,08       1,333         100           0

AMERICAN VANGUARD CORP          COM   030371108         103       5,576  SH     DEFINED     01         726       4,850           0
AMERICAN VANGUARD CORP          COM   030371108         125       6,767  SH     DEFINED  01,08       2,417       4,350           0

AMERICAN WOODMARK CORP          COM   030506109       1,082      23,042  SH     DEFINED     01      11,219      11,723         100
AMERICAN WOODMARK CORP          COM   030506109       1,184      25,214  SH     DEFINED  01,08       7,334      17,880           0

AMERICANWEST BANCORPORATION     COM   03058P109         260      15,897  SH     DEFINED     01       5,568      10,329           0
AMERICANWEST BANCORPORATION     COM   03058P109         354      21,602  SH     DEFINED  01,08       5,909      15,693           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     38
________

AMERICREDIT CORP                COM   03060R101       4,632     541,751  SH     DEFINED     01     229,004     302,526      10,221
AMERICREDIT CORP                COM   03060R101       3,029     354,242  SH     DEFINED  01,08     244,809     109,433           0

AMERICAS CAR MART INC           COM   03062T105         116       6,400  SH     DEFINED     01       1,400       5,000           0
AMERICAS CAR MART INC           COM   03062T105         269      14,800  SH     DEFINED  01,08       5,400       9,400           0

AMERIGON INC                    COM   03070L300          26       9,300  SH     DEFINED     01         900       8,400           0
AMERIGON INC                    COM   03070L300          28      10,120  SH     DEFINED  01,08       1,043       9,077           0

AMERISTAR CASINOS INC           COM   03070Q101         771      36,146  SH     DEFINED     01      23,906      11,590         650
AMERISTAR CASINOS INC           COM   03070Q101       1,309      61,330  SH     DEFINED  01,08      22,085      39,245           0

AMERIVEST PPTYS INC DEL         COM   03071L101         151      24,200  SH     DEFINED     01      16,200       8,000           0
AMERIVEST PPTYS INC DEL         COM   03071L101          73      11,600  SH     DEFINED  01,08       4,900       6,700           0

AMERON INTL INC                 COM   030710107       1,664      47,858  SH     DEFINED     01      36,600      10,958         300
AMERON INTL INC                 COM   030710107         979      28,166  SH     DEFINED  01,08       7,010      21,156           0

AMERUS GROUP CO                 COM   03072M108       3,854     136,701  SH     DEFINED     01      57,516      77,413       1,772
AMERUS GROUP CO                 COM   03072M108          14         503  SH     OTHER       02         503           0           0
AMERUS GROUP CO                 COM   03072M108         419      14,847  SH     DEFINED     04       9,847           0       5,000
AMERUS GROUP CO                 COM   03072M108       3,004     106,564  SH     DEFINED  01,08      78,064      28,500           0
AMERUS GROUP CO                 COM   03072M108          34       1,200  SH     DEFINED     10       1,200           0           0

AMERISOURCEBERGEN CORP          COM   03073E105      80,170   1,156,022  SH     DEFINED     01     722,621     364,688      68,713
AMERISOURCEBERGEN CORP          COM   03073E105       1,305      18,820  SH     OTHER       01       2,345      13,825       2,650
AMERISOURCEBERGEN CORP          COM   03073E105          33         482  SH     DEFINED     02         482           0           0
AMERISOURCEBERGEN CORP          COM   03073E105         604       8,704  SH     DEFINED     03       3,727       4,457         520
AMERISOURCEBERGEN CORP          COM   03073E105         182       2,620  SH     OTHER       03       1,745         500         375
AMERISOURCEBERGEN CORP          COM   03073E105       1,754      25,285  SH     DEFINED     04      24,585           0         700
AMERISOURCEBERGEN CORP          COM   03073E105       1,721      24,815  SH     OTHER       04      23,515           0       1,300
AMERISOURCEBERGEN CORP          COM   03073E105          14         200  SH     DEFINED     05         200           0           0
AMERISOURCEBERGEN CORP          COM   03073E105          21         300  SH     OTHER    01,06           0           0         300
AMERISOURCEBERGEN CORP          COM   03073E105      34,136     492,224  SH     DEFINED  01,08     450,485      41,739           0
AMERISOURCEBERGEN CORP          COM   03073E105         195       2,806  SH     DEFINED     10       2,806           0           0

AMERIGROUP CORP                 COM   03073T102       1,698      45,639  SH     DEFINED     01      21,839      23,100         700
AMERIGROUP CORP                 COM   03073T102          15         400  SH     OTHER    01,06           0           0         400
AMERIGROUP CORP                 COM   03073T102       3,331      89,551  SH     DEFINED  01,08      58,037      31,514           0

AMERISERV FINL INC              COM   03074A102          66      17,400  SH     DEFINED     01       2,800      14,600           0
AMERISERV FINL INC              COM   03074A102          96      25,186  SH     DEFINED  01,08       6,434      18,752           0

AMERITRADE HLDG CORP NEW        COM   03074K100       4,557     615,873  SH     DEFINED     01     545,167      61,760       8,946
AMERITRADE HLDG CORP NEW        COM   03074K100       4,978     672,757  SH     DEFINED  01,08     335,774     336,983           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     39
________

AMERIGAS PARTNERS L P           COM   030975106         238       9,000  SH     DEFINED     01       9,000           0           0
AMERIGAS PARTNERS L P           COM   030975106          26       1,000  SH     DEFINED     03           0       1,000           0
AMERIGAS PARTNERS L P           COM   030975106         251       9,500  SH     DEFINED     04       9,500           0           0
AMERIGAS PARTNERS L P           COM   030975106          53       2,000  SH     OTHER       04       2,000           0           0
AMERIGAS PARTNERS L P           COM   030975106         145       5,500  SH     DEFINED     10           0       5,500           0

AMETEK INC NEW                  COM   031100100       5,532     150,952  SH     DEFINED     01      86,192      62,260       2,500
AMETEK INC NEW                  COM   031100100         246       6,700  SH     DEFINED     04       6,700           0           0
AMETEK INC NEW                  COM   031100100          15         400  SH     DEFINED     05         400           0           0
AMETEK INC NEW                  COM   031100100       3,715     101,358  SH     DEFINED  01,08      65,751      35,607           0

AMGEN INC                       COM   031162100     595,145   9,025,550  SH     DEFINED     01   5,220,374   3,587,012     218,164
AMGEN INC                       COM   031162100      24,714     374,802  SH     OTHER       01     147,950     184,222      42,630
AMGEN INC                       COM   031162100      12,150     184,257  SH     DEFINED     02     118,121      61,041       5,095
AMGEN INC                       COM   031162100       1,933      29,307  SH     OTHER       02      16,240      11,950       1,117
AMGEN INC                       COM   031162100      25,584     387,995  SH     DEFINED     03     174,858     160,581      52,556
AMGEN INC                       COM   031162100       6,493      98,463  SH     OTHER       03      68,524      24,404       5,535
AMGEN INC                       COM   031162100     104,257   1,581,082  SH     DEFINED     04   1,538,922           0      42,160
AMGEN INC                       COM   031162100      34,545     523,886  SH     OTHER       04     481,396           0      42,490
AMGEN INC                       COM   031162100       8,848     134,185  SH     DEFINED     05     110,895      16,705       6,585
AMGEN INC                       COM   031162100       1,911      28,982  SH     OTHER       05      12,129       5,913      10,940
AMGEN INC                       COM   031162100         220       3,340  SH     OTHER    01,06           0           0       3,340
AMGEN INC                       COM   031162100     371,108   5,627,960  SH     DEFINED  01,08   5,159,928     468,032           0
AMGEN INC                       COM   031162100      12,643     191,740  SH     DEFINED     10     157,799      19,600      14,341
AMGEN INC                       COM   031162100       3,509      53,218  SH     OTHER       10      25,440      27,078         700

AMISTAR CORP                    COM   031535107           2       1,800  SH     DEFINED     01           0       1,800           0
AMISTAR CORP                    COM   031535107          16      15,772  SH     DEFINED  01,08       1,920      13,852           0

AMKOR TECHNOLOGY INC            COM   031652100       1,635     124,275  SH     DEFINED     01      83,461      36,359       4,455
AMKOR TECHNOLOGY INC            COM   031652100           3         200  SH     OTHER       04         200           0           0
AMKOR TECHNOLOGY INC            COM   031652100       3,381     256,923  SH     DEFINED  01,08     148,884     108,039           0

AMPAL AMERN ISRAEL CORP         COM   032015109          39      13,900  SH     DEFINED     01       1,600      12,300           0
AMPAL AMERN ISRAEL CORP         COM   032015109         126      44,377  SH     DEFINED  01,08       8,458      35,919           0

AMPCO-PITTSBURGH CORP           COM   032037103         150      11,200  SH     DEFINED     01       2,000       9,200           0
AMPCO-PITTSBURGH CORP           COM   032037103         331      24,712  SH     DEFINED  01,08       4,813      19,899           0

AMPHENOL CORP NEW               COM   032095101       1,302      27,817  SH     DEFINED     01      18,759       8,158         900
AMPHENOL CORP NEW               COM   032095101       2,655      56,711  SH     DEFINED  01,08      29,511      27,200           0

AMREP CORP NEW                  COM   032159105          91       6,800  SH     DEFINED     01       1,000       5,800           0
AMREP CORP NEW                  COM   032159105         243      18,177  SH     DEFINED  01,08       3,108      15,069           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     40
________

AMSOUTH BANCORPORATION          COM   032165102      44,438   2,034,691  SH     DEFINED     01   1,083,043     920,415      31,233
AMSOUTH BANCORPORATION          COM   032165102          25       1,150  SH     OTHER       01         800           0         350
AMSOUTH BANCORPORATION          COM   032165102          52       2,400  SH     DEFINED     02       2,400           0           0
AMSOUTH BANCORPORATION          COM   032165102           3         150  SH     DEFINED     03           0         150           0
AMSOUTH BANCORPORATION          COM   032165102          22       1,000  SH     OTHER       03           0       1,000           0
AMSOUTH BANCORPORATION          COM   032165102       3,754     171,902  SH     DEFINED     04     170,687           0       1,215
AMSOUTH BANCORPORATION          COM   032165102         107       4,900  SH     OTHER       04       4,900           0           0
AMSOUTH BANCORPORATION          COM   032165102          20         900  SH     OTHER    01,06           0           0         900
AMSOUTH BANCORPORATION          COM   032165102      33,075   1,514,437  SH     DEFINED  01,08   1,374,628     139,809           0
AMSOUTH BANCORPORATION          COM   032165102           1          53  SH     DEFINED     10          53           0           0

AMSURG CORP                     COM   03232P405       2,314      75,809  SH     DEFINED     01      43,229      27,230       5,350
AMSURG CORP                     COM   03232P405          69       2,250  SH     DEFINED     04       2,250           0           0
AMSURG CORP                     COM   03232P405          12         400  SH     OTHER    01,06           0           0         400
AMSURG CORP                     COM   03232P405       3,429     112,306  SH     DEFINED  01,08      74,786      37,520           0

AMTECH SYS INC                  COM   032332504           8       2,300  SH     DEFINED     01           0       2,300           0
AMTECH SYS INC                  COM   032332504         211      60,000  SH     DEFINED     04      60,000           0           0
AMTECH SYS INC                  COM   032332504          15       4,200  SH     DEFINED  01,08       1,000       3,200           0

AMYLIN PHARMACEUTICALS INC      COM   032346108       3,992     181,448  SH     DEFINED     01     150,674      26,874       3,900
AMYLIN PHARMACEUTICALS INC      COM   032346108          24       1,100  SH     OTHER       04       1,100           0           0
AMYLIN PHARMACEUTICALS INC      COM   032346108       4,888     222,175  SH     DEFINED  01,08     132,045      90,130           0

ANADARKO PETE CORP              COM   032511107      67,557   1,519,150  SH     DEFINED     01     806,400     681,090      31,660
ANADARKO PETE CORP              COM   032511107       1,501      33,758  SH     OTHER       01      20,578       6,632       6,548
ANADARKO PETE CORP              COM   032511107       1,095      24,633  SH     DEFINED     02      18,751       4,557       1,325
ANADARKO PETE CORP              COM   032511107         497      11,170  SH     OTHER       02       9,229       1,941           0
ANADARKO PETE CORP              COM   032511107       2,503      56,274  SH     DEFINED     03      24,683      28,486       3,105
ANADARKO PETE CORP              COM   032511107         581      13,075  SH     OTHER       03       5,408       5,532       2,135
ANADARKO PETE CORP              COM   032511107       4,727     106,307  SH     DEFINED     04     103,842           0       2,465
ANADARKO PETE CORP              COM   032511107       1,981      44,553  SH     OTHER       04      41,267           0       3,286
ANADARKO PETE CORP              COM   032511107         688      15,473  SH     DEFINED     05      11,804         994       2,675
ANADARKO PETE CORP              COM   032511107         168       3,770  SH     OTHER       05       1,140       2,500         130
ANADARKO PETE CORP              COM   032511107          30         673  SH     OTHER    01,06           0           0         673
ANADARKO PETE CORP              COM   032511107      49,221   1,106,842  SH     DEFINED  01,08   1,010,759      96,083           0
ANADARKO PETE CORP              COM   032511107         813      18,291  SH     DEFINED     10      16,003       2,073         215
ANADARKO PETE CORP              COM   032511107         208       4,685  SH     OTHER       10       1,300       3,385           0

ANADIGICS INC                   COM   032515108         365     114,839  SH     DEFINED     01      74,107      39,932         800
ANADIGICS INC                   COM   032515108           4       1,300  SH     DEFINED     02           0           0       1,300
ANADIGICS INC                   COM   032515108         230      72,404  SH     DEFINED  01,08      15,633      56,771           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     41
________

ANALOG DEVICES INC              COM   032654105      94,747   2,721,049  SH     DEFINED     01   1,584,700   1,070,870      65,479
ANALOG DEVICES INC              COM   032654105       2,437      69,999  SH     OTHER       01      34,449      33,900       1,650
ANALOG DEVICES INC              COM   032654105         631      18,135  SH     DEFINED     02      15,785       2,100         250
ANALOG DEVICES INC              COM   032654105         315       9,060  SH     OTHER       02           0       9,060           0
ANALOG DEVICES INC              COM   032654105         265       7,605  SH     DEFINED     03       2,300       5,215          90
ANALOG DEVICES INC              COM   032654105          99       2,850  SH     OTHER       03         250       1,400       1,200
ANALOG DEVICES INC              COM   032654105       6,361     182,683  SH     DEFINED     04     179,373           0       3,310
ANALOG DEVICES INC              COM   032654105         980      28,141  SH     OTHER       04      27,506           0         635
ANALOG DEVICES INC              COM   032654105       2,253      64,715  SH     DEFINED     05      52,745       9,050       2,920
ANALOG DEVICES INC              COM   032654105         384      11,025  SH     OTHER       05       7,225       3,600         200
ANALOG DEVICES INC              COM   032654105          31         900  SH     OTHER    01,06           0           0         900
ANALOG DEVICES INC              COM   032654105      55,409   1,591,287  SH     DEFINED  01,08   1,450,977     140,310           0
ANALOG DEVICES INC              COM   032654105         874      25,103  SH     DEFINED     10      24,778         250          75
ANALOG DEVICES INC              COM   032654105          17         500  SH     OTHER       10         350         150           0

ANALOGIC CORP                   COM   032657207       1,516      31,062  SH     DEFINED     01      14,774      15,488         800
ANALOGIC CORP                   COM   032657207          12         250  SH     OTHER    01,06           0           0         250
ANALOGIC CORP                   COM   032657207       3,341      68,441  SH     DEFINED  01,08      33,572      34,869           0

ANALYSTS INTL CORP              COM   032681108          71      28,534  SH     DEFINED     01       4,734      23,800           0
ANALYSTS INTL CORP              COM   032681108         152      61,134  SH     DEFINED  01,08      10,312      50,822           0

ANAREN INC                      COM   032744104         896      94,115  SH     DEFINED     01      59,578      33,937         600
ANAREN INC                      COM   032744104         789      82,907  SH     DEFINED  01,08      39,192      43,715           0

ANCHOR BANCORP WIS INC          COM   032839102       2,126      88,981  SH     DEFINED     01      45,732      41,264       1,985
ANCHOR BANCORP WIS INC          COM   032839102          12         500  SH     OTHER    01,06           0           0         500
ANCHOR BANCORP WIS INC          COM   032839102       2,521     105,538  SH     DEFINED  01,08      62,770      42,768           0

ANDERSONS INC                   COM   034164103         136      11,100  SH     DEFINED     01       1,600       9,500           0
ANDERSONS INC                   COM   034164103         154      12,575  SH     DEFINED  01,08       3,275       9,300           0

ANDREA ELECTRONICS CORP         COM   034393108           5      15,900  SH     DEFINED     01       2,500      13,400           0
ANDREA ELECTRONICS CORP         COM   034393108           7      23,176  SH     DEFINED  01,08       3,623      19,553           0

ANDREW CORP                     COM   034425108       6,371     682,104  SH     DEFINED     01     392,455     280,682       8,967
ANDREW CORP                     COM   034425108          18       1,900  SH     OTHER       01       1,800           0         100
ANDREW CORP                     COM   034425108           0          50  SH     DEFINED     03           0          50           0
ANDREW CORP                     COM   034425108           4         450  SH     OTHER       03         450           0           0
ANDREW CORP                     COM   034425108           3         300  SH     OTHER    01,06           0           0         300
ANDREW CORP                     COM   034425108       3,947     422,570  SH     DEFINED  01,08     380,663      41,907           0
ANDREW CORP                     COM   034425108           0          13  SH     DEFINED     10          13           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     42
________

ANDRX CORP DEL                  COM   034553107       1,687      84,537  SH     DEFINED     01      54,950      26,575       3,012
ANDRX CORP DEL                  COM   034553107           7         360  SH     DEFINED     02           0           0         360
ANDRX CORP DEL                  COM   034553107       2,444     122,515  SH     DEFINED     04     122,515           0           0
ANDRX CORP DEL                  COM   034553107          12         600  SH     OTHER       04         600           0           0
ANDRX CORP DEL                  COM   034553107       2,961     148,437  SH     DEFINED  01,08      99,937      48,500           0
ANDRX CORP DEL                  COM   034553107          21       1,050  SH     DEFINED     10       1,050           0           0

ANGELICA CORP                   COM   034663104         990      58,434  SH     DEFINED     01      15,999      42,135         300
ANGELICA CORP                   COM   034663104         119       7,000  SH     DEFINED     04       7,000           0           0
ANGELICA CORP                   COM   034663104           3         200  SH     OTHER    01,06           0           0         200
ANGELICA CORP                   COM   034663104         780      46,010  SH     DEFINED  01,08      27,996      18,014           0

ANGIOTECH PHARMACEUTICALS IN    COM   034918102       1,521      37,395  SH     DEFINED     01      34,777       2,618           0
ANGIOTECH PHARMACEUTICALS IN    COM   034918102         239       5,886  SH     DEFINED  01,08           0       5,886           0

ANHEUSER BUSCH COS INC          COM   035229103     262,279   5,137,688  SH     DEFINED     01   2,781,829   2,216,982     138,877
ANHEUSER BUSCH COS INC          COM   035229103       6,206     121,569  SH     OTHER       01      62,974      53,955       4,640
ANHEUSER BUSCH COS INC          COM   035229103       2,083      40,806  SH     DEFINED     02      27,161      11,136       2,509
ANHEUSER BUSCH COS INC          COM   035229103       1,468      28,751  SH     OTHER       02      11,351      16,600         800
ANHEUSER BUSCH COS INC          COM   035229103       4,360      85,408  SH     DEFINED     03      53,857      26,088       5,463
ANHEUSER BUSCH COS INC          COM   035229103       3,147      61,646  SH     OTHER       03      42,633      18,535         478
ANHEUSER BUSCH COS INC          COM   035229103      28,772     563,607  SH     DEFINED     04     549,402           0      14,205
ANHEUSER BUSCH COS INC          COM   035229103      13,595     266,300  SH     OTHER       04     256,900           0       9,400
ANHEUSER BUSCH COS INC          COM   035229103      12,631     247,433  SH     DEFINED     05     226,021      15,132       6,280
ANHEUSER BUSCH COS INC          COM   035229103         541      10,607  SH     OTHER       05       2,387       8,100         120
ANHEUSER BUSCH COS INC          COM   035229103         110       2,150  SH     OTHER    01,06           0           0       2,150
ANHEUSER BUSCH COS INC          COM   035229103     176,489   3,457,184  SH     DEFINED  01,08   3,205,552     251,632           0
ANHEUSER BUSCH COS INC          COM   035229103      11,642     228,043  SH     DEFINED     10      80,378      44,850     102,815
ANHEUSER BUSCH COS INC          COM   035229103      50,838     995,856  SH     OTHER       10      19,387     976,169         300

ANIKA THERAPEUTICS INC          COM   035255108          44      14,000  SH     DEFINED     01       1,400      12,600           0
ANIKA THERAPEUTICS INC          COM   035255108          51      16,200  SH     DEFINED  01,08       4,691      11,509           0

ANIXTER INTL INC                COM   035290105       3,890     166,033  SH     DEFINED     01     110,772      51,761       3,500
ANIXTER INTL INC                COM   035290105           6         275  SH     DEFINED     02           0           0         275
ANIXTER INTL INC                COM   035290105          23       1,000  SH     DEFINED     04       1,000           0           0
ANIXTER INTL INC                COM   035290105          17         740  SH     OTHER    01,06           0           0         740
ANIXTER INTL INC                COM   035290105       4,017     171,462  SH     DEFINED  01,08      83,121      88,341           0

ANNALY MTG MGMT INC             COM   035710409       4,337     217,834  SH     DEFINED     01     176,091      37,379       4,364
ANNALY MTG MGMT INC             COM   035710409           5         273  SH     DEFINED     03           0           0         273
ANNALY MTG MGMT INC             COM   035710409          20       1,000  SH     OTHER       03       1,000           0           0
ANNALY MTG MGMT INC             COM   035710409          91       4,575  SH     DEFINED     04       4,575           0           0
ANNALY MTG MGMT INC             COM   035710409         155       7,796  SH     OTHER       04       5,796           0       2,000
ANNALY MTG MGMT INC             COM   035710409       2,876     144,425  SH     DEFINED  01,08      76,375      68,050           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     43
________

ANNTAYLOR STORES CORP           COM   036115103       4,777     165,021  SH     DEFINED     01      98,105      62,466       4,450
ANNTAYLOR STORES CORP           COM   036115103          26         900  SH     OTHER    01,06           0           0         900
ANNTAYLOR STORES CORP           COM   036115103       5,649     195,142  SH     DEFINED  01,08     112,282      82,860           0

ANSOFT CORP                     COM   036384105         134      12,700  SH     DEFINED     01       2,400      10,300           0
ANSOFT CORP                     COM   036384105         211      20,000  SH     OTHER       01           0           0      20,000
ANSOFT CORP                     COM   036384105          34       3,232  SH     DEFINED     02       3,232           0           0
ANSOFT CORP                     COM   036384105         234      22,134  SH     DEFINED  01,08       5,877      16,257           0

ANSYS INC                       COM   03662Q105       1,572      50,097  SH     DEFINED     01      31,739      17,408         950
ANSYS INC                       COM   03662Q105           2          60  SH     DEFINED     02           0           0          60
ANSYS INC                       COM   03662Q105           9         300  SH     OTHER    01,06           0           0         300
ANSYS INC                       COM   03662Q105       1,994      63,561  SH     DEFINED  01,08      37,673      25,888           0

ANTHEM INC                      COM   03674B104      62,196     806,166  SH     DEFINED     01     419,723     370,031      16,412
ANTHEM INC                      COM   03674B104          10         125  SH     OTHER       01           0           0         125
ANTHEM INC                      COM   03674B104           2          32  SH     DEFINED     02           0           0          32
ANTHEM INC                      COM   03674B104         120       1,553  SH     DEFINED     04       1,553           0           0
ANTHEM INC                      COM   03674B104          25         323  SH     OTHER       04         323           0           0
ANTHEM INC                      COM   03674B104          27         350  SH     OTHER    01,06           0           0         350
ANTHEM INC                      COM   03674B104      47,233     612,221  SH     DEFINED  01,08     559,138      53,083           0
ANTHEM INC                      COM   03674B104          47         604  SH     DEFINED     10         604           0           0

ANTEON INTL CORP                COM   03674E108       2,187      78,358  SH     DEFINED     01      39,856      35,000       3,502
ANTEON INTL CORP                COM   03674E108       2,083      74,629  SH     DEFINED  01,08      21,092      53,537           0

ANTHONY & SYLVAN POOLS CORP     COM   036762102          20       7,611  SH     DEFINED     01         794       6,817           0
ANTHONY & SYLVAN POOLS CORP     COM   036762102          39      15,322  SH     DEFINED  01,08       2,587      12,735           0

ANSWERTHINK INC                 COM   036916104         317     154,427  SH     DEFINED     01      91,847      61,580       1,000
ANSWERTHINK INC                 COM   036916104          16       8,000  SH     DEFINED     04       8,000           0           0
ANSWERTHINK INC                 COM   036916104         217     106,071  SH     DEFINED  01,08      21,799      84,272           0

ANTHRACITE CAP INC              COM   037023108       2,201     182,498  SH     DEFINED     01     126,275      53,703       2,520
ANTHRACITE CAP INC              COM   037023108         118       9,800  SH     DEFINED     04       8,000           0       1,800
ANTHRACITE CAP INC              COM   037023108           8         700  SH     OTHER       04         700           0           0
ANTHRACITE CAP INC              COM   037023108       1,830     151,712  SH     DEFINED  01,08      64,231      87,481           0

ANTIGENICS INC DEL              COM   037032109       1,174     102,028  SH     DEFINED     01      58,785      41,743       1,500
ANTIGENICS INC DEL              COM   037032109       1,828     158,795  SH     DEFINED  01,08      93,911      64,884           0

ANWORTH MORTGAGE ASSET CP       COM   037347101       1,531      99,257  SH     DEFINED     01      81,757      16,200       1,300
ANWORTH MORTGAGE ASSET CP       COM   037347101         154      10,000  SH     DEFINED     04      10,000           0           0
ANWORTH MORTGAGE ASSET CP       COM   037347101          46       3,000  SH     OTHER       04       3,000           0           0
ANWORTH MORTGAGE ASSET CP       COM   037347101       2,978     193,141  SH     DEFINED  01,08     147,299      45,842           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     44
________

AO TATNEFT                      COM   03737P306       1,968     103,513  SH     DEFINED  01,08     103,513           0           0

AON CORP                        CONDB 037389AT0       2,585   2,000,000  PRN    DEFINED     01   2,000,000           0           0

AON CORP                        COM   037389103      46,278   1,921,831  SH     DEFINED     01     983,557     902,736      35,538
AON CORP                        COM   037389103       2,255      93,637  SH     OTHER       01      28,164      65,173         300
AON CORP                        COM   037389103         188       7,797  SH     DEFINED     02       5,752       1,750         295
AON CORP                        COM   037389103          69       2,870  SH     OTHER       02       2,351         519           0
AON CORP                        COM   037389103         138       5,745  SH     DEFINED     03       5,400         100         245
AON CORP                        COM   037389103          92       3,800  SH     OTHER       03       3,800           0           0
AON CORP                        COM   037389103       1,693      70,304  SH     DEFINED     04      70,304           0           0
AON CORP                        COM   037389103       1,260      52,326  SH     OTHER       04      48,951           0       3,375
AON CORP                        COM   037389103          19         800  SH     OTHER    01,06           0           0         800
AON CORP                        COM   037389103      30,333   1,259,665  SH     DEFINED  01,08   1,142,362     117,303           0
AON CORP                        COM   037389103         378      15,689  SH     DEFINED     10      15,689           0           0
AON CORP                        COM   037389103         235       9,750  SH     OTHER       10       9,750           0           0

APACHE CORP                     COM   037411105     132,151   2,031,211  SH     DEFINED     01   1,264,436     683,878      82,897
APACHE CORP                     COM   037411105       8,279     127,258  SH     OTHER       01      70,222      46,291      10,745
APACHE CORP                     COM   037411105       5,687      87,413  SH     DEFINED     02      65,712      19,556       2,145
APACHE CORP                     COM   037411105       1,059      16,272  SH     OTHER       02       5,630      10,642           0
APACHE CORP                     COM   037411105      10,185     156,542  SH     DEFINED     03      74,683      56,551      25,308
APACHE CORP                     COM   037411105       1,540      23,668  SH     OTHER       03      13,363       5,106       5,199
APACHE CORP                     COM   037411105      41,679     640,618  SH     DEFINED     04     624,940           0      15,678
APACHE CORP                     COM   037411105      12,253     188,334  SH     OTHER       04     174,414           0      13,920
APACHE CORP                     COM   037411105       4,501      69,176  SH     DEFINED     05      65,438       2,456       1,282
APACHE CORP                     COM   037411105         141       2,165  SH     OTHER       05       1,110         725         330
APACHE CORP                     COM   037411105          29         441  SH     OTHER    01,06           0           0         441
APACHE CORP                     COM   037411105      44,614     685,733  SH     DEFINED  01,08     623,375      62,358           0
APACHE CORP                     COM   037411105       5,335      81,999  SH     DEFINED     10      73,083       3,565       5,351
APACHE CORP                     COM   037411105       1,808      27,795  SH     OTHER       10      18,098       9,041         656

APARTMENT INVT & MGMT CO        COM   03748R101      17,957     518,979  SH     DEFINED     01     276,503     240,330       2,146
APARTMENT INVT & MGMT CO        COM   03748R101           3          75  SH     OTHER       01           0           0          75
APARTMENT INVT & MGMT CO        COM   03748R101          17         505  SH     DEFINED     02         505           0           0
APARTMENT INVT & MGMT CO        COM   03748R101           6         186  SH     DEFINED     03         186           0           0
APARTMENT INVT & MGMT CO        COM   03748R101         139       4,010  SH     DEFINED     04       4,010           0           0
APARTMENT INVT & MGMT CO        COM   03748R101           7         200  SH     OTHER    01,06           0           0         200
APARTMENT INVT & MGMT CO        COM   03748R101      14,001     404,656  SH     DEFINED  01,08     369,829      34,827           0
APARTMENT INVT & MGMT CO        COM   03748R101          14         410  SH     DEFINED     10         410           0           0

APEX MORTGAGE CAPITAL           COM   037564101         495      90,480  SH     DEFINED     01      68,630      21,100         750
APEX MORTGAGE CAPITAL           COM   037564101         546      99,841  SH     DEFINED  01,08      45,264      54,577           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     45
________

APHTON CORP                     COM   03759P101         620      75,203  SH     DEFINED     01      49,035      25,568         600
APHTON CORP                     COM   03759P101         512      62,060  SH     DEFINED  01,08      20,969      41,091           0

APOGEE ENTERPRISES INC          COM   037598109         988     111,185  SH     DEFINED     01      65,919      42,916       2,350
APOGEE ENTERPRISES INC          COM   037598109           2         200  SH     OTHER       04           0           0         200
APOGEE ENTERPRISES INC          COM   037598109           5         535  SH     OTHER    01,06           0           0         535
APOGEE ENTERPRISES INC          COM   037598109       1,193     134,164  SH     DEFINED  01,08      55,905      78,259           0

APOGENT TECHNOLOGIES INC        COM   03760A101       6,466     323,286  SH     DEFINED     01     125,248     193,360       4,678
APOGENT TECHNOLOGIES INC        COM   03760A101           8         400  SH     OTHER       01           0         400           0
APOGENT TECHNOLOGIES INC        COM   03760A101          54       2,700  SH     OTHER       04       2,700           0           0
APOGENT TECHNOLOGIES INC        COM   03760A101       4,383     219,128  SH     DEFINED  01,08     147,999      71,129           0
APOGENT TECHNOLOGIES INC        COM   03760A101          24       1,200  SH     DEFINED     10       1,200           0           0

APOLLO GROUP INC                COM   037604105      75,884   1,227,896  SH     DEFINED     01     741,750     469,798      16,348
APOLLO GROUP INC                COM   037604105       2,943      47,615  SH     OTHER       01      21,840      20,475       5,300
APOLLO GROUP INC                COM   037604105       1,318      21,324  SH     DEFINED     02      15,824       4,550         950
APOLLO GROUP INC                COM   037604105         230       3,725  SH     OTHER       02       2,975         750           0
APOLLO GROUP INC                COM   037604105       5,523      89,376  SH     DEFINED     03      39,480      30,390      19,506
APOLLO GROUP INC                COM   037604105         712      11,517  SH     OTHER       03       4,365       6,805         347
APOLLO GROUP INC                COM   037604105       1,984      32,102  SH     DEFINED     04      31,382           0         720
APOLLO GROUP INC                COM   037604105         290       4,700  SH     OTHER       04       4,550           0         150
APOLLO GROUP INC                COM   037604105          28         450  SH     OTHER    01,06           0           0         450
APOLLO GROUP INC                COM   037604105      43,689     706,939  SH     DEFINED  01,08     647,480      59,459           0
APOLLO GROUP INC                COM   037604105         365       5,901  SH     DEFINED     10       5,901           0           0
APOLLO GROUP INC                COM   037604105         142       2,300  SH     OTHER       10       1,600         200         500

APOLLO GROUP INC                COM   037604204         808      16,065  SH     DEFINED     01       9,055       6,351         659
APOLLO GROUP INC                COM   037604204       2,235      44,451  SH     DEFINED  01,08      42,585       1,866           0

APPLE COMPUTER INC              COM   037833100      47,348   2,484,137  SH     DEFINED     01   1,497,184     957,998      28,955
APPLE COMPUTER INC              COM   037833100          64       3,384  SH     OTHER       01       2,300           0       1,084
APPLE COMPUTER INC              COM   037833100         105       5,500  SH     DEFINED     02       5,400         100           0
APPLE COMPUTER INC              COM   037833100         119       6,250  SH     DEFINED     03       2,000         150       4,100
APPLE COMPUTER INC              COM   037833100          15         800  SH     OTHER       03         800           0           0
APPLE COMPUTER INC              COM   037833100          36       1,900  SH     DEFINED     04       1,700           0         200
APPLE COMPUTER INC              COM   037833100         123       6,450  SH     OTHER       04       6,450           0           0
APPLE COMPUTER INC              COM   037833100          17         900  SH     OTHER    01,06           0           0         900
APPLE COMPUTER INC              COM   037833100      30,451   1,597,631  SH     DEFINED  01,08   1,452,070     145,561           0
APPLE COMPUTER INC              COM   037833100          22       1,152  SH     DEFINED     10       1,052           0         100
APPLE COMPUTER INC              COM   037833100           6         300  SH     OTHER       10         300           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     46
________

APPLEBEES INTL INC              COM   037899101       8,597     273,538  SH     DEFINED     01     135,383     114,780      23,375
APPLEBEES INTL INC              COM   037899101          19         600  SH     DEFINED     03         600           0           0
APPLEBEES INTL INC              COM   037899101           5         150  SH     DEFINED     04         150           0           0
APPLEBEES INTL INC              COM   037899101           3         100  SH     OTHER       04         100           0           0
APPLEBEES INTL INC              COM   037899101       4,169     132,654  SH     DEFINED  01,08      93,684      38,970           0

APPLIED INNOVATION INC          COM   037916103          65      18,800  SH     DEFINED     01       3,200      15,600           0
APPLIED INNOVATION INC          COM   037916103           0         100  SH     OTHER       04         100           0           0
APPLIED INNOVATION INC          COM   037916103          91      26,290  SH     DEFINED  01,08       6,647      19,643           0

APRIA HEALTHCARE GROUP INC      COM   037933108       5,361     215,483  SH     DEFINED     01     115,341      97,742       2,400
APRIA HEALTHCARE GROUP INC      COM   037933108       3,773     151,666  SH     DEFINED  01,08      99,453      52,213           0

APPLIED GRAPHICS TECHNOLOGIE    COM   037937208          10      12,279  SH     DEFINED     01       1,879      10,400           0
APPLIED GRAPHICS TECHNOLOGIE    COM   037937208          10      12,133  SH     DEFINED  01,08       2,253       9,880           0

APPLERA CORP                    COM   038020103      25,170   1,322,628  SH     DEFINED     01     743,497     551,155      27,976
APPLERA CORP                    COM   038020103         674      35,441  SH     OTHER       01      22,458       2,737      10,246
APPLERA CORP                    COM   038020103          40       2,125  SH     DEFINED     02       1,500         375         250
APPLERA CORP                    COM   038020103          10         550  SH     OTHER       02           0         550           0
APPLERA CORP                    COM   038020103          69       3,628  SH     DEFINED     03       1,700       1,928           0
APPLERA CORP                    COM   038020103           2         125  SH     OTHER       03         100          25           0
APPLERA CORP                    COM   038020103          73       3,860  SH     DEFINED     04       3,860           0           0
APPLERA CORP                    COM   038020103          91       4,768  SH     OTHER       04       4,618           0         150
APPLERA CORP                    COM   038020103         312      16,400  SH     DEFINED     05      12,900       2,050       1,450
APPLERA CORP                    COM   038020103          10         500  SH     OTHER    01,06           0           0         500
APPLERA CORP                    COM   038020103      17,443     916,595  SH     DEFINED  01,08     835,740      80,855           0
APPLERA CORP                    COM   038020103           1          34  SH     DEFINED     10          34           0           0
APPLERA CORP                    COM   038020103           1          50  SH     OTHER       10          50           0           0

APPLERA CORP                    COM   038020202       2,446     237,053  SH     DEFINED     01     144,636      88,267       4,150
APPLERA CORP                    COM   038020202          40       3,905  SH     OTHER       01       1,404           2       2,499
APPLERA CORP                    COM   038020202           5         500  SH     DEFINED     02           0         500           0
APPLERA CORP                    COM   038020202          10       1,004  SH     OTHER       04       1,004           0           0
APPLERA CORP                    COM   038020202       2,365     229,207  SH     DEFINED  01,08      99,495     129,712           0

APPLICA INC                     COM   03815A106         633      74,458  SH     DEFINED     01      38,641      34,017       1,800
APPLICA INC                     COM   03815A106         414      48,742  SH     DEFINED     04      48,742           0           0
APPLICA INC                     COM   03815A106           4         500  SH     OTHER    01,06           0           0         500
APPLICA INC                     COM   03815A106         976     114,781  SH     DEFINED  01,08      68,000      46,781           0

APPLIED DIGITAL SOLUTIONS       COM   038188108         101     167,500  SH     DEFINED     01     155,000      12,500           0
APPLIED DIGITAL SOLUTIONS       COM   038188108          12      20,000  SH     DEFINED     04      20,000           0           0
APPLIED DIGITAL SOLUTIONS       COM   038188108           1       2,000  SH     OTHER       04       2,000           0           0
APPLIED DIGITAL SOLUTIONS       COM   038188108         117     195,177  SH     DEFINED  01,08      87,027     108,150           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     47
________

APPLIED EXTRUSION TECHNOLOGI    COM   038196101          41      17,000  SH     DEFINED     01       2,400      14,600           0
APPLIED EXTRUSION TECHNOLOGI    COM   038196101          57      23,542  SH     DEFINED  01,08       6,524      17,018           0

APPLIED FILMS CORP              COM   038197109         992      38,347  SH     DEFINED     01      22,597      15,100         650
APPLIED FILMS CORP              COM   038197109       1,262      48,786  SH     DEFINED  01,08      30,329      18,457           0

APPLIED INDL TECHNOLOGIES IN    COM   03820C105       2,524     119,642  SH     DEFINED     01      88,936      28,456       2,250
APPLIED INDL TECHNOLOGIES IN    COM   03820C105           8         400  SH     OTHER    01,06           0           0         400
APPLIED INDL TECHNOLOGIES IN    COM   03820C105       2,229     105,618  SH     DEFINED  01,08      55,024      50,594           0

APPLIED IMAGING CORP            COM   03820G106          19      12,900  SH     DEFINED     01       2,800      10,100           0
APPLIED IMAGING CORP            COM   03820G106          12       8,300  SH     DEFINED  01,08       3,800       4,500           0

APPLIED MICRO CIRCUITS CORP     COM   03822W109      10,578   1,751,280  SH     DEFINED     01     933,181     790,317      27,782
APPLIED MICRO CIRCUITS CORP     COM   03822W109           2         250  SH     OTHER       01           0           0         250
APPLIED MICRO CIRCUITS CORP     COM   03822W109           1         150  SH     DEFINED     03           0         150           0
APPLIED MICRO CIRCUITS CORP     COM   03822W109           1         200  SH     DEFINED     04         200           0           0
APPLIED MICRO CIRCUITS CORP     COM   03822W109           5         800  SH     OTHER    01,06           0           0         800
APPLIED MICRO CIRCUITS CORP     COM   03822W109       7,691   1,273,403  SH     DEFINED  01,08   1,157,690     115,713           0
APPLIED MICRO CIRCUITS CORP     COM   03822W109           0          50  SH     DEFINED     10          50           0           0

APPLIED MATLS INC               COM   038222105     179,207  11,313,559  SH     DEFINED     01   6,261,774   4,725,127     326,658
APPLIED MATLS INC               COM   038222105       8,447     533,241  SH     OTHER       01     209,208     294,776      29,257
APPLIED MATLS INC               COM   038222105       5,414     341,772  SH     DEFINED     02     247,602      84,540       9,630
APPLIED MATLS INC               COM   038222105       1,187      74,925  SH     OTHER       02      63,150      11,175         600
APPLIED MATLS INC               COM   038222105       3,332     210,327  SH     DEFINED     03      98,625      91,941      19,761
APPLIED MATLS INC               COM   038222105       1,062      67,040  SH     OTHER       03      25,690      31,850       9,500
APPLIED MATLS INC               COM   038222105      12,914     815,285  SH     DEFINED     04     792,435           0      22,850
APPLIED MATLS INC               COM   038222105       4,067     256,774  SH     OTHER       04     250,924           0       5,850
APPLIED MATLS INC               COM   038222105         384      24,253  SH     DEFINED     05      21,318         600       2,335
APPLIED MATLS INC               COM   038222105         263      16,584  SH     OTHER       05         400       8,000       8,184
APPLIED MATLS INC               COM   038222105          67       4,200  SH     OTHER    01,06           0           0       4,200
APPLIED MATLS INC               COM   038222105     119,012   7,513,357  SH     DEFINED  01,08   6,891,270     622,087           0
APPLIED MATLS INC               COM   038222105       6,550     413,521  SH     DEFINED     10     292,721      60,100      60,700
APPLIED MATLS INC               COM   038222105         750      47,365  SH     OTHER       10      31,130      15,235       1,000

APPLIED MOLECULAR EVOLUTION     COM   03823E108         266      64,650  SH     DEFINED     01      36,906      27,444         300
APPLIED MOLECULAR EVOLUTION     COM   03823E108           6       1,500  SH     OTHER       01           0       1,500           0
APPLIED MOLECULAR EVOLUTION     COM   03823E108         186      45,048  SH     DEFINED  01,08       9,900      35,148           0

APPLIED SIGNAL TECHNOLOGY IN    COM   038237103         224      13,000  SH     DEFINED     01       1,800      11,200           0
APPLIED SIGNAL TECHNOLOGY IN    COM   038237103         384      22,292  SH     DEFINED  01,08       8,591      13,701           0

APPLIX INC                      COM   038316105          26      16,500  SH     DEFINED     01       2,200      14,300           0
APPLIX INC                      COM   038316105          36      22,586  SH     DEFINED  01,08       6,792      15,794           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     48
________

APROPOS TECHNOLOGY INC          COM   038334108          25       9,650  SH     DEFINED     01       2,950       6,700           0
APROPOS TECHNOLOGY INC          COM   038334108          30      11,520  SH     DEFINED  01,08       7,820       3,700           0

APTARGROUP INC                  COM   038336103       3,128      86,879  SH     DEFINED     01      34,644      48,885       3,350
APTARGROUP INC                  COM   038336103           8         222  SH     DEFINED     02           0           0         222
APTARGROUP INC                  COM   038336103           6         170  SH     DEFINED     03           0           0         170
APTARGROUP INC                  COM   038336103          43       1,200  SH     DEFINED     04           0           0       1,200
APTARGROUP INC                  COM   038336103          25         690  SH     OTHER    01,06           0           0         690
APTARGROUP INC                  COM   038336103       4,334     120,381  SH     DEFINED  01,08      67,652      52,729           0
APTARGROUP INC                  COM   038336103          43       1,200  SH     DEFINED     10       1,200           0           0

AQUANTIVE INC                   COM   03839G105       1,450     138,103  SH     DEFINED     01      74,503      62,700         900
AQUANTIVE INC                   COM   03839G105           0          17  SH     OTHER       01          17           0           0
AQUANTIVE INC                   COM   03839G105       1,845     175,699  SH     DEFINED  01,08      77,850      97,849           0
AQUANTIVE INC                   COM   03839G105           1         100  SH     DEFINED     10         100           0           0

AQUILA INC                      COM   03840P102       1,682     652,031  SH     DEFINED     01     267,955     371,764      12,312
AQUILA INC                      COM   03840P102           1         470  SH     DEFINED     02           0         300         170
AQUILA INC                      COM   03840P102          33      12,836  SH     DEFINED     04      12,836           0           0
AQUILA INC                      COM   03840P102       1,448     561,373  SH     DEFINED  01,08     421,566     139,807           0
AQUILA INC                      COM   03840P102           1         513  SH     OTHER       10         513           0           0

ARADIGM CORP                    COM   038505103          43      24,300  SH     DEFINED     01       3,900      20,400           0
ARADIGM CORP                    COM   038505103           2       1,200  SH     OTHER       01           0       1,200           0
ARADIGM CORP                    COM   038505103         111      62,177  SH     DEFINED  01,08      22,426      39,751           0

ARAMARK CORP                    COM   038521100       1,002      44,702  SH     DEFINED     01      31,352      12,800         550
ARAMARK CORP                    COM   038521100          16         700  SH     OTHER       01           0         700           0
ARAMARK CORP                    COM   038521100       2,288     102,066  SH     DEFINED  01,08      49,900      52,166           0
ARAMARK CORP                    COM   038521100          45       2,000  SH     DEFINED     10       2,000           0           0

ARBITRON INC                    COM   03875Q108       3,631     101,715  SH     DEFINED     01      61,784      37,376       2,555
ARBITRON INC                    COM   03875Q108           2          50  SH     DEFINED     02          50           0           0
ARBITRON INC                    COM   03875Q108          15         419  SH     OTHER       02         419           0           0
ARBITRON INC                    COM   03875Q108          21         600  SH     OTHER    01,06           0           0         600
ARBITRON INC                    COM   03875Q108       4,436     124,245  SH     DEFINED  01,08      70,030      54,215           0

ARCH CHEMICALS INC              COM   03937R102       2,714     142,075  SH     DEFINED     01     106,437      34,488       1,150
ARCH CHEMICALS INC              COM   03937R102           3         150  SH     OTHER       01         150           0           0
ARCH CHEMICALS INC              COM   03937R102         277      14,528  SH     DEFINED     04      14,528           0           0
ARCH CHEMICALS INC              COM   03937R102           9         450  SH     OTHER    01,06           0           0         450
ARCH CHEMICALS INC              COM   03937R102       1,818      95,166  SH     DEFINED  01,08      53,889      41,277           0
ARCH CHEMICALS INC              COM   03937R102       1,805      94,498  SH     OTHER       10           0      94,498           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     49
________

ARCH COAL INC                   COM   039380100       5,373     233,791  SH     DEFINED     01     119,460     110,982       3,349
ARCH COAL INC                   COM   039380100          37       1,624  SH     OTHER       01           0       1,624           0
ARCH COAL INC                   COM   039380100          25       1,100  SH     DEFINED     04       1,100           0           0
ARCH COAL INC                   COM   039380100       3,231     140,581  SH     DEFINED  01,08      85,914      54,667           0

ARCHER DANIELS MIDLAND CO       COM   039483102      46,609   3,621,496  SH     DEFINED     01   1,904,077   1,660,672      56,747
ARCHER DANIELS MIDLAND CO       COM   039483102         139      10,780  SH     OTHER       01       4,379       6,076         325
ARCHER DANIELS MIDLAND CO       COM   039483102         103       7,990  SH     DEFINED     02       3,564       4,425           1
ARCHER DANIELS MIDLAND CO       COM   039483102           3         250  SH     DEFINED     03           0         250           0
ARCHER DANIELS MIDLAND CO       COM   039483102         567      44,035  SH     DEFINED     04      44,034           0           1
ARCHER DANIELS MIDLAND CO       COM   039483102          44       3,440  SH     OTHER       04       3,340           0         100
ARCHER DANIELS MIDLAND CO       COM   039483102          21       1,655  SH     OTHER    01,06           0           0       1,655
ARCHER DANIELS MIDLAND CO       COM   039483102      33,865   2,631,336  SH     DEFINED  01,08   2,387,244     244,092           0
ARCHER DANIELS MIDLAND CO       COM   039483102           1          96  SH     DEFINED     10          96           0           0
ARCHER DANIELS MIDLAND CO       COM   039483102          86       6,685  SH     OTHER       10       6,685           0           0

ARCHSTONE SMITH TR              COM   039583109       5,583     232,617  SH     DEFINED     01     147,375      72,858      12,384
ARCHSTONE SMITH TR              COM   039583109       2,735     113,976  SH     OTHER       01      30,924       5,000      78,052
ARCHSTONE SMITH TR              COM   039583109          50       2,100  SH     DEFINED     04       2,100           0           0
ARCHSTONE SMITH TR              COM   039583109          73       3,061  SH     OTHER       04       3,061           0           0
ARCHSTONE SMITH TR              COM   039583109       7,089     295,383  SH     DEFINED  01,08     164,085     131,298           0

ARCTIC CAT INC                  COM   039670104       1,157      60,935  SH     DEFINED     01      30,858      27,677       2,400
ARCTIC CAT INC                  COM   039670104           8         400  SH     OTHER    01,06           0           0         400
ARCTIC CAT INC                  COM   039670104       2,352     123,844  SH     DEFINED  01,08      79,579      44,265           0

ARDEN GROUP INC                 COM   039762109         405       6,871  SH     DEFINED     01       2,821       4,000          50
ARDEN GROUP INC                 COM   039762109         581       9,846  SH     DEFINED  01,08       1,923       7,923           0

ARDEN RLTY INC                  COM   039793104       2,189      84,341  SH     DEFINED     01      58,117      23,574       2,650
ARDEN RLTY INC                  COM   039793104       2,840     109,440  SH     DEFINED  01,08      64,340      45,100           0

ARENA PHARMACEUTICALS INC       COM   040047102         512      76,744  SH     DEFINED     01      41,061      34,433       1,250
ARENA PHARMACEUTICALS INC       COM   040047102         497      74,571  SH     DEFINED  01,08      28,320      46,251           0

ARGONAUT GROUP INC              COM   040157109         934      75,981  SH     DEFINED     01      43,496      32,385         100
ARGONAUT GROUP INC              COM   040157109       1,179      95,895  SH     DEFINED  01,08      56,115      39,780           0

ARGONAUT TECHNOLOGIES INC       COM   040175101           5       3,900  SH     DEFINED     01       3,900           0           0
ARGONAUT TECHNOLOGIES INC       COM   040175101          26      21,100  SH     DEFINED  01,08       4,400      16,700           0

ARGOSY GAMING CO                COM   040228108       1,825      87,299  SH     DEFINED     01      51,961      33,888       1,450
ARGOSY GAMING CO                COM   040228108          13         600  SH     OTHER    01,06           0           0         600
ARGOSY GAMING CO                COM   040228108       2,071      99,026  SH     DEFINED  01,08      51,170      47,856           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     50
________

ARIAD PHARMACEUTICALS INC       COM   04033A100         707     160,683  SH     DEFINED     01      63,699      96,234         750
ARIAD PHARMACEUTICALS INC       COM   04033A100         815     185,155  SH     DEFINED  01,08     123,823      61,332           0

ARIBA INC                       COM   04033V104       2,729     909,833  SH     DEFINED     01     558,908     335,629      15,296
ARIBA INC                       COM   04033V104           1         200  SH     OTHER       02           0         200           0
ARIBA INC                       COM   04033V104          10       3,498  SH     DEFINED     04       3,498           0           0
ARIBA INC                       COM   04033V104       1,983     661,146  SH     DEFINED  01,08     432,340     228,806           0

ARISTOTLE CORP                  COM   040448201          13       3,400  SH     DEFINED     01         400       3,000           0
ARISTOTLE CORP                  COM   040448201          55      14,760  SH     DEFINED  01,08       7,138       7,622           0

ARK RESTAURANTS CORP            COM   040712101          33       4,300  SH     DEFINED     01         500       3,800           0
ARK RESTAURANTS CORP            COM   040712101          70       9,071  SH     DEFINED  01,08       1,357       7,714           0

ARKANSAS BEST CORP DEL          COM   040790107       2,211      93,655  SH     DEFINED     01      59,488      32,007       2,160
ARKANSAS BEST CORP DEL          COM   040790107          12         500  SH     OTHER    01,06           0           0         500
ARKANSAS BEST CORP DEL          COM   040790107       2,140      90,643  SH     DEFINED  01,08      46,573      44,070           0

ARM HLDGS PLC                   COM   042068106          34      10,000  SH     DEFINED     04      10,000           0           0

ARMOR HOLDINGS INC              COM   042260109       1,347     100,488  SH     DEFINED     01      88,843      10,545       1,100
ARMOR HOLDINGS INC              COM   042260109           5         350  SH     OTHER       01           0         350           0
ARMOR HOLDINGS INC              COM   042260109         429      32,000  SH     OTHER       04      25,000           0       7,000
ARMOR HOLDINGS INC              COM   042260109           8         600  SH     OTHER    01,06           0           0         600
ARMOR HOLDINGS INC              COM   042260109       1,397     104,249  SH     DEFINED  01,08      54,840      49,409           0

ARQULE INC                      COM   04269E107         362      87,903  SH     DEFINED     01      51,689      28,899       7,315
ARQULE INC                      COM   04269E107         195      47,334  SH     OTHER       01           0           0      47,334
ARQULE INC                      COM   04269E107           2         400  SH     OTHER    01,06           0           0         400
ARQULE INC                      COM   04269E107         291      70,727  SH     DEFINED  01,08      30,706      40,021           0

ARRIS GROUP INC                 COM   04269Q100       1,104     222,519  SH     DEFINED     01     124,969      96,000       1,550
ARRIS GROUP INC                 COM   04269Q100           4         800  SH     DEFINED     02           0           0         800
ARRIS GROUP INC                 COM   04269Q100       1,297     261,500  SH     DEFINED  01,08     117,663     143,837           0

ARRAY BIOPHARMA INC             COM   04269X105         242      77,279  SH     DEFINED     01      48,938      27,891         450
ARRAY BIOPHARMA INC             COM   04269X105         164      52,486  SH     DEFINED  01,08      13,700      38,786           0

ARRHYTHMIA RESH TECHNOLOGY I    COM   042698308           7       1,600  SH     DEFINED     01         700         900           0
ARRHYTHMIA RESH TECHNOLOGY I    COM   042698308          45      10,200  SH     DEFINED  01,08       1,932       8,268           0

ARROW ELECTRS INC               COM   042735100       4,988     327,288  SH     DEFINED     01     124,341     196,320       6,627
ARROW ELECTRS INC               COM   042735100          36       2,350  SH     DEFINED     04       2,350           0           0
ARROW ELECTRS INC               COM   042735100       3,718     243,981  SH     DEFINED  01,08     171,833      72,148           0
ARROW ELECTRS INC               COM   042735100           5         320  SH     DEFINED     10         320           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     51
________

ARROW FINL CORP                 COM   042744102         727      21,978  SH     DEFINED     01      12,178       9,490         310
ARROW FINL CORP                 COM   042744102         654      19,794  SH     DEFINED  01,08       6,646      13,148           0

ARROW INTL INC                  COM   042764100       2,129      47,788  SH     DEFINED     01      22,583      24,605         600
ARROW INTL INC                  COM   042764100       2,786      62,526  SH     DEFINED  01,08      27,300      35,226           0

ART TECHNOLOGY GROUP INC        COM   04289L107         112      69,800  SH     DEFINED     01      13,700      56,100           0
ART TECHNOLOGY GROUP INC        COM   04289L107         193     120,800  SH     DEFINED  01,08      30,800      90,000           0

ARTISAN COMPONENTS INC          COM   042923102       3,470     154,563  SH     DEFINED     01     122,122      31,491         950
ARTISAN COMPONENTS INC          COM   042923102       1,927      85,834  SH     DEFINED  01,08      55,575      30,259           0

ARTESYN TECHNOLOGIES INC        COM   043127109         671     119,870  SH     DEFINED     01      63,561      53,009       3,300
ARTESYN TECHNOLOGIES INC        COM   043127109           4         800  SH     OTHER    01,06           0           0         800
ARTESYN TECHNOLOGIES INC        COM   043127109         987     176,253  SH     DEFINED  01,08     108,352      67,901           0
ARTESYN TECHNOLOGIES INC        COM   043127109           1         100  SH     DEFINED     10           0         100           0

ARTHROCARE CORP                 COM   043136100       1,256      77,195  SH     DEFINED     01      48,985      27,010       1,200
ARTHROCARE CORP                 COM   043136100           7         400  SH     OTHER    01,06           0           0         400
ARTHROCARE CORP                 COM   043136100       1,516      93,174  SH     DEFINED  01,08      53,834      39,340           0

ARVINMERITOR INC                COM   043353101       4,550     225,480  SH     DEFINED     01      89,405     132,125       3,950
ARVINMERITOR INC                COM   043353101       3,287     162,895  SH     DEFINED  01,08     113,379      49,516           0

ASBURY AUTOMOTIVE GROUP INC     COM   043436104         672      49,870  SH     DEFINED     01      19,070      30,600         200
ASBURY AUTOMOTIVE GROUP INC     COM   043436104         917      68,003  SH     DEFINED  01,08      17,509      50,494           0

ASCENT MEDIA GROUP INC          COM   043634104          15      12,290  SH     DEFINED     01       3,112       9,178           0
ASCENT MEDIA GROUP INC          COM   043634104          16      12,657  SH     DEFINED  01,08       1,978      10,679           0

ASHLAND INC                     COM   044204105      11,968     390,104  SH     DEFINED     01     203,011     179,845       7,248
ASHLAND INC                     COM   044204105         251       8,175  SH     OTHER       01           0       8,100          75
ASHLAND INC                     COM   044204105           2          51  SH     DEFINED     02          51           0           0
ASHLAND INC                     COM   044204105          28         900  SH     OTHER       02         600         300           0
ASHLAND INC                     COM   044204105           2          50  SH     DEFINED     03           0          50           0
ASHLAND INC                     COM   044204105         111       3,624  SH     DEFINED     04       3,624           0           0
ASHLAND INC                     COM   044204105         106       3,450  SH     OTHER       04       3,450           0           0
ASHLAND INC                     COM   044204105           3         100  SH     OTHER    01,06           0           0         100
ASHLAND INC                     COM   044204105       7,775     253,414  SH     DEFINED  01,08     226,688      26,726           0
ASHLAND INC                     COM   044204105           0          12  SH     DEFINED     10          12           0           0

ASHWORTH INC                    COM   04516H101          93      13,100  SH     DEFINED     01       2,900       9,700         500
ASHWORTH INC                    COM   04516H101           2         300  SH     OTHER    01,06           0           0         300
ASHWORTH INC                    COM   04516H101         235      33,179  SH     DEFINED  01,08      16,044      17,135           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     52
________

ASK JEEVES INC                  COM   045174109         595      43,600  SH     DEFINED     01       7,200      36,400           0
ASK JEEVES INC                  COM   045174109         504      36,913  SH     DEFINED     03      36,913           0           0
ASK JEEVES INC                  COM   045174109       1,726     126,483  SH     DEFINED  01,08      68,923      57,560           0

ASIAINFO HLDGS INC              COM   04518A104       1,613     197,693  SH     DEFINED     01     174,730      22,463         500
ASIAINFO HLDGS INC              COM   04518A104         811      99,427  SH     DEFINED  01,08      85,014      14,413           0

ASPECT COMMUNICATIONS CORP      COM   04523Q102         507     144,045  SH     DEFINED     01     112,414      28,931       2,700
ASPECT COMMUNICATIONS CORP      COM   04523Q102         370     105,000  SH     OTHER       03     105,000           0           0
ASPECT COMMUNICATIONS CORP      COM   04523Q102         654     185,819  SH     DEFINED  01,08      84,442     101,377           0

ASPECT MED SYS INC              COM   045235108         148      20,000  SH     DEFINED     01       3,600      16,400           0
ASPECT MED SYS INC              COM   045235108         262      35,470  SH     DEFINED  01,08       9,670      25,800           0

ASPEN TECHNOLOGY INC            COM   045327103         870     183,513  SH     DEFINED     01     131,559      49,504       2,450
ASPEN TECHNOLOGY INC            COM   045327103         612     129,119  SH     DEFINED  01,08      57,293      71,826           0

ASSOCIATED BANC CORP            COM   045487105      10,359     282,957  SH     DEFINED     01     132,493     145,747       4,717
ASSOCIATED BANC CORP            COM   045487105       1,311      35,808  SH     OTHER       01      31,152       4,656           0
ASSOCIATED BANC CORP            COM   045487105         603      16,482  SH     DEFINED     04      16,482           0           0
ASSOCIATED BANC CORP            COM   045487105       1,964      53,634  SH     OTHER       04      53,634           0           0
ASSOCIATED BANC CORP            COM   045487105       7,571     206,795  SH     DEFINED  01,08     152,491      54,304           0

ASSOCIATED ESTATES RLTY CORP    COM   045604105         386      58,786  SH     DEFINED     01      33,229      25,207         350
ASSOCIATED ESTATES RLTY CORP    COM   045604105         304      46,248  SH     DEFINED  01,08      13,475      32,773           0

ASTEA INTL INC                  COM   04622E109          17      28,100  SH     DEFINED     01       1,900      26,200           0
ASTEA INTL INC                  COM   04622E109          13      20,600  SH     DEFINED  01,08       6,165      14,435           0

ASTEC INDS INC                  COM   046224101         618      70,924  SH     DEFINED     01      34,999      34,975         950
ASTEC INDS INC                  COM   046224101           3         400  SH     OTHER    01,06           0           0         400
ASTEC INDS INC                  COM   046224101         688      78,934  SH     DEFINED  01,08      42,462      36,472           0

ASTORIA FINL CORP               COM   046265104       7,544     270,104  SH     DEFINED     01     108,704     160,250       1,150
ASTORIA FINL CORP               COM   046265104         112       4,000  SH     OTHER       01       4,000           0           0
ASTORIA FINL CORP               COM   046265104           4         146  SH     DEFINED     03           0           0         146
ASTORIA FINL CORP               COM   046265104       6,410     229,494  SH     DEFINED  01,08     170,372      59,122           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     53
________

ASTRAZENECA PLC                 COM   046353108       3,946      96,789  SH     DEFINED     01      72,724      19,980       4,085
ASTRAZENECA PLC                 COM   046353108       1,325      32,488  SH     OTHER       01       4,413      19,200       8,875
ASTRAZENECA PLC                 COM   046353108         245       6,008  SH     DEFINED     02       5,358         500         150
ASTRAZENECA PLC                 COM   046353108          17         428  SH     OTHER       02           0         428           0
ASTRAZENECA PLC                 COM   046353108          13         325  SH     DEFINED     03         325           0           0
ASTRAZENECA PLC                 COM   046353108         326       7,998  SH     OTHER       03       7,998           0           0
ASTRAZENECA PLC                 COM   046353108         207       5,078  SH     DEFINED     04       5,078           0           0
ASTRAZENECA PLC                 COM   046353108         572      14,018  SH     OTHER       04      11,793           0       2,225
ASTRAZENECA PLC                 COM   046353108          31         750  SH     DEFINED     05         750           0           0
ASTRAZENECA PLC                 COM   046353108         152       3,734  SH     DEFINED     10       3,523         211           0
ASTRAZENECA PLC                 COM   046353108          33         800  SH     OTHER       10           0         800           0

ASTRO-MED INC NEW               COM   04638F108          28       4,000  SH     DEFINED     01         400       3,600           0
ASTRO-MED INC NEW               COM   04638F108          53       7,700  SH     DEFINED  01,08       2,008       5,692           0

ASTRONICS CORP                  COM   046433108          23       7,000  SH     DEFINED     01         400       6,600           0
ASTRONICS CORP                  COM   046433108          59      18,058  SH     DEFINED  01,08       3,686      14,372           0

ASTROPOWER INC                  COM   04644A101         248      73,380  SH     DEFINED     01      47,094      25,136       1,150
ASTROPOWER INC                  COM   04644A101           1         425  SH     OTHER    01,06           0           0         425
ASTROPOWER INC                  COM   04644A101         224      66,288  SH     DEFINED  01,08      29,539      36,749           0

AT RD INC                       COM   04648K105       1,246     114,128  SH     DEFINED     01      51,628      62,000         500
AT RD INC                       COM   04648K105       1,751     160,342  SH     DEFINED  01,08      87,187      73,155           0

ASYST TECHNOLOGY CORP           COM   04648X107         915     136,426  SH     DEFINED     01      85,026      45,900       5,500
ASYST TECHNOLOGY CORP           COM   04648X107       1,074     160,038  SH     DEFINED  01,08      92,117      67,921           0

ATALANTA SOSNOFF CAP CORP       COM   046499109         320      23,600  SH     DEFINED     01      19,200       4,400           0
ATALANTA SOSNOFF CAP CORP       COM   046499109         317      23,365  SH     DEFINED  01,08       3,987      19,378           0

ATARI INC                       COM   04651M105         376      83,889  SH     DEFINED     01      26,939      56,800         150
ATARI INC                       COM   04651M105         443      98,905  SH     DEFINED  01,08      37,610      61,295           0

ATHEROGENICS INC                COM   047439104       1,625     108,826  SH     DEFINED     01      67,926      40,200         700
ATHEROGENICS INC                COM   047439104       1,545     103,459  SH     DEFINED  01,08      41,986      61,473           0

ATLANTIC AMERN CORP             COM   048209100          62      24,900  SH     DEFINED     01         300      24,600           0
ATLANTIC AMERN CORP             COM   048209100         114      46,075  SH     DEFINED  01,08       7,092      38,983           0

ATLANTIC COAST AIRLINES HLDG    COM   048396105       2,855     214,467  SH     DEFINED     01     145,436      65,631       3,400
ATLANTIC COAST AIRLINES HLDG    COM   048396105          28       2,100  SH     DEFINED     02           0       2,100           0
ATLANTIC COAST AIRLINES HLDG    COM   048396105          12         900  SH     OTHER    01,06           0           0         900
ATLANTIC COAST AIRLINES HLDG    COM   048396105       2,587     194,373  SH     DEFINED  01,08     113,062      81,311           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     54
________

ATLANTIC DATA SERVICES          COM   048523104          41      13,700  SH     DEFINED     01       2,700      11,000           0
ATLANTIC DATA SERVICES          COM   048523104          71      23,642  SH     DEFINED  01,08       6,242      17,400           0

ATLANTIC PREM BRANDS LTD        COM   04878P105          17      10,200  SH     DEFINED     01           0      10,200           0
ATLANTIC PREM BRANDS LTD        COM   04878P105          11       6,756  SH     DEFINED  01,08       2,806       3,950           0

ATLANTIC TELE NETWORK INC       COM   049079205          29       1,300  SH     DEFINED     01         700         600           0
ATLANTIC TELE NETWORK INC       COM   049079205         192       8,597  SH     DEFINED  01,08       2,019       6,578           0

ATLANTIS PLASTICS INC           COM   049156102          34       4,800  SH     DEFINED     01         600       4,200           0
ATLANTIS PLASTICS INC           COM   049156102         580      82,291  SH     DEFINED     04      82,291           0           0
ATLANTIS PLASTICS INC           COM   049156102          41       5,800  SH     DEFINED  01,08       2,333       3,467           0

ATLAS AIR WORLDWIDE HLDGS IN    COM   049164106         116      79,118  SH     DEFINED     01      36,145      42,623         350
ATLAS AIR WORLDWIDE HLDGS IN    COM   049164106          57      38,904  SH     DEFINED  01,08      16,100      22,804           0

ATMEL CORP                      COM   049513104       3,676   1,447,368  SH     DEFINED     01     523,565     888,743      35,060
ATMEL CORP                      COM   049513104           6       2,400  SH     DEFINED     04       2,400           0           0
ATMEL CORP                      COM   049513104          20       8,000  SH     OTHER       05           0           0       8,000
ATMEL CORP                      COM   049513104       2,640   1,039,526  SH     DEFINED  01,08     716,190     323,336           0

ATMOS ENERGY CORP               COM   049560105       6,132     247,245  SH     DEFINED     01     182,974      60,571       3,700
ATMOS ENERGY CORP               COM   049560105       1,772      71,436  SH     OTHER       01           0           0      71,436
ATMOS ENERGY CORP               COM   049560105          17         700  SH     OTHER       02         200         500           0
ATMOS ENERGY CORP               COM   049560105          10         404  SH     OTHER       04           0           0         404
ATMOS ENERGY CORP               COM   049560105          23         920  SH     OTHER    01,06           0           0         920
ATMOS ENERGY CORP               COM   049560105       4,909     197,932  SH     DEFINED  01,08     111,627      86,305           0

ATRIX LABS INC                  COM   04962L101       1,506      68,560  SH     DEFINED     01      43,422      23,988       1,150
ATRIX LABS INC                  COM   04962L101          55       2,500  SH     OTHER       01           0       2,500           0
ATRIX LABS INC                  COM   04962L101           5         209  SH     DEFINED     04         209           0           0
ATRIX LABS INC                  COM   04962L101          73       3,308  SH     OTHER       04       1,308           0       2,000
ATRIX LABS INC                  COM   04962L101       1,240      56,423  SH     DEFINED  01,08      20,298      36,125           0

ATWOOD OCEANICS INC             COM   050095108       1,512      55,691  SH     DEFINED     01      39,986      15,705           0
ATWOOD OCEANICS INC             COM   050095108           7         250  SH     OTHER    01,06           0           0         250
ATWOOD OCEANICS INC             COM   050095108       1,999      73,623  SH     DEFINED  01,08      43,703      29,920           0

AUDIOVOX CORP                   COM   050757103         841      75,709  SH     DEFINED     01      37,938      37,771           0
AUDIOVOX CORP                   COM   050757103           6         500  SH     OTHER       04         500           0           0
AUDIOVOX CORP                   COM   050757103           5         425  SH     OTHER    01,06           0           0         425
AUDIOVOX CORP                   COM   050757103       1,136     102,283  SH     DEFINED  01,08      62,548      39,735           0

AUGUST TECHNOLOGY CORP          COM   05106U105         156      24,969  SH     DEFINED     01      12,008      12,761         200
AUGUST TECHNOLOGY CORP          COM   05106U105         168      26,943  SH     DEFINED  01,08       5,900      21,043           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     55
________

AULT INC                        COM   051503100          12       5,500  SH     DEFINED     01         600       4,900           0
AULT INC                        COM   051503100          18       8,401  SH     DEFINED  01,08       2,234       6,167           0

AURORA FOODS INC                COM   05164B106          59     168,450  SH     DEFINED     01      65,951     101,905         594
AURORA FOODS INC                COM   05164B106          49     141,120  SH     DEFINED  01,08      21,311     119,809           0

AUTHENTIDATE HLDG CORP          COM   052666104          71      20,200  SH     DEFINED     01       3,300      16,900           0
AUTHENTIDATE HLDG CORP          COM   052666104           4       1,000  SH     DEFINED     04       1,000           0           0
AUTHENTIDATE HLDG CORP          COM   052666104         127      36,116  SH     DEFINED  01,08       9,542      26,574           0

AUTOBYTEL INC                   COM   05275N106         224      36,246  SH     DEFINED     01       5,918      30,328           0
AUTOBYTEL INC                   COM   05275N106         411      66,426  SH     DEFINED  01,08      25,829      40,597           0

AUTODESK INC                    COM   052769106      10,689     661,041  SH     DEFINED     01     352,272     298,069      10,700
AUTODESK INC                    COM   052769106           2         100  SH     OTHER       01           0           0         100
AUTODESK INC                    COM   052769106           1          50  SH     DEFINED     03           0          50           0
AUTODESK INC                    COM   052769106          19       1,200  SH     OTHER       03       1,200           0           0
AUTODESK INC                    COM   052769106           5         300  SH     OTHER    01,06           0           0         300
AUTODESK INC                    COM   052769106       8,151     504,085  SH     DEFINED  01,08     456,046      48,039           0
AUTODESK INC                    COM   052769106           0          20  SH     DEFINED     10          20           0           0

AUTOIMMUNE INC                  COM   052776101          36      22,600  SH     DEFINED     01       3,400      19,200           0
AUTOIMMUNE INC                  COM   052776101          37      22,874  SH     DEFINED  01,08       4,130      18,744           0

AUTOLIV INC                     COM   052800109       2,822     104,227  SH     DEFINED     01      58,618      40,494       5,115
AUTOLIV INC                     COM   052800109          24         902  SH     OTHER       01         902           0           0
AUTOLIV INC                     COM   052800109          50       1,854  SH     OTHER       02           0       1,600         254
AUTOLIV INC                     COM   052800109          99       3,664  SH     DEFINED     04       3,664           0           0
AUTOLIV INC                     COM   052800109          98       3,608  SH     OTHER       04       3,608           0           0
AUTOLIV INC                     COM   052800109       3,183     117,530  SH     DEFINED  01,08     103,430      14,100           0
AUTOLIV INC                     COM   052800109          28       1,023  SH     OTHER       10       1,023           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     56
________

AUTOMATIC DATA PROCESSING IN    COM   053015103     146,287   4,320,355  SH     DEFINED     01   2,463,521   1,746,024     110,810
AUTOMATIC DATA PROCESSING IN    COM   053015103      23,178     684,529  SH     OTHER       01     246,827     394,741      42,961
AUTOMATIC DATA PROCESSING IN    COM   053015103       2,138      63,131  SH     DEFINED     02      41,741      18,940       2,450
AUTOMATIC DATA PROCESSING IN    COM   053015103       2,326      68,705  SH     OTHER       02      37,535      31,000         170
AUTOMATIC DATA PROCESSING IN    COM   053015103       4,677     138,123  SH     DEFINED     03      71,904      55,274      10,945
AUTOMATIC DATA PROCESSING IN    COM   053015103       4,417     130,438  SH     OTHER       03     108,020      11,948      10,470
AUTOMATIC DATA PROCESSING IN    COM   053015103      16,834     497,156  SH     DEFINED     04     483,266           0      13,890
AUTOMATIC DATA PROCESSING IN    COM   053015103      13,721     405,224  SH     OTHER       04     383,264           0      21,960
AUTOMATIC DATA PROCESSING IN    COM   053015103         858      25,349  SH     DEFINED     05      21,434       2,960         955
AUTOMATIC DATA PROCESSING IN    COM   053015103         305       9,020  SH     OTHER       05       2,000       6,040         980
AUTOMATIC DATA PROCESSING IN    COM   053015103          51       1,500  SH     OTHER    01,06           0           0       1,500
AUTOMATIC DATA PROCESSING IN    COM   053015103          92       2,714  SH     OTHER    04,07           0           0       2,714
AUTOMATIC DATA PROCESSING IN    COM   053015103      88,682   2,619,093  SH     DEFINED  01,08   2,389,634     229,459           0
AUTOMATIC DATA PROCESSING IN    COM   053015103      11,921     352,076  SH     DEFINED     10     186,876     123,900      41,300
AUTOMATIC DATA PROCESSING IN    COM   053015103       2,407      71,097  SH     OTHER       10      29,929      40,368         800

AUTONATION INC                  COM   05329W102      23,896   1,520,083  SH     DEFINED     01     793,138     703,678      23,267
AUTONATION INC                  COM   05329W102           4         250  SH     OTHER       01           0           0         250
AUTONATION INC                  COM   05329W102           2         100  SH     DEFINED     03           0         100           0
AUTONATION INC                  COM   05329W102      15,761   1,002,614  SH     DEFINED     04   1,002,614           0           0
AUTONATION INC                  COM   05329W102         888      56,500  SH     OTHER       04      56,500           0           0
AUTONATION INC                  COM   05329W102          11         700  SH     OTHER    01,06           0           0         700
AUTONATION INC                  COM   05329W102      17,447   1,109,874  SH     DEFINED  01,08   1,008,337     101,537           0
AUTONATION INC                  COM   05329W102       1,228      78,130  SH     DEFINED     10      78,130           0           0
AUTONATION INC                  COM   05329W102       5,026     319,691  SH     OTHER       10           0     319,691           0

AUTOZONE INC                    COM   053332102      45,407     597,692  SH     DEFINED     01     360,942     228,725       8,025
AUTOZONE INC                    COM   053332102           8         100  SH     OTHER       01           0           0         100
AUTOZONE INC                    COM   053332102          23         300  SH     DEFINED     02         300           0           0
AUTOZONE INC                    COM   053332102       1,293      17,015  SH     DEFINED     03       9,940       6,110         965
AUTOZONE INC                    COM   053332102         543       7,150  SH     OTHER       03       4,655         325       2,170
AUTOZONE INC                    COM   053332102       2,056      27,058  SH     DEFINED     04      26,358           0         700
AUTOZONE INC                    COM   053332102         242       3,185  SH     OTHER       04       3,185           0           0
AUTOZONE INC                    COM   053332102         310       4,075  SH     DEFINED     05       4,075           0           0
AUTOZONE INC                    COM   053332102          15         200  SH     OTHER    01,06           0           0         200
AUTOZONE INC                    COM   053332102      29,029     382,107  SH     DEFINED  01,08     346,595      35,512           0
AUTOZONE INC                    COM   053332102         117       1,541  SH     DEFINED     10       1,541           0           0
AUTOZONE INC                    COM   053332102          70         920  SH     OTHER       10         920           0           0

AVALON DIGITAL MARKETING SYS    COM   05343V106           4      20,300  SH     DEFINED  01,08      15,000       5,300           0

AVANIR PHARMACEUTICALS          COM   05348P104         175      99,876  SH     DEFINED     01      38,076      60,400       1,400
AVANIR PHARMACEUTICALS          COM   05348P104         203     115,817  SH     DEFINED  01,08      24,800      91,017           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     57
________

AVANEX CORP                     COM   05348W109         819     207,328  SH     DEFINED     01     119,850      84,178       3,300
AVANEX CORP                     COM   05348W109          18       4,600  SH     OTHER       01           0       4,600           0
AVANEX CORP                     COM   05348W109       1,020     258,296  SH     DEFINED  01,08     134,172     124,124           0

AVALONBAY CMNTYS INC            COM   053484101       7,497     175,828  SH     DEFINED     01     124,006      45,191       6,631
AVALONBAY CMNTYS INC            COM   053484101       1,318      30,901  SH     OTHER       01      15,425      13,926       1,550
AVALONBAY CMNTYS INC            COM   053484101         442      10,360  SH     DEFINED     02       7,160       3,000         200
AVALONBAY CMNTYS INC            COM   053484101         529      12,400  SH     OTHER       02      11,000         900         500
AVALONBAY CMNTYS INC            COM   053484101       1,731      40,585  SH     DEFINED     03      22,635      10,425       7,525
AVALONBAY CMNTYS INC            COM   053484101         111       2,600  SH     OTHER       03       2,150         450           0
AVALONBAY CMNTYS INC            COM   053484101         570      13,372  SH     DEFINED     04      12,622           0         750
AVALONBAY CMNTYS INC            COM   053484101         211       4,953  SH     OTHER       04       3,953           0       1,000
AVALONBAY CMNTYS INC            COM   053484101         343       8,040  SH     DEFINED     05       6,145         900         995
AVALONBAY CMNTYS INC            COM   053484101          58       1,360  SH     OTHER       05       1,360           0           0
AVALONBAY CMNTYS INC            COM   053484101       6,125     143,646  SH     DEFINED  01,08      95,833      47,813           0
AVALONBAY CMNTYS INC            COM   053484101         338       7,928  SH     DEFINED     10       6,128       1,800           0
AVALONBAY CMNTYS INC            COM   053484101          31         725  SH     OTHER       10         375         350           0

AVANT IMMUNOTHERAPEUTICS INC    COM   053491106         191      66,100  SH     DEFINED     01      12,300      53,800           0
AVANT IMMUNOTHERAPEUTICS INC    COM   053491106         368     127,297  SH     DEFINED  01,08      50,145      77,152           0

AVATAR HLDGS INC                COM   053494100         572      19,139  SH     DEFINED     01       9,414       9,525         200
AVATAR HLDGS INC                COM   053494100         666      22,265  SH     DEFINED  01,08       5,097      17,168           0

AVAX TECHNOLOGIES INC           COM   053495305           2       7,700  SH     DEFINED     01       3,200       4,500           0
AVAX TECHNOLOGIES INC           COM   053495305           1       3,470  SH     DEFINED  01,08       2,670         800           0

AVAYA INC                       COM   053499109      13,679   2,117,492  SH     DEFINED     01   1,124,138     960,167      33,187
AVAYA INC                       COM   053499109          22       3,394  SH     OTHER       01       1,168         344       1,882
AVAYA INC                       COM   053499109          15       2,297  SH     DEFINED     02          33         149       2,115
AVAYA INC                       COM   053499109           7       1,080  SH     OTHER       02         822         258           0
AVAYA INC                       COM   053499109           1         187  SH     DEFINED     03           0         150          37
AVAYA INC                       COM   053499109           0          68  SH     OTHER       03          25          43           0
AVAYA INC                       COM   053499109          48       7,497  SH     DEFINED     04       7,422           0          75
AVAYA INC                       COM   053499109          15       2,272  SH     OTHER       04       1,047           0       1,225
AVAYA INC                       COM   053499109           1          82  SH     DEFINED     05          82           0           0
AVAYA INC                       COM   053499109           6       1,000  SH     OTHER    01,06           0           0       1,000
AVAYA INC                       COM   053499109       8,971   1,388,701  SH     DEFINED  01,08   1,243,498     145,203           0
AVAYA INC                       COM   053499109           1         170  SH     DEFINED     10         170           0           0
AVAYA INC                       COM   053499109           2         364  SH     OTHER       10         364           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     58
________

AVERY DENNISON CORP             COM   053611109      34,824     693,715  SH     DEFINED     01     371,661     308,676      13,378
AVERY DENNISON CORP             COM   053611109       1,522      30,315  SH     OTHER       01      14,385      15,480         450
AVERY DENNISON CORP             COM   053611109       2,439      48,585  SH     DEFINED     02      37,410       9,550       1,625
AVERY DENNISON CORP             COM   053611109         407       8,103  SH     OTHER       02       4,886       3,217           0
AVERY DENNISON CORP             COM   053611109       2,884      57,449  SH     DEFINED     03      31,233      19,647       6,569
AVERY DENNISON CORP             COM   053611109       1,352      26,930  SH     OTHER       03      20,850       3,830       2,250
AVERY DENNISON CORP             COM   053611109       5,231     104,209  SH     DEFINED     04     101,334           0       2,875
AVERY DENNISON CORP             COM   053611109       1,627      32,405  SH     OTHER       04      30,405           0       2,000
AVERY DENNISON CORP             COM   053611109       1,974      39,327  SH     DEFINED     05      32,222       2,115       4,990
AVERY DENNISON CORP             COM   053611109         144       2,860  SH     OTHER       05       1,200       1,550         110
AVERY DENNISON CORP             COM   053611109          13         250  SH     OTHER    01,06           0           0         250
AVERY DENNISON CORP             COM   053611109      44,578     888,013  SH     DEFINED  01,08     417,857     401,339      68,817
AVERY DENNISON CORP             COM   053611109       1,181      23,516  SH     DEFINED     10      19,698       3,453         365
AVERY DENNISON CORP             COM   053611109         167       3,325  SH     OTHER       10         250       3,075           0

AVIALL INC NEW                  COM   05366B102         915      80,502  SH     DEFINED     01      43,390      37,052          60
AVIALL INC NEW                  COM   05366B102         619      54,414  SH     DEFINED  01,08      19,214      35,200           0

AVICI SYS INC                   COM   05367L802          78      12,725  SH     DEFINED     01       2,425      10,300           0
AVICI SYS INC                   COM   05367L802         135      22,100  SH     DEFINED  01,08       6,000      16,100           0

AVID TECHNOLOGY INC             COM   05367P100       5,095     144,198  SH     DEFINED     01     108,133      34,065       2,000
AVID TECHNOLOGY INC             COM   05367P100          18         500  SH     OTHER    01,06           0           0         500
AVID TECHNOLOGY INC             COM   05367P100       4,221     119,487  SH     DEFINED  01,08      71,043      48,444           0

AVIGEN INC                      COM   053690103         323      87,047  SH     DEFINED     01      46,803      40,244           0
AVIGEN INC                      COM   053690103         174      46,871  SH     DEFINED  01,08      10,041      36,830           0

AVIRON                          CONDB 053762AD2       4,155   4,000,000  PRN    DEFINED     01   4,000,000           0           0

AVISTA CORP                     COM   05379B107       2,578     182,212  SH     DEFINED     01     105,529      73,833       2,850
AVISTA CORP                     COM   05379B107          13         950  SH     OTHER    01,06           0           0         950
AVISTA CORP                     COM   05379B107       3,035     214,517  SH     DEFINED  01,08     126,405      88,112           0
AVISTA CORP                     COM   05379B107          14       1,000  SH     DEFINED     10       1,000           0           0

AVISTAR COMMUNICATIONS CORP     COM   05379X208           4       5,100  SH     DEFINED     01       5,100           0           0
AVISTAR COMMUNICATIONS CORP     COM   05379X208          15      17,700  SH     DEFINED  01,08       7,300      10,400           0

AVITAR INC NEW                  COM   053801106           1       5,900  SH     DEFINED     01       5,900           0           0
AVITAR INC NEW                  COM   053801106           1       7,000  SH     DEFINED  01,08       5,400       1,600           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     59
________

AVNET INC                       COM   053807103       4,870     384,079  SH     DEFINED     01     145,443     229,135       9,501
AVNET INC                       COM   053807103         345      27,200  SH     OTHER       01       4,000       6,000      17,200
AVNET INC                       COM   053807103          26       2,030  SH     DEFINED     02       2,030           0           0
AVNET INC                       COM   053807103          25       1,975  SH     DEFINED     04       1,975           0           0
AVNET INC                       COM   053807103       3,484     274,797  SH     DEFINED  01,08     189,190      85,607           0
AVNET INC                       COM   053807103           6         480  SH     DEFINED     10         480           0           0

AVOCENT CORP                    COM   053893103       7,874     263,442  SH     DEFINED     01     153,952     100,381       9,109
AVOCENT CORP                    COM   053893103       3,952     132,202  SH     DEFINED  01,08      84,952      47,250           0

AVON PRODS INC                  CONDB 054303AP7       2,105   4,000,000  PRN    DEFINED     01   4,000,000           0           0

AVON PRODS INC                  COM   054303102     138,045   2,219,375  SH     DEFINED     01   1,473,006     694,375      51,994
AVON PRODS INC                  COM   054303102       8,052     129,459  SH     OTHER       01      78,229      41,975       9,255
AVON PRODS INC                  COM   054303102       2,634      42,350  SH     DEFINED     02      30,400      11,025         925
AVON PRODS INC                  COM   054303102         787      12,660  SH     OTHER       02       6,950       2,400       3,310
AVON PRODS INC                  COM   054303102      16,468     264,757  SH     DEFINED     03     132,780      90,494      41,483
AVON PRODS INC                  COM   054303102       3,049      49,027  SH     OTHER       03      30,929      13,543       4,555
AVON PRODS INC                  COM   054303102      29,422     473,024  SH     DEFINED     04     461,959           0      11,065
AVON PRODS INC                  COM   054303102       7,436     119,549  SH     OTHER       04     117,299           0       2,250
AVON PRODS INC                  COM   054303102       4,030      64,793  SH     DEFINED     05      48,448       9,680       6,665
AVON PRODS INC                  COM   054303102         395       6,355  SH     OTHER       05       2,545       3,810           0
AVON PRODS INC                  COM   054303102          37         600  SH     OTHER    01,06           0           0         600
AVON PRODS INC                  COM   054303102      87,709   1,410,108  SH     DEFINED  01,08     854,725     477,963      77,420
AVON PRODS INC                  COM   054303102       4,807      77,280  SH     DEFINED     10      69,235       3,915       4,130
AVON PRODS INC                  COM   054303102       1,085      17,445  SH     OTHER       10      14,185       3,260           0

AWARE INC MASS                  COM   05453N100          62      26,400  SH     DEFINED     01       4,400      21,200         800
AWARE INC MASS                  COM   05453N100          94      39,806  SH     DEFINED  01,08      10,813      28,993           0

AXA                             COM   054536107           7         463  SH     DEFINED     01         463           0           0
AXA                             COM   054536107          52       3,345  SH     OTHER       01           0       3,345           0
AXA                             COM   054536107           5         295  SH     DEFINED     02           0         236          59
AXA                             COM   054536107           0          12  SH     DEFINED     03           0           0          12
AXA                             COM   054536107          28       1,768  SH     DEFINED     04       1,238           0         530
AXA                             COM   054536107         214      13,720  SH     OTHER       04      13,720           0           0
AXA                             COM   054536107          19       1,200  SH     OTHER       05           0           0       1,200
AXA                             COM   054536107           9         590  SH     DEFINED  01,08         590           0           0
AXA                             COM   054536107           5         334  SH     DEFINED     10           0           0         334
AXA                             COM   054536107           1          50  SH     OTHER       10           0          50           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     60
________

AXCELIS TECHNOLOGIES INC        COM   054540109       2,015     329,816  SH     DEFINED     01     207,887     115,977       5,952
AXCELIS TECHNOLOGIES INC        COM   054540109          20       3,353  SH     OTHER       01           0       3,353           0
AXCELIS TECHNOLOGIES INC        COM   054540109          14       2,277  SH     OTHER       02       2,277           0           0
AXCELIS TECHNOLOGIES INC        COM   054540109          41       6,720  SH     OTHER       03       6,720           0           0
AXCELIS TECHNOLOGIES INC        COM   054540109           9       1,400  SH     DEFINED     04       1,400           0           0
AXCELIS TECHNOLOGIES INC        COM   054540109          31       5,058  SH     OTHER       04           0           0       5,058
AXCELIS TECHNOLOGIES INC        COM   054540109          12       1,900  SH     OTHER    01,06           0           0       1,900
AXCELIS TECHNOLOGIES INC        COM   054540109       2,781     455,174  SH     DEFINED  01,08     277,172     178,002           0
AXCELIS TECHNOLOGIES INC        COM   054540109           4         707  SH     OTHER       10           0         707           0

AXONYX INC                      COM   05461R101           8       3,100  SH     DEFINED     01       3,100           0           0
AXONYX INC                      COM   05461R101          86      35,467  SH     DEFINED  01,08       9,467      26,000           0

AXSYS TECHNOLOGIES INC          COM   054615109          59       6,100  SH     DEFINED     01         900       5,200           0
AXSYS TECHNOLOGIES INC          COM   054615109          77       8,000  SH     DEFINED  01,08       2,033       5,967           0

AZTAR CORP                      COM   054802103       3,596     223,212  SH     DEFINED     01     154,196      64,616       4,400
AZTAR CORP                      COM   054802103           8         500  SH     DEFINED     02           0         500           0
AZTAR CORP                      COM   054802103          12         760  SH     OTHER    01,06           0           0         760
AZTAR CORP                      COM   054802103       2,591     160,837  SH     DEFINED  01,08      88,634      72,203           0
AZTAR CORP                      COM   054802103          11         700  SH     DEFINED     10         700           0           0

AXCAN PHARMA INC                COM   054923107         793      63,100  SH     DEFINED     01      63,100           0           0

BB&T CORP                       COM   054937107      90,969   2,652,162  SH     DEFINED     01   1,382,322   1,231,217      38,623
BB&T CORP                       COM   054937107         108       3,141  SH     OTHER       01       2,866           0         275
BB&T CORP                       COM   054937107         846      24,662  SH     DEFINED     02      16,024       8,338         300
BB&T CORP                       COM   054937107          24         700  SH     OTHER       02         400         300           0
BB&T CORP                       COM   054937107         243       7,075  SH     DEFINED     03       3,000       3,575         500
BB&T CORP                       COM   054937107         142       4,150  SH     OTHER       03       4,150           0           0
BB&T CORP                       COM   054937107       8,193     238,860  SH     DEFINED     04     227,535           0      11,325
BB&T CORP                       COM   054937107       3,249      94,734  SH     OTHER       04      85,084           0       9,650
BB&T CORP                       COM   054937107          14         400  SH     DEFINED     05         400           0           0
BB&T CORP                       COM   054937107         390      11,357  SH     OTHER       05      11,357           0           0
BB&T CORP                       COM   054937107          41       1,200  SH     OTHER    01,06           0           0       1,200
BB&T CORP                       COM   054937107      67,812   1,977,015  SH     DEFINED  01,08   1,789,588     187,427           0
BB&T CORP                       COM   054937107         268       7,805  SH     DEFINED     10       7,280         450          75
BB&T CORP                       COM   054937107          45       1,325  SH     OTHER       10       1,090          35         200

BCSB BANKCORP INC               COM   054948104          84       5,500  SH     DEFINED     01         900       4,600           0
BCSB BANKCORP INC               COM   054948104         159      10,439  SH     DEFINED  01,08       2,639       7,800           0

AXEDA SYSTEMS INC               COM   054959101           4       3,100  SH     DEFINED     01       3,100           0           0
AXEDA SYSTEMS INC               COM   054959101          17      11,749  SH     DEFINED  01,08       3,949       7,800           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     61
________

BEI TECHNOLOGIES INC            COM   05538P104         653      54,515  SH     DEFINED     01      26,514      27,301         700
BEI TECHNOLOGIES INC            COM   05538P104           4         300  SH     OTHER    01,06           0           0         300
BEI TECHNOLOGIES INC            COM   05538P104       1,050      87,648  SH     DEFINED  01,08      64,042      23,606           0

BF ENTERPRISES INC              COM   055387104          21       2,500  SH     DEFINED     01           0       2,500           0
BF ENTERPRISES INC              COM   055387104          94      11,302  SH     DEFINED  01,08       1,612       9,690           0

BHA GROUP HLDGS INC             COM   055446108         208      10,400  SH     DEFINED     01       4,400       6,000           0
BHA GROUP HLDGS INC             COM   055446108         274      13,703  SH     DEFINED  01,08       3,047      10,656           0

BISYS GROUP INC                 COM   055472104       8,011     436,080  SH     DEFINED     01     174,360     229,020      32,700
BISYS GROUP INC                 COM   055472104          15         800  SH     OTHER       01           0         800           0
BISYS GROUP INC                 COM   055472104          30       1,650  SH     DEFINED     03       1,650           0           0
BISYS GROUP INC                 COM   055472104       5,543     301,726  SH     DEFINED  01,08     218,552      83,174           0

BKF CAP GROUP INC               COM   05548G102         318      14,565  SH     DEFINED     01      10,863       3,552         150
BKF CAP GROUP INC               COM   05548G102          30       1,380  SH     OTHER       01           0       1,380           0
BKF CAP GROUP INC               COM   05548G102          33       1,500  SH     OTHER       04           0           0       1,500
BKF CAP GROUP INC               COM   05548G102          77       3,535  SH     DEFINED  01,08         300       3,235           0

BJS WHOLESALE CLUB INC          COM   05548J106       3,999     265,557  SH     DEFINED     01     120,960     139,971       4,626
BJS WHOLESALE CLUB INC          COM   05548J106          13         850  SH     DEFINED     04         850           0           0
BJS WHOLESALE CLUB INC          COM   05548J106       2,724     180,865  SH     DEFINED  01,08     131,674      49,191           0

BJ SVCS CO                      COM   055482103      47,015   1,258,440  SH     DEFINED     01     816,491     422,222      19,727
BJ SVCS CO                      COM   055482103         602      16,125  SH     OTHER       01           0      16,000         125
BJ SVCS CO                      COM   055482103       1,593      42,650  SH     DEFINED     03      22,050      19,200       1,400
BJ SVCS CO                      COM   055482103          50       1,350  SH     OTHER       03         650         700           0
BJ SVCS CO                      COM   055482103          41       1,092  SH     DEFINED     04       1,092           0           0
BJ SVCS CO                      COM   055482103          19         500  SH     OTHER       04           0           0         500
BJ SVCS CO                      COM   055482103          19         500  SH     DEFINED     05           0           0         500
BJ SVCS CO                      COM   055482103          15         400  SH     OTHER    01,06           0           0         400
BJ SVCS CO                      COM   055482103      25,279     676,629  SH     DEFINED  01,08     616,357      60,272           0
BJ SVCS CO                      COM   055482103          56       1,495  SH     DEFINED     10       1,495           0           0
BJ SVCS CO                      COM   055482103          11         300  SH     OTHER       10         300           0           0

BMC INDS INC MINN               COM   055607105          17      32,000  SH     DEFINED     01       5,700      26,300           0
BMC INDS INC MINN               COM   055607105           1       1,000  SH     OTHER       04       1,000           0           0
BMC INDS INC MINN               COM   055607105          38      70,673  SH     DEFINED  01,08      15,084      55,589           0

BOK FINL CORP                   COM   05561Q201         952      24,673  SH     DEFINED     01      18,203       5,827         643
BOK FINL CORP                   COM   05561Q201       1,901      49,251  SH     DEFINED  01,08      15,072      34,179           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     62
________

BP PLC                          COM   055622104     111,504   2,653,593  SH     DEFINED     01   1,942,460     533,486     177,647
BP PLC                          COM   055622104      57,971   1,379,610  SH     OTHER       01     547,297     756,806      75,507
BP PLC                          COM   055622104      10,430     248,208  SH     DEFINED     02     166,676      70,296      11,236
BP PLC                          COM   055622104       6,775     161,243  SH     OTHER       02      96,686      60,073       4,484
BP PLC                          COM   055622104      17,927     426,627  SH     DEFINED     03     261,073     117,480      48,074
BP PLC                          COM   055622104      10,666     253,832  SH     OTHER       03     205,280      36,909      11,643
BP PLC                          COM   055622104      48,360   1,150,875  SH     DEFINED     04   1,065,485           0      85,390
BP PLC                          COM   055622104      42,739   1,017,111  SH     OTHER       04     930,929           0      86,182
BP PLC                          COM   055622104       4,237     100,825  SH     DEFINED     05      84,529       9,481       6,815
BP PLC                          COM   055622104         881      20,972  SH     OTHER       05      10,846       8,554       1,572
BP PLC                          COM   055622104      11,878     282,681  SH     DEFINED  01,08       9,660     213,577      59,444
BP PLC                          COM   055622104      14,273     339,671  SH     DEFINED     10     244,184      50,519      44,968
BP PLC                          COM   055622104       8,394     199,772  SH     OTHER       10      83,603     115,094       1,075

BP PRUDHOE BAY RTY TR           COM   055630107         140       7,425  SH     DEFINED     01       7,425           0           0
BP PRUDHOE BAY RTY TR           COM   055630107           8         400  SH     DEFINED     02           0         400           0
BP PRUDHOE BAY RTY TR           COM   055630107           6         300  SH     DEFINED     03         300           0           0
BP PRUDHOE BAY RTY TR           COM   055630107         708      37,500  SH     DEFINED  01,08       9,100      28,400           0

BRE PROPERTIES INC              COM   05564E106       1,878      56,573  SH     DEFINED     01      34,046      20,227       2,300
BRE PROPERTIES INC              COM   05564E106          10         300  SH     OTHER       01           0         300           0
BRE PROPERTIES INC              COM   05564E106           7         200  SH     DEFINED     02           0         200           0
BRE PROPERTIES INC              COM   05564E106          35       1,040  SH     OTHER       02           0       1,040           0
BRE PROPERTIES INC              COM   05564E106         312       9,400  SH     DEFINED     03       5,750       3,650           0
BRE PROPERTIES INC              COM   05564E106          31         934  SH     OTHER       03         934           0           0
BRE PROPERTIES INC              COM   05564E106          10         300  SH     DEFINED     04         300           0           0
BRE PROPERTIES INC              COM   05564E106          50       1,500  SH     OTHER       04       1,500           0           0
BRE PROPERTIES INC              COM   05564E106       2,334      70,292  SH     DEFINED  01,08      36,958      33,334           0
BRE PROPERTIES INC              COM   05564E106          37       1,122  SH     DEFINED     10       1,122           0           0

BNP RESIDENTIAL PPTYS INC       COM   05564T103           9         800  SH     DEFINED     01         800           0           0
BNP RESIDENTIAL PPTYS INC       COM   05564T103         114      10,600  SH     DEFINED  01,08       2,800       7,800           0

BSB BANCORP                     COM   055652101       1,070      43,124  SH     DEFINED     01      28,674      13,750         700
BSB BANCORP                     COM   055652101         847      34,140  SH     DEFINED  01,08       8,201      25,939           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     63
________

BMC SOFTWARE INC                COM   055921100      22,054   1,350,543  SH     DEFINED     01     720,889     612,074      17,580
BMC SOFTWARE INC                COM   055921100         238      14,600  SH     OTHER       01      14,400           0         200
BMC SOFTWARE INC                COM   055921100         130       7,950  SH     DEFINED     02       7,950           0           0
BMC SOFTWARE INC                COM   055921100          73       4,500  SH     OTHER       02       1,500       3,000           0
BMC SOFTWARE INC                COM   055921100           2         100  SH     DEFINED     03           0         100           0
BMC SOFTWARE INC                COM   055921100          23       1,425  SH     DEFINED     04       1,425           0           0
BMC SOFTWARE INC                COM   055921100          66       4,060  SH     DEFINED     05       1,160       2,900           0
BMC SOFTWARE INC                COM   055921100          72       4,400  SH     OTHER       05       4,400           0           0
BMC SOFTWARE INC                COM   055921100          10         600  SH     OTHER    01,06           0           0         600
BMC SOFTWARE INC                COM   055921100      17,768   1,088,063  SH     DEFINED  01,08     994,438      93,625           0
BMC SOFTWARE INC                COM   055921100           3         202  SH     DEFINED     10         202           0           0

BTU INTL INC                    COM   056032105          14       7,600  SH     DEFINED     01       1,500       6,100           0
BTU INTL INC                    COM   056032105          23      12,428  SH     DEFINED  01,08       3,460       8,968           0

BWC FINANCIAL CORP              COM   056042104          91       4,634  SH     DEFINED     01         242       4,392           0
BWC FINANCIAL CORP              COM   056042104         118       6,012  SH     DEFINED  01,08       1,329       4,683           0

BACK YD BURGERS INC             COM   05635W101          52      10,000  SH     DEFINED     01           0      10,000           0
BACK YD BURGERS INC             COM   05635W101          49       9,300  SH     DEFINED  01,08       2,049       7,251           0

BADGER METER INC                COM   056525108          95       3,700  SH     DEFINED     01         700       3,000           0
BADGER METER INC                COM   056525108         419      16,282  SH     DEFINED  01,08       1,467      14,815           0

BAIRNCO CORP                    COM   057097107          66      10,900  SH     DEFINED     01       1,700       9,200           0
BAIRNCO CORP                    COM   057097107         146      24,270  SH     DEFINED  01,08       3,528      20,742           0

BAKER MICHAEL CORP              COM   057149106         135      12,655  SH     DEFINED     01       3,455       9,100         100
BAKER MICHAEL CORP              COM   057149106         219      20,434  SH     DEFINED  01,08       3,939      16,495           0

BAKER HUGHES INC                COM   057224107      99,206   2,955,186  SH     DEFINED     01   1,653,073   1,191,671     110,442
BAKER HUGHES INC                COM   057224107       4,751     141,523  SH     OTHER       01      62,773      70,675       8,075
BAKER HUGHES INC                COM   057224107       1,903      56,700  SH     DEFINED     02      42,550      12,200       1,950
BAKER HUGHES INC                COM   057224107         138       4,100  SH     OTHER       02       2,150       1,950           0
BAKER HUGHES INC                COM   057224107       4,211     125,428  SH     DEFINED     03      57,478      45,688      22,262
BAKER HUGHES INC                COM   057224107         680      20,270  SH     OTHER       03      13,400       5,970         900
BAKER HUGHES INC                COM   057224107       4,310     128,376  SH     DEFINED     04     122,876           0       5,500
BAKER HUGHES INC                COM   057224107         934      27,825  SH     OTHER       04      27,715           0         110
BAKER HUGHES INC                COM   057224107       4,094     121,948  SH     DEFINED     05     103,618       8,865       9,465
BAKER HUGHES INC                COM   057224107         309       9,203  SH     OTHER       05       6,890       2,313           0
BAKER HUGHES INC                COM   057224107          30         900  SH     OTHER    01,06           0           0         900
BAKER HUGHES INC                COM   057224107      51,457   1,532,825  SH     DEFINED  01,08   1,405,157     127,668           0
BAKER HUGHES INC                COM   057224107       2,427      72,303  SH     DEFINED     10      63,718       4,830       3,755
BAKER HUGHES INC                COM   057224107         508      15,120  SH     OTHER       10       9,760       5,135         225


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     64
________

BALCHEM CORP                    COM   057665200         127       5,400  SH     DEFINED     01       1,000       4,400           0
BALCHEM CORP                    COM   057665200         151       6,411  SH     DEFINED  01,08       2,111       4,300           0

BALDOR ELEC CO                  COM   057741100       2,431     118,021  SH     DEFINED     01      66,424      48,337       3,260
BALDOR ELEC CO                  COM   057741100          13         655  SH     OTHER    01,06           0           0         655
BALDOR ELEC CO                  COM   057741100       2,870     139,305  SH     DEFINED  01,08      66,289      73,016           0
BALDOR ELEC CO                  COM   057741100          67       3,240  SH     DEFINED     10       3,240           0           0

BALDWIN & LYONS INC             COM   057755209         971      40,875  SH     DEFINED     01      18,020      22,480         375
BALDWIN & LYONS INC             COM   057755209       1,361      57,289  SH     DEFINED  01,08      17,275      40,014           0

BALDWIN TECHNOLOGY INC          COM   058264102          19      30,000  SH     DEFINED     01       2,100      27,900           0
BALDWIN TECHNOLOGY INC          COM   058264102           5       8,000  SH     DEFINED     04       8,000           0           0
BALDWIN TECHNOLOGY INC          COM   058264102          36      55,853  SH     DEFINED  01,08       6,146      49,707           0

BALL CORP                       COM   058498106      14,739     323,862  SH     DEFINED     01     171,709     145,736       6,417
BALL CORP                       COM   058498106           8         175  SH     OTHER       01           0         175           0
BALL CORP                       COM   058498106          73       1,600  SH     DEFINED     03       1,600           0           0
BALL CORP                       COM   058498106          82       1,804  SH     DEFINED     04       1,804           0           0
BALL CORP                       COM   058498106          91       2,000  SH     OTHER       04           0           0       2,000
BALL CORP                       COM   058498106           5         100  SH     OTHER    01,06           0           0         100
BALL CORP                       COM   058498106      10,569     232,224  SH     DEFINED  01,08     208,929      23,295           0
BALL CORP                       COM   058498106           0          10  SH     DEFINED     10          10           0           0

BALLARD PWR SYS INC             COM   05858H104          14       1,000  SH     DEFINED     01       1,000           0           0
BALLARD PWR SYS INC             COM   05858H104          25       1,800  SH     OTHER       01           0       1,800           0
BALLARD PWR SYS INC             COM   05858H104           5         400  SH     DEFINED     02           0         400           0
BALLARD PWR SYS INC             COM   05858H104           6         450  SH     DEFINED     04         450           0           0
BALLARD PWR SYS INC             COM   05858H104         274      20,100  SH     OTHER       04      20,100           0           0
BALLARD PWR SYS INC             COM   05858H104          12         900  SH     DEFINED     10         900           0           0

BALLY TOTAL FITNESS HLDG COR    COM   05873K108       1,649     182,568  SH     DEFINED     01     125,817      54,851       1,900
BALLY TOTAL FITNESS HLDG COR    COM   05873K108           2         250  SH     OTHER       01         250           0           0
BALLY TOTAL FITNESS HLDG COR    COM   05873K108           6         625  SH     OTHER    01,06           0           0         625
BALLY TOTAL FITNESS HLDG COR    COM   05873K108       1,363     150,989  SH     DEFINED  01,08      91,362      59,627           0

BAM ENTMNT INC                  COM   059361105           1       2,900  SH     DEFINED     01       2,900           0           0
BAM ENTMNT INC                  COM   059361105           6      13,900  SH     DEFINED  01,08       2,500      11,400           0

BANC CORP                       COM   05944B103         227      34,566  SH     DEFINED     01      26,766       7,800           0
BANC CORP                       COM   05944B103         225      34,221  SH     DEFINED  01,08       8,030      26,191           0

BANCFIRST CORP                  COM   05945F103       1,289      24,949  SH     DEFINED     01      15,013       9,836         100
BANCFIRST CORP                  COM   05945F103         887      17,177  SH     DEFINED  01,08       4,565      12,612           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     65
________

BANCO SANTANDER CENT HISPANO    COM   05964H105         176      19,985  SH     DEFINED     01      19,985           0           0
BANCO SANTANDER CENT HISPANO    COM   05964H105         761      86,292  SH     OTHER       01      49,572      12,240      24,480
BANCO SANTANDER CENT HISPANO    COM   05964H105          50       5,705  SH     DEFINED     02       3,130       2,575           0
BANCO SANTANDER CENT HISPANO    COM   05964H105           8         918  SH     DEFINED     03           0           0         918
BANCO SANTANDER CENT HISPANO    COM   05964H105          78       8,800  SH     DEFINED     04       8,800           0           0
BANCO SANTANDER CENT HISPANO    COM   05964H105          22       2,500  SH     OTHER       05           0           0       2,500

BANCORPSOUTH INC                COM   059692103       2,120     101,681  SH     DEFINED     01      64,569      32,918       4,194
BANCORPSOUTH INC                COM   059692103       2,261     108,442  SH     DEFINED  01,08      51,668      56,774           0

BANCTRUST FINANCIAL GP          COM   05978R107          24       1,500  SH     DEFINED     01         800         700           0
BANCTRUST FINANCIAL GP          COM   05978R107         252      15,647  SH     DEFINED  01,08       4,459      11,188           0

BANDAG INC                      COM   059815100       3,995     107,189  SH     DEFINED     01      71,268      34,971         950
BANDAG INC                      COM   059815100          11         300  SH     OTHER       02         300           0           0
BANDAG INC                      COM   059815100       2,120      56,879  SH     DEFINED  01,08      39,707      17,172           0

BANK OF AMERICA CORPORATION     COM   060505104     716,231   9,062,774  SH     DEFINED     01   4,853,528   4,029,716     179,530
BANK OF AMERICA CORPORATION     COM   060505104      12,122     153,379  SH     OTHER       01      68,037      76,638       8,704
BANK OF AMERICA CORPORATION     COM   060505104       5,361      67,831  SH     DEFINED     02      47,272      18,610       1,949
BANK OF AMERICA CORPORATION     COM   060505104       3,177      40,199  SH     OTHER       02      26,014      13,935         250
BANK OF AMERICA CORPORATION     COM   060505104      11,309     143,097  SH     DEFINED     03      78,731      47,921      16,445
BANK OF AMERICA CORPORATION     COM   060505104       6,918      87,532  SH     OTHER       03      45,165      37,191       5,176
BANK OF AMERICA CORPORATION     COM   060505104      65,074     823,409  SH     DEFINED     04     794,342           0      29,067
BANK OF AMERICA CORPORATION     COM   060505104     106,119   1,342,774  SH     OTHER       04   1,300,606           0      42,168
BANK OF AMERICA CORPORATION     COM   060505104       1,134      14,347  SH     DEFINED     05      13,097         850         400
BANK OF AMERICA CORPORATION     COM   060505104         406       5,140  SH     OTHER       05         940       3,800         400
BANK OF AMERICA CORPORATION     COM   060505104         304       3,850  SH     OTHER    01,06           0           0       3,850
BANK OF AMERICA CORPORATION     COM   060505104     523,710   6,626,722  SH     DEFINED  01,08   6,022,778     603,944           0
BANK OF AMERICA CORPORATION     COM   060505104      16,963     214,638  SH     DEFINED     10     133,836      35,421      45,381
BANK OF AMERICA CORPORATION     COM   060505104       5,886      74,480  SH     OTHER       10      20,379      53,351         750

BANK OF GRANITE CORP            COM   062401104         795      46,617  SH     DEFINED     01      27,888      18,379         350
BANK OF GRANITE CORP            COM   062401104         764      44,789  SH     DEFINED  01,08      17,743      27,046           0

BANK HAWAII CORP                COM   062540109       6,820     205,744  SH     DEFINED     01      83,281     118,190       4,273
BANK HAWAII CORP                COM   062540109           2          65  SH     DEFINED     02          65           0           0
BANK HAWAII CORP                COM   062540109       2,715      81,898  SH     DEFINED     03       2,200           0      79,698
BANK HAWAII CORP                COM   062540109       5,126     154,631  SH     DEFINED  01,08     110,229      44,402           0
BANK HAWAII CORP                COM   062540109          16         494  SH     DEFINED     10         494           0           0

BANK MONTREAL QUE               COM   063671101          28         878  SH     DEFINED     01         600         278           0
BANK MONTREAL QUE               COM   063671101         159       5,000  SH     DEFINED     04       5,000           0           0
BANK MONTREAL QUE               COM   063671101          51       1,600  SH     OTHER       04       1,600           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     66
________

BANK MUT CORP                   COM   063748107       2,072      63,948  SH     DEFINED     01      39,929      23,419         600
BANK MUT CORP                   COM   063748107       1,550      47,845  SH     DEFINED  01,08      12,596      35,249           0

BANK OF THE OZARKS INC          COM   063904106         888      23,111  SH     DEFINED     01      12,811      10,100         200
BANK OF THE OZARKS INC          COM   063904106         683      17,786  SH     DEFINED  01,08       5,668      12,118           0

BANK NEW YORK INC               COM   064057102     125,240   4,356,191  SH     DEFINED     01   2,290,017   1,998,656      67,518
BANK NEW YORK INC               COM   064057102       1,071      37,254  SH     OTHER       01      12,134      23,420       1,700
BANK NEW YORK INC               COM   064057102         423      14,729  SH     DEFINED     02      12,558       1,871         300
BANK NEW YORK INC               COM   064057102         219       7,600  SH     OTHER       02       1,100       6,500           0
BANK NEW YORK INC               COM   064057102         484      16,844  SH     DEFINED     03      14,455         300       2,089
BANK NEW YORK INC               COM   064057102         231       8,021  SH     OTHER       03       2,425       4,196       1,400
BANK NEW YORK INC               COM   064057102       3,033     105,510  SH     DEFINED     04     101,010           0       4,500
BANK NEW YORK INC               COM   064057102       3,147     109,453  SH     OTHER       04     108,403           0       1,050
BANK NEW YORK INC               COM   064057102         177       6,165  SH     DEFINED     05       5,990           0         175
BANK NEW YORK INC               COM   064057102          14         500  SH     OTHER       05         500           0           0
BANK NEW YORK INC               COM   064057102          58       2,000  SH     OTHER    01,06           0           0       2,000
BANK NEW YORK INC               COM   064057102      94,658   3,292,445  SH     DEFINED  01,08   2,999,134     293,311           0
BANK NEW YORK INC               COM   064057102         121       4,218  SH     DEFINED     10       3,948           0         270
BANK NEW YORK INC               COM   064057102         278       9,681  SH     OTHER       10       3,332       4,349       2,000

BANK ONE CORP                   COM   06423A103     270,016   7,262,406  SH     DEFINED     01   4,069,842   3,049,183     143,381
BANK ONE CORP                   COM   06423A103      13,653     367,205  SH     OTHER       01     168,919     130,948      67,338
BANK ONE CORP                   COM   06423A103       3,445      92,651  SH     DEFINED     02      41,335      47,256       4,060
BANK ONE CORP                   COM   06423A103       4,240     114,031  SH     OTHER       02      50,071      63,060         900
BANK ONE CORP                   COM   06423A103       4,288     115,338  SH     DEFINED     03      64,991      43,718       6,629
BANK ONE CORP                   COM   06423A103       1,097      29,509  SH     OTHER       03      20,540       4,731       4,238
BANK ONE CORP                   COM   06423A103      10,839     291,519  SH     DEFINED     04     248,664           0      42,855
BANK ONE CORP                   COM   06423A103       9,582     257,717  SH     OTHER       04     238,960           0      18,757
BANK ONE CORP                   COM   06423A103         651      17,517  SH     DEFINED     05      13,299       3,450         768
BANK ONE CORP                   COM   06423A103         667      17,928  SH     OTHER       05       8,046       9,882           0
BANK ONE CORP                   COM   06423A103         112       3,000  SH     OTHER    01,06           0           0       3,000
BANK ONE CORP                   COM   06423A103     187,939   5,054,843  SH     DEFINED  01,08   4,591,197     463,646           0
BANK ONE CORP                   COM   06423A103       8,706     234,165  SH     DEFINED     10     208,199      21,487       4,479
BANK ONE CORP                   COM   06423A103       3,439      92,499  SH     OTHER       10      36,546      54,478       1,475

BANK UTD CORP LITIGATN CONT     COM   065416117           4      50,254  SH     DEFINED     01      20,154      30,100           0
BANK UTD CORP LITIGATN CONT     COM   065416117           4      47,947  SH     DEFINED  01,08       9,679      38,268           0

BANKATLANTIC BANCORP            COM   065908501       1,996     167,914  SH     DEFINED     01     112,766      52,528       2,620
BANKATLANTIC BANCORP            COM   065908501       1,632     137,253  SH     DEFINED  01,08      41,945      95,308           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     67
________

BANKNORTH GROUP INC NEW         COM   06646R107      14,421     565,102  SH     DEFINED     01     231,745     322,213      11,144
BANKNORTH GROUP INC NEW         COM   06646R107         179       7,000  SH     OTHER       01       7,000           0           0
BANKNORTH GROUP INC NEW         COM   06646R107           5         177  SH     DEFINED     02           0           0         177
BANKNORTH GROUP INC NEW         COM   06646R107          13         500  SH     OTHER       02           0         500           0
BANKNORTH GROUP INC NEW         COM   06646R107           5         190  SH     DEFINED     03           0           0         190
BANKNORTH GROUP INC NEW         COM   06646R107         184       7,220  SH     DEFINED     04       7,220           0           0
BANKNORTH GROUP INC NEW         COM   06646R107      12,955     507,649  SH     DEFINED  01,08     390,837     116,812           0

BANKRATE INC                    COM   06646V108         369      30,500  SH     DEFINED     01       2,900      27,600           0
BANKRATE INC                    COM   06646V108         289      23,910  SH     DEFINED  01,08       8,910      15,000           0

BANKUNITED FINL CORP            COM   06652B103       1,701      84,728  SH     DEFINED     01      47,458      35,870       1,400
BANKUNITED FINL CORP            COM   06652B103       1,754      87,364  SH     DEFINED     04      87,364           0           0
BANKUNITED FINL CORP            COM   06652B103         524      26,102  SH     OTHER       04      26,102           0           0
BANKUNITED FINL CORP            COM   06652B103          10         500  SH     OTHER    01,06           0           0         500
BANKUNITED FINL CORP            COM   06652B103       1,976      98,389  SH     DEFINED  01,08      53,130      45,259           0

BANNER CORP                     COM   06652V109       1,391      67,851  SH     DEFINED     01      51,140      16,061         650
BANNER CORP                     COM   06652V109         624      30,460  SH     DEFINED  01,08      10,130      20,330           0

BANTA CORP                      COM   066821109       4,441     137,210  SH     DEFINED     01      65,994      69,616       1,600
BANTA CORP                      COM   066821109          22         675  SH     OTHER       02         675           0           0
BANTA CORP                      COM   066821109       3,343     103,268  SH     DEFINED  01,08      75,048      28,220           0

BARD C R INC                    COM   067383109      21,579     302,611  SH     DEFINED     01     164,810     132,689       5,112
BARD C R INC                    COM   067383109           4          50  SH     OTHER       01           0           0          50
BARD C R INC                    COM   067383109           5          69  SH     DEFINED     02          69           0           0
BARD C R INC                    COM   067383109          56         784  SH     DEFINED     03         700           0          84
BARD C R INC                    COM   067383109         242       3,400  SH     DEFINED     04       3,400           0           0
BARD C R INC                    COM   067383109          67         945  SH     OTHER       04           0           0         945
BARD C R INC                    COM   067383109           7         100  SH     OTHER    01,06           0           0         100
BARD C R INC                    COM   067383109      15,381     215,690  SH     DEFINED  01,08     194,876      20,814           0
BARD C R INC                    COM   067383109          72       1,008  SH     DEFINED     10       1,008           0           0

BARNES & NOBLE INC              CONDB 067774AD1       3,004   3,000,000  PRN    DEFINED     01   3,000,000           0           0

BARNES & NOBLE INC              COM   067774109       4,358     189,064  SH     DEFINED     01      68,705     117,280       3,079
BARNES & NOBLE INC              COM   067774109          46       2,000  SH     OTHER       01       2,000           0           0
BARNES & NOBLE INC              COM   067774109          80       3,450  SH     DEFINED     04       3,450           0           0
BARNES & NOBLE INC              COM   067774109           2         100  SH     OTHER       04         100           0           0
BARNES & NOBLE INC              COM   067774109       2,799     121,419  SH     DEFINED  01,08      77,750      43,669           0

BARNES GROUP INC                COM   067806109       1,098      50,471  SH     DEFINED     01      21,734      27,787         950
BARNES GROUP INC                COM   067806109           9         400  SH     OTHER    01,06           0           0         400
BARNES GROUP INC                COM   067806109       1,661      76,319  SH     DEFINED  01,08      40,771      35,548           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     68
________

BARNESANDNOBLE COM INC          COM   067846105         112      47,861  SH     DEFINED     01       7,739      40,122           0
BARNESANDNOBLE COM INC          COM   067846105         180      76,641  SH     DEFINED  01,08      18,891      57,750           0

BARRICK GOLD CORP               COM   067901108       1,586      88,629  SH     DEFINED     01      17,800      50,076      20,753
BARRICK GOLD CORP               COM   067901108         296      16,533  SH     OTHER       01       9,491       7,042           0
BARRICK GOLD CORP               COM   067901108         354      19,791  SH     DEFINED     02      19,474         100         217
BARRICK GOLD CORP               COM   067901108         109       6,085  SH     OTHER       02       2,360       1,450       2,275
BARRICK GOLD CORP               COM   067901108          23       1,279  SH     DEFINED     03         814         465           0
BARRICK GOLD CORP               COM   067901108         156       8,721  SH     OTHER       03       8,471         250           0
BARRICK GOLD CORP               COM   067901108         205      11,450  SH     DEFINED     04      11,200           0         250
BARRICK GOLD CORP               COM   067901108          68       3,803  SH     OTHER       04       3,203           0         600
BARRICK GOLD CORP               COM   067901108          79       4,432  SH     DEFINED     10         934       3,498           0
BARRICK GOLD CORP               COM   067901108          72       4,000  SH     OTHER       10       4,000           0           0

BARR LABS INC                   COM   068306109      14,040     214,349  SH     DEFINED     01      84,569     122,120       7,660
BARR LABS INC                   COM   068306109          56         850  SH     DEFINED     02         100         750           0
BARR LABS INC                   COM   068306109          54         830  SH     DEFINED     04         830           0           0
BARR LABS INC                   COM   068306109       8,708     132,940  SH     DEFINED  01,08      91,177      41,763           0
BARR LABS INC                   COM   068306109          26         400  SH     DEFINED     10         400           0           0
BARR LABS INC                   COM   068306109         128       1,950  SH     OTHER       10       1,400         150         400

BARRA INC                       COM   068313105       2,100      58,719  SH     DEFINED     01      31,423      25,346       1,950
BARRA INC                       COM   068313105          14         400  SH     OTHER    01,06           0           0         400
BARRA INC                       COM   068313105       3,168      88,569  SH     DEFINED  01,08      54,613      33,956           0

BARRETT BUSINESS SERVICES IN    COM   068463108          40      12,600  SH     DEFINED     01       1,100      11,500           0
BARRETT BUSINESS SERVICES IN    COM   068463108          35      10,900  SH     DEFINED  01,08       2,791       8,109           0

BARRY R G CORP OHIO             COM   068798107          37       8,100  SH     DEFINED     01       1,400       6,700           0
BARRY R G CORP OHIO             COM   068798107         116      25,746  SH     DEFINED  01,08       4,548      21,198           0

BASSETT FURNITURE INDS INC      COM   070203104         560      42,624  SH     DEFINED     01      24,232      17,742         650
BASSETT FURNITURE INDS INC      COM   070203104           3         225  SH     OTHER    01,06           0           0         225
BASSETT FURNITURE INDS INC      COM   070203104         521      39,680  SH     DEFINED  01,08      18,549      21,131           0

BAUSCH & LOMB INC               COM   071707103      11,274     300,639  SH     DEFINED     01     157,712     138,041       4,886
BAUSCH & LOMB INC               COM   071707103           2          50  SH     OTHER       01           0           0          50
BAUSCH & LOMB INC               COM   071707103          98       2,600  SH     OTHER       03       2,600           0           0
BAUSCH & LOMB INC               COM   071707103           4         100  SH     OTHER    01,06           0           0         100
BAUSCH & LOMB INC               COM   071707103       7,719     205,851  SH     DEFINED  01,08     184,538      21,313           0
BAUSCH & LOMB INC               COM   071707103         104       2,785  SH     DEFINED     10       2,785           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     69
________

BAXTER INTL INC                 COM   071813109     102,656   3,948,324  SH     DEFINED     01   2,134,841   1,738,443      75,040
BAXTER INTL INC                 COM   071813109       6,883     264,730  SH     OTHER       01     118,469     128,088      18,173
BAXTER INTL INC                 COM   071813109       2,641     101,578  SH     DEFINED     02      69,516      30,062       2,000
BAXTER INTL INC                 COM   071813109         940      36,170  SH     OTHER       02      20,485      14,885         800
BAXTER INTL INC                 COM   071813109       6,805     261,737  SH     DEFINED     03     197,619      50,863      13,255
BAXTER INTL INC                 COM   071813109         735      28,262  SH     OTHER       03      24,212       3,650         400
BAXTER INTL INC                 COM   071813109      15,681     603,113  SH     DEFINED     04     586,298           0      16,815
BAXTER INTL INC                 COM   071813109       6,937     266,814  SH     OTHER       04     245,939           0      20,875
BAXTER INTL INC                 COM   071813109       2,168      83,390  SH     DEFINED     05      64,045       8,975      10,370
BAXTER INTL INC                 COM   071813109         141       5,404  SH     OTHER       05       1,854       3,550           0
BAXTER INTL INC                 COM   071813109          29       1,100  SH     OTHER    01,06           0           0       1,100
BAXTER INTL INC                 COM   071813109      94,110   3,619,624  SH     DEFINED  01,08   2,354,101   1,095,660     169,863
BAXTER INTL INC                 COM   071813109       2,979     114,567  SH     DEFINED     10      92,192       3,925      18,450
BAXTER INTL INC                 COM   071813109         331      12,743  SH     OTHER       10       2,430       9,363         950

BAY VIEW CAP CORP DEL           COM   07262L101       1,952     337,701  SH     DEFINED     01     266,437      67,364       3,900
BAY VIEW CAP CORP DEL           COM   07262L101           4         750  SH     DEFINED     03           0           0         750
BAY VIEW CAP CORP DEL           COM   07262L101           2         284  SH     DEFINED     04         284           0           0
BAY VIEW CAP CORP DEL           COM   07262L101       1,147     198,377  SH     DEFINED  01,08      88,713     109,664           0

BE AEROSPACE INC                COM   073302101         347     111,961  SH     DEFINED     01      64,877      45,984       1,100
BE AEROSPACE INC                COM   073302101         257      82,819  SH     DEFINED  01,08      18,296      64,523           0

BEA SYS INC                     COM   073325102       5,779     530,690  SH     DEFINED     01     327,929     151,361      51,400
BEA SYS INC                     COM   073325102           2         200  SH     DEFINED     04         200           0           0
BEA SYS INC                     COM   073325102           9         800  SH     OTHER       04         800           0           0
BEA SYS INC                     COM   073325102       9,703     890,979  SH     DEFINED  01,08     606,607     284,372           0
BEA SYS INC                     COM   073325102          68       6,200  SH     DEFINED     10       6,200           0           0

BEACON POWER CORP               COM   073677106          16      56,445  SH     DEFINED     01       8,525      47,920           0
BEACON POWER CORP               COM   073677106          15      51,863  SH     DEFINED  01,08       8,180      43,683           0

BEAR STEARNS COS INC            COM   073902108      41,918     578,818  SH     DEFINED     01     301,756     256,994      20,068
BEAR STEARNS COS INC            COM   073902108          58         800  SH     OTHER       01         700           0         100
BEAR STEARNS COS INC            COM   073902108          97       1,337  SH     DEFINED     02       1,337           0           0
BEAR STEARNS COS INC            COM   073902108           4          50  SH     DEFINED     03           0          50           0
BEAR STEARNS COS INC            COM   073902108          17         230  SH     OTHER    01,06           0           0         230
BEAR STEARNS COS INC            COM   073902108      28,814     397,867  SH     DEFINED  01,08     358,784      39,083           0
BEAR STEARNS COS INC            COM   073902108          78       1,074  SH     DEFINED     10       1,074           0           0

BEARINGPOINT INC                COM   074002106       2,042     211,600  SH     DEFINED     01     130,414      73,686       7,500
BEARINGPOINT INC                COM   074002106          69       7,182  SH     DEFINED     02       7,182           0           0
BEARINGPOINT INC                COM   074002106       2,818     291,997  SH     DEFINED  01,08     159,440     132,557           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     70
________

BEASLEY BROADCAST GROUP INC     COM   074014101         219      16,169  SH     DEFINED     01      10,171       5,848         150
BEASLEY BROADCAST GROUP INC     COM   074014101         241      17,821  SH     DEFINED  01,08       5,187      12,634           0

BEAZER HOMES USA INC            COM   07556Q105       3,514      42,086  SH     DEFINED     01      23,981      17,220         885
BEAZER HOMES USA INC            COM   07556Q105       4,659      55,798  SH     DEFINED  01,08      32,229      23,569           0

BEBE STORES INC                 COM   075571109         438      22,935  SH     DEFINED     01      13,743       9,192           0
BEBE STORES INC                 COM   075571109         999      52,298  SH     DEFINED  01,08      19,200      33,098           0

BECKMAN COULTER INC             COM   075811109       7,812     192,228  SH     DEFINED     01      71,084     117,494       3,650
BECKMAN COULTER INC             COM   075811109          67       1,647  SH     DEFINED     03       1,545           0         102
BECKMAN COULTER INC             COM   075811109          18         440  SH     OTHER       03         440           0           0
BECKMAN COULTER INC             COM   075811109         186       4,582  SH     DEFINED     04       4,582           0           0
BECKMAN COULTER INC             COM   075811109           9         228  SH     OTHER       04         228           0           0
BECKMAN COULTER INC             COM   075811109          36         880  SH     OTHER       05           0           0         880
BECKMAN COULTER INC             COM   075811109       5,930     145,912  SH     DEFINED  01,08     103,140      42,772           0
BECKMAN COULTER INC             COM   075811109          12         300  SH     OTHER       10         300           0           0

BECTON DICKINSON & CO           COM   075887109      61,507   1,583,194  SH     DEFINED     01     895,999     655,777      31,418
BECTON DICKINSON & CO           COM   075887109          39         995  SH     OTHER       01         745           0         250
BECTON DICKINSON & CO           COM   075887109         132       3,400  SH     DEFINED     02           0       3,400           0
BECTON DICKINSON & CO           COM   075887109          45       1,170  SH     DEFINED     03         670         500           0
BECTON DICKINSON & CO           COM   075887109         693      17,848  SH     DEFINED     04      17,848           0           0
BECTON DICKINSON & CO           COM   075887109         287       7,400  SH     OTHER       04       5,900           0       1,500
BECTON DICKINSON & CO           COM   075887109          27         700  SH     OTHER    01,06           0           0         700
BECTON DICKINSON & CO           COM   075887109      42,726   1,099,774  SH     DEFINED  01,08     998,160     101,614           0
BECTON DICKINSON & CO           COM   075887109          33         841  SH     DEFINED     10         841           0           0
BECTON DICKINSON & CO           COM   075887109          33         840  SH     OTHER       10           0         840           0

BED BATH & BEYOND INC           COM   075896100      74,608   1,921,902  SH     DEFINED     01   1,064,296     813,523      44,083
BED BATH & BEYOND INC           COM   075896100       1,331      34,280  SH     OTHER       01       3,445      26,460       4,375
BED BATH & BEYOND INC           COM   075896100          94       2,430  SH     DEFINED     02       2,238         100          92
BED BATH & BEYOND INC           COM   075896100          27         700  SH     OTHER       02         600         100           0
BED BATH & BEYOND INC           COM   075896100       2,742      70,634  SH     DEFINED     03      33,655      18,935      18,044
BED BATH & BEYOND INC           COM   075896100         433      11,165  SH     OTHER       03       4,865       2,310       3,990
BED BATH & BEYOND INC           COM   075896100       2,366      60,952  SH     DEFINED     04      56,577           0       4,375
BED BATH & BEYOND INC           COM   075896100         864      22,250  SH     OTHER       04      20,950           0       1,300
BED BATH & BEYOND INC           COM   075896100          29         750  SH     OTHER    01,06           0           0         750
BED BATH & BEYOND INC           COM   075896100      52,283   1,346,797  SH     DEFINED  01,08   1,235,625     111,172           0
BED BATH & BEYOND INC           COM   075896100         737      18,973  SH     DEFINED     10       6,823      11,750         400

BEDFORD PPTY INVS INC           COM   076446301       1,759      61,944  SH     DEFINED     01      37,379      23,665         900
BEDFORD PPTY INVS INC           COM   076446301          28       1,000  SH     DEFINED     03           0       1,000           0
BEDFORD PPTY INVS INC           COM   076446301       1,165      41,011  SH     DEFINED  01,08      12,167      28,844           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     71
________

BEL FUSE INC                    COM   077347201         238      11,600  SH     DEFINED     01       1,400      10,200           0
BEL FUSE INC                    COM   077347201         353      17,207  SH     DEFINED  01,08       4,735      12,472           0

BEL FUSE INC                    COM   077347300         471      20,799  SH     DEFINED     01      16,007       4,492         300
BEL FUSE INC                    COM   077347300           6         250  SH     OTHER    01,06           0           0         250
BEL FUSE INC                    COM   077347300         707      31,207  SH     DEFINED  01,08      12,071      19,136           0

BELDEN INC                      COM   077459105       1,345      84,644  SH     DEFINED     01      46,168      36,276       2,200
BELDEN INC                      COM   077459105           1          70  SH     DEFINED     02          70           0           0
BELDEN INC                      COM   077459105           8         500  SH     OTHER    01,06           0           0         500
BELDEN INC                      COM   077459105       2,136     134,436  SH     DEFINED  01,08      91,353      43,083           0

BELL INDS INC                   COM   078107109          25      11,400  SH     DEFINED     01       1,300      10,100           0
BELL INDS INC                   COM   078107109          58      26,926  SH     DEFINED  01,08       2,477      24,449           0

BELL MICROPRODUCTS INC          COM   078137106         275      64,525  SH     DEFINED     01      36,923      26,902         700
BELL MICROPRODUCTS INC          COM   078137106           2         400  SH     OTHER    01,06           0           0         400
BELL MICROPRODUCTS INC          COM   078137106         268      62,955  SH     DEFINED  01,08      26,955      36,000           0

BELLSOUTH CORP                  COM   079860102     301,992  11,340,291  SH     DEFINED     01   6,215,824   4,898,057     226,410
BELLSOUTH CORP                  COM   079860102      13,810     518,582  SH     OTHER       01     240,145     260,492      17,945
BELLSOUTH CORP                  COM   079860102       3,894     146,239  SH     DEFINED     02     104,621      35,463       6,155
BELLSOUTH CORP                  COM   079860102       3,275     122,970  SH     OTHER       02      69,040      42,337      11,593
BELLSOUTH CORP                  COM   079860102       2,570      96,504  SH     DEFINED     03      56,850      25,483      14,171
BELLSOUTH CORP                  COM   079860102       2,045      76,783  SH     OTHER       03      55,087      20,246       1,450
BELLSOUTH CORP                  COM   079860102      21,792     818,342  SH     DEFINED     04     803,615           0      14,727
BELLSOUTH CORP                  COM   079860102      23,585     885,655  SH     OTHER       04     848,787           0      36,868
BELLSOUTH CORP                  COM   079860102       1,194      44,853  SH     DEFINED     05      40,518         975       3,360
BELLSOUTH CORP                  COM   079860102         249       9,340  SH     OTHER       05       4,040       4,300       1,000
BELLSOUTH CORP                  COM   079860102         117       4,400  SH     OTHER    01,06           0           0       4,400
BELLSOUTH CORP                  COM   079860102         117       4,400  SH     OTHER    04,07           0           0       4,400
BELLSOUTH CORP                  COM   079860102     243,301   9,136,333  SH     DEFINED  01,08   7,463,354   1,541,647     131,332
BELLSOUTH CORP                  COM   079860102       2,488      93,440  SH     DEFINED     10      81,296      11,218         926
BELLSOUTH CORP                  COM   079860102       1,534      57,586  SH     OTHER       10      18,171      37,940       1,475

BELMONT BANCORP                 COM   080162100          13       2,500  SH     DEFINED     01         700       1,800           0
BELMONT BANCORP                 COM   080162100          88      17,660  SH     DEFINED  01,08       5,100      12,560           0

BELO CORP                       COM   080555105       7,653     342,260  SH     DEFINED     01     128,429     208,879       4,952
BELO CORP                       COM   080555105           7         300  SH     OTHER       01           0         300           0
BELO CORP                       COM   080555105       2,035      91,000  SH     DEFINED     02      91,000           0           0
BELO CORP                       COM   080555105       5,192     232,222  SH     DEFINED  01,08     153,871      78,351           0

BEMA GOLD CORP                  COM   08135F107          32      25,028  SH     DEFINED  01,08           0      25,028           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     72
________

BEMIS INC                       COM   081437105      13,998     299,111  SH     DEFINED     01     154,112     138,442       6,557
BEMIS INC                       COM   081437105         715      15,275  SH     OTHER       01       2,700       1,525      11,050
BEMIS INC                       COM   081437105         245       5,230  SH     DEFINED     02       4,430         300         500
BEMIS INC                       COM   081437105          28         600  SH     OTHER       02         600           0           0
BEMIS INC                       COM   081437105         190       4,065  SH     DEFINED     03       1,915       1,800         350
BEMIS INC                       COM   081437105       1,088      23,250  SH     OTHER       03      22,250       1,000           0
BEMIS INC                       COM   081437105         304       6,500  SH     DEFINED     04       6,300           0         200
BEMIS INC                       COM   081437105         167       3,575  SH     OTHER       04       3,575           0           0
BEMIS INC                       COM   081437105           2          50  SH     DEFINED     05          50           0           0
BEMIS INC                       COM   081437105           5         100  SH     OTHER    01,06           0           0         100
BEMIS INC                       COM   081437105      10,025     214,201  SH     DEFINED  01,08     193,635      20,566           0
BEMIS INC                       COM   081437105         865      18,479  SH     DEFINED     10         979           0      17,500

BENCHMARK ELECTRS INC           COM   08160H101       4,726     153,635  SH     DEFINED     01     110,596      34,989       8,050
BENCHMARK ELECTRS INC           COM   08160H101          58       1,900  SH     DEFINED     04       1,900           0           0
BENCHMARK ELECTRS INC           COM   08160H101          15         500  SH     OTHER    01,06           0           0         500
BENCHMARK ELECTRS INC           COM   08160H101       2,863      93,074  SH     DEFINED  01,08      48,954      44,120           0

BENIHANA INC                    COM   082047200         249      18,826  SH     DEFINED     01       6,796      12,030           0
BENIHANA INC                    COM   082047200         211      16,019  SH     DEFINED  01,08       3,690      12,329           0

BENTLEY PHARMACEUTICALS INC     COM   082657107         426      32,360  SH     DEFINED     01      24,110       8,000         250
BENTLEY PHARMACEUTICALS INC     COM   082657107         132      10,000  SH     DEFINED     04      10,000           0           0
BENTLEY PHARMACEUTICALS INC     COM   082657107         529      40,218  SH     DEFINED  01,08      13,206      27,012           0

BERKLEY W R CORP                COM   084423102       8,832     167,594  SH     DEFINED     01      61,868     103,351       2,375
BERKLEY W R CORP                COM   084423102           2          35  SH     DEFINED     04          35           0           0
BERKLEY W R CORP                COM   084423102       6,995     132,738  SH     DEFINED  01,08      94,656      38,082           0

BERKSHIRE BANCORP INC DEL       COM   084597103         297       8,389  SH     DEFINED     01       5,180       3,209           0
BERKSHIRE BANCORP INC DEL       COM   084597103           1          25  SH     OTHER       04          25           0           0
BERKSHIRE BANCORP INC DEL       COM   084597103         260       7,335  SH     DEFINED  01,08       1,014       6,321           0

BERKSHIRE HATHAWAY INC DEL      COM   084670108         723         289  SH     DEFINED     01         267          22           0
BERKSHIRE HATHAWAY INC DEL      COM   084670108          35          14  SH     OTHER       01           9           5           0
BERKSHIRE HATHAWAY INC DEL      COM   084670108          18           7  SH     DEFINED     02           7           0           0
BERKSHIRE HATHAWAY INC DEL      COM   084670108          13           5  SH     OTHER       02           0           5           0
BERKSHIRE HATHAWAY INC DEL      COM   084670108          30          12  SH     DEFINED     03           7           2           3
BERKSHIRE HATHAWAY INC DEL      COM   084670108           5           2  SH     OTHER       03           2           0           0
BERKSHIRE HATHAWAY INC DEL      COM   084670108           0          56  SH     DEFINED     04          51           0           5
BERKSHIRE HATHAWAY INC DEL      COM   084670108           0         318  SH     OTHER       04         281           0          37
BERKSHIRE HATHAWAY INC DEL      COM   084670108           8           3  SH     DEFINED     05           3           0           0
BERKSHIRE HATHAWAY INC DEL      COM   084670108       2,205         882  SH     DEFINED  01,08         169         713           0
BERKSHIRE HATHAWAY INC DEL      COM   084670108         140          56  SH     DEFINED     10          47           5           4


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     73
________

BERKSHIRE HATHAWAY INC DEL      COM   084670207       3,412       1,404  SH     DEFINED     01       1,064         228         112
BERKSHIRE HATHAWAY INC DEL      COM   084670207         382         157  SH     OTHER       01          69          88           0
BERKSHIRE HATHAWAY INC DEL      COM   084670207         763         314  SH     DEFINED     02         132         136          46
BERKSHIRE HATHAWAY INC DEL      COM   084670207         156          64  SH     OTHER       02          41          23           0
BERKSHIRE HATHAWAY INC DEL      COM   084670207       1,103         454  SH     DEFINED     03         288         166           0
BERKSHIRE HATHAWAY INC DEL      COM   084670207       1,912         787  SH     OTHER       03         680          93          14
BERKSHIRE HATHAWAY INC DEL      COM   084670207       5,837       2,402  SH     DEFINED     04       2,209           0         193
BERKSHIRE HATHAWAY INC DEL      COM   084670207       4,267       1,756  SH     OTHER       04       1,674           0          82
BERKSHIRE HATHAWAY INC DEL      COM   084670207          63          26  SH     DEFINED     05          26           0           0
BERKSHIRE HATHAWAY INC DEL      COM   084670207          36          15  SH     OTHER       05          15           0           0
BERKSHIRE HATHAWAY INC DEL      COM   084670207       1,937         797  SH     DEFINED     10         772           1          24
BERKSHIRE HATHAWAY INC DEL      COM   084670207         454         187  SH     OTHER       10         185           2           0

BERKSHIRE HILLS BANCORP INC     COM   084680107         360      12,680  SH     DEFINED     01       9,980       2,400         300
BERKSHIRE HILLS BANCORP INC     COM   084680107         446      15,696  SH     DEFINED  01,08       4,113      11,583           0

BERRY PETE CO                   COM   085789105       1,097      61,123  SH     DEFINED     01      33,945      26,778         400
BERRY PETE CO                   COM   085789105       1,054      58,726  SH     DEFINED  01,08      15,049      43,677           0

BEST BUY INC                    CONDB 086516AF8       4,140   4,000,000  PRN    DEFINED     01   4,000,000           0           0

BEST BUY INC                    COM   086516101     132,077   3,007,212  SH     DEFINED     01   1,885,391   1,038,759      83,062
BEST BUY INC                    COM   086516101       6,003     136,672  SH     OTHER       01      58,000      70,172       8,500
BEST BUY INC                    COM   086516101       1,205      27,427  SH     DEFINED     02      12,627      11,750       3,050
BEST BUY INC                    COM   086516101         315       7,177  SH     OTHER       02       2,852       3,425         900
BEST BUY INC                    COM   086516101       2,521      57,399  SH     DEFINED     03      25,303      24,494       7,602
BEST BUY INC                    COM   086516101         537      12,220  SH     OTHER       03       3,010       2,085       7,125
BEST BUY INC                    COM   086516101      24,506     557,968  SH     DEFINED     04     544,556           0      13,412
BEST BUY INC                    COM   086516101       6,806     154,954  SH     OTHER       04     150,472           0       4,482
BEST BUY INC                    COM   086516101       2,452      55,834  SH     DEFINED     05      51,274       3,385       1,175
BEST BUY INC                    COM   086516101         272       6,202  SH     OTHER       05       2,887       3,125         190
BEST BUY INC                    COM   086516101          38         875  SH     OTHER    01,06           0           0         875
BEST BUY INC                    COM   086516101      57,930   1,318,981  SH     DEFINED  01,08   1,205,434     113,547           0
BEST BUY INC                    COM   086516101       1,006      22,915  SH     DEFINED     10      22,065         400         450
BEST BUY INC                    COM   086516101         220       5,000  SH     OTHER       10       4,225         475         300

BEVERLY ENTERPRISES INC         COM   087851309       1,169     334,000  SH     DEFINED     01     201,247     126,853       5,900
BEVERLY ENTERPRISES INC         COM   087851309          44      12,626  SH     OTHER       01      12,626           0           0
BEVERLY ENTERPRISES INC         COM   087851309       1,166     333,022  SH     DEFINED  01,08     148,310     184,712           0

BHP BILLITON LTD                COM   088606108          14       1,239  SH     DEFINED     01       1,239           0           0
BHP BILLITON LTD                COM   088606108         184      15,839  SH     OTHER       01           0      15,839           0
BHP BILLITON LTD                COM   088606108          12       1,000  SH     DEFINED     03       1,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     74
________

BIG DOG HLDGS INC               COM   089128102          41      13,200  SH     DEFINED     01       2,500      10,700           0
BIG DOG HLDGS INC               COM   089128102          49      15,800  SH     DEFINED  01,08       3,200      12,600           0

BIG 5 SPORTING GOODS CORP       COM   08915P101          74       5,900  SH     DEFINED     01       4,400       1,500           0
BIG 5 SPORTING GOODS CORP       COM   08915P101         494      39,300  SH     DEFINED  01,08      13,800      25,500           0

BIG LOTS INC                    COM   089302103       9,853     655,110  SH     DEFINED     01     340,195     304,812      10,103
BIG LOTS INC                    COM   089302103           4         250  SH     OTHER       01           0         150         100
BIG LOTS INC                    COM   089302103           1          50  SH     DEFINED     03           0          50           0
BIG LOTS INC                    COM   089302103          15       1,000  SH     OTHER       04       1,000           0           0
BIG LOTS INC                    COM   089302103           5         300  SH     OTHER    01,06           0           0         300
BIG LOTS INC                    COM   089302103       6,694     445,063  SH     DEFINED  01,08     400,484      44,579           0
BIG LOTS INC                    COM   089302103           0          18  SH     DEFINED     10          18           0           0

BINDVIEW DEV CORP               COM   090327107         110      54,574  SH     DEFINED     01      10,474      44,100           0
BINDVIEW DEV CORP               COM   090327107         150      74,217  SH     DEFINED  01,08      20,003      54,214           0

BIO-REFERENCE LABS INC          COM   09057G602         134      19,727  SH     DEFINED     01      15,927       3,800           0
BIO-REFERENCE LABS INC          COM   09057G602          25       3,642  SH     DEFINED  01,08           0       3,642           0

BIO RAD LABS INC                COM   090572108         873      15,652  SH     DEFINED  01,08           0      15,652           0

BIO RAD LABS INC                COM   090572207       3,709      67,005  SH     DEFINED     01      37,679      28,376         950
BIO RAD LABS INC                COM   090572207          17         300  SH     DEFINED     02           0           0         300
BIO RAD LABS INC                COM   090572207       2,568      46,404  SH     DEFINED  01,08      23,290      23,114           0

BIOANALYTICAL SYS INC           COM   09058M103           7       2,500  SH     DEFINED     01           0       2,500           0
BIOANALYTICAL SYS INC           COM   09058M103          22       7,904  SH     DEFINED  01,08       1,804       6,100           0

BIOCRYST PHARMACEUTICALS        COM   09058V103          74      20,200  SH     DEFINED     01       3,500      16,700           0
BIOCRYST PHARMACEUTICALS        COM   09058V103           4       1,000  SH     DEFINED     04       1,000           0           0
BIOCRYST PHARMACEUTICALS        COM   09058V103         107      29,371  SH     DEFINED  01,08       5,904      23,467           0

BIOJECT MED TECH INC            COM   09059T206          36       8,980  SH     DEFINED     01          80       8,900           0
BIOJECT MED TECH INC            COM   09059T206          74      18,560  SH     DEFINED  01,08       4,495      14,065           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     75
________

BIOGEN INC                      COM   090597105      37,133     977,963  SH     DEFINED     01     572,498     387,977      17,488
BIOGEN INC                      COM   090597105         412      10,855  SH     OTHER       01       4,875       4,855       1,125
BIOGEN INC                      COM   090597105       1,009      26,585  SH     DEFINED     02      18,035       6,850       1,700
BIOGEN INC                      COM   090597105         197       5,200  SH     OTHER       02       2,250       2,950           0
BIOGEN INC                      COM   090597105       1,584      41,730  SH     DEFINED     03      34,021       4,729       2,980
BIOGEN INC                      COM   090597105         433      11,400  SH     OTHER       03      10,300         300         800
BIOGEN INC                      COM   090597105         567      14,935  SH     DEFINED     04      13,585           0       1,350
BIOGEN INC                      COM   090597105         524      13,788  SH     OTHER       04       6,588           0       7,200
BIOGEN INC                      COM   090597105         127       3,350  SH     DEFINED     05       1,550       1,800           0
BIOGEN INC                      COM   090597105          69       1,825  SH     OTHER       05         825           0       1,000
BIOGEN INC                      COM   090597105          15         400  SH     OTHER    01,06           0           0         400
BIOGEN INC                      COM   090597105      25,369     668,124  SH     DEFINED  01,08     612,402      55,722           0
BIOGEN INC                      COM   090597105          42       1,115  SH     DEFINED     10       1,115           0           0
BIOGEN INC                      COM   090597105          68       1,800  SH     OTHER       10       1,800           0           0

BIOMARIN PHARMACEUTICAL INC     COM   09061G101       1,569     160,778  SH     DEFINED     01      92,277      66,151       2,350
BIOMARIN PHARMACEUTICAL INC     COM   09061G101       1,953     200,091  SH     DEFINED  01,08     100,095      99,996           0

BIOMET INC                      COM   090613100      43,145   1,503,296  SH     DEFINED     01     806,001     673,042      24,253
BIOMET INC                      COM   090613100       2,633      91,750  SH     OTHER       01      81,400           0      10,350
BIOMET INC                      COM   090613100       1,492      51,985  SH     DEFINED     02      40,545       9,140       2,300
BIOMET INC                      COM   090613100       1,131      39,400  SH     OTHER       02       8,550      30,850           0
BIOMET INC                      COM   090613100         140       4,887  SH     DEFINED     03         169       4,550         168
BIOMET INC                      COM   090613100       2,304      80,280  SH     DEFINED     04      62,562           0      17,718
BIOMET INC                      COM   090613100       1,506      52,465  SH     OTHER       04      52,365           0         100
BIOMET INC                      COM   090613100          19         675  SH     OTHER    01,06           0           0         675
BIOMET INC                      COM   090613100      34,371   1,197,608  SH     DEFINED  01,08   1,097,175     100,433           0
BIOMET INC                      COM   090613100         907      31,604  SH     DEFINED     10      29,579       1,675         350
BIOMET INC                      COM   090613100         351      12,225  SH     OTHER       10      10,600       1,625           0

BIOPURE CORP                    COM   09065H105         492      81,410  SH     DEFINED     01      48,495      32,465         450
BIOPURE CORP                    COM   09065H105           3         500  SH     OTHER       01           0         500           0
BIOPURE CORP                    COM   09065H105          42       6,875  SH     DEFINED     04       6,875           0           0
BIOPURE CORP                    COM   09065H105         855     141,489  SH     DEFINED  01,08     101,548      39,941           0

BIOSOURCE INTL INC              COM   09066H104          87      12,600  SH     DEFINED     01       2,100      10,500           0
BIOSOURCE INTL INC              COM   09066H104         118      16,987  SH     DEFINED  01,08       4,587      12,400           0

BIOTIME INC                     COM   09066L105          23      11,400  SH     DEFINED     01       2,300       9,100           0
BIOTIME INC                     COM   09066L105           1         500  SH     DEFINED     02           0         500           0
BIOTIME INC                     COM   09066L105          34      16,842  SH     DEFINED  01,08       2,767      14,075           0

BIOSPHERE MEDICAL INC           COM   09066V103          70      11,700  SH     DEFINED     01         600      11,100           0
BIOSPHERE MEDICAL INC           COM   09066V103         139      23,142  SH     DEFINED  01,08       5,782      17,360           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     76
________

BIOTECH HOLDERS TR              COM   09067D201       9,867      80,057  SH     DEFINED     01      68,757      11,000         300
BIOTECH HOLDERS TR              COM   09067D201       1,409      11,430  SH     OTHER       01       9,005       2,125         300
BIOTECH HOLDERS TR              COM   09067D201         981       7,960  SH     DEFINED     02       5,000       1,830       1,130
BIOTECH HOLDERS TR              COM   09067D201         265       2,150  SH     OTHER       02         650       1,400         100
BIOTECH HOLDERS TR              COM   09067D201       7,956      64,550  SH     DEFINED     04      60,650           0       3,900
BIOTECH HOLDERS TR              COM   09067D201       2,145      17,400  SH     OTHER       04      17,100           0         300
BIOTECH HOLDERS TR              COM   09067D201       1,239      10,050  SH     DEFINED     10       9,950         100           0
BIOTECH HOLDERS TR              COM   09067D201          18         150  SH     OTHER       10         150           0           0

BIOVAIL CORP                    COM   09067J109      12,260     260,525  SH     DEFINED     01     240,975      11,550       8,000
BIOVAIL CORP                    COM   09067J109           6         121  SH     DEFINED     03           0           0         121
BIOVAIL CORP                    COM   09067J109           9         200  SH     DEFINED     04         200           0           0
BIOVAIL CORP                    COM   09067J109         358       7,600  SH     DEFINED  01,08       7,600           0           0
BIOVAIL CORP                    COM   09067J109          31         650  SH     DEFINED     10         650           0           0

BIO LOGIC SYS CORP              COM   090909102          14       3,000  SH     DEFINED     01         900       2,100           0
BIO LOGIC SYS CORP              COM   090909102          66      13,699  SH     DEFINED  01,08       1,851      11,848           0

BIOLASE TECHNOLOGY INC          COM   090911108         227      21,000  SH     DEFINED     01       3,900      17,100           0
BIOLASE TECHNOLOGY INC          COM   090911108       1,106     102,541  SH     DEFINED  01,08      75,314      27,227           0

BIOSPECIFICS TECHNOLOGIES CO    COM   090931106           7       6,000  SH     DEFINED     01         700       5,300           0
BIOSPECIFICS TECHNOLOGIES CO    COM   090931106           9       7,800  SH     DEFINED  01,08       1,332       6,468           0

BIOSITE INC                     COM   090945106       2,421      50,256  SH     DEFINED     01      26,894      22,662         700
BIOSITE INC                     COM   090945106         344       7,143  SH     OTHER       01           0           0       7,143
BIOSITE INC                     COM   090945106          14         300  SH     OTHER    01,06           0           0         300
BIOSITE INC                     COM   090945106       3,037      63,035  SH     DEFINED  01,08      38,636      24,399           0

BIORELIANCE CORP                COM   090951104         366      17,282  SH     DEFINED     01       7,482       9,800           0
BIORELIANCE CORP                COM   090951104         326      15,378  SH     DEFINED  01,08       4,327      11,051           0

BITSTREAM INC                   COM   091736108          12       5,100  SH     DEFINED     01       1,000       4,100           0
BITSTREAM INC                   COM   091736108           1         400  SH     DEFINED     04         400           0           0
BITSTREAM INC                   COM   091736108          39      16,969  SH     DEFINED  01,08       2,069      14,900           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     77
________

BLACK & DECKER CORP             COM   091797100      25,339     583,184  SH     DEFINED     01     320,985     245,624      16,575
BLACK & DECKER CORP             COM   091797100       1,096      25,235  SH     OTHER       01       7,175      17,750         310
BLACK & DECKER CORP             COM   091797100         776      17,850  SH     DEFINED     02      13,675       4,175           0
BLACK & DECKER CORP             COM   091797100         106       2,450  SH     OTHER       02         900       1,550           0
BLACK & DECKER CORP             COM   091797100       1,103      25,376  SH     DEFINED     03      12,066      12,370         940
BLACK & DECKER CORP             COM   091797100         433       9,970  SH     OTHER       03       4,170       3,600       2,200
BLACK & DECKER CORP             COM   091797100       3,196      73,562  SH     DEFINED     04      71,337           0       2,225
BLACK & DECKER CORP             COM   091797100         777      17,890  SH     OTHER       04      17,890           0           0
BLACK & DECKER CORP             COM   091797100         799      18,395  SH     DEFINED     05      15,215         500       2,680
BLACK & DECKER CORP             COM   091797100          43       1,000  SH     OTHER       05         600         400           0
BLACK & DECKER CORP             COM   091797100          11         250  SH     OTHER    01,06           0           0         250
BLACK & DECKER CORP             COM   091797100      15,037     346,083  SH     DEFINED  01,08     315,197      30,886           0
BLACK & DECKER CORP             COM   091797100         326       7,514  SH     DEFINED     10       6,314         200       1,000
BLACK & DECKER CORP             COM   091797100         129       2,975  SH     OTHER       10       2,100         875           0

BLACK BOX CORP DEL              COM   091826107       2,766      76,589  SH     DEFINED     01      44,808      30,681       1,100
BLACK BOX CORP DEL              COM   091826107         336       9,300  SH     OTHER       01           0           0       9,300
BLACK BOX CORP DEL              COM   091826107           2          54  SH     DEFINED     02           0           0          54
BLACK BOX CORP DEL              COM   091826107          17         475  SH     DEFINED     04         475           0           0
BLACK BOX CORP DEL              COM   091826107          14         400  SH     OTHER    01,06           0           0         400
BLACK BOX CORP DEL              COM   091826107       3,351      92,778  SH     DEFINED  01,08      55,276      37,502           0
BLACK BOX CORP DEL              COM   091826107          29         800  SH     DEFINED     10         800           0           0

BLACK HILLS CORP                COM   092113109       4,822     157,066  SH     DEFINED     01      93,107      61,759       2,200
BLACK HILLS CORP                COM   092113109          55       1,800  SH     OTHER       01           0       1,800           0
BLACK HILLS CORP                COM   092113109          11         351  SH     DEFINED     02         351           0           0
BLACK HILLS CORP                COM   092113109          38       1,250  SH     OTHER       02       1,250           0           0
BLACK HILLS CORP                COM   092113109         287       9,349  SH     DEFINED     04       9,349           0           0
BLACK HILLS CORP                COM   092113109          30         975  SH     OTHER       04         975           0           0
BLACK HILLS CORP                COM   092113109       3,334     108,611  SH     DEFINED  01,08      72,952      35,659           0
BLACK HILLS CORP                COM   092113109          69       2,250  SH     DEFINED     10       2,250           0           0

BLACKROCK INVT QUALITY MUN T    UNDEF 09247D105           1      10,000         DEFINED     01       5,000       5,000           0
BLACKROCK INVT QUALITY MUN T    UNDEF 09247D105           0           1         DEFINED     03           1           0           0
BLACKROCK INVT QUALITY MUN T    UNDEF 09247D105         190      12,984         DEFINED     04      12,984           0           0

BLACKROCK INCOME TR INC         UNDEF 09247F100           0       5,000         OTHER       02       5,000           0           0
BLACKROCK INCOME TR INC         UNDEF 09247F100           1       7,660         OTHER       03           0           0       7,660

BLACKROCK CA INSD MUN 2008 T    UNDEF 09247G108           1       5,000         OTHER       01       5,000           0           0
BLACKROCK CA INSD MUN 2008 T    UNDEF 09247G108           3      16,556         DEFINED     03           0           0      16,556

BLACKROCK FL INSD MUN 2008 T    COM   09247H106         622      37,465  SH     DEFINED     04      35,465           0       2,000
BLACKROCK FL INSD MUN 2008 T    COM   09247H106         201      12,109  SH     OTHER       04       9,659           0       2,450


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     78
________

BLACKROCK INSD MUN 2008 TRM     UNDEF 09247K109           3      18,266         DEFINED     01       8,266      10,000           0
BLACKROCK INSD MUN 2008 TRM     UNDEF 09247K109           1       7,250         OTHER       01       4,000       3,250           0
BLACKROCK INSD MUN 2008 TRM     UNDEF 09247K109           0       1,000         DEFINED     02       1,000           0           0
BLACKROCK INSD MUN 2008 TRM     UNDEF 09247K109          36       2,000         DEFINED     04       2,000           0           0
BLACKROCK INSD MUN 2008 TRM     UNDEF 09247K109          28       1,600         OTHER       04       1,600           0           0

BLACKROCK MUN TARGET TERM TR    UNDEF 09247M105           3      25,300         DEFINED     01           0      25,300           0
BLACKROCK MUN TARGET TERM TR    UNDEF 09247M105         165      14,747         DEFINED     04      14,747           0           0
BLACKROCK MUN TARGET TERM TR    UNDEF 09247M105          81       7,247         OTHER       04       7,247           0           0
BLACKROCK MUN TARGET TERM TR    UNDEF 09247M105           0       2,175         OTHER       10           0       2,175           0

BLACKROCK INC                   COM   09247X101       1,264      28,062  SH     DEFINED     01      12,639      14,543         880
BLACKROCK INC                   COM   09247X101       2,011      44,659  SH     DEFINED  01,08      22,059      22,600           0

BLACKROCK INSD MUN TERM TR I    UNDEF 092474105           0       3,000         DEFINED     01       3,000           0           0
BLACKROCK INSD MUN TERM TR I    UNDEF 092474105         211      18,360         DEFINED     04      17,360           0       1,000
BLACKROCK INSD MUN TERM TR I    UNDEF 092474105           0       3,300         DEFINED     05       3,300           0           0

BLACKROCK INCOME OPP TRUST I    UNDEF 092475102           0       1,500         DEFINED     02       1,500           0           0
BLACKROCK INCOME OPP TRUST I    UNDEF 092475102          24       2,100         DEFINED     04       2,100           0           0
BLACKROCK INCOME OPP TRUST I    UNDEF 092475102          86       7,466         OTHER       04       7,466           0           0

BLACKROCK FLA MUN INCOME TR     UNDEF 09248H105         358      24,700         OTHER       04      24,700           0           0

BLAIR CORP                      COM   092828102         692      31,154  SH     DEFINED     01      20,854       9,800         500
BLAIR CORP                      COM   092828102         494      22,271  SH     DEFINED  01,08       5,519      16,752           0

BLOCK H & R INC                 COM   093671105      49,362   1,141,319  SH     DEFINED     01     611,015     461,913      68,391
BLOCK H & R INC                 COM   093671105       1,728      39,948  SH     OTHER       01      15,758      23,590         600
BLOCK H & R INC                 COM   093671105         346       8,000  SH     DEFINED     02       8,000           0           0
BLOCK H & R INC                 COM   093671105         484      11,200  SH     OTHER       02       9,200       2,000           0
BLOCK H & R INC                 COM   093671105         145       3,354  SH     DEFINED     03         850         350       2,154
BLOCK H & R INC                 COM   093671105         564      13,042  SH     DEFINED     04      13,042           0           0
BLOCK H & R INC                 COM   093671105       4,835     111,800  SH     OTHER       04     111,800           0           0
BLOCK H & R INC                 COM   093671105         920      21,270  SH     DEFINED     05      18,645       2,625           0
BLOCK H & R INC                 COM   093671105          25         575  SH     OTHER       05         575           0           0
BLOCK H & R INC                 COM   093671105          22         500  SH     OTHER    01,06           0           0         500
BLOCK H & R INC                 COM   093671105      34,113     788,731  SH     DEFINED  01,08     720,730      68,001           0
BLOCK H & R INC                 COM   093671105         106       2,457  SH     DEFINED     10       1,857           0         600

BLOCKBUSTER INC                 COM   093679108         695      41,231  SH     DEFINED     01      27,107      12,620       1,504
BLOCKBUSTER INC                 COM   093679108          32       1,900  SH     DEFINED     04       1,900           0           0
BLOCKBUSTER INC                 COM   093679108       2,241     133,015  SH     DEFINED  01,08      82,666      50,349           0
BLOCKBUSTER INC                 COM   093679108          25       1,500  SH     DEFINED     10       1,500           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     79
________

BLONDER TONGUE LABS INC         COM   093698108          22       9,700  SH     DEFINED     01       1,200       8,500           0
BLONDER TONGUE LABS INC         COM   093698108          26      11,173  SH     DEFINED  01,08       1,473       9,700           0

BLOUNT INTL INC NEW             COM   095180105         139      24,315  SH     DEFINED     01       2,303      22,012           0
BLOUNT INTL INC NEW             COM   095180105         244      42,876  SH     DEFINED  01,08      12,942      29,934           0

BLUE COAT SYSTEMS INC           COM   09534T508          47       7,790  SH     DEFINED     01       1,760       6,030           0
BLUE COAT SYSTEMS INC           COM   09534T508          91      15,292  SH     DEFINED  01,08       3,812      11,480           0

BLUE MARTINI SOFTWARE INC       COM   095698502          38      10,544  SH     DEFINED     01       1,985       8,559           0
BLUE MARTINI SOFTWARE INC       COM   095698502          68      18,875  SH     DEFINED  01,08       5,761      13,114           0

BLUE RHINO CORP                 COM   095811105         199      16,550  SH     DEFINED     01       1,750      14,800           0
BLUE RHINO CORP                 COM   095811105         620      51,698  SH     DEFINED  01,08      28,198      23,500           0

BLUEGREEN CORP                  COM   096231105         188      39,500  SH     DEFINED     01      20,500      19,000           0
BLUEGREEN CORP                  COM   096231105           5       1,000  SH     OTHER       03           0       1,000           0
BLUEGREEN CORP                  COM   096231105         301      63,466  SH     DEFINED  01,08      10,358      53,108           0

BLYTH INC                       COM   09643P108       4,826     177,435  SH     DEFINED     01      90,646      84,689       2,100
BLYTH INC                       COM   09643P108          17         637  SH     DEFINED     03           0         637           0
BLYTH INC                       COM   09643P108       3,268     120,160  SH     DEFINED  01,08      75,791      44,369           0

BOB EVANS FARMS INC             COM   096761101       4,955     177,024  SH     DEFINED     01      87,935      86,289       2,800
BOB EVANS FARMS INC             COM   096761101          90       3,222  SH     DEFINED     04         284           0       2,938
BOB EVANS FARMS INC             COM   096761101           6         216  SH     OTHER       04         146           0          70
BOB EVANS FARMS INC             COM   096761101       3,484     124,478  SH     DEFINED  01,08      84,291      40,187           0

BOCA RESORTS INC                COM   09688T106       1,820     139,970  SH     DEFINED     01      90,582      47,428       1,960
BOCA RESORTS INC                COM   09688T106         525      40,400  SH     DEFINED     04      40,400           0           0
BOCA RESORTS INC                COM   09688T106       1,314     101,110  SH     DEFINED  01,08      34,019      67,091           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     80
________

BOEING CO                       COM   097023105     174,870   5,095,272  SH     DEFINED     01   2,752,591   2,222,235     120,446
BOEING CO                       COM   097023105       3,043      88,657  SH     OTHER       01      43,494      36,551       8,612
BOEING CO                       COM   097023105         884      25,758  SH     DEFINED     02      15,006       5,952       4,800
BOEING CO                       COM   097023105         788      22,966  SH     OTHER       02       7,004      15,962           0
BOEING CO                       COM   097023105         969      28,223  SH     DEFINED     03      17,680       9,909         634
BOEING CO                       COM   097023105         274       7,980  SH     OTHER       03       5,723       2,257           0
BOEING CO                       COM   097023105       2,517      73,327  SH     DEFINED     04      54,891           0      18,436
BOEING CO                       COM   097023105       1,448      42,197  SH     OTHER       04      33,987           0       8,210
BOEING CO                       COM   097023105          37       1,080  SH     DEFINED     05         300         780           0
BOEING CO                       COM   097023105         142       4,150  SH     OTHER       05         150       4,000           0
BOEING CO                       COM   097023105          76       2,200  SH     OTHER    01,06           0           0       2,200
BOEING CO                       COM   097023105     109,812   3,199,640  SH     DEFINED  01,08   2,880,845     318,795           0
BOEING CO                       COM   097023105         649      18,917  SH     DEFINED     10      17,717         300         900
BOEING CO                       COM   097023105         642      18,712  SH     OTHER       10      16,762       1,950           0

BOISE CASCADE CORP              COM   097383103       7,810     326,790  SH     DEFINED     01     172,272     148,945       5,573
BOISE CASCADE CORP              COM   097383103           1          50  SH     OTHER       01           0           0          50
BOISE CASCADE CORP              COM   097383103         126       5,286  SH     DEFINED     02       5,000         286           0
BOISE CASCADE CORP              COM   097383103           1          50  SH     DEFINED     03           0          50           0
BOISE CASCADE CORP              COM   097383103          24       1,000  SH     DEFINED     04       1,000           0           0
BOISE CASCADE CORP              COM   097383103          84       3,500  SH     OTHER       05           0       3,500           0
BOISE CASCADE CORP              COM   097383103           2         100  SH     OTHER    01,06           0           0         100
BOISE CASCADE CORP              COM   097383103       4,904     205,200  SH     DEFINED  01,08     183,600      21,600           0
BOISE CASCADE CORP              COM   097383103           0           9  SH     DEFINED     10           9           0           0

BOLT TECHNOLOGY CORP            COM   097698104          10       2,800  SH     DEFINED     01       1,100       1,700           0
BOLT TECHNOLOGY CORP            COM   097698104          31       8,923  SH     DEFINED  01,08       2,223       6,700           0

BON-TON STORES INC              COM   09776J101          68      13,700  SH     DEFINED     01       1,600      12,100           0
BON-TON STORES INC              COM   09776J101         109      22,084  SH     DEFINED  01,08       6,099      15,985           0

BOMBAY CO INC                   COM   097924104       1,229     115,646  SH     DEFINED     01      67,546      46,200       1,900
BOMBAY CO INC                   COM   097924104          53       5,000  SH     OTHER       04       5,000           0           0
BOMBAY CO INC                   COM   097924104       1,097     103,240  SH     DEFINED  01,08      28,615      74,625           0

BONE CARE INTL INC              COM   098072101         479      34,449  SH     DEFINED     01      15,117      18,732         600
BONE CARE INTL INC              COM   098072101         459      33,028  SH     DEFINED  01,08       9,376      23,652           0

BOOKS-A-MILLION INC             COM   098570104          45      16,300  SH     DEFINED     01       3,600      12,700           0
BOOKS-A-MILLION INC             COM   098570104          98      35,213  SH     DEFINED  01,08       8,434      26,779           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     81
________

BORDERS GROUP INC               COM   099709107       4,495     255,258  SH     DEFINED     01      99,138     151,470       4,650
BORDERS GROUP INC               COM   099709107          18       1,000  SH     OTHER       01           0           0       1,000
BORDERS GROUP INC               COM   099709107           1          50  SH     OTHER       02          50           0           0
BORDERS GROUP INC               COM   099709107          37       2,113  SH     DEFINED     04       2,113           0           0
BORDERS GROUP INC               COM   099709107       3,239     183,957  SH     DEFINED  01,08     126,322      57,635           0
BORDERS GROUP INC               COM   099709107           3         154  SH     DEFINED     10         154           0           0
BORDERS GROUP INC               COM   099709107           2         121  SH     OTHER       10         121           0           0

BORG WARNER INC                 COM   099724106       7,075     109,864  SH     DEFINED     01      52,704      55,460       1,700
BORG WARNER INC                 COM   099724106       8,243     128,000  SH     OTHER       01           0     128,000           0
BORG WARNER INC                 COM   099724106       4,129      64,120  SH     DEFINED  01,08      44,676      19,444           0

BORLAND SOFTWARE CORP           COM   099849101       2,347     239,764  SH     DEFINED     01     149,697      88,767       1,300
BORLAND SOFTWARE CORP           COM   099849101       2,855     291,667  SH     DEFINED  01,08     151,493     140,174           0

BOSTON ACOUSTICS INC            COM   100534106          55       5,700  SH     DEFINED     01       1,000       4,700           0
BOSTON ACOUSTICS INC            COM   100534106         125      12,891  SH     DEFINED  01,08       2,024      10,867           0

BOSTON BEER INC                 COM   100557107         687      47,731  SH     DEFINED     01      23,670      23,861         200
BOSTON BEER INC                 COM   100557107         380      26,369  SH     DEFINED  01,08       9,579      16,790           0

BOSTON BIOMEDICA INC            COM   100560101           4       1,300  SH     DEFINED     01       1,300           0           0
BOSTON BIOMEDICA INC            COM   100560101          29       9,509  SH     DEFINED  01,08       2,509       7,000           0

BOSTON COMMUNICATIONS GROUP     COM   100582105       1,015      60,019  SH     DEFINED     01      27,788      31,421         810
BOSTON COMMUNICATIONS GROUP     COM   100582105           5         325  SH     OTHER    01,06           0           0         325
BOSTON COMMUNICATIONS GROUP     COM   100582105       1,265      74,830  SH     DEFINED  01,08      45,408      29,422           0

BOSTON LIFE SCIENCES INC        COM   100843408          32      17,400  SH     DEFINED     01       4,200      13,200           0
BOSTON LIFE SCIENCES INC        COM   100843408           4       2,100  SH     DEFINED     04       2,100           0           0
BOSTON LIFE SCIENCES INC        COM   100843408          79      42,543  SH     DEFINED  01,08      13,928      28,615           0

BOSTON PRIVATE FINL HLDGS IN    COM   101119105       1,468      69,496  SH     DEFINED     01      42,558      26,738         200
BOSTON PRIVATE FINL HLDGS IN    COM   101119105          72       3,407  SH     DEFINED     04       3,407           0           0
BOSTON PRIVATE FINL HLDGS IN    COM   101119105          10         450  SH     OTHER    01,06           0           0         450
BOSTON PRIVATE FINL HLDGS IN    COM   101119105       1,553      73,533  SH     DEFINED  01,08      35,421      38,112           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     82
________

BOSTON PROPERTIES INC           COM   101121101       4,425     101,028  SH     DEFINED     01      68,209      29,254       3,565
BOSTON PROPERTIES INC           COM   101121101           4         100  SH     DEFINED     02         100           0           0
BOSTON PROPERTIES INC           COM   101121101          18         400  SH     OTHER       02         400           0           0
BOSTON PROPERTIES INC           COM   101121101          22         500  SH     DEFINED     03           0           0         500
BOSTON PROPERTIES INC           COM   101121101         298       6,807  SH     DEFINED     04       6,807           0           0
BOSTON PROPERTIES INC           COM   101121101          69       1,585  SH     OTHER       04       1,185           0         400
BOSTON PROPERTIES INC           COM   101121101       8,010     182,882  SH     DEFINED  01,08     117,062      65,820           0
BOSTON PROPERTIES INC           COM   101121101         116       2,650  SH     DEFINED     10       1,650       1,000           0
BOSTON PROPERTIES INC           COM   101121101          30         689  SH     OTHER       10         689           0           0

BOSTON SCIENTIFIC CORP          COM   101137107     137,100   2,243,858  SH     DEFINED     01   1,170,184   1,034,094      39,580
BOSTON SCIENTIFIC CORP          COM   101137107          55         900  SH     OTHER       01         600           0         300
BOSTON SCIENTIFIC CORP          COM   101137107          16         267  SH     DEFINED     03         167         100           0
BOSTON SCIENTIFIC CORP          COM   101137107          24         400  SH     DEFINED     04         400           0           0
BOSTON SCIENTIFIC CORP          COM   101137107          82       1,350  SH     OTHER       04       1,350           0           0
BOSTON SCIENTIFIC CORP          COM   101137107          64       1,050  SH     OTHER    01,06           0           0       1,050
BOSTON SCIENTIFIC CORP          COM   101137107     101,032   1,653,548  SH     DEFINED  01,08   1,508,314     145,234           0
BOSTON SCIENTIFIC CORP          COM   101137107          65       1,068  SH     DEFINED     10         468           0         600
BOSTON SCIENTIFIC CORP          COM   101137107         278       4,550  SH     OTHER       10       4,100         150         300

BOSTONFED BANCORP INC           COM   101178101         588      21,841  SH     DEFINED     01      13,841       8,000           0
BOSTONFED BANCORP INC           COM   101178101          27       1,000  SH     OTHER       01       1,000           0           0
BOSTONFED BANCORP INC           COM   101178101         266       9,900  SH     DEFINED  01,08       2,015       7,885           0

BOTTOMLINE TECH DEL INC         COM   101388106         125      15,601  SH     DEFINED     01       2,600      13,001           0
BOTTOMLINE TECH DEL INC         COM   101388106         220      27,459  SH     DEFINED  01,08       7,139      20,320           0

BOULDER TOTAL RETURN FD INC     COM   101541100         324      25,000  SH     OTHER       04      25,000           0           0

BOWATER INC                     COM   102183100       6,628     176,979  SH     DEFINED     01      68,242     105,995       2,742
BOWATER INC                     COM   102183100          41       1,100  SH     DEFINED     04       1,100           0           0
BOWATER INC                     COM   102183100       4,652     124,207  SH     DEFINED  01,08      84,596      39,611           0

BOWL AMER INC                   COM   102565108         127      10,804  SH     DEFINED     01         882       9,922           0
BOWL AMER INC                   COM   102565108         132      11,254  SH     DEFINED  01,08       2,304       8,950           0

BOWNE & CO INC                  COM   103043105       2,807     215,391  SH     DEFINED     01     154,680      58,561       2,150
BOWNE & CO INC                  COM   103043105           8         640  SH     OTHER    01,06           0           0         640
BOWNE & CO INC                  COM   103043105       2,254     172,995  SH     DEFINED  01,08      90,067      82,928           0

BOYD GAMING CORP                COM   103304101       2,434     141,027  SH     DEFINED     01      70,501      69,866         660
BOYD GAMING CORP                COM   103304101       2,595     150,376  SH     DEFINED  01,08      51,311      99,065           0

BOYDS COLLECTION LTD            COM   103354106         583     123,674  SH     DEFINED     01      41,003      82,671           0
BOYDS COLLECTION LTD            COM   103354106         562     119,371  SH     DEFINED  01,08      35,652      83,719           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     83
________

BOYKIN LODGING CO               COM   103430104         436      55,880  SH     DEFINED     01      32,206      23,524         150
BOYKIN LODGING CO               COM   103430104         458      58,719  SH     DEFINED  01,08      27,941      30,778           0
BOYKIN LODGING CO               COM   103430104           9       1,200  SH     OTHER       10           0       1,200           0

BRADLEY PHARMACEUTICALS INC     COM   104576103         508      30,780  SH     DEFINED     01      17,880      12,700         200
BRADLEY PHARMACEUTICALS INC     COM   104576103         903      54,718  SH     DEFINED  01,08      38,251      16,467           0

BRADY CORP                      COM   104674106       2,487      74,584  SH     DEFINED     01      40,163      32,521       1,900
BRADY CORP                      COM   104674106       1,141      34,220  SH     OTHER       01      34,220           0           0
BRADY CORP                      COM   104674106           3          93  SH     DEFINED     02           0           0          93
BRADY CORP                      COM   104674106          33       1,000  SH     DEFINED     04       1,000           0           0
BRADY CORP                      COM   104674106          20         600  SH     OTHER       04         600           0           0
BRADY CORP                      COM   104674106          15         450  SH     OTHER    01,06           0           0         450
BRADY CORP                      COM   104674106       2,759      82,732  SH     DEFINED  01,08      38,666      44,066           0
BRADY CORP                      COM   104674106         167       5,000  SH     DEFINED     10       5,000           0           0
BRADY CORP                      COM   104674106          47       1,400  SH     OTHER       10           0       1,400           0

BRANDYWINE RLTY TR              COM   105368203       3,063     124,395  SH     DEFINED     01      78,652      44,143       1,600
BRANDYWINE RLTY TR              COM   105368203           7         278  SH     DEFINED     03           0           0         278
BRANDYWINE RLTY TR              COM   105368203          34       1,390  SH     DEFINED     04       1,390           0           0
BRANDYWINE RLTY TR              COM   105368203       2,421      98,319  SH     DEFINED  01,08      38,104      60,215           0

BRASS EAGLE INC                 COM   10553F106          52       6,300  SH     DEFINED     01       1,000       5,300           0
BRASS EAGLE INC                 COM   10553F106         105      12,663  SH     DEFINED  01,08       3,363       9,300           0

BRAUN CONSULTING INC            COM   105651103          23      13,500  SH     DEFINED     01       2,500      11,000           0
BRAUN CONSULTING INC            COM   105651103          47      27,557  SH     DEFINED  01,08       4,657      22,900           0

BRIDGFORD FOODS CORP            COM   108763103         123      16,413  SH     DEFINED     01       4,113      12,300           0
BRIDGFORD FOODS CORP            COM   108763103         228      30,284  SH     DEFINED  01,08       4,834      25,450           0

BRIGGS & STRATTON CORP          CONDB 109043AE9       1,721   1,500,000  PRN    DEFINED     01   1,500,000           0           0

BRIGGS & STRATTON CORP          COM   109043109       3,982      78,860  SH     DEFINED     01      48,680      28,230       1,950
BRIGGS & STRATTON CORP          COM   109043109         601      11,900  SH     OTHER       01      11,900           0           0
BRIGGS & STRATTON CORP          COM   109043109          35         700  SH     OTHER       02         700           0           0
BRIGGS & STRATTON CORP          COM   109043109          20         400  SH     DEFINED     04         400           0           0
BRIGGS & STRATTON CORP          COM   109043109          61       1,200  SH     OTHER       04       1,200           0           0
BRIGGS & STRATTON CORP          COM   109043109          23         450  SH     OTHER    01,06           0           0         450
BRIGGS & STRATTON CORP          COM   109043109       4,742      93,901  SH     DEFINED  01,08      53,226      40,675           0
BRIGGS & STRATTON CORP          COM   109043109          20         400  SH     DEFINED     10           0         400           0
BRIGGS & STRATTON CORP          COM   109043109          10         200  SH     OTHER       10         200           0           0

BRIGHAM EXPLORATION CO          COM   109178103          87      17,400  SH     DEFINED     01       3,200      14,200           0
BRIGHAM EXPLORATION CO          COM   109178103         120      24,000  SH     DEFINED  01,08       7,300      16,700           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     84
________

BRIGHT HORIZON FAMILY SOLUTI    COM   109195107       1,434      42,755  SH     DEFINED     01      21,932      20,173         650
BRIGHT HORIZON FAMILY SOLUTI    COM   109195107          26         788  SH     DEFINED     04         788           0           0
BRIGHT HORIZON FAMILY SOLUTI    COM   109195107         979      29,168  SH     DEFINED  01,08      11,658      17,510           0

BRIGHTPOINT INC                 COM   109473405         647      52,264  SH     DEFINED     01      43,893       8,371           0
BRIGHTPOINT INC                 COM   109473405           9         714  SH     DEFINED     04         714           0           0
BRIGHTPOINT INC                 COM   109473405         173      13,948  SH     DEFINED  01,08       3,326      10,622           0

BRILLIANT DIGITAL ENTERTAINM    COM   109502104           1       2,300  SH     DEFINED     01       2,300           0           0
BRILLIANT DIGITAL ENTERTAINM    COM   109502104           0         100  SH     DEFINED     04           0           0         100
BRILLIANT DIGITAL ENTERTAINM    COM   109502104           9      16,185  SH     DEFINED  01,08       2,085      14,100           0

BRINKER INTL INC                COM   109641100      47,648   1,322,830  SH     DEFINED     01     671,783     591,103      59,944
BRINKER INTL INC                COM   109641100       4,883     135,565  SH     OTHER       01      56,110      65,300      14,155
BRINKER INTL INC                COM   109641100       5,526     153,415  SH     DEFINED     02     106,290      41,625       5,500
BRINKER INTL INC                COM   109641100       1,107      30,727  SH     OTHER       02      17,977      12,250         500
BRINKER INTL INC                COM   109641100       9,278     257,569  SH     DEFINED     03     128,303      77,851      51,415
BRINKER INTL INC                COM   109641100       1,303      36,170  SH     OTHER       03      20,690      11,660       3,820
BRINKER INTL INC                COM   109641100      11,604     322,166  SH     DEFINED     04     313,806           0       8,360
BRINKER INTL INC                COM   109641100       3,233      89,750  SH     OTHER       04      88,950           0         800
BRINKER INTL INC                COM   109641100       5,357     148,714  SH     DEFINED     05     130,969       7,860       9,885
BRINKER INTL INC                COM   109641100         255       7,069  SH     OTHER       05       5,344       1,725           0
BRINKER INTL INC                COM   109641100       8,877     246,450  SH     DEFINED  01,08     165,375      81,075           0
BRINKER INTL INC                COM   109641100       3,751     104,137  SH     DEFINED     10      86,755      11,535       5,847
BRINKER INTL INC                COM   109641100         316       8,760  SH     OTHER       10       4,885       3,875           0

BRINKS CO                       COM   109696104       3,267     224,256  SH     DEFINED     01      67,242     154,514       2,500
BRINKS CO                       COM   109696104       2,379     163,262  SH     DEFINED  01,08     123,915      39,347           0

BRIO SOFTWARE INC               COM   109704106          87      37,700  SH     DEFINED     01       6,100      31,600           0
BRIO SOFTWARE INC               COM   109704106          11       4,659  SH     OTHER       01           0           0       4,659
BRIO SOFTWARE INC               COM   109704106         152      65,304  SH     DEFINED  01,08      17,004      48,300           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     85
________

BRISTOL MYERS SQUIBB CO         COM   110122108     318,839  11,743,603  SH     DEFINED     01   6,474,201   5,036,650     232,752
BRISTOL MYERS SQUIBB CO         COM   110122108      12,099     445,644  SH     OTHER       01     223,600     175,917      46,127
BRISTOL MYERS SQUIBB CO         COM   110122108       4,474     164,774  SH     DEFINED     02     125,722      33,926       5,126
BRISTOL MYERS SQUIBB CO         COM   110122108       4,702     173,203  SH     OTHER       02     112,310      46,613      14,280
BRISTOL MYERS SQUIBB CO         COM   110122108       4,198     154,607  SH     DEFINED     03      85,980      53,406      15,221
BRISTOL MYERS SQUIBB CO         COM   110122108       5,061     186,403  SH     OTHER       03     166,394      17,609       2,400
BRISTOL MYERS SQUIBB CO         COM   110122108      26,253     966,965  SH     DEFINED     04     875,288           0      91,677
BRISTOL MYERS SQUIBB CO         COM   110122108      22,155     816,017  SH     OTHER       04     790,135           0      25,882
BRISTOL MYERS SQUIBB CO         COM   110122108         423      15,575  SH     DEFINED     05      13,425       1,700         450
BRISTOL MYERS SQUIBB CO         COM   110122108         211       7,782  SH     OTHER       05       7,300         300         182
BRISTOL MYERS SQUIBB CO         COM   110122108         136       5,000  SH     OTHER    01,06           0           0       5,000
BRISTOL MYERS SQUIBB CO         COM   110122108     225,371   8,300,974  SH     DEFINED  01,08   7,544,128     756,846           0
BRISTOL MYERS SQUIBB CO         COM   110122108       6,333     233,243  SH     DEFINED     10     165,426      41,307      26,510
BRISTOL MYERS SQUIBB CO         COM   110122108      46,677   1,719,234  SH     OTHER       10     137,696   1,577,159       4,379

BRITESMILE INC                  COM   110415205         103       3,986  SH     DEFINED     01       1,714       2,255          17
BRITESMILE INC                  COM   110415205         103       3,983  SH     DEFINED  01,08       1,041       2,942           0

BRITISH AMERN TOB PLC           COM   110448107          26       1,140  SH     DEFINED     03       1,140           0           0
BRITISH AMERN TOB PLC           COM   110448107          68       3,000  SH     OTHER       03       3,000           0           0
BRITISH AMERN TOB PLC           COM   110448107          15         660  SH     DEFINED     04           0           0         660
BRITISH AMERN TOB PLC           COM   110448107         716      31,565  SH     OTHER       04      31,565           0           0

BROADCOM CORP                   COM   111320107      49,284   1,978,481  SH     DEFINED     01   1,262,765     694,366      21,350
BROADCOM CORP                   COM   111320107          96       3,850  SH     OTHER       01           0           0       3,850
BROADCOM CORP                   COM   111320107           4         150  SH     DEFINED     02           0         150           0
BROADCOM CORP                   COM   111320107          40       1,600  SH     DEFINED     03           0       1,600           0
BROADCOM CORP                   COM   111320107         141       5,673  SH     DEFINED     04       4,473           0       1,200
BROADCOM CORP                   COM   111320107           5         200  SH     OTHER       04           0           0         200
BROADCOM CORP                   COM   111320107          19         745  SH     DEFINED     05           0           0         745
BROADCOM CORP                   COM   111320107          17         700  SH     OTHER    01,06           0           0         700
BROADCOM CORP                   COM   111320107      28,100   1,128,065  SH     DEFINED  01,08   1,031,205      96,860           0
BROADCOM CORP                   COM   111320107           1          40  SH     DEFINED     10          40           0           0

BROADVISION INC                 COM   111412607         185      33,350  SH     DEFINED     01       6,240      27,110           0
BROADVISION INC                 COM   111412607         374      67,298  SH     DEFINED  01,08      24,554      42,744           0

BROCADE COMMUNICATIONS SYS I    COM   111621108       1,905     322,293  SH     DEFINED     01     201,838     107,305      13,150
BROCADE COMMUNICATIONS SYS I    COM   111621108           2         300  SH     DEFINED     04         300           0           0
BROCADE COMMUNICATIONS SYS I    COM   111621108           4         660  SH     OTHER       04         460           0         200
BROCADE COMMUNICATIONS SYS I    COM   111621108       2,867     485,185  SH     DEFINED  01,08     316,479     168,706           0
BROCADE COMMUNICATIONS SYS I    COM   111621108           3         500  SH     DEFINED     10         100         400           0

BROOKFIELD HOMES CORP           COM   112723101         139       9,000  SH     DEFINED     01       6,500       2,500           0
BROOKFIELD HOMES CORP           COM   112723101         364      23,600  SH     DEFINED  01,08      17,800       5,800           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     86
________

BROOKLINE BANCORP INC DEL       COM   11373M107       3,732     266,561  SH     DEFINED     01     190,284      74,940       1,337
BROOKLINE BANCORP INC DEL       COM   11373M107       3,293     235,195  SH     DEFINED  01,08     129,314     105,881           0

BROOKS AUTOMATION INC           COM   114340102       1,420     125,237  SH     DEFINED     01      74,195      47,214       3,828
BROOKS AUTOMATION INC           COM   114340102           8         700  SH     OTHER    01,06           0           0         700
BROOKS AUTOMATION INC           COM   114340102       1,901     167,638  SH     DEFINED  01,08     101,994      65,644           0

BROOKSTONE INC                  COM   114537103         909      45,461  SH     DEFINED     01      34,161      10,800         500
BROOKSTONE INC                  COM   114537103         449      22,465  SH     DEFINED  01,08       8,124      14,341           0

BROOKTROUT INC                  COM   114580103         130      16,500  SH     DEFINED     01       2,300      13,800         400
BROOKTROUT INC                  COM   114580103           2         200  SH     OTHER    01,06           0           0         200
BROOKTROUT INC                  COM   114580103         240      30,416  SH     DEFINED  01,08      14,173      16,243           0

BROWN & BROWN INC               COM   115236101       6,511     200,334  SH     DEFINED     01      72,147     125,197       2,990
BROWN & BROWN INC               COM   115236101          31         950  SH     OTHER       01           0         950           0
BROWN & BROWN INC               COM   115236101          16         500  SH     DEFINED     04         500           0           0
BROWN & BROWN INC               COM   115236101          65       2,000  SH     OTHER       04       2,000           0           0
BROWN & BROWN INC               COM   115236101       4,246     130,644  SH     DEFINED  01,08      84,518      46,126           0

BROWN FORMAN CORP               COM   115637100         208       2,580  SH     OTHER       01           0       2,580           0
BROWN FORMAN CORP               COM   115637100           4          50  SH     DEFINED     04          50           0           0

BROWN FORMAN CORP               COM   115637209      24,767     315,026  SH     DEFINED     01     164,263     145,780       4,983
BROWN FORMAN CORP               COM   115637209       1,526      19,416  SH     OTHER       01           0      19,316         100
BROWN FORMAN CORP               COM   115637209           4          50  SH     DEFINED     04          50           0           0
BROWN FORMAN CORP               COM   115637209          16         200  SH     OTHER    01,06           0           0         200
BROWN FORMAN CORP               COM   115637209      14,671     186,607  SH     DEFINED  01,08     171,151      15,456           0
BROWN FORMAN CORP               COM   115637209       2,831      36,011  SH     DEFINED     10      36,011           0           0

BROWN TOM INC                   COM   115660201       3,347     120,456  SH     DEFINED     01      68,673      49,958       1,825
BROWN TOM INC                   COM   115660201          21         750  SH     OTHER    01,06           0           0         750
BROWN TOM INC                   COM   115660201       4,949     178,069  SH     DEFINED  01,08     106,802      71,267           0

BROWN SHOE INC NEW              COM   115736100       1,930      64,767  SH     DEFINED     01      35,797      28,070         900
BROWN SHOE INC NEW              COM   115736100          10         350  SH     OTHER    01,06           0           0         350
BROWN SHOE INC NEW              COM   115736100       2,869      96,286  SH     DEFINED  01,08      63,820      32,466           0

BRUKER AXS INC                  COM   11679P101          80      24,680  SH     DEFINED     01      15,218       9,262         200
BRUKER AXS INC                  COM   11679P101         151      46,315  SH     DEFINED  01,08      25,299      21,016           0

BRUKER DALTONICS INC            COM   116795105         421      78,739  SH     DEFINED     01      27,904      50,585         250
BRUKER DALTONICS INC            COM   116795105         550     102,762  SH     DEFINED  01,08      30,141      72,621           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     87
________

BRUNSWICK CORP                  COM   117043109      13,087     523,062  SH     DEFINED     01     276,322     238,135       8,605
BRUNSWICK CORP                  COM   117043109          64       2,575  SH     OTHER       01       2,500           0          75
BRUNSWICK CORP                  COM   117043109         568      22,700  SH     DEFINED     02           0      22,700           0
BRUNSWICK CORP                  COM   117043109           1          50  SH     DEFINED     03           0          50           0
BRUNSWICK CORP                  COM   117043109          13         500  SH     DEFINED     04         500           0           0
BRUNSWICK CORP                  COM   117043109           5         200  SH     OTHER    01,06           0           0         200
BRUNSWICK CORP                  COM   117043109       9,205     367,920  SH     DEFINED  01,08     332,845      35,075           0
BRUNSWICK CORP                  COM   117043109           0          15  SH     DEFINED     10          15           0           0

BRUSH ENGINEERED MATLS INC      COM   117421107         489      58,517  SH     DEFINED     01      32,841      24,676       1,000
BRUSH ENGINEERED MATLS INC      COM   117421107           3         300  SH     OTHER    01,06           0           0         300
BRUSH ENGINEERED MATLS INC      COM   117421107         597      71,495  SH     DEFINED  01,08      40,676      30,819           0

BRYN MAWR BK CORP               COM   117665109         289       7,727  SH     DEFINED     01       6,627       1,000         100
BRYN MAWR BK CORP               COM   117665109         349       9,309  SH     DEFINED  01,08       2,628       6,681           0

BSQUARE CORP                    COM   11776U102          29      35,100  SH     DEFINED     01       6,600      28,500           0
BSQUARE CORP                    COM   11776U102           1       1,000  SH     OTHER       01           0       1,000           0
BSQUARE CORP                    COM   11776U102          52      63,596  SH     DEFINED  01,08      16,496      47,100           0

BUCA INC                        COM   117769109         341      58,954  SH     DEFINED     01      37,745      20,159       1,050
BUCA INC                        COM   117769109         215      37,157  SH     DEFINED  01,08       8,647      28,510           0

BUCKEYE PARTNERS L P            COM   118230101         318       8,100  SH     DEFINED     01       8,100           0           0
BUCKEYE PARTNERS L P            COM   118230101          94       2,400  SH     DEFINED     02         400       2,000           0
BUCKEYE PARTNERS L P            COM   118230101         471      11,992  SH     DEFINED     04      11,992           0           0
BUCKEYE PARTNERS L P            COM   118230101         175       4,450  SH     OTHER       04       4,450           0           0
BUCKEYE PARTNERS L P            COM   118230101         141       3,600  SH     DEFINED     10       3,600           0           0
BUCKEYE PARTNERS L P            COM   118230101         124       3,150  SH     OTHER       10       3,150           0           0

BUCKEYE TECHNOLOGIES INC        COM   118255108         675      99,199  SH     DEFINED     01      50,821      46,378       2,000
BUCKEYE TECHNOLOGIES INC        COM   118255108           5         700  SH     OTHER    01,06           0           0         700
BUCKEYE TECHNOLOGIES INC        COM   118255108         783     115,219  SH     DEFINED  01,08      53,598      61,621           0

BUCKLE INC                      COM   118440106         720      37,425  SH     DEFINED     01      16,150      21,125         150
BUCKLE INC                      COM   118440106         317      16,500  SH     DEFINED     04      16,500           0           0
BUCKLE INC                      COM   118440106         878      45,635  SH     DEFINED  01,08      14,130      31,505           0

BUILDING MATLS HLDG CORP        COM   120113105         894      60,349  SH     DEFINED     01      41,667      17,722         960
BUILDING MATLS HLDG CORP        COM   120113105           4         300  SH     OTHER    01,06           0           0         300
BUILDING MATLS HLDG CORP        COM   120113105         691      46,595  SH     DEFINED  01,08      22,386      24,209           0

BURLINGTON COAT FACTORY         COM   121579106       2,458     137,330  SH     DEFINED     01     101,819      34,311       1,200
BURLINGTON COAT FACTORY         COM   121579106          16         900  SH     OTHER    01,06           0           0         900
BURLINGTON COAT FACTORY         COM   121579106       3,142     175,525  SH     DEFINED  01,08      76,028      99,497           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     88
________

BURLINGTON NORTHN SANTA FE C    COM   12189T104      62,921   2,212,423  SH     DEFINED     01   1,187,909     983,127      41,387
BURLINGTON NORTHN SANTA FE C    COM   12189T104       1,288      45,304  SH     OTHER       01      30,336      14,718         250
BURLINGTON NORTHN SANTA FE C    COM   12189T104          17         600  SH     DEFINED     02           0         600           0
BURLINGTON NORTHN SANTA FE C    COM   12189T104         440      15,487  SH     OTHER       02      12,000       3,487           0
BURLINGTON NORTHN SANTA FE C    COM   12189T104         171       6,015  SH     DEFINED     03       5,190         825           0
BURLINGTON NORTHN SANTA FE C    COM   12189T104          43       1,500  SH     OTHER       03           0       1,500           0
BURLINGTON NORTHN SANTA FE C    COM   12189T104       1,500      52,734  SH     DEFINED     04      11,734           0      41,000
BURLINGTON NORTHN SANTA FE C    COM   12189T104         359      12,613  SH     OTHER       04      11,013           0       1,600
BURLINGTON NORTHN SANTA FE C    COM   12189T104          97       3,428  SH     OTHER       05           0       1,302       2,126
BURLINGTON NORTHN SANTA FE C    COM   12189T104          28       1,000  SH     OTHER    01,06           0           0       1,000
BURLINGTON NORTHN SANTA FE C    COM   12189T104      47,769   1,679,634  SH     DEFINED  01,08   1,532,845     146,789           0
BURLINGTON NORTHN SANTA FE C    COM   12189T104         171       6,023  SH     DEFINED     10       6,023           0           0
BURLINGTON NORTHN SANTA FE C    COM   12189T104         234       8,242  SH     OTHER       10       5,500       2,742           0

BURLINGTON RES INC              COM   122014103      94,513   1,747,970  SH     DEFINED     01   1,091,811     618,106      38,053
BURLINGTON RES INC              COM   122014103       4,611      85,281  SH     OTHER       01      51,269      32,053       1,959
BURLINGTON RES INC              COM   122014103       4,958      91,693  SH     DEFINED     02      70,500      17,618       3,575
BURLINGTON RES INC              COM   122014103       1,051      19,440  SH     OTHER       02      10,275       8,465         700
BURLINGTON RES INC              COM   122014103       9,783     180,938  SH     DEFINED     03      85,874      62,387      32,677
BURLINGTON RES INC              COM   122014103       1,626      30,070  SH     OTHER       03      18,785       9,880       1,405
BURLINGTON RES INC              COM   122014103      12,255     226,656  SH     DEFINED     04     222,365           0       4,291
BURLINGTON RES INC              COM   122014103       4,865      89,984  SH     OTHER       04      87,552           0       2,432
BURLINGTON RES INC              COM   122014103         886      16,391  SH     DEFINED     05      13,047       2,425         919
BURLINGTON RES INC              COM   122014103         266       4,921  SH     OTHER       05       2,675       1,580         666
BURLINGTON RES INC              COM   122014103          27         500  SH     OTHER    01,06           0           0         500
BURLINGTON RES INC              COM   122014103      49,654     918,332  SH     DEFINED  01,08     838,431      79,901           0
BURLINGTON RES INC              COM   122014103         892      16,490  SH     DEFINED     10      14,240         750       1,500
BURLINGTON RES INC              COM   122014103         501       9,275  SH     OTHER       10       8,500         775           0

BUSH INDS INC                   COM   123164105          99      32,989  SH     DEFINED     01      18,590      14,199         200
BUSH INDS INC                   COM   123164105          87      28,957  SH     DEFINED  01,08       4,813      24,144           0

BUTLER INTL INC NEW             COM   123649105          10      12,750  SH     DEFINED     01       1,950      10,800           0
BUTLER INTL INC NEW             COM   123649105          22      27,646  SH     DEFINED  01,08       3,289      24,357           0

BUTLER MFG CO DEL               COM   123655102         317      19,185  SH     DEFINED     01       9,780       9,255         150
BUTLER MFG CO DEL               COM   123655102          54       3,264  SH     DEFINED     02           0       3,264           0
BUTLER MFG CO DEL               COM   123655102           2         150  SH     OTHER    01,06           0           0         150
BUTLER MFG CO DEL               COM   123655102         406      24,548  SH     DEFINED  01,08       7,977      16,571           0

C&D TECHNOLOGIES INC            COM   124661109       1,957     136,313  SH     DEFINED     01      86,280      48,533       1,500
C&D TECHNOLOGIES INC            COM   124661109           8         550  SH     OTHER    01,06           0           0         550
C&D TECHNOLOGIES INC            COM   124661109       1,532     106,695  SH     DEFINED  01,08      60,106      46,589           0
C&D TECHNOLOGIES INC            COM   124661109          11         800  SH     DEFINED     10         800           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     89
________

CB BANCSHARES INC HAWAII        COM   124785106       1,352      21,773  SH     DEFINED     01      15,331       6,222         220
CB BANCSHARES INC HAWAII        COM   124785106         691      11,129  SH     DEFINED  01,08       3,811       7,317           0

CBL & ASSOC PPTYS INC           COM   124830100       3,322      77,245  SH     DEFINED     01      41,670      34,425       1,150
CBL & ASSOC PPTYS INC           COM   124830100       2,241      52,119  SH     DEFINED  01,08      23,100      29,019           0

CCC INFORMATION SVCS GROUP I    COM   12487Q109         936      66,872  SH     DEFINED     01      36,905      29,667         300
CCC INFORMATION SVCS GROUP I    COM   12487Q109         860      61,415  SH     DEFINED  01,08      20,621      40,794           0

CBRL GROUP INC                  COM   12489V106       6,730     173,236  SH     DEFINED     01      73,098      96,488       3,650
CBRL GROUP INC                  COM   12489V106         520      13,375  SH     OTHER       01      12,150       1,225           0
CBRL GROUP INC                  COM   12489V106          11         291  SH     DEFINED     02         291           0           0
CBRL GROUP INC                  COM   12489V106          91       2,350  SH     DEFINED     04       2,350           0           0
CBRL GROUP INC                  COM   12489V106       4,761     122,545  SH     DEFINED  01,08      86,637      35,908           0
CBRL GROUP INC                  COM   12489V106         214       5,500  SH     OTHER       10       5,500           0           0

CCBT FINL COS INC               COM   12500Q102         684      28,612  SH     DEFINED     01      16,956      11,556         100
CCBT FINL COS INC               COM   12500Q102         138       5,756  SH     DEFINED     04       5,756           0           0
CCBT FINL COS INC               COM   12500Q102          98       4,080  SH     OTHER       04       4,080           0           0
CCBT FINL COS INC               COM   12500Q102         544      22,742  SH     DEFINED  01,08       6,903      15,839           0

C COR NET CORP                  COM   125010108         515     105,040  SH     DEFINED     01      57,233      44,507       3,300
C COR NET CORP                  COM   125010108           3         700  SH     OTHER    01,06           0           0         700
C COR NET CORP                  COM   125010108         615     125,551  SH     DEFINED  01,08      62,613      62,938           0

C D I CORP                      COM   125071100       1,435      55,278  SH     DEFINED     01      25,545      28,558       1,175
C D I CORP                      COM   125071100          10         400  SH     OTHER    01,06           0           0         400
C D I CORP                      COM   125071100       2,308      88,892  SH     DEFINED  01,08      47,068      41,824           0

CEC ENTMT INC                   COM   125137109       2,028      54,921  SH     DEFINED     01      19,404      33,671       1,846
CEC ENTMT INC                   COM   125137109          20         550  SH     OTHER    01,06           0           0         550
CEC ENTMT INC                   COM   125137109       3,683      99,730  SH     DEFINED  01,08      46,176      53,554           0

CE FRANKLIN LTD                 COM   125151100          62      27,900  SH     OTHER       01           0      27,900           0

CFS BANCORP INC                 COM   12525D102       1,442      96,151  SH     DEFINED     01      59,393      35,858         900
CFS BANCORP INC                 COM   12525D102         548      36,547  SH     DEFINED  01,08      10,500      26,047           0

CFC INTL INC                    COM   125252106          42       7,700  SH     DEFINED     01           0       7,700           0
CFC INTL INC                    COM   125252106          38       7,000  SH     DEFINED  01,08       1,825       5,175           0

CH ENERGY GROUP INC             COM   12541M102       2,812      62,492  SH     DEFINED     01      33,458      27,984       1,050
CH ENERGY GROUP INC             COM   12541M102          14         300  SH     OTHER    01,06           0           0         300
CH ENERGY GROUP INC             COM   12541M102       3,081      68,464  SH     DEFINED  01,08      37,836      30,628           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     90
________

C H ROBINSON WORLDWIDE INC      COM   12541W100       9,014     254,358  SH     DEFINED     01      91,706     157,937       4,715
C H ROBINSON WORLDWIDE INC      COM   12541W100          63       1,785  SH     OTHER       01           0       1,785           0
C H ROBINSON WORLDWIDE INC      COM   12541W100          10         295  SH     DEFINED     03           0         295           0
C H ROBINSON WORLDWIDE INC      COM   12541W100         137       3,875  SH     DEFINED     04       3,375           0         500
C H ROBINSON WORLDWIDE INC      COM   12541W100       7,243     204,383  SH     DEFINED  01,08     147,050      57,333           0
C H ROBINSON WORLDWIDE INC      COM   12541W100          18         500  SH     DEFINED     10           0           0         500

CIGNA CORP                      COM   125509109      38,433     818,770  SH     DEFINED     01     433,775     361,864      23,131
CIGNA CORP                      COM   125509109          84       1,800  SH     OTHER       01           0       1,100         700
CIGNA CORP                      COM   125509109         445       9,485  SH     DEFINED     02       9,485           0           0
CIGNA CORP                      COM   125509109         113       2,397  SH     OTHER       02           0       2,397           0
CIGNA CORP                      COM   125509109          32         677  SH     DEFINED     03           0         677           0
CIGNA CORP                      COM   125509109       1,347      28,702  SH     DEFINED     04      28,702           0           0
CIGNA CORP                      COM   125509109       1,913      40,751  SH     OTHER       04      34,858           0       5,893
CIGNA CORP                      COM   125509109          19         400  SH     OTHER    01,06           0           0         400
CIGNA CORP                      COM   125509109      27,127     577,914  SH     DEFINED  01,08     524,257      53,657           0
CIGNA CORP                      COM   125509109         113       2,406  SH     DEFINED     10       1,758         648           0
CIGNA CORP                      COM   125509109          30         630  SH     OTHER       10         500         130           0

CIT GROUP INC                   COM   125581108       3,760     152,555  SH     DEFINED     01      80,455      64,700       7,400
CIT GROUP INC                   COM   125581108          39       1,575  SH     OTHER       01           0       1,575           0
CIT GROUP INC                   COM   125581108         196       7,964  SH     DEFINED     02       7,471           0         493
CIT GROUP INC                   COM   125581108         766      31,075  SH     DEFINED     03      18,325       7,200       5,550
CIT GROUP INC                   COM   125581108          25       1,000  SH     OTHER       03       1,000           0           0
CIT GROUP INC                   COM   125581108       4,320     175,270  SH     DEFINED     04     170,845           0       4,425
CIT GROUP INC                   COM   125581108         769      31,205  SH     OTHER       04      31,205           0           0
CIT GROUP INC                   COM   125581108         793      32,160  SH     DEFINED     05      27,060       1,075       4,025
CIT GROUP INC                   COM   125581108      38,890   1,577,706  SH     DEFINED  01,08     230,800   1,158,605     188,301
CIT GROUP INC                   COM   125581108         882      35,775  SH     DEFINED     10      33,475       2,300           0
CIT GROUP INC                   COM   125581108          86       3,500  SH     OTHER       10       3,500           0           0

CKE RESTAURANTS INC             COM   12561E105       1,025     183,391  SH     DEFINED     01     108,059      72,182       3,150
CKE RESTAURANTS INC             COM   12561E105          55       9,842  SH     DEFINED     03           0       9,842           0
CKE RESTAURANTS INC             COM   12561E105         825     147,659  SH     DEFINED  01,08      41,623     106,036           0

CLECO CORP NEW                  COM   12561W105       2,575     148,653  SH     DEFINED     01      86,239      59,914       2,500
CLECO CORP NEW                  COM   12561W105          17       1,000  SH     OTHER       02           0       1,000           0
CLECO CORP NEW                  COM   12561W105         745      43,000  SH     OTHER       04      43,000           0           0
CLECO CORP NEW                  COM   12561W105          16         950  SH     OTHER    01,06           0           0         950
CLECO CORP NEW                  COM   12561W105       3,777     218,080  SH     DEFINED  01,08     133,635      84,445           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     91
________

CMGI INC                        COM   125750109          95      62,821  SH     DEFINED     01      62,821           0           0
CMGI INC                        COM   125750109           0         328  SH     OTHER       01           0           0         328
CMGI INC                        COM   125750109           0          50  SH     OTHER       02          50           0           0
CMGI INC                        COM   125750109           5       3,001  SH     DEFINED     04       3,001           0           0
CMGI INC                        COM   125750109           4       2,975  SH     OTHER       04       2,975           0           0
CMGI INC                        COM   125750109         973     644,367  SH     DEFINED  01,08     247,867     396,500           0
CMGI INC                        COM   125750109           0         200  SH     OTHER       10         200           0           0

CMS ENERGY CORP                 COM   125896100       6,886     850,090  SH     DEFINED     01     462,804     372,871      14,415
CMS ENERGY CORP                 COM   125896100           1         125  SH     OTHER       01           0           0         125
CMS ENERGY CORP                 COM   125896100          16       2,000  SH     DEFINED     02           0           0       2,000
CMS ENERGY CORP                 COM   125896100           2         300  SH     OTHER       02           0         300           0
CMS ENERGY CORP                 COM   125896100           0          50  SH     DEFINED     03           0          50           0
CMS ENERGY CORP                 COM   125896100          24       3,000  SH     DEFINED     04       3,000           0           0
CMS ENERGY CORP                 COM   125896100           2         200  SH     OTHER       04           0           0         200
CMS ENERGY CORP                 COM   125896100           3         400  SH     OTHER    01,06           0           0         400
CMS ENERGY CORP                 COM   125896100       5,444     672,083  SH     DEFINED  01,08     614,668      57,415           0
CMS ENERGY CORP                 COM   125896100           0          19  SH     DEFINED     10          19           0           0
CMS ENERGY CORP                 COM   125896100          16       2,000  SH     OTHER       10       2,000           0           0

CPI CORP                        COM   125902106         460      26,069  SH     DEFINED     01      16,093       9,626         350
CPI CORP                        COM   125902106           4         200  SH     OTHER    01,06           0           0         200
CPI CORP                        COM   125902106         622      35,269  SH     DEFINED  01,08      21,254      14,015           0

CSS INDS INC                    COM   125906107       1,617      41,944  SH     DEFINED     01      30,354      11,490         100
CSS INDS INC                    COM   125906107       1,556      40,365  SH     DEFINED  01,08      24,246      16,119           0

CPI AEROSTRUCTURES INC          COM   125919308          44       5,000  SH     DEFINED     01           0       5,000           0
CPI AEROSTRUCTURES INC          COM   125919308          80       9,100  SH     DEFINED  01,08       2,600       6,500           0

CSK AUTO CORP                   COM   125965103       1,632     112,913  SH     DEFINED     01      63,103      48,360       1,450
CSK AUTO CORP                   COM   125965103       1,655     114,526  SH     DEFINED  01,08      39,641      74,885           0

CNA FINL CORP                   COM   126117100       1,725      70,134  SH     DEFINED     01      59,366      10,474         294
CNA FINL CORP                   COM   126117100          79       3,228  SH     OTHER       01       3,228           0           0
CNA FINL CORP                   COM   126117100           2          70  SH     DEFINED     02           0           0          70
CNA FINL CORP                   COM   126117100       5,055     205,478  SH     DEFINED  01,08      71,871     133,607           0

CNB FLORIDA BANCSHARES INC      COM   12612H107         116       7,400  SH     DEFINED     01       2,700       4,700           0
CNB FLORIDA BANCSHARES INC      COM   12612H107         172      11,000  SH     DEFINED  01,08       2,900       8,100           0

CNA SURETY CORP                 COM   12612L108         988     100,355  SH     DEFINED     01      51,811      47,594         950
CNA SURETY CORP                 COM   12612L108         905      91,881  SH     DEFINED  01,08      30,913      60,968           0

CNF TR I                        CONPF 12612V205       3,660      80,000         DEFINED     01      80,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     92
________

CNF INC                         COM   12612W104       3,937     155,118  SH     DEFINED     01      59,797      93,942       1,379
CNF INC                         COM   12612W104          13         500  SH     OTHER       01           0         500           0
CNF INC                         COM   12612W104       2,636     103,859  SH     DEFINED  01,08      68,780      35,079           0
CNF INC                         COM   12612W104           7         275  SH     DEFINED     10         215           0          60

CNET NETWORKS INC               COM   12613R104       2,625     441,184  SH     DEFINED     01     265,598     168,353       7,233
CNET NETWORKS INC               COM   12613R104       2,399     403,125  SH     DEFINED  01,08     151,850     251,275           0

CNS INC                         COM   126136100         181      21,300  SH     DEFINED     01       3,500      17,800           0
CNS INC                         COM   126136100         250      29,362  SH     DEFINED  01,08       6,139      23,223           0

CPAC INC                        COM   126145101          30       5,200  SH     DEFINED     01         800       4,400           0
CPAC INC                        COM   126145101          90      15,486  SH     DEFINED  01,08       2,254      13,232           0

CSG SYS INTL INC                COM   126349109       2,384     168,005  SH     DEFINED     01      62,740     103,872       1,393
CSG SYS INTL INC                COM   126349109       3,641     256,569  SH     OTHER       01           0           0     256,569
CSG SYS INTL INC                COM   126349109       2,019     142,306  SH     DEFINED  01,08     105,766      36,540           0

CSP INC                         COM   126389105           2         550  SH     DEFINED     01         550           0           0
CSP INC                         COM   126389105          40      12,371  SH     DEFINED  01,08       2,017      10,354           0

CSX CORP                        COM   126408103      36,825   1,223,814  SH     DEFINED     01     644,355     558,018      21,441
CSX CORP                        COM   126408103         366      12,154  SH     OTHER       01       2,924       8,630         600
CSX CORP                        COM   126408103          14         480  SH     DEFINED     02           0         480           0
CSX CORP                        COM   126408103          36       1,200  SH     OTHER       02       1,200           0           0
CSX CORP                        COM   126408103          87       2,907  SH     DEFINED     03       1,200         100       1,607
CSX CORP                        COM   126408103          53       1,750  SH     OTHER       03         550       1,200           0
CSX CORP                        COM   126408103         411      13,675  SH     DEFINED     04      13,275           0         400
CSX CORP                        COM   126408103         142       4,734  SH     OTHER       04       3,234           0       1,500
CSX CORP                        COM   126408103          18         600  SH     OTHER    01,06           0           0         600
CSX CORP                        COM   126408103      27,608     917,508  SH     DEFINED  01,08     829,478      88,030           0
CSX CORP                        COM   126408103          92       3,056  SH     DEFINED     10       3,056           0           0
CSX CORP                        COM   126408103         123       4,100  SH     OTHER       10       4,100           0           0

CT COMMUNICATIONS INC           COM   126426402       1,261     117,888  SH     DEFINED     01      87,228      29,760         900
CT COMMUNICATIONS INC           COM   126426402         161      15,000  SH     DEFINED     04      15,000           0           0
CT COMMUNICATIONS INC           COM   126426402         512      47,865  SH     DEFINED  01,08      15,529      32,336           0

CTS CORP                        COM   126501105       1,143     109,390  SH     DEFINED     01      65,880      40,310       3,200
CTS CORP                        COM   126501105           8         725  SH     OTHER    01,06           0           0         725
CTS CORP                        COM   126501105       1,404     134,384  SH     DEFINED  01,08      76,333      58,051           0
CTS CORP                        COM   126501105           1         100  SH     DEFINED     10         100           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     93
________

CUNO INC                        COM   126583103       2,402      66,328  SH     DEFINED     01      33,373      31,205       1,750
CUNO INC                        COM   126583103         326       9,001  SH     DEFINED     02           0       9,001           0
CUNO INC                        COM   126583103          11         300  SH     OTHER    01,06           0           0         300
CUNO INC                        COM   126583103       2,572      71,032  SH     DEFINED  01,08      40,669      30,363           0
CUNO INC                        COM   126583103          22         600  SH     DEFINED     10         600           0           0

CVB FINL CORP                   COM   126600105       2,449     126,550  SH     DEFINED     01      76,441      48,322       1,787
CVB FINL CORP                   COM   126600105           2          87  SH     DEFINED     02           0           0          87
CVB FINL CORP                   COM   126600105       2,096     108,334  SH     DEFINED  01,08      34,252      74,082           0

CVS CORP                        COM   126650100      64,847   2,313,486  SH     DEFINED     01   1,223,533   1,041,691      48,262
CVS CORP                        COM   126650100         302      10,772  SH     OTHER       01       2,912       7,585         275
CVS CORP                        COM   126650100       1,520      54,242  SH     DEFINED     02      37,723      15,119       1,400
CVS CORP                        COM   126650100         211       7,515  SH     OTHER       02       3,600       3,915           0
CVS CORP                        COM   126650100         423      15,085  SH     DEFINED     03       4,577       4,906       5,602
CVS CORP                        COM   126650100       1,463      52,195  SH     OTHER       03      52,195           0           0
CVS CORP                        COM   126650100       8,451     301,500  SH     DEFINED     04     290,398           0      11,102
CVS CORP                        COM   126650100       2,354      83,965  SH     OTHER       04      83,080           0         885
CVS CORP                        COM   126650100         582      20,780  SH     DEFINED     05      18,505       2,000         275
CVS CORP                        COM   126650100          95       3,400  SH     OTHER       05       3,200         200           0
CVS CORP                        COM   126650100          28       1,000  SH     OTHER    01,06           0           0       1,000
CVS CORP                        COM   126650100      47,452   1,692,886  SH     DEFINED  01,08   1,535,498     157,388           0
CVS CORP                        COM   126650100       1,431      51,046  SH     DEFINED     10      38,096           0      12,950
CVS CORP                        COM   126650100         105       3,750  SH     OTHER       10       3,750           0           0

CV THERAPEUTICS INC             COM   126667104       2,776      93,218  SH     DEFINED     01      54,154      37,514       1,550
CV THERAPEUTICS INC             COM   126667104       3,219     108,079  SH     DEFINED  01,08      57,528      50,551           0

CABLEVISION SYS CORP            COM   12686C109       3,967     191,101  SH     DEFINED     01     129,035      56,224       5,842
CABLEVISION SYS CORP            COM   12686C109           2          76  SH     DEFINED     02          76           0           0
CABLEVISION SYS CORP            COM   12686C109         628      30,227  SH     DEFINED     04      30,227           0           0
CABLEVISION SYS CORP            COM   12686C109          53       2,560  SH     OTHER       04       2,560           0           0
CABLEVISION SYS CORP            COM   12686C109       5,914     284,896  SH     DEFINED  01,08     137,785     147,111           0
CABLEVISION SYS CORP            COM   12686C109          33       1,566  SH     DEFINED     10         836           0         730

CABLE DESIGN TECHNOLOGIES CO    COM   126924109       1,366     191,093  SH     DEFINED     01     124,284      62,559       4,250
CABLE DESIGN TECHNOLOGIES CO    COM   126924109           6         900  SH     OTHER    01,06           0           0         900
CABLE DESIGN TECHNOLOGIES CO    COM   126924109       1,348     188,580  SH     DEFINED  01,08     108,506      80,074           0

CABOT CORP                      COM   127055101       5,851     203,855  SH     DEFINED     01      79,941     119,604       4,310
CABOT CORP                      COM   127055101          34       1,175  SH     DEFINED     04       1,175           0           0
CABOT CORP                      COM   127055101           9         300  SH     OTHER       04         300           0           0
CABOT CORP                      COM   127055101       4,131     143,949  SH     DEFINED  01,08      99,438      44,511           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     94
________

CABOT MICROELECTRONICS CORP     COM   12709P103       5,324     105,563  SH     DEFINED     01      59,408      44,871       1,284
CABOT MICROELECTRONICS CORP     COM   12709P103         112       2,215  SH     DEFINED     02       2,215           0           0
CABOT MICROELECTRONICS CORP     COM   12709P103       3,272      64,878  SH     DEFINED  01,08      39,365      25,513           0
CABOT MICROELECTRONICS CORP     COM   12709P103          19         375  SH     DEFINED     10         220           0         155

CABOT OIL & GAS CORP            COM   127097103       2,842     102,951  SH     DEFINED     01      56,397      43,454       3,100
CABOT OIL & GAS CORP            COM   127097103          17         610  SH     OTHER    01,06           0           0         610
CABOT OIL & GAS CORP            COM   127097103       3,796     137,474  SH     DEFINED  01,08      81,104      56,370           0

CACHE INC                       COM   127150308         189      12,619  SH     DEFINED     01       4,750       7,869           0
CACHE INC                       COM   127150308         320      21,396  SH     DEFINED  01,08       3,912      17,484           0

CACI INTL INC                   COM   127190304       3,585     104,527  SH     DEFINED     01      60,430      42,547       1,550
CACI INTL INC                   COM   127190304          18         520  SH     DEFINED     03           0         400         120
CACI INTL INC                   COM   127190304          34       1,000  SH     DEFINED     04       1,000           0           0
CACI INTL INC                   COM   127190304          19         550  SH     OTHER    01,06           0           0         550
CACI INTL INC                   COM   127190304       4,889     142,534  SH     DEFINED  01,08      77,590      64,944           0

CADBURY SCHWEPPES PLC           COM   127209302         173       7,160  SH     DEFINED     01       7,160           0           0
CADBURY SCHWEPPES PLC           COM   127209302          56       2,304  SH     OTHER       01         704       1,600           0
CADBURY SCHWEPPES PLC           COM   127209302          15         624  SH     DEFINED     02         624           0           0
CADBURY SCHWEPPES PLC           COM   127209302          17         700  SH     DEFINED     04         700           0           0
CADBURY SCHWEPPES PLC           COM   127209302          73       3,000  SH     OTHER       04           0           0       3,000
CADBURY SCHWEPPES PLC           COM   127209302          24       1,000  SH     OTHER       05           0           0       1,000

CADENCE DESIGN SYSTEM INC       COM   127387108      10,267     851,324  SH     DEFINED     01     317,802     518,853      14,669
CADENCE DESIGN SYSTEM INC       COM   127387108         193      16,000  SH     OTHER       01      16,000           0           0
CADENCE DESIGN SYSTEM INC       COM   127387108          57       4,700  SH     DEFINED     04       3,700           0       1,000
CADENCE DESIGN SYSTEM INC       COM   127387108          50       4,115  SH     OTHER       04       4,115           0           0
CADENCE DESIGN SYSTEM INC       COM   127387108       8,774     727,496  SH     DEFINED  01,08     538,669     188,827           0
CADENCE DESIGN SYSTEM INC       COM   127387108           6         500  SH     OTHER       10         500           0           0

CADMUS COMMUNICATIONS CORP      COM   127587103         192      21,600  SH     DEFINED     01       1,700      19,900           0
CADMUS COMMUNICATIONS CORP      COM   127587103         165      18,582  SH     DEFINED  01,08       3,777      14,805           0

CAGLES INC                      COM   127703106          30       6,300  SH     DEFINED     01         700       5,600           0
CAGLES INC                      COM   127703106          69      14,513  SH     DEFINED  01,08       2,066      12,447           0

CAL DIVE INTL INC               COM   127914109       2,720     124,902  SH     DEFINED     01      78,097      44,005       2,800
CAL DIVE INTL INC               COM   127914109           4         173  SH     DEFINED     02           0           0         173
CAL DIVE INTL INC               COM   127914109          15         700  SH     OTHER    01,06           0           0         700
CAL DIVE INTL INC               COM   127914109       4,089     187,719  SH     DEFINED  01,08     120,765      66,954           0

CALGON CARBON CORP              COM   129603106         791     137,590  SH     DEFINED     01      66,957      70,283         350
CALGON CARBON CORP              COM   129603106         742     128,974  SH     DEFINED  01,08      60,338      68,636           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     95
________

CALIFORNIA AMPLIFIER INC        COM   129900106          45      12,549  SH     DEFINED     01       2,700       9,849           0
CALIFORNIA AMPLIFIER INC        COM   129900106           0          13  SH     DEFINED     02           0          13           0
CALIFORNIA AMPLIFIER INC        COM   129900106          95      26,575  SH     DEFINED  01,08       7,000      19,575           0

CALIFORNIA COASTAL CMNTYS IN    COM   129915203          54       8,200  SH     DEFINED     01         900       7,300           0
CALIFORNIA COASTAL CMNTYS IN    COM   129915203          46       7,030  SH     DEFINED  01,08       4,630       2,400           0

CALIFORNIA FIRST NTNL BANCOR    COM   130222102         304      32,027  SH     DEFINED     01      16,627      15,400           0
CALIFORNIA FIRST NTNL BANCOR    COM   130222102         308      32,444  SH     DEFINED  01,08       5,129      27,315           0

CALIFORNIA INDPT BANCORP        COM   130334105         121       4,177  SH     DEFINED     01         242       3,935           0
CALIFORNIA INDPT BANCORP        COM   130334105         110       3,796  SH     DEFINED  01,08         961       2,835           0

CALIFORNIA MICRO DEVICES COR    COM   130439102          33      15,500  SH     DEFINED     01       2,200      13,300           0
CALIFORNIA MICRO DEVICES COR    COM   130439102          62      28,900  SH     DEFINED  01,08       7,900      21,000           0

CALIFORNIA PIZZA KITCHEN INC    COM   13054D109       1,123      52,033  SH     DEFINED     01      30,712      20,521         800
CALIFORNIA PIZZA KITCHEN INC    COM   13054D109       2,131      98,724  SH     DEFINED  01,08      66,838      31,886           0

CALIFORNIA WTR SVC GROUP        COM   130788102       1,846      65,647  SH     DEFINED     01      36,207      28,640         800
CALIFORNIA WTR SVC GROUP        COM   130788102          63       2,242  SH     OTHER       03           0       1,242       1,000
CALIFORNIA WTR SVC GROUP        COM   130788102          21         750  SH     OTHER       04         750           0           0
CALIFORNIA WTR SVC GROUP        COM   130788102       1,192      42,374  SH     DEFINED  01,08      11,613      30,761           0

CALIPER TECHNOLOGIES CORP       COM   130876105         425      93,302  SH     DEFINED     01      56,875      34,977       1,450
CALIPER TECHNOLOGIES CORP       COM   130876105           2         500  SH     DEFINED     04         500           0           0
CALIPER TECHNOLOGIES CORP       COM   130876105         258      56,563  SH     DEFINED  01,08      12,443      44,120           0

CALLAWAY GOLF CO                COM   131193104       3,673     277,819  SH     DEFINED     01     127,151     143,018       7,650
CALLAWAY GOLF CO                COM   131193104          25       1,900  SH     OTHER       01       1,900           0           0
CALLAWAY GOLF CO                COM   131193104         156      11,782  SH     DEFINED     04      11,782           0           0
CALLAWAY GOLF CO                COM   131193104       2,422     183,208  SH     DEFINED  01,08     129,649      53,559           0

CALLON PETE CO DEL              COM   13123X102         132      18,500  SH     DEFINED     01       2,700      15,800           0
CALLON PETE CO DEL              COM   13123X102           1         163  SH     DEFINED     04         163           0           0
CALLON PETE CO DEL              COM   13123X102           0          38  SH     OTHER       04          38           0           0
CALLON PETE CO DEL              COM   13123X102         179      25,100  SH     DEFINED  01,08       6,608      18,492           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     96
________

CALPINE CORP                    COM   131347106      14,258   2,160,332  SH     DEFINED     01   1,145,328     982,854      32,150
CALPINE CORP                    COM   131347106         502      76,134  SH     OTHER       01         784      75,000         350
CALPINE CORP                    COM   131347106          22       3,325  SH     DEFINED     02       3,125         200           0
CALPINE CORP                    COM   131347106          17       2,640  SH     OTHER       02       2,640           0           0
CALPINE CORP                    COM   131347106           1         150  SH     DEFINED     03           0         150           0
CALPINE CORP                    COM   131347106           2         320  SH     OTHER       03         120         200           0
CALPINE CORP                    COM   131347106          99      14,990  SH     DEFINED     04      14,890           0         100
CALPINE CORP                    COM   131347106         163      24,700  SH     OTHER       04      23,700           0       1,000
CALPINE CORP                    COM   131347106          13       2,000  SH     OTHER       05       2,000           0           0
CALPINE CORP                    COM   131347106           7       1,000  SH     OTHER    01,06           0           0       1,000
CALPINE CORP                    COM   131347106       9,562   1,448,840  SH     DEFINED  01,08   1,305,940     142,900           0
CALPINE CORP                    COM   131347106          29       4,450  SH     DEFINED     10         450       4,000           0
CALPINE CORP                    COM   131347106           7       1,000  SH     OTHER       10       1,000           0           0

CAMBREX CORP                    COM   132011107       2,490     108,150  SH     DEFINED     01      73,023      34,027       1,100
CAMBREX CORP                    COM   132011107          12         500  SH     OTHER    01,06           0           0         500
CAMBREX CORP                    COM   132011107       2,541     110,378  SH     DEFINED  01,08      64,645      45,733           0

CAMCO FINL CORP                 COM   132618109         155       9,989  SH     DEFINED     01       2,181       7,808           0
CAMCO FINL CORP                 COM   132618109         215      13,816  SH     DEFINED  01,08       3,949       9,867           0

CAMDEN NATL CORP                COM   133034108         494      17,949  SH     DEFINED     01      14,749       2,900         300
CAMDEN NATL CORP                COM   133034108         576      20,928  SH     DEFINED  01,08       5,683      15,245           0

CAMDEN PPTY TR                  COM   133131102       1,716      49,106  SH     DEFINED     01      32,878      14,678       1,550
CAMDEN PPTY TR                  COM   133131102          17         500  SH     DEFINED     04         500           0           0
CAMDEN PPTY TR                  COM   133131102       4,331     123,926  SH     DEFINED  01,08      95,876      28,050           0

CAMPBELL SOUP CO                COM   134429109      52,229   2,131,815  SH     DEFINED     01   1,106,688     989,627      35,500
CAMPBELL SOUP CO                COM   134429109         198       8,062  SH     OTHER       01       2,437       5,300         325
CAMPBELL SOUP CO                COM   134429109          37       1,500  SH     DEFINED     02       1,500           0           0
CAMPBELL SOUP CO                COM   134429109         248      10,129  SH     DEFINED     03       6,600       3,529           0
CAMPBELL SOUP CO                COM   134429109         129       5,280  SH     OTHER       03       3,280           0       2,000
CAMPBELL SOUP CO                COM   134429109         348      14,200  SH     DEFINED     04      11,200           0       3,000
CAMPBELL SOUP CO                COM   134429109         409      16,677  SH     OTHER       04      16,677           0           0
CAMPBELL SOUP CO                COM   134429109          26       1,050  SH     OTHER    01,06           0           0       1,050
CAMPBELL SOUP CO                COM   134429109      36,446   1,487,586  SH     DEFINED  01,08   1,347,479     140,107           0
CAMPBELL SOUP CO                COM   134429109          80       3,260  SH     DEFINED     10       1,060       2,200           0
CAMPBELL SOUP CO                COM   134429109         255      10,400  SH     OTHER       10      10,400           0           0

CANADIAN NATL RY CO             COM   136375102          24         500  SH     DEFINED     01           0         500           0
CANADIAN NATL RY CO             COM   136375102         154       3,200  SH     OTHER       01           0       3,200           0
CANADIAN NATL RY CO             COM   136375102          87       1,800  SH     DEFINED     04       1,300           0         500
CANADIAN NATL RY CO             COM   136375102          63       1,300  SH     DEFINED     10       1,300           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     97
________

CANADIAN PAC RY LTD             COM   13645T100          34       1,500  SH     DEFINED     01       1,500           0           0
CANADIAN PAC RY LTD             COM   13645T100         168       7,450  SH     OTHER       01           0       7,450           0
CANADIAN PAC RY LTD             COM   13645T100          33       1,475  SH     DEFINED     03       1,475           0           0
CANADIAN PAC RY LTD             COM   13645T100           5         200  SH     DEFINED     04         200           0           0
CANADIAN PAC RY LTD             COM   13645T100           7         300  SH     OTHER       04         300           0           0

CANDELA CORP                    COM   136907102         158      13,750  SH     DEFINED     01       2,300      11,450           0
CANDELA CORP                    COM   136907102         350      30,448  SH     DEFINED  01,08       8,284      22,164           0

CANDIES INC                     COM   137409108          37      19,464  SH     DEFINED     01         212      19,252           0
CANDIES INC                     COM   137409108          80      42,303  SH     DEFINED  01,08      12,027      30,276           0

CANNON EXPRESS INC              COM   137694105           3       1,300  SH     DEFINED     01         400         900           0
CANNON EXPRESS INC              COM   137694105          19       9,600  SH     DEFINED  01,08       1,699       7,901           0

CANTEL MEDICAL CORP             COM   138098108         282      20,997  SH     DEFINED     01      11,555       9,092         350
CANTEL MEDICAL CORP             COM   138098108         250      18,649  SH     DEFINED  01,08       4,940      13,709           0

CANYON RESOURCES CORP           COM   138869300          24      17,600  SH     DEFINED     01           0      17,600           0
CANYON RESOURCES CORP           COM   138869300          46      34,000  SH     DEFINED  01,08       8,307      25,693           0

CAPITAL CITY BK GROUP INC       COM   139674105       1,221      33,843  SH     DEFINED     01      17,908      15,560         375
CAPITAL CITY BK GROUP INC       COM   139674105           7         200  SH     DEFINED     04         200           0           0
CAPITAL CITY BK GROUP INC       COM   139674105       1,116      30,928  SH     DEFINED  01,08       8,341      22,587           0

CAPITAL AUTOMOTIVE REIT         COM   139733109       2,560      91,450  SH     DEFINED     01      50,792      38,398       2,260
CAPITAL AUTOMOTIVE REIT         COM   139733109          17         600  SH     OTHER    01,06           0           0         600
CAPITAL AUTOMOTIVE REIT         COM   139733109       4,574     163,425  SH     DEFINED  01,08     109,503      53,922           0

CAPITAL BK CORP                 COM   139793103          35       2,365  SH     DEFINED     01         500       1,865           0
CAPITAL BK CORP                 COM   139793103         165      11,081  SH     DEFINED  01,08       2,754       8,327           0

CAPITAL CORP OF THE WEST        COM   140065103         154       6,135  SH     DEFINED     01           0       6,135           0
CAPITAL CORP OF THE WEST        COM   140065103          15         610  SH     DEFINED     03         210         400           0
CAPITAL CORP OF THE WEST        COM   140065103         283      11,285  SH     DEFINED  01,08       4,274       7,011           0

CAPITAL CROSSING BK             COM   140071101         498      20,600  SH     DEFINED     01      13,900       6,700           0
CAPITAL CROSSING BK             COM   140071101         201       8,312  SH     DEFINED  01,08       1,600       6,712           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     98
________

CAPITAL ONE FINL CORP           COM   14040H105      65,145   1,324,622  SH     DEFINED     01     689,566     599,561      35,495
CAPITAL ONE FINL CORP           COM   14040H105         313       6,366  SH     OTHER       01       4,236       1,825         305
CAPITAL ONE FINL CORP           COM   14040H105         339       6,900  SH     DEFINED     02       6,900           0           0
CAPITAL ONE FINL CORP           COM   14040H105          25         500  SH     OTHER       02         500           0           0
CAPITAL ONE FINL CORP           COM   14040H105          83       1,680  SH     DEFINED     03         930         350         400
CAPITAL ONE FINL CORP           COM   14040H105          96       1,950  SH     OTHER       03         350       1,600           0
CAPITAL ONE FINL CORP           COM   14040H105          34         700  SH     DEFINED     04         700           0           0
CAPITAL ONE FINL CORP           COM   14040H105         140       2,850  SH     OTHER       04       2,850           0           0
CAPITAL ONE FINL CORP           COM   14040H105          30         600  SH     OTHER    01,06           0           0         600
CAPITAL ONE FINL CORP           COM   14040H105      44,366     902,108  SH     DEFINED  01,08     820,429      81,679           0
CAPITAL ONE FINL CORP           COM   14040H105         564      11,474  SH     DEFINED     10      11,324           0         150
CAPITAL ONE FINL CORP           COM   14040H105          31         625  SH     OTHER       10           0         625           0

CAPITAL PAC HLDGS INC           COM   14040M104          21       5,100  SH     DEFINED     01       2,000       3,100           0
CAPITAL PAC HLDGS INC           COM   14040M104         139      33,067  SH     DEFINED  01,08       5,980      27,087           0

CAPITAL SR LIVING CORP          COM   140475104          63      20,200  SH     DEFINED     01       4,200      16,000           0
CAPITAL SR LIVING CORP          COM   140475104         107      34,152  SH     DEFINED  01,08       8,352      25,800           0

CAPITAL TRUST INC MD            COM   14052H506         232      12,499  SH     DEFINED     01      12,499           0           0
CAPITAL TRUST INC MD            COM   14052H506         187      10,098  SH     DEFINED  01,08       2,299       7,799           0

CAPITOL BANCORP LTD             COM   14056D105         668      24,644  SH     DEFINED     01      16,044       8,100         500
CAPITOL BANCORP LTD             COM   14056D105          80       2,970  SH     DEFINED     02       1,000       1,970           0
CAPITOL BANCORP LTD             COM   14056D105          27       1,000  SH     OTHER       04       1,000           0           0
CAPITOL BANCORP LTD             COM   14056D105         735      27,110  SH     DEFINED  01,08       8,850      18,260           0
CAPITOL BANCORP LTD             COM   14056D105         450      16,617  SH     DEFINED     10           0      16,617           0

CAPITOL FED FINL                COM   14057C106       1,184      41,973  SH     DEFINED     01      30,971       9,262       1,740
CAPITOL FED FINL                COM   14057C106          47       1,682  SH     DEFINED     04       1,682           0           0
CAPITOL FED FINL                COM   14057C106       1,876      66,485  SH     DEFINED  01,08      20,585      45,900           0

CAPSTONE TURBINE CORP           COM   14067D102         137     122,314  SH     DEFINED     01      87,849      32,415       2,050
CAPSTONE TURBINE CORP           COM   14067D102           3       3,000  SH     OTHER       01           0       3,000           0
CAPSTONE TURBINE CORP           COM   14067D102           1         500  SH     DEFINED     02           0           0         500
CAPSTONE TURBINE CORP           COM   14067D102           0         200  SH     DEFINED     04         200           0           0
CAPSTONE TURBINE CORP           COM   14067D102           0         300  SH     OTHER       04         300           0           0
CAPSTONE TURBINE CORP           COM   14067D102         194     173,117  SH     DEFINED  01,08      38,800     134,317           0

CAPSTEAD MTG CORP               COM   14067E506         568      50,411  SH     DEFINED     01      20,214      29,947         250
CAPSTEAD MTG CORP               COM   14067E506           3         250  SH     OTHER       04         250           0           0
CAPSTEAD MTG CORP               COM   14067E506         457      40,551  SH     DEFINED  01,08      24,732      15,819           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE     99
________

CAPTARIS INC                    COM   14071N104         120      35,000  SH     DEFINED     01       6,300      27,600       1,100
CAPTARIS INC                    COM   14071N104           7       2,000  SH     DEFINED     04       2,000           0           0
CAPTARIS INC                    COM   14071N104           2         600  SH     OTHER    01,06           0           0         600
CAPTARIS INC                    COM   14071N104         273      79,337  SH     DEFINED  01,08      38,637      40,700           0

CAPTIVA SOFTWARE CORP DEL       COM   14073T109          29       5,901  SH     DEFINED     01         800       5,101           0
CAPTIVA SOFTWARE CORP DEL       COM   14073T109          10       2,000  SH     OTHER       01           0       2,000           0
CAPTIVA SOFTWARE CORP DEL       COM   14073T109          76      15,322  SH     DEFINED  01,08       4,079      11,243           0

CARBO CERAMICS INC              COM   140781105       1,530      41,086  SH     DEFINED     01      22,587      18,049         450
CARBO CERAMICS INC              COM   140781105           3          80  SH     DEFINED     02           0           0          80
CARBO CERAMICS INC              COM   140781105          11         300  SH     OTHER    01,06           0           0         300
CARBO CERAMICS INC              COM   140781105       1,630      43,764  SH     DEFINED  01,08      18,709      25,055           0

CARAUSTAR INDS INC              COM   140909102       5,124     639,719  SH     DEFINED     01     599,654      38,555       1,510
CARAUSTAR INDS INC              COM   140909102           4         525  SH     OTHER    01,06           0           0         525
CARAUSTAR INDS INC              COM   140909102         935     116,789  SH     DEFINED  01,08      66,234      50,555           0

CAPITAL TITLE GROUP INC         COM   140919101          64      14,200  SH     DEFINED     01           0      14,200           0
CAPITAL TITLE GROUP INC         COM   140919101          45      10,000  SH     OTHER       01           0      10,000           0
CAPITAL TITLE GROUP INC         COM   140919101         225      50,000  SH     DEFINED     04      50,000           0           0
CAPITAL TITLE GROUP INC         COM   140919101         144      32,084  SH     DEFINED  01,08       8,184      23,900           0

CARDIAC SCIENCE INC             COM   141410209         378     139,903  SH     DEFINED     01     122,853      13,800       3,250
CARDIAC SCIENCE INC             COM   141410209         467     172,949  SH     DEFINED  01,08      52,529     120,420           0

CARDIMA INC                     COM   14147M106           5       7,600  SH     DEFINED     01       7,600           0           0
CARDIMA INC                     COM   14147M106          18      24,673  SH     DEFINED  01,08      22,873       1,800           0

CARDINAL FINL CORP              COM   14149F109          61       9,000  SH     DEFINED     01         600       8,400           0
CARDINAL FINL CORP              COM   14149F109          80      11,897  SH     DEFINED  01,08       4,597       7,300           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    100
________

CARDINAL HEALTH INC             COM   14149Y108     239,014   3,717,164  SH     DEFINED     01   2,239,245   1,386,934      90,985
CARDINAL HEALTH INC             COM   14149Y108      21,774     338,629  SH     OTHER       01     160,370     151,707      26,552
CARDINAL HEALTH INC             COM   14149Y108       6,194      96,333  SH     DEFINED     02      69,741      22,885       3,707
CARDINAL HEALTH INC             COM   14149Y108       1,209      18,805  SH     OTHER       02       9,060       8,320       1,425
CARDINAL HEALTH INC             COM   14149Y108      12,463     193,820  SH     DEFINED     03      92,816      72,229      28,775
CARDINAL HEALTH INC             COM   14149Y108       5,975      92,917  SH     OTHER       03      84,107       5,135       3,675
CARDINAL HEALTH INC             COM   14149Y108      17,672     274,830  SH     DEFINED     04     264,695           0      10,135
CARDINAL HEALTH INC             COM   14149Y108       5,043      78,423  SH     OTHER       04      73,073           0       5,350
CARDINAL HEALTH INC             COM   14149Y108       6,868     106,807  SH     DEFINED     05      88,027      11,490       7,290
CARDINAL HEALTH INC             COM   14149Y108       1,006      15,642  SH     OTHER       05       9,792       5,650         200
CARDINAL HEALTH INC             COM   14149Y108          77       1,197  SH     OTHER    01,06           0           0       1,197
CARDINAL HEALTH INC             COM   14149Y108     133,374   2,074,245  SH     DEFINED  01,08   1,903,295     170,950           0
CARDINAL HEALTH INC             COM   14149Y108      11,509     178,984  SH     DEFINED     10     133,007      10,237      35,740
CARDINAL HEALTH INC             COM   14149Y108       1,958      30,447  SH     OTHER       10      20,040       9,657         750

CARDIODYNAMICS INTL CORP        COM   141597104         392     115,360  SH     DEFINED     01      64,666      49,094       1,600
CARDIODYNAMICS INTL CORP        COM   141597104         335      98,664  SH     DEFINED  01,08      32,598      66,066           0

CARDIOTECH INTL INC             COM   14160C100          12       3,950  SH     DEFINED     01       1,400       2,550           0
CARDIOTECH INTL INC             COM   14160C100          72      24,308  SH     DEFINED  01,08       5,710      18,598           0

CAREER EDUCATION CORP           COM   141665109      29,296     428,932  SH     DEFINED     01     315,760     102,398      10,774
CAREER EDUCATION CORP           COM   141665109          57         840  SH     OTHER       01           0         840           0
CAREER EDUCATION CORP           COM   141665109           4          55  SH     DEFINED     03           0           0          55
CAREER EDUCATION CORP           COM   141665109          68       1,000  SH     OTHER       04       1,000           0           0
CAREER EDUCATION CORP           COM   141665109       8,077     118,256  SH     DEFINED  01,08      85,950      32,306           0
CAREER EDUCATION CORP           COM   141665109          73       1,075  SH     DEFINED     10       1,075           0           0

CAREMARK RX INC                 COM   141705103       7,889     307,218  SH     DEFINED     01     187,834     108,670      10,714
CAREMARK RX INC                 COM   141705103         468      18,238  SH     OTHER       01      12,288       5,950           0
CAREMARK RX INC                 COM   141705103          45       1,762  SH     DEFINED     02       1,762           0           0
CAREMARK RX INC                 COM   141705103          36       1,395  SH     DEFINED     03         350         500         545
CAREMARK RX INC                 COM   141705103          25         980  SH     OTHER       03         980           0           0
CAREMARK RX INC                 COM   141705103         206       8,035  SH     DEFINED     04       8,035           0           0
CAREMARK RX INC                 COM   141705103           1          30  SH     OTHER       04          30           0           0
CAREMARK RX INC                 COM   141705103      14,574     567,516  SH     DEFINED  01,08     385,725     181,791           0

CARLISLE COS INC                COM   142339100       5,909     140,161  SH     DEFINED     01      77,929      60,132       2,100
CARLISLE COS INC                COM   142339100       3,149      74,681  SH     DEFINED  01,08      40,352      34,329           0

CARMAX INC                      COM   143130102      10,123     335,756  SH     DEFINED     01     125,051     200,692      10,013
CARMAX INC                      COM   143130102           1          31  SH     DEFINED     03           0          31           0
CARMAX INC                      COM   143130102       8,245     273,457  SH     DEFINED  01,08     200,116      73,341           0
CARMAX INC                      COM   143130102          48       1,584  SH     DEFINED     10       1,584           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    101
________

CARMIKE CINEMAS INC             COM   143436400         235      10,373  SH     DEFINED     01       1,448       8,775         150
CARMIKE CINEMAS INC             COM   143436400         302      13,334  SH     DEFINED  01,08       4,447       8,887           0
CARMIKE CINEMAS INC             COM   143436400          20         870  SH     DEFINED     10           0           0         870

CARNIVAL CORP                   COM   143658300      99,854   3,071,497  SH     DEFINED     01   1,555,348   1,488,299      27,850
CARNIVAL CORP                   COM   143658300       1,803      55,465  SH     OTHER       01      23,995      30,170       1,300
CARNIVAL CORP                   COM   143658300         402      12,357  SH     DEFINED     02       7,700       4,657           0
CARNIVAL CORP                   COM   143658300          10         300  SH     OTHER       02         300           0           0
CARNIVAL CORP                   COM   143658300         198       6,095  SH     DEFINED     03       2,775       3,100         220
CARNIVAL CORP                   COM   143658300         222       6,835  SH     OTHER       03       6,435           0         400
CARNIVAL CORP                   COM   143658300          34       1,050  SH     DEFINED     05       1,050           0           0
CARNIVAL CORP                   COM   143658300          52       1,600  SH     OTHER    01,06           0           0       1,600
CARNIVAL CORP                   COM   143658300      61,120   1,880,033  SH     DEFINED  01,08   1,718,750     161,283           0
CARNIVAL CORP                   COM   143658300          87       2,671  SH     DEFINED     10       2,226         400          45
CARNIVAL CORP                   COM   143658300          10         300  SH     OTHER       10         300           0           0

CARRIAGE SVCS INC               COM   143905107          78      22,100  SH     DEFINED     01       1,500      20,600           0
CARRIAGE SVCS INC               COM   143905107         106      29,900  SH     DEFINED  01,08       6,808      23,092           0

CARPENTER TECHNOLOGY CORP       COM   144285103       1,613     103,371  SH     DEFINED     01      49,295      52,526       1,550
CARPENTER TECHNOLOGY CORP       COM   144285103          39       2,500  SH     OTHER       04           0           0       2,500
CARPENTER TECHNOLOGY CORP       COM   144285103         965      61,869  SH     DEFINED  01,08      37,762      24,107           0

CARRAMERICA RLTY CORP           COM   144418100       2,209      79,419  SH     DEFINED     01      55,072      21,603       2,744
CARRAMERICA RLTY CORP           COM   144418100          19         700  SH     OTHER       04         700           0           0
CARRAMERICA RLTY CORP           COM   144418100       3,461     124,445  SH     DEFINED  01,08      86,645      37,800           0

CARREKER CORP                   COM   144433109         339      76,612  SH     DEFINED     01      46,415      28,947       1,250
CARREKER CORP                   COM   144433109           2         500  SH     OTHER    01,06           0           0         500
CARREKER CORP                   COM   144433109         280      63,256  SH     DEFINED  01,08      24,184      39,072           0

CARRIER ACCESS CORP             COM   144460102          87      39,828  SH     DEFINED     01       5,028      34,800           0
CARRIER ACCESS CORP             COM   144460102          89      40,638  SH     DEFINED  01,08      11,332      29,306           0

CARRINGTON LABS INC             COM   144525102          44      17,900  SH     DEFINED     01       1,900      16,000           0
CARRINGTON LABS INC             COM   144525102           0         100  SH     DEFINED     04         100           0           0
CARRINGTON LABS INC             COM   144525102          59      24,049  SH     DEFINED  01,08       4,871      19,178           0

CARRIZO OIL & CO INC            COM   144577103         151      24,800  SH     DEFINED     01      12,800      12,000           0
CARRIZO OIL & CO INC            COM   144577103         151      24,741  SH     DEFINED  01,08       6,500      18,241           0

CASCADE BANCORP                 COM   147154108         692      40,556  SH     DEFINED     01      20,356      19,700         500
CASCADE BANCORP                 COM   147154108         602      35,291  SH     DEFINED  01,08      12,043      23,248           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    102
________

CASCADE CORP                    COM   147195101         788      45,263  SH     DEFINED     01      17,663      27,400         200
CASCADE CORP                    COM   147195101         749      43,049  SH     DEFINED  01,08       9,882      33,167           0

CASCADE FINL CORP               COM   147272108          76       5,000  SH     DEFINED     01           0       5,000           0
CASCADE FINL CORP               COM   147272108         172      11,338  SH     DEFINED  01,08       3,048       8,290           0

CASCADE NAT GAS CORP            COM   147339105         790      41,358  SH     DEFINED     01      23,789      16,819         750
CASCADE NAT GAS CORP            COM   147339105          19       1,000  SH     DEFINED     04       1,000           0           0
CASCADE NAT GAS CORP            COM   147339105           4         200  SH     OTHER    01,06           0           0         200
CASCADE NAT GAS CORP            COM   147339105         727      38,088  SH     DEFINED  01,08      16,866      21,222           0

CASELLA WASTE SYS INC           COM   147448104         655      73,518  SH     DEFINED     01      38,103      34,415       1,000
CASELLA WASTE SYS INC           COM   147448104         492      55,268  SH     DEFINED  01,08      16,801      38,467           0

CASEYS GEN STORES INC           COM   147528103       2,124     150,458  SH     DEFINED     01      81,003      65,005       4,450
CASEYS GEN STORES INC           COM   147528103         114       8,100  SH     DEFINED     02         100       8,000           0
CASEYS GEN STORES INC           COM   147528103          14       1,000  SH     OTHER    01,06           0           0       1,000
CASEYS GEN STORES INC           COM   147528103       3,547     251,231  SH     DEFINED  01,08     130,935     120,296           0

CASH AMER INTL INC              COM   14754D100       1,093      82,660  SH     DEFINED     01      44,966      36,094       1,600
CASH AMER INTL INC              COM   14754D100           7         500  SH     OTHER    01,06           0           0         500
CASH AMER INTL INC              COM   14754D100       1,260      95,287  SH     DEFINED  01,08      51,707      43,580           0

CASTLE A M & CO                 COM   148411101       1,247     190,317  SH     DEFINED     01      98,105      91,462         750
CASTLE A M & CO                 COM   148411101       2,067     315,622  SH     OTHER       01     315,622           0           0
CASTLE A M & CO                 COM   148411101          34       5,125  SH     DEFINED     02       5,125           0           0
CASTLE A M & CO                 COM   148411101           2         300  SH     OTHER    01,06           0           0         300
CASTLE A M & CO                 COM   148411101         308      46,993  SH     DEFINED  01,08      17,368      29,625           0

CASTLE ENERGY CORP              COM   148449309          36       7,500  SH     DEFINED     01       1,200       6,300           0
CASTLE ENERGY CORP              COM   148449309         103      21,259  SH     DEFINED  01,08       2,899      18,360           0

CASUAL MALE RETAIL GRP INC      COM   148711104         165      31,460  SH     DEFINED     01       2,300      29,160           0
CASUAL MALE RETAIL GRP INC      COM   148711104         344      65,681  SH     DEFINED  01,08      27,031      38,650           0

CATALINA LTG INC                COM   148865207          27       2,680  SH     DEFINED     01         200       2,480           0
CATALINA LTG INC                COM   148865207          76       7,573  SH     DEFINED  01,08       1,962       5,611           0

CATALINA MARKETING CORP         COM   148867104       2,728     154,564  SH     DEFINED     01      55,743      98,455         366
CATALINA MARKETING CORP         COM   148867104          28       1,565  SH     OTHER       01           0       1,565           0
CATALINA MARKETING CORP         COM   148867104           2         130  SH     DEFINED     02           0           0         130
CATALINA MARKETING CORP         COM   148867104          25       1,400  SH     DEFINED     03       1,400           0           0
CATALINA MARKETING CORP         COM   148867104       2,235     126,650  SH     DEFINED  01,08      90,978      35,672           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    103
________

CATALYST SEMICONDUCTOR INC      COM   148881105          60      15,600  SH     DEFINED     01       3,200      12,400           0
CATALYST SEMICONDUCTOR INC      COM   148881105         112      29,012  SH     DEFINED  01,08       7,244      21,768           0

CATALYTICA ENERGY SYS INC       COM   148884109          45      16,641  SH     DEFINED     01       2,455      14,186           0
CATALYTICA ENERGY SYS INC       COM   148884109          87      32,331  SH     DEFINED  01,08       7,554      24,777           0

CATAPULT COMMUNICATIONS CORP    COM   149016107         867      82,688  SH     DEFINED     01      65,139      16,949         600
CATAPULT COMMUNICATIONS CORP    COM   149016107           3         300  SH     OTHER    01,06           0           0         300
CATAPULT COMMUNICATIONS CORP    COM   149016107         558      53,230  SH     DEFINED  01,08      28,765      24,465           0

CATELLUS DEV CORP               COM   149111106       2,481     112,767  SH     DEFINED     01      70,227      38,490       4,050
CATELLUS DEV CORP               COM   149111106           3         115  SH     OTHER       01           0         115           0
CATELLUS DEV CORP               COM   149111106           1          55  SH     DEFINED     02          55           0           0
CATELLUS DEV CORP               COM   149111106           1          44  SH     OTHER       03          44           0           0
CATELLUS DEV CORP               COM   149111106       3,645     165,682  SH     DEFINED  01,08     104,382      61,300           0

CATERPILLAR INC DEL             COM   149123101     125,854   2,261,113  SH     DEFINED     01   1,161,655     993,733     105,725
CATERPILLAR INC DEL             COM   149123101       3,890      69,884  SH     OTHER       01      32,808      28,351       8,725
CATERPILLAR INC DEL             COM   149123101         863      15,503  SH     DEFINED     02      13,328       1,575         600
CATERPILLAR INC DEL             COM   149123101         433       7,777  SH     OTHER       02       5,622       2,155           0
CATERPILLAR INC DEL             COM   149123101       4,370      78,514  SH     DEFINED     03      23,691      35,071      19,752
CATERPILLAR INC DEL             COM   149123101         914      16,423  SH     OTHER       03      14,958       1,465           0
CATERPILLAR INC DEL             COM   149123101      22,010     395,439  SH     DEFINED     04     382,789           0      12,650
CATERPILLAR INC DEL             COM   149123101      11,375     204,362  SH     OTHER       04     191,787           0      12,575
CATERPILLAR INC DEL             COM   149123101       1,386      24,910  SH     DEFINED     05      21,685         890       2,335
CATERPILLAR INC DEL             COM   149123101          25         455  SH     OTHER       05         455           0           0
CATERPILLAR INC DEL             COM   149123101          50         900  SH     OTHER    01,06           0           0         900
CATERPILLAR INC DEL             COM   149123101     110,941   1,993,184  SH     DEFINED  01,08   1,379,435     539,065      74,684
CATERPILLAR INC DEL             COM   149123101       1,833      32,940  SH     DEFINED     10      27,668       4,790         482
CATERPILLAR INC DEL             COM   149123101          67       1,200  SH     OTHER       10         725         475           0

CATHAY BANCORP INC              COM   149150104       2,472      55,455  SH     DEFINED     01      33,533      21,572         350
CATHAY BANCORP INC              COM   149150104       2,021      45,345  SH     DEFINED  01,08      14,826      30,519           0

CATO CORP NEW                   COM   149205106       1,440      68,328  SH     DEFINED     01      33,771      32,357       2,200
CATO CORP NEW                   COM   149205106          11         500  SH     OTHER    01,06           0           0         500
CATO CORP NEW                   COM   149205106       2,097      99,488  SH     DEFINED  01,08      53,728      45,760           0

CAVALIER HOMES INC              COM   149507105          34      16,600  SH     DEFINED     01       2,700      13,900           0
CAVALIER HOMES INC              COM   149507105          61      29,256  SH     DEFINED  01,08       6,460      22,796           0

CAVALRY BANCORP INC             COM   149547101          71       4,200  SH     DEFINED     01       1,500       2,700           0
CAVALRY BANCORP INC             COM   149547101         210      12,363  SH     DEFINED  01,08       3,363       9,000           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    104
________

CD&L INC                        COM   14983Y107           1       1,600  SH     DEFINED     01         900         700           0
CD&L INC                        COM   14983Y107           7      13,600  SH     DEFINED  01,08       4,549       9,051           0

CEDAR FAIR L P                  COM   150185106         462      16,500  SH     DEFINED     01      14,500       2,000           0
CEDAR FAIR L P                  COM   150185106         672      24,000  SH     OTHER       01      20,000       4,000           0
CEDAR FAIR L P                  COM   150185106          56       2,000  SH     OTHER       02           0       2,000           0
CEDAR FAIR L P                  COM   150185106         137       4,900  SH     DEFINED     04       4,900           0           0
CEDAR FAIR L P                  COM   150185106          64       2,300  SH     OTHER       04       1,600           0         700
CEDAR FAIR L P                  COM   150185106          78       2,800  SH     DEFINED     10       1,700       1,100           0
CEDAR FAIR L P                  COM   150185106         151       5,400  SH     OTHER       10       5,400           0           0

CEL-SCI CORP                    COM   150837409          20      24,100  SH     DEFINED     01       4,400      19,700           0
CEL-SCI CORP                    COM   150837409           2       1,800  SH     DEFINED     02           0       1,800           0
CEL-SCI CORP                    COM   150837409           9      11,052  SH     DEFINED  01,08       5,235       5,817           0

CELADON GROUP INC               COM   150838100         101      11,200  SH     DEFINED     01       1,600       9,600           0
CELADON GROUP INC               COM   150838100         124      13,700  SH     DEFINED  01,08       3,500      10,200           0

CELL GENESYS INC                COM   150921104       1,015     115,157  SH     DEFINED     01      66,327      48,280         550
CELL GENESYS INC                COM   150921104           5         600  SH     OTHER       01           0         600           0
CELL GENESYS INC                COM   150921104       1,150     130,531  SH     DEFINED  01,08      65,968      64,563           0

CELLSTAR CORP                   COM   150925204          78      19,937  SH     DEFINED     01       2,477      17,460           0
CELLSTAR CORP                   COM   150925204         139      35,390  SH     DEFINED  01,08       8,371      27,019           0

CELERITEK INC                   COM   150926103         123      16,800  SH     DEFINED     01       2,300      14,500           0
CELERITEK INC                   COM   150926103         158      21,590  SH     DEFINED  01,08       5,240      16,350           0

CELL THERAPEUTICS INC           COM   150934107       1,113     114,036  SH     DEFINED     01      67,187      44,699       2,150
CELL THERAPEUTICS INC           COM   150934107         146      15,000  SH     DEFINED     04      15,000           0           0
CELL THERAPEUTICS INC           COM   150934107       1,411     144,539  SH     DEFINED  01,08      83,984      60,555           0

CELGENE CORP                    COM   151020104       4,968     163,757  SH     DEFINED     01     122,421      37,462       3,874
CELGENE CORP                    COM   151020104          18         600  SH     DEFINED     02           0         600           0
CELGENE CORP                    COM   151020104         589      19,428  SH     OTHER       03           0      19,428           0
CELGENE CORP                    COM   151020104         176       5,800  SH     DEFINED     04       4,700           0       1,100
CELGENE CORP                    COM   151020104           0           7  SH     OTHER       04           7           0           0
CELGENE CORP                    COM   151020104       4,898     161,447  SH     DEFINED  01,08     104,994      56,453           0

CELLEGY PHARMACEUTICALS INC     COM   15115L103          75      15,000  SH     DEFINED     01       2,800      12,200           0
CELLEGY PHARMACEUTICALS INC     COM   15115L103          10       2,000  SH     OTHER       04       2,000           0           0
CELLEGY PHARMACEUTICALS INC     COM   15115L103         139      27,575  SH     DEFINED  01,08       7,975      19,600           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    105
________

CEMEX S A                       COM   151290889          69       3,115  SH     DEFINED     01         995           0       2,121
CEMEX S A                       COM   151290889         493      22,122  SH     OTHER       01           0           0      22,122
CEMEX S A                       COM   151290889           5         239  SH     DEFINED     02          74           0         165
CEMEX S A                       COM   151290889          15         651  SH     DEFINED     04           0           0         651
CEMEX S A                       COM   151290889           3         138  SH     OTHER       10         138           0           0

CENDANT CORP                    COM   151313103     110,338   6,022,820  SH     DEFINED     01   3,092,653   2,812,209     117,958
CENDANT CORP                    COM   151313103      17,529     956,833  SH     OTHER       01     955,608         300         925
CENDANT CORP                    COM   151313103          82       4,500  SH     DEFINED     02         500       4,000           0
CENDANT CORP                    COM   151313103          55       3,012  SH     DEFINED     03       1,282       1,400         330
CENDANT CORP                    COM   151313103         159       8,697  SH     DEFINED     04       8,697           0           0
CENDANT CORP                    COM   151313103          40       2,200  SH     OTHER       04       1,600           0         600
CENDANT CORP                    COM   151313103          48       2,600  SH     OTHER    01,06           0           0       2,600
CENDANT CORP                    COM   151313103      83,239   4,543,622  SH     DEFINED  01,08   4,134,765     408,857           0
CENDANT CORP                    COM   151313103           3         160  SH     DEFINED     10         160           0           0
CENDANT CORP                    COM   151313103         173       9,419  SH     OTHER       10       9,419           0           0

CENTENNIAL COMMUNCTNS CORP N    COM   15133V208         411     102,184  SH     DEFINED     01      29,686      72,498           0
CENTENNIAL COMMUNCTNS CORP N    COM   15133V208         657     163,541  SH     DEFINED  01,08      42,752     120,789           0

CENTENE CORP DEL                COM   15135B101         969      25,161  SH     DEFINED     01      11,569      13,492         100
CENTENE CORP DEL                COM   15135B101           8         200  SH     OTHER    01,06           0           0         200
CENTENE CORP DEL                COM   15135B101       2,303      59,776  SH     DEFINED  01,08      42,931      16,845           0

CENTER BANCORP INC              COM   151408101          15         988  SH     DEFINED     01         660         328           0
CENTER BANCORP INC              COM   151408101         235      15,734  SH     DEFINED  01,08       4,442      11,292           0

CENTERPOINT ENERGY INC          COM   15189T107      14,196   1,741,891  SH     DEFINED     01     928,294     785,396      28,201
CENTERPOINT ENERGY INC          COM   15189T107         124      15,204  SH     OTHER       01      13,179       1,000       1,025
CENTERPOINT ENERGY INC          COM   15189T107          62       7,575  SH     DEFINED     03       7,575           0           0
CENTERPOINT ENERGY INC          COM   15189T107          82      10,000  SH     DEFINED     05      10,000           0           0
CENTERPOINT ENERGY INC          COM   15189T107           7         800  SH     OTHER    01,06           0           0         800
CENTERPOINT ENERGY INC          COM   15189T107      11,071   1,358,416  SH     DEFINED  01,08   1,243,461     114,955           0
CENTERPOINT ENERGY INC          COM   15189T107          29       3,535  SH     DEFINED     10       3,535           0           0

CENTERPOINT PPTYS TR            COM   151895109       2,198      35,890  SH     DEFINED     01      24,722       9,968       1,200
CENTERPOINT PPTYS TR            COM   151895109          92       1,500  SH     OTHER       01           0       1,500           0
CENTERPOINT PPTYS TR            COM   151895109          89       1,450  SH     DEFINED     03       1,450           0           0
CENTERPOINT PPTYS TR            COM   151895109         245       4,000  SH     DEFINED     04       4,000           0           0
CENTERPOINT PPTYS TR            COM   151895109       1,777      29,008  SH     DEFINED  01,08      12,208      16,800           0

CENTERPULSE LTD                 COM   152005104          11         400  SH     DEFINED     02         400           0           0
CENTERPULSE LTD                 COM   152005104         216       8,000  SH     DEFINED     04       8,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    106
________

CENTERSPAN COMMUNICATIONS CO    COM   152012100           0       5,800  SH     DEFINED     01       1,500       4,300           0
CENTERSPAN COMMUNICATIONS CO    COM   152012100           0         500  SH     DEFINED     04         500           0           0
CENTERSPAN COMMUNICATIONS CO    COM   152012100           1      18,063  SH     DEFINED  01,08       4,088      13,975           0

CENTEX CONSTRUCTION PRODUCTS    COM   15231R109       2,850      71,085  SH     DEFINED     01      50,145      20,640         300
CENTEX CONSTRUCTION PRODUCTS    COM   15231R109       1,743      43,488  SH     DEFINED  01,08      16,068      27,420           0

CENTEX CORP                     COM   152312104      27,983     359,721  SH     DEFINED     01     190,783     162,096       6,842
CENTEX CORP                     COM   152312104           4          50  SH     OTHER       01           0           0          50
CENTEX CORP                     COM   152312104          97       1,250  SH     DEFINED     02         750           0         500
CENTEX CORP                     COM   152312104          70         900  SH     DEFINED     03         500         400           0
CENTEX CORP                     COM   152312104           8         100  SH     OTHER       04         100           0           0
CENTEX CORP                     COM   152312104          16         200  SH     OTHER    01,06           0           0         200
CENTEX CORP                     COM   152312104      20,994     269,878  SH     DEFINED  01,08     245,169      24,709           0
CENTEX CORP                     COM   152312104           1          10  SH     DEFINED     10          10           0           0
CENTEX CORP                     COM   152312104         226       2,900  SH     OTHER       10       2,900           0           0

CENTILLIUM COMMUNICATIONS IN    COM   152319109       1,025     104,743  SH     DEFINED     01      60,199      42,894       1,650
CENTILLIUM COMMUNICATIONS IN    COM   152319109          44       4,500  SH     OTHER       01           0       2,200       2,300
CENTILLIUM COMMUNICATIONS IN    COM   152319109       1,187     121,203  SH     DEFINED  01,08      60,636      60,567           0

CENTRA SOFTWARE INC             COM   15234X103          85      26,900  SH     DEFINED     01       5,000      21,900           0
CENTRA SOFTWARE INC             COM   15234X103         145      46,030  SH     DEFINED  01,08      11,630      34,400           0

CENTRAL COAST BANCORP           COM   153145107         374      22,311  SH     DEFINED     01      15,554       6,620         137
CENTRAL COAST BANCORP           COM   153145107         400      23,870  SH     DEFINED  01,08       6,693      17,177           0

CENTRAL EUROPEAN DIST CORP      COM   153435102       1,859      92,029  SH     DEFINED     01      84,550       7,479           0
CENTRAL EUROPEAN DIST CORP      COM   153435102          21       1,050  SH     OTHER       04       1,050           0           0
CENTRAL EUROPEAN DIST CORP      COM   153435102         366      18,143  SH     DEFINED  01,08       6,143      12,000           0

CENTRAL GARDEN & PET CO         COM   153527106       1,347      56,039  SH     DEFINED     01      31,174      24,065         800
CENTRAL GARDEN & PET CO         COM   153527106          14         600  SH     DEFINED     02           0           0         600
CENTRAL GARDEN & PET CO         COM   153527106       1,307      54,352  SH     DEFINED  01,08      24,422      29,930           0

CENTRAL PAC FINL CORP           COM   154760102       1,404      50,684  SH     DEFINED     01      29,928      20,156         600
CENTRAL PAC FINL CORP           COM   154760102       1,149      41,481  SH     DEFINED  01,08      13,718      27,763           0

CENTRAL PKG CORP                COM   154785109       1,385     112,018  SH     DEFINED     01      72,031      38,487       1,500
CENTRAL PKG CORP                COM   154785109           9         700  SH     OTHER    01,06           0           0         700
CENTRAL PKG CORP                COM   154785109       1,284     103,855  SH     DEFINED  01,08      52,432      51,423           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    107
________

CENTRAL VT PUB SVC CORP         COM   155771108       1,587      81,183  SH     DEFINED     01      63,664      16,119       1,400
CENTRAL VT PUB SVC CORP         COM   155771108           4         200  SH     OTHER       01         200           0           0
CENTRAL VT PUB SVC CORP         COM   155771108           4         225  SH     OTHER    01,06           0           0         225
CENTRAL VT PUB SVC CORP         COM   155771108       1,103      56,406  SH     DEFINED  01,08      31,776      24,630           0

CENTURY ALUM CO                 COM   156431108         363      51,833  SH     DEFINED     01      23,798      26,485       1,550
CENTURY ALUM CO                 COM   156431108           3         400  SH     OTHER    01,06           0           0         400
CENTURY ALUM CO                 COM   156431108         511      72,968  SH     DEFINED  01,08      40,173      32,795           0

CENTURY BANCORP INC             COM   156432106         196       6,569  SH     DEFINED     01       2,269       4,200         100
CENTURY BANCORP INC             COM   156432106       1,206      40,500  SH     DEFINED     04      40,500           0           0
CENTURY BANCORP INC             COM   156432106         235       7,894  SH     DEFINED  01,08       1,911       5,983           0

CENTURY BUSINESS SVCS INC       COM   156490104       1,776     551,464  SH     DEFINED     01     401,838     145,046       4,580
CENTURY BUSINESS SVCS INC       COM   156490104          40      12,500  SH     OTHER       04           0           0      12,500
CENTURY BUSINESS SVCS INC       COM   156490104         725     225,163  SH     DEFINED  01,08      69,406     155,757           0

CEPHEID                         COM   15670R107         500     101,836  SH     DEFINED     01      63,436      37,700         700
CEPHEID                         COM   15670R107         365      74,305  SH     DEFINED  01,08      32,234      42,071           0
CEPHEID                         COM   15670R107           2         500  SH     DEFINED     10         500           0           0

CENTURYTEL INC                  COM   156700106      28,735     824,548  SH     DEFINED     01     427,530     382,593      14,425
CENTURYTEL INC                  COM   156700106         905      25,975  SH     OTHER       01       2,000       8,450      15,525
CENTURYTEL INC                  COM   156700106         218       6,260  SH     DEFINED     02       5,860         400           0
CENTURYTEL INC                  COM   156700106         134       3,850  SH     OTHER       02         100       3,750           0
CENTURYTEL INC                  COM   156700106         579      16,619  SH     DEFINED     03       9,492       4,610       2,517
CENTURYTEL INC                  COM   156700106         246       7,065  SH     OTHER       03       4,865       2,200           0
CENTURYTEL INC                  COM   156700106       1,122      32,205  SH     DEFINED     04      29,805           0       2,400
CENTURYTEL INC                  COM   156700106         314       9,018  SH     OTHER       04       6,000           0       3,018
CENTURYTEL INC                  COM   156700106          70       2,000  SH     DEFINED     05       1,775         225           0
CENTURYTEL INC                  COM   156700106           4         125  SH     OTHER       05           0           0         125
CENTURYTEL INC                  COM   156700106          14         400  SH     OTHER    01,06           0           0         400
CENTURYTEL INC                  COM   156700106      20,220     580,213  SH     DEFINED  01,08     523,382      56,831           0
CENTURYTEL INC                  COM   156700106       1,496      42,913  SH     DEFINED     10      27,063       4,400      11,450
CENTURYTEL INC                  COM   156700106          89       2,550  SH     OTHER       10       2,300         250           0

CEPHALON INC                    COM   156708109       3,577      87,135  SH     DEFINED     01      64,023      19,435       3,677
CEPHALON INC                    COM   156708109          21         500  SH     OTHER       01           0         500           0
CEPHALON INC                    COM   156708109         123       3,000  SH     DEFINED     04       3,000           0           0
CEPHALON INC                    COM   156708109          43       1,050  SH     OTHER    01,06           0           0       1,050
CEPHALON INC                    COM   156708109       5,208     126,861  SH     DEFINED  01,08      89,061      37,800           0

CERADYNE INC                    COM   156710105         166       8,900  SH     DEFINED     01       1,700       7,200           0
CERADYNE INC                    COM   156710105           9         500  SH     OTHER       01         500           0           0
CERADYNE INC                    COM   156710105         748      40,235  SH     DEFINED  01,08      22,542      17,693           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    108
________

CERES GROUP INC                 COM   156772105         304     110,230  SH     DEFINED     01      46,980      62,800         450
CERES GROUP INC                 COM   156772105           8       3,000  SH     OTHER       01           0       3,000           0
CERES GROUP INC                 COM   156772105         200      72,582  SH     DEFINED  01,08      16,786      55,796           0

CERIDIAN CORP NEW               COM   156779100       8,460     498,556  SH     DEFINED     01     179,886     297,309      21,361
CERIDIAN CORP NEW               COM   156779100          36       2,096  SH     OTHER       02       2,096           0           0
CERIDIAN CORP NEW               COM   156779100          11         621  SH     DEFINED     03           0           0         621
CERIDIAN CORP NEW               COM   156779100       6,447     379,879  SH     DEFINED  01,08     274,795     105,084           0

CERNER CORP                     COM   156782104         829      36,342  SH     DEFINED     01      21,938      11,654       2,750
CERNER CORP                     COM   156782104          16         680  SH     OTHER    01,06           0           0         680
CERNER CORP                     COM   156782104       1,953      85,670  SH     DEFINED  01,08      61,570      24,100           0
CERNER CORP                     COM   156782104          11         500  SH     DEFINED     10         500           0           0

CERTEGY INC                     COM   156880106       5,792     208,711  SH     DEFINED     01      78,379     126,777       3,555
CERTEGY INC                     COM   156880106         376      13,532  SH     OTHER       01           0       1,232      12,300
CERTEGY INC                     COM   156880106          75       2,700  SH     DEFINED     02       2,700           0           0
CERTEGY INC                     COM   156880106          31       1,100  SH     DEFINED     03         300         800           0
CERTEGY INC                     COM   156880106         439      15,806  SH     DEFINED     04      15,806           0           0
CERTEGY INC                     COM   156880106          42       1,500  SH     OTHER       04           0           0       1,500
CERTEGY INC                     COM   156880106       5,205     187,571  SH     DEFINED  01,08     141,421      46,150           0
CERTEGY INC                     COM   156880106          28       1,000  SH     OTHER       10           0       1,000           0

CERUS CORP                      COM   157085101         383      50,877  SH     DEFINED     01      31,928      18,149         800
CERUS CORP                      COM   157085101         534      71,036  SH     DEFINED  01,08      44,201      26,835           0

CHAD THERAPEUTICS INC           COM   157228107           3       1,700  SH     DEFINED     01       1,700           0           0
CHAD THERAPEUTICS INC           COM   157228107          27      16,024  SH     DEFINED  01,08       4,781      11,243           0

CHALONE WINE GROUP LTD          COM   157639105          63       8,205  SH     DEFINED     01       1,900       6,305           0
CHALONE WINE GROUP LTD          COM   157639105           1         100  SH     OTHER       01           0         100           0
CHALONE WINE GROUP LTD          COM   157639105           1         110  SH     OTHER       04         110           0           0
CHALONE WINE GROUP LTD          COM   157639105         128      16,648  SH     DEFINED  01,08       5,681      10,967           0
CHALONE WINE GROUP LTD          COM   157639105           2         200  SH     DEFINED     10         200           0           0

CHAMPION ENTERPRISES INC        COM   158496109       1,005     194,083  SH     DEFINED     01     117,313      71,420       5,350
CHAMPION ENTERPRISES INC        COM   158496109         166      32,000  SH     OTHER       04      32,000           0           0
CHAMPION ENTERPRISES INC        COM   158496109           5         980  SH     OTHER    01,06           0           0         980
CHAMPION ENTERPRISES INC        COM   158496109       1,269     245,022  SH     DEFINED  01,08     128,716     116,306           0

CHAMPION INDS INC W VA          COM   158520106          38      12,700  SH     DEFINED     01       1,400      11,300           0
CHAMPION INDS INC W VA          COM   158520106          52      17,104  SH     DEFINED  01,08       4,597      12,507           0

CHAMPIONSHIP AUTO RACING TEA    COM   158711101         128      51,194  SH     DEFINED     01      30,065      21,129           0
CHAMPIONSHIP AUTO RACING TEA    COM   158711101          80      32,113  SH     DEFINED  01,08       6,447      25,666           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    109
________

CHAMPS ENTMT INC DEL            COM   158787101         108      22,941  SH     DEFINED     01      15,051       7,890           0
CHAMPS ENTMT INC DEL            COM   158787101         118      25,152  SH     DEFINED  01,08       5,554      19,598           0

CHANNELL COML CORP              COM   159186105          59      10,800  SH     DEFINED     01       1,900       8,900           0
CHANNELL COML CORP              COM   159186105          81      14,677  SH     DEFINED  01,08       3,909      10,768           0

CHARLES & COLVARD LTD           COM   159765106          18       4,600  SH     DEFINED     01       1,000       3,600           0
CHARLES & COLVARD LTD           COM   159765106          20       5,000  SH     DEFINED     04       5,000           0           0
CHARLES & COLVARD LTD           COM   159765106          40      10,000  SH     DEFINED  01,08       5,800       4,200           0

CHARLES RIVER ASSOCIATES        COM   159852102         771      27,264  SH     DEFINED     01      16,514      10,400         350
CHARLES RIVER ASSOCIATES        COM   159852102         603      21,326  SH     DEFINED  01,08       7,189      14,137           0

CHARLES RIV LABS INTL INC       COM   159864107       4,783     148,637  SH     DEFINED     01      53,150      90,146       5,341
CHARLES RIV LABS INTL INC       COM   159864107          11         350  SH     DEFINED     04         350           0           0
CHARLES RIV LABS INTL INC       COM   159864107       3,178      98,744  SH     DEFINED  01,08      66,950      31,794           0

CHARTER ONE FINL INC            COM   160903100      41,919   1,344,414  SH     DEFINED     01     731,174     590,890      22,350
CHARTER ONE FINL INC            COM   160903100         443      14,210  SH     OTHER       01       7,990           0       6,220
CHARTER ONE FINL INC            COM   160903100          19         600  SH     DEFINED     02         600           0           0
CHARTER ONE FINL INC            COM   160903100           3         105  SH     DEFINED     03           0         105           0
CHARTER ONE FINL INC            COM   160903100         164       5,250  SH     OTHER       03           0       5,250           0
CHARTER ONE FINL INC            COM   160903100         277       8,895  SH     DEFINED     04       8,895           0           0
CHARTER ONE FINL INC            COM   160903100          29         916  SH     OTHER       04         916           0           0
CHARTER ONE FINL INC            COM   160903100          17         541  SH     OTHER    01,06           0           0         541
CHARTER ONE FINL INC            COM   160903100      31,372   1,006,163  SH     DEFINED  01,08     917,401      88,762           0
CHARTER ONE FINL INC            COM   160903100         455      14,605  SH     DEFINED     10       5,880           0       8,725

CHARTER MUN MTG ACCEP CO        COM   160908109       2,761     145,235  SH     DEFINED     01      82,776      59,899       2,560
CHARTER MUN MTG ACCEP CO        COM   160908109         880      46,287  SH     DEFINED     04      46,287           0           0
CHARTER MUN MTG ACCEP CO        COM   160908109          29       1,551  SH     OTHER       04       1,551           0           0
CHARTER MUN MTG ACCEP CO        COM   160908109       2,418     127,208  SH     DEFINED  01,08      48,760      78,448           0

CHARLOTTE RUSSE HLDG INC        COM   161048103       1,048      99,792  SH     DEFINED     01      78,588      21,054         150
CHARLOTTE RUSSE HLDG INC        COM   161048103         526      50,068  SH     DEFINED  01,08      21,653      28,415           0

CHARMING SHOPPES INC            COM   161133103       2,423     500,530  SH     DEFINED     01     344,216     150,314       6,000
CHARMING SHOPPES INC            COM   161133103       2,478     512,022  SH     DEFINED  01,08     287,142     224,880           0
CHARMING SHOPPES INC            COM   161133103           5         950  SH     DEFINED     10         950           0           0

CHARTER COMMUNICATIONS INC D    COM   16117M107         793     212,724  SH     DEFINED     01     157,039      53,662       2,023
CHARTER COMMUNICATIONS INC D    COM   16117M107          28       7,500  SH     DEFINED     04       7,500           0           0
CHARTER COMMUNICATIONS INC D    COM   16117M107       2,154     577,510  SH     DEFINED  01,08     486,011      91,499           0
CHARTER COMMUNICATIONS INC D    COM   16117M107          11       3,000  SH     DEFINED     10       3,000           0           0
CHARTER COMMUNICATIONS INC D    COM   16117M107           4       1,100  SH     OTHER       10       1,100           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    110
________

CHARTER FINL CORP WEST PT GA    COM   16122M100         277       9,814  SH     DEFINED     01       8,214       1,500         100
CHARTER FINL CORP WEST PT GA    COM   16122M100       1,058      37,443  SH     DEFINED  01,08       8,962      28,481           0

CHASE CORP                      COM   16150R104          48       3,900  SH     DEFINED     01         500       3,400           0
CHASE CORP                      COM   16150R104         140      11,374  SH     DEFINED  01,08       2,096       9,278           0

CHATEAU CMNTYS INC              COM   161726104       1,959      66,189  SH     DEFINED     01      49,015      16,574         600
CHATEAU CMNTYS INC              COM   161726104           9         300  SH     DEFINED     03         300           0           0
CHATEAU CMNTYS INC              COM   161726104      15,940     538,706  SH     DEFINED     04     538,706           0           0
CHATEAU CMNTYS INC              COM   161726104          30       1,000  SH     OTHER       04       1,000           0           0
CHATEAU CMNTYS INC              COM   161726104       3,017     101,975  SH     DEFINED  01,08      53,488      48,487           0

CHATTEM INC                     COM   162456107       1,007      53,572  SH     DEFINED     01      27,372      26,000         200
CHATTEM INC                     COM   162456107           4         200  SH     DEFINED     04         200           0           0
CHATTEM INC                     COM   162456107       1,633      86,882  SH     DEFINED  01,08      47,459      39,423           0

CHECKERS DRIVE-IN RESTAURANT    COM   162809305         418      36,946  SH     DEFINED     01      24,413      12,533           0
CHECKERS DRIVE-IN RESTAURANT    COM   162809305         292      25,830  SH     DEFINED  01,08       5,447      20,383           0

CHECKFREE CORP NEW              COM   162813109       8,331     297,541  SH     DEFINED     01     147,014     146,917       3,610
CHECKFREE CORP NEW              COM   162813109          43       1,520  SH     DEFINED     02       1,520           0           0
CHECKFREE CORP NEW              COM   162813109           6         200  SH     DEFINED     04           0           0         200
CHECKFREE CORP NEW              COM   162813109          88       3,127  SH     OTHER       04       2,127           0       1,000
CHECKFREE CORP NEW              COM   162813109       4,924     175,853  SH     DEFINED  01,08     121,748      54,105           0

CHECKPOINT SYS INC              COM   162825103       1,880     132,896  SH     DEFINED     01      64,836      65,060       3,000
CHECKPOINT SYS INC              COM   162825103          11         800  SH     DEFINED     05         800           0           0
CHECKPOINT SYS INC              COM   162825103           9         620  SH     OTHER    01,06           0           0         620
CHECKPOINT SYS INC              COM   162825103       2,321     164,062  SH     DEFINED  01,08     106,978      57,084           0

CHEESECAKE FACTORY INC          COM   163072101       6,131     171,071  SH     DEFINED     01      60,926     105,170       4,975
CHEESECAKE FACTORY INC          COM   163072101          30         843  SH     DEFINED     04         843           0           0
CHEESECAKE FACTORY INC          COM   163072101          11         300  SH     OTHER       04         200           0         100
CHEESECAKE FACTORY INC          COM   163072101       3,960     110,479  SH     DEFINED  01,08      75,079      35,400           0
CHEESECAKE FACTORY INC          COM   163072101          56       1,562  SH     DEFINED     10       1,012           0         550

CHELSEA PPTY GROUP INC          COM   163421100       3,250      80,628  SH     DEFINED     01      67,680      11,248       1,700
CHELSEA PPTY GROUP INC          COM   163421100          81       2,000  SH     DEFINED     03           0       2,000           0
CHELSEA PPTY GROUP INC          COM   163421100          12         300  SH     OTHER       04         300           0           0
CHELSEA PPTY GROUP INC          COM   163421100       3,126      77,541  SH     DEFINED  01,08      38,116      39,425           0
CHELSEA PPTY GROUP INC          COM   163421100           6         150  SH     OTHER       10         150           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    111
________

CHEMICAL FINL CORP              COM   163731102       2,598      87,927  SH     DEFINED     01      50,449      37,027         451
CHEMICAL FINL CORP              COM   163731102          30       1,000  SH     OTHER       04       1,000           0           0
CHEMICAL FINL CORP              COM   163731102       2,165      73,250  SH     DEFINED  01,08      27,969      45,281           0
CHEMICAL FINL CORP              COM   163731102          99       3,366  SH     DEFINED     10           0       3,366           0

CHEROKEE INC DEL NEW            COM   16444H102         331      16,553  SH     DEFINED     01       7,853       8,600         100
CHEROKEE INC DEL NEW            COM   16444H102         354      17,686  SH     DEFINED  01,08       4,509      13,177           0

CHESAPEAKE CORP                 COM   165159104       2,332     106,720  SH     DEFINED     01      75,659      29,961       1,100
CHESAPEAKE CORP                 COM   165159104          15         675  SH     DEFINED     02         675           0           0
CHESAPEAKE CORP                 COM   165159104           7         300  SH     OTHER    01,06           0           0         300
CHESAPEAKE CORP                 COM   165159104       1,449      66,324  SH     DEFINED  01,08      41,347      24,977           0

CHESAPEAKE ENERGY CORP          COM   165167107       6,149     608,853  SH     DEFINED     01     401,649     198,204       9,000
CHESAPEAKE ENERGY CORP          COM   165167107          67       6,600  SH     DEFINED     04       6,600           0           0
CHESAPEAKE ENERGY CORP          COM   165167107         121      12,000  SH     OTHER       04      12,000           0           0
CHESAPEAKE ENERGY CORP          COM   165167107       4,981     493,139  SH     DEFINED  01,08     277,957     215,182           0

CHESAPEAKE UTILS CORP           COM   165303108         287      12,710  SH     DEFINED     01       1,100      11,610           0
CHESAPEAKE UTILS CORP           COM   165303108         206       9,100  SH     DEFINED  01,08       2,974       6,126           0

CHEVRONTEXACO CORP              COM   166764100     470,982   6,523,296  SH     DEFINED     01   3,509,154   2,864,889     149,253
CHEVRONTEXACO CORP              COM   166764100      18,169     251,642  SH     OTHER       01     117,515     124,115      10,012
CHEVRONTEXACO CORP              COM   166764100       3,357      46,496  SH     DEFINED     02      34,440      11,434         622
CHEVRONTEXACO CORP              COM   166764100       4,259      58,988  SH     OTHER       02      32,611      23,836       2,541
CHEVRONTEXACO CORP              COM   166764100      12,182     168,722  SH     DEFINED     03      87,185      43,757      37,780
CHEVRONTEXACO CORP              COM   166764100       6,871      95,162  SH     OTHER       03      58,032      31,602       5,528
CHEVRONTEXACO CORP              COM   166764100      33,494     463,904  SH     DEFINED     04     452,732           0      11,172
CHEVRONTEXACO CORP              COM   166764100      20,875     289,126  SH     OTHER       04     260,648           0      28,478
CHEVRONTEXACO CORP              COM   166764100       1,770      24,511  SH     DEFINED     05      21,087         625       2,799
CHEVRONTEXACO CORP              COM   166764100         444       6,147  SH     OTHER       05         215       4,008       1,924
CHEVRONTEXACO CORP              COM   166764100         176       2,443  SH     OTHER    01,06           0           0       2,443
CHEVRONTEXACO CORP              COM   166764100     371,120   5,140,166  SH     DEFINED  01,08   4,340,771     744,189      55,206
CHEVRONTEXACO CORP              COM   166764100      11,217     155,364  SH     DEFINED     10      55,218      12,641      87,505
CHEVRONTEXACO CORP              COM   166764100       4,696      65,046  SH     OTHER       10      30,049      33,447       1,550

CHICAGO BRIDGE & IRON CO N V    COM   167250109       2,358     103,976  SH     DEFINED     01      97,176       6,800           0
CHICAGO BRIDGE & IRON CO N V    COM   167250109          32       1,400  SH     OTHER       04       1,400           0           0

CHICAGO MERCANTILE HLDGS INC    COM   167760107         550       7,900  SH     DEFINED     01       6,400       1,500           0
CHICAGO MERCANTILE HLDGS INC    COM   167760107          81       1,160  SH     OTHER       01           0       1,160           0
CHICAGO MERCANTILE HLDGS INC    COM   167760107       1,601      23,000  SH     DEFINED  01,08       4,500      18,500           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    112
________

CHICAGO PIZZA & BREWERY INC     COM   167889104         401      40,125  SH     DEFINED     01      28,491      11,634           0
CHICAGO PIZZA & BREWERY INC     COM   167889104          45       4,500  SH     OTHER       03       4,500           0           0
CHICAGO PIZZA & BREWERY INC     COM   167889104       1,312     131,192  SH     DEFINED  01,08     101,472      29,720           0

CHICOS FAS INC                  COM   168615102       6,411     304,572  SH     DEFINED     01     119,198     162,096      23,278
CHICOS FAS INC                  COM   168615102          11         500  SH     OTHER       01           0         500           0
CHICOS FAS INC                  COM   168615102           4         200  SH     DEFINED     02         200           0           0
CHICOS FAS INC                  COM   168615102         167       7,931  SH     DEFINED     04       7,131           0         800
CHICOS FAS INC                  COM   168615102         161       7,641  SH     OTHER       04       7,341           0         300
CHICOS FAS INC                  COM   168615102       4,023     191,099  SH     DEFINED  01,08     132,872      58,227           0
CHICOS FAS INC                  COM   168615102           9         420  SH     DEFINED     10         420           0           0
CHICOS FAS INC                  COM   168615102           4         200  SH     OTHER       10         200           0           0

CHILDTIME LEARNING CTRS INC     COM   168820108           2         800  SH     DEFINED     01         800           0           0
CHILDTIME LEARNING CTRS INC     COM   168820108          13       5,000  SH     DEFINED     04       5,000           0           0
CHILDTIME LEARNING CTRS INC     COM   168820108          13       5,100  SH     DEFINED  01,08       1,516       3,584           0

CHILDRENS PL RETAIL STORES I    COM   168905107       1,112      55,256  SH     DEFINED     01      27,253      26,853       1,150
CHILDRENS PL RETAIL STORES I    COM   168905107          10         500  SH     OTHER    01,06           0           0         500
CHILDRENS PL RETAIL STORES I    COM   168905107       1,629      80,956  SH     DEFINED  01,08      40,017      40,939           0

CHIPPAC INC                     COM   169657103       1,558     204,689  SH     DEFINED     01     109,021      94,468       1,200
CHIPPAC INC                     COM   169657103       2,019     265,264  SH     DEFINED  01,08     122,005     143,259           0

CHOICE HOTELS INTL INC          COM   169905106       2,878     105,368  SH     DEFINED     01      48,799      55,469       1,100
CHOICE HOTELS INTL INC          COM   169905106       2,377      87,047  SH     DEFINED  01,08      26,768      60,279           0

CHIQUITA BRANDS INTL INC        COM   170032809       2,386     164,527  SH     DEFINED     01     113,153      49,324       2,050
CHIQUITA BRANDS INTL INC        COM   170032809           0           5  SH     OTHER       04           5           0           0
CHIQUITA BRANDS INTL INC        COM   170032809       1,502     103,615  SH     DEFINED  01,08      35,293      68,322           0

CHIRON CORP                     COM   170040109      42,446     967,761  SH     DEFINED     01     502,829     447,914      17,018
CHIRON CORP                     COM   170040109         128       2,918  SH     OTHER       01         300           0       2,618
CHIRON CORP                     COM   170040109         247       5,641  SH     DEFINED     02          41       5,000         600
CHIRON CORP                     COM   170040109          20         450  SH     DEFINED     03           0         450           0
CHIRON CORP                     COM   170040109          16         360  SH     DEFINED     04         360           0           0
CHIRON CORP                     COM   170040109          82       1,876  SH     OTHER       04          16           0       1,860
CHIRON CORP                     COM   170040109          20         450  SH     OTHER    01,06           0           0         450
CHIRON CORP                     COM   170040109      30,732     700,675  SH     DEFINED  01,08     643,566      57,109           0
CHIRON CORP                     COM   170040109          61       1,395  SH     DEFINED     10         970           0         425

CHITTENDEN CORP                 COM   170228100       3,255     119,023  SH     DEFINED     01      72,774      42,368       3,881
CHITTENDEN CORP                 COM   170228100       1,114      40,746  SH     DEFINED     04      40,746           0           0
CHITTENDEN CORP                 COM   170228100          21         762  SH     OTHER    01,06           0           0         762
CHITTENDEN CORP                 COM   170228100       3,832     140,109  SH     DEFINED  01,08      75,941      64,168           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    113
________

CHOICEPOINT INC                 COM   170388102      10,199     295,461  SH     DEFINED     01     107,624     172,756      15,081
CHOICEPOINT INC                 COM   170388102         494      14,312  SH     OTHER       01           0      14,312           0
CHOICEPOINT INC                 COM   170388102           5         133  SH     DEFINED     02         133           0           0
CHOICEPOINT INC                 COM   170388102          27         770  SH     DEFINED     03           0         640         130
CHOICEPOINT INC                 COM   170388102         447      12,939  SH     DEFINED     04      12,939           0           0
CHOICEPOINT INC                 COM   170388102          76       2,213  SH     OTHER       04       2,213           0           0
CHOICEPOINT INC                 COM   170388102       8,419     243,887  SH     DEFINED  01,08     184,145      59,742           0
CHOICEPOINT INC                 COM   170388102          36       1,033  SH     DEFINED     10         100         933           0

CHOLESTECH CORP                 COM   170393102         451      44,939  SH     DEFINED     01      27,289      16,800         850
CHOLESTECH CORP                 COM   170393102         337      33,640  SH     DEFINED  01,08      10,359      23,281           0

CHORDIANT SOFTWARE INC          COM   170404107         237     125,967  SH     DEFINED     01      60,250      64,817         900
CHORDIANT SOFTWARE INC          COM   170404107         213     113,556  SH     DEFINED  01,08      21,812      91,744           0

CHRISTOPHER & BANKS CORP        COM   171046105       3,445      93,136  SH     DEFINED     01      49,734      34,402       9,000
CHRISTOPHER & BANKS CORP        COM   171046105          19         525  SH     OTHER    01,06           0           0         525
CHRISTOPHER & BANKS CORP        COM   171046105       3,421      92,477  SH     DEFINED  01,08      48,737      43,740           0

CHROMAVISION MED SYS INC        COM   17111P104          27      16,900  SH     DEFINED     01       3,700      13,200           0
CHROMAVISION MED SYS INC        COM   17111P104          88      55,664  SH     DEFINED  01,08      13,764      41,900           0

CHROMCRAFT REVINGTON INC        COM   171117104         144      11,600  SH     DEFINED     01       4,100       7,500           0
CHROMCRAFT REVINGTON INC        COM   171117104         185      14,948  SH     DEFINED  01,08       2,485      12,463           0

CHRONIMED INC                   COM   171164106         124      12,900  SH     DEFINED     01       2,500      10,400           0
CHRONIMED INC                   COM   171164106         270      28,023  SH     DEFINED  01,08      10,987      17,036           0

CHUBB CORP                      COM   171232101      63,857   1,064,284  SH     DEFINED     01     544,832     493,597      25,855
CHUBB CORP                      COM   171232101       1,313      21,883  SH     OTHER       01       6,533       9,200       6,150
CHUBB CORP                      COM   171232101           2          31  SH     DEFINED     02          11           0          20
CHUBB CORP                      COM   171232101           6         100  SH     OTHER       02         100           0           0
CHUBB CORP                      COM   171232101         227       3,775  SH     DEFINED     03         400       2,800         575
CHUBB CORP                      COM   171232101         140       2,325  SH     OTHER       03       2,325           0           0
CHUBB CORP                      COM   171232101         410       6,829  SH     DEFINED     04       6,829           0           0
CHUBB CORP                      COM   171232101         395       6,575  SH     OTHER       04       4,325           0       2,250
CHUBB CORP                      COM   171232101          24         400  SH     OTHER    01,06           0           0         400
CHUBB CORP                      COM   171232101      45,255     754,250  SH     DEFINED  01,08     684,839      69,411           0
CHUBB CORP                      COM   171232101         196       3,269  SH     DEFINED     10       2,229         600         440
CHUBB CORP                      COM   171232101          12         200  SH     OTHER       10         200           0           0

CHUBB CORP                      CONPF 171232309       1,042      40,000         DEFINED     01      40,000           0           0
CHUBB CORP                      CONPF 171232309          10         400         OTHER       01         400           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    114
________

CHURCH & DWIGHT INC             COM   171340102       4,147     126,715  SH     DEFINED     01      47,720      76,331       2,664
CHURCH & DWIGHT INC             COM   171340102       9,782     298,863  SH     DEFINED     02     298,000           0         863
CHURCH & DWIGHT INC             COM   171340102           4         130  SH     DEFINED     03           0           0         130
CHURCH & DWIGHT INC             COM   171340102          62       1,900  SH     DEFINED     04       1,900           0           0
CHURCH & DWIGHT INC             COM   171340102         142       4,333  SH     OTHER       04       4,333           0           0
CHURCH & DWIGHT INC             COM   171340102       3,775     115,326  SH     DEFINED  01,08      87,283      28,043           0

CHURCHILL DOWNS INC             COM   171484108       1,054      27,421  SH     DEFINED     01      13,065      14,206         150
CHURCHILL DOWNS INC             COM   171484108       1,195      31,079  SH     DEFINED  01,08      11,448      19,631           0

CIBER INC                       COM   17163B102       1,821     259,451  SH     DEFINED     01     169,768      84,033       5,650
CIBER INC                       COM   17163B102           9       1,300  SH     OTHER    01,06           0           0       1,300
CIBER INC                       COM   17163B102       1,832     261,019  SH     DEFINED  01,08     146,998     114,021           0

CIENA CORP                      COM   171779101      14,192   2,745,136  SH     DEFINED     01   1,461,301   1,216,599      67,236
CIENA CORP                      COM   171779101         855     165,382  SH     OTHER       01       2,000       1,000     162,382
CIENA CORP                      COM   171779101           1         200  SH     DEFINED     02         200           0           0
CIENA CORP                      COM   171779101          14       2,650  SH     DEFINED     03       2,500         150           0
CIENA CORP                      COM   171779101          15       2,834  SH     DEFINED     04       2,834           0           0
CIENA CORP                      COM   171779101           2         300  SH     OTHER       04         300           0           0
CIENA CORP                      COM   171779101          75      14,425  SH     DEFINED     05      10,775       3,650           0
CIENA CORP                      COM   171779101          99      19,200  SH     OTHER       05      16,600       2,600           0
CIENA CORP                      COM   171779101           6       1,100  SH     OTHER    01,06           0           0       1,100
CIENA CORP                      COM   171779101      10,681   2,065,921  SH     DEFINED  01,08   1,893,682     172,239           0
CIENA CORP                      COM   171779101           2         470  SH     DEFINED     10         470           0           0

CIMA LABS INC                   COM   171796105       1,382      51,410  SH     DEFINED     01      28,955      18,825       3,630
CIMA LABS INC                   COM   171796105           8         300  SH     OTHER    01,06           0           0         300
CIMA LABS INC                   COM   171796105       1,899      70,618  SH     DEFINED  01,08      44,870      25,748           0

CIMAREX ENERGY CO               COM   171798101       1,589      66,900  SH     DEFINED     01      31,661      32,720       2,519
CIMAREX ENERGY CO               COM   171798101           6         265  SH     DEFINED     02         265           0           0
CIMAREX ENERGY CO               COM   171798101          17         726  SH     DEFINED     03         726           0           0
CIMAREX ENERGY CO               COM   171798101          19         800  SH     OTHER    01,06           0           0         800
CIMAREX ENERGY CO               COM   171798101       3,756     158,141  SH     DEFINED  01,08     107,562      50,579           0

CINCINNATI BELL INC NEW         COM   171871106       6,312     942,146  SH     DEFINED     01     495,967     432,270      13,909
CINCINNATI BELL INC NEW         COM   171871106          47       7,000  SH     OTHER       01           0       5,000       2,000
CINCINNATI BELL INC NEW         COM   171871106       4,176     623,296  SH     DEFINED  01,08     385,699     237,597           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    115
________

CINCINNATI FINL CORP            COM   172062101      33,432     902,584  SH     DEFINED     01     477,413     412,735      12,436
CINCINNATI FINL CORP            COM   172062101       1,159      31,278  SH     OTHER       01           0      21,278      10,000
CINCINNATI FINL CORP            COM   172062101          20         540  SH     DEFINED     02         540           0           0
CINCINNATI FINL CORP            COM   172062101         249       6,715  SH     DEFINED     04       6,715           0           0
CINCINNATI FINL CORP            COM   172062101         367       9,916  SH     OTHER       04       9,916           0           0
CINCINNATI FINL CORP            COM   172062101          15         400  SH     OTHER    01,06           0           0         400
CINCINNATI FINL CORP            COM   172062101      25,097     677,575  SH     DEFINED  01,08     617,862      59,713           0
CINCINNATI FINL CORP            COM   172062101         650      17,561  SH     DEFINED     10       6,396      11,165           0
CINCINNATI FINL CORP            COM   172062101         197       5,306  SH     OTHER       10       5,306           0           0

CINERGY CORP                    COM   172474108      36,349     988,023  SH     DEFINED     01     513,336     459,066      15,621
CINERGY CORP                    COM   172474108         612      16,625  SH     OTHER       01       1,050      11,675       3,900
CINERGY CORP                    COM   172474108          29         800  SH     DEFINED     02           0           0         800
CINERGY CORP                    COM   172474108          11         294  SH     OTHER       02         294           0           0
CINERGY CORP                    COM   172474108          11         294  SH     DEFINED     03         150           0         144
CINERGY CORP                    COM   172474108           6         150  SH     OTHER       03         150           0           0
CINERGY CORP                    COM   172474108         432      11,750  SH     DEFINED     04      11,750           0           0
CINERGY CORP                    COM   172474108         100       2,718  SH     OTHER       04       2,718           0           0
CINERGY CORP                    COM   172474108           9         257  SH     DEFINED     05         257           0           0
CINERGY CORP                    COM   172474108          15         400  SH     OTHER    01,06           0           0         400
CINERGY CORP                    COM   172474108      25,777     700,649  SH     DEFINED  01,08     635,498      65,151           0
CINERGY CORP                    COM   172474108          83       2,261  SH     DEFINED     10       2,261           0           0
CINERGY CORP                    COM   172474108          14         375  SH     OTHER       10         375           0           0

CIPHERGEN BIOSYSTEMS INC        COM   17252Y104         660      64,429  SH     DEFINED     01      35,479      28,500         450
CIPHERGEN BIOSYSTEMS INC        COM   17252Y104         697      67,975  SH     DEFINED  01,08      20,854      47,121           0

CIPRICO INC                     COM   172529109          43       7,100  SH     DEFINED     01         700       6,400           0
CIPRICO INC                     COM   172529109          79      12,923  SH     DEFINED  01,08       2,206      10,717           0

CIRCOR INTL INC                 COM   17273K109       1,471      82,474  SH     DEFINED     01      62,880      18,994         600
CIRCOR INTL INC                 COM   17273K109         589      33,059  SH     DEFINED  01,08       9,960      23,099           0
CIRCOR INTL INC                 COM   17273K109           7         400  SH     DEFINED     10         400           0           0

CIRCUIT CITY STORE INC          COM   172737108      11,111   1,262,629  SH     DEFINED     01     699,378     543,331      19,920
CIRCUIT CITY STORE INC          COM   172737108           2         200  SH     OTHER       01           0           0         200
CIRCUIT CITY STORE INC          COM   172737108           1         138  SH     DEFINED     02         138           0           0
CIRCUIT CITY STORE INC          COM   172737108          90      10,260  SH     OTHER       04      10,260           0           0
CIRCUIT CITY STORE INC          COM   172737108           4         500  SH     OTHER    01,06           0           0         500
CIRCUIT CITY STORE INC          COM   172737108       7,362     836,620  SH     DEFINED  01,08     754,695      81,925           0
CIRCUIT CITY STORE INC          COM   172737108          45       5,083  SH     DEFINED     10       5,083           0           0
CIRCUIT CITY STORE INC          COM   172737108           4         500  SH     OTHER       10         500           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    116
________

CISCO SYS INC                   COM   17275R102     837,852  49,901,822  SH     DEFINED     01  28,691,656  19,947,981   1,262,185
CISCO SYS INC                   COM   17275R102      38,862   2,314,603  SH     OTHER       01     815,395   1,267,315     231,893
CISCO SYS INC                   COM   17275R102      16,893   1,006,143  SH     DEFINED     02     676,604     279,899      49,640
CISCO SYS INC                   COM   17275R102       5,338     317,908  SH     OTHER       02     214,133      90,251      13,524
CISCO SYS INC                   COM   17275R102      23,396   1,393,473  SH     DEFINED     03     751,257     520,260     121,956
CISCO SYS INC                   COM   17275R102       8,046     479,238  SH     OTHER       03     365,594      91,266      22,378
CISCO SYS INC                   COM   17275R102     108,162   6,442,061  SH     DEFINED     04   6,220,058           0     222,003
CISCO SYS INC                   COM   17275R102      57,026   3,396,401  SH     OTHER       04   3,162,351           0     234,050
CISCO SYS INC                   COM   17275R102      11,055     658,454  SH     DEFINED     05     533,228      85,606      39,620
CISCO SYS INC                   COM   17275R102       2,031     120,993  SH     OTHER       05      51,822      42,378      26,793
CISCO SYS INC                   COM   17275R102         306      18,250  SH     OTHER    01,06           0           0      18,250
CISCO SYS INC                   COM   17275R102     530,750  31,611,054  SH     DEFINED  01,08  28,913,332   2,697,722           0
CISCO SYS INC                   COM   17275R102      21,900   1,304,324  SH     DEFINED     10     872,746     290,373     141,205
CISCO SYS INC                   COM   17275R102       6,355     378,514  SH     OTHER       10     150,608     221,568       6,338

CIRRUS LOGIC INC                COM   172755100       1,056     264,692  SH     DEFINED     01     154,635     105,507       4,550
CIRRUS LOGIC INC                COM   172755100       1,193     298,928  SH     DEFINED  01,08     146,730     152,198           0
CIRRUS LOGIC INC                COM   172755100           2         425  SH     DEFINED     10         425           0           0

CINTAS CORP                     COM   172908105      37,778   1,066,267  SH     DEFINED     01     558,005     491,532      16,730
CINTAS CORP                     COM   172908105       1,788      50,462  SH     OTHER       01      18,552      17,985      13,925
CINTAS CORP                     COM   172908105          11         300  SH     DEFINED     02         300           0           0
CINTAS CORP                     COM   172908105         764      21,560  SH     DEFINED     03      13,250       5,185       3,125
CINTAS CORP                     COM   172908105       1,532      43,250  SH     OTHER       03      38,400       2,750       2,100
CINTAS CORP                     COM   172908105       3,786     106,854  SH     DEFINED     04     105,904           0         950
CINTAS CORP                     COM   172908105         778      21,953  SH     OTHER       04      21,603           0         350
CINTAS CORP                     COM   172908105          13         360  SH     DEFINED     05         360           0           0
CINTAS CORP                     COM   172908105           7         200  SH     OTHER    01,06           0           0         200
CINTAS CORP                     COM   172908105      24,280     685,282  SH     DEFINED  01,08     626,663      58,619           0
CINTAS CORP                     COM   172908105       1,110      31,330  SH     DEFINED     10       5,830           0      25,500


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    117
________

CITIGROUP INC                   COM   172967101   1,441,943  33,690,262  SH     DEFINED     01  18,761,316  14,125,905     803,041
CITIGROUP INC                   COM   172967101      37,646     879,590  SH     OTHER       01     414,789     389,905      74,896
CITIGROUP INC                   COM   172967101      17,931     418,943  SH     DEFINED     02     279,581     118,252      21,110
CITIGROUP INC                   COM   172967101       5,314     124,163  SH     OTHER       02      79,074      42,164       2,925
CITIGROUP INC                   COM   172967101      35,838     837,348  SH     DEFINED     03     464,966     294,406      77,976
CITIGROUP INC                   COM   172967101      11,659     272,401  SH     OTHER       03     211,255      38,843      22,303
CITIGROUP INC                   COM   172967101      97,565   2,279,551  SH     DEFINED     04   2,209,774           0      69,777
CITIGROUP INC                   COM   172967101      37,657     879,829  SH     OTHER       04     838,254           0      41,575
CITIGROUP INC                   COM   172967101      13,636     318,599  SH     DEFINED     05     264,969      30,308      23,322
CITIGROUP INC                   COM   172967101       2,761      64,501  SH     OTHER       05      31,336      22,909      10,256
CITIGROUP INC                   COM   172967101         563      13,149  SH     OTHER    01,06           0           0      13,149
CITIGROUP INC                   COM   172967101           0           1  SH     OTHER    04,07           0           0           1
CITIGROUP INC                   COM   172967101     999,701  23,357,502  SH     DEFINED  01,08  20,639,317   2,626,512      91,673
CITIGROUP INC                   COM   172967101      26,540     620,099  SH     DEFINED     10     453,325      97,361      69,413
CITIGROUP INC                   COM   172967101       8,865     207,126  SH     OTHER       10      92,146     112,580       2,400

CITIGROUP INC                   WT    172967127       1,205   1,181,600         OTHER       01   1,181,600           0           0
CITIGROUP INC                   WT    172967127           1         500         DEFINED     02           0           0         500
CITIGROUP INC                   WT    172967127           0           5         DEFINED     03           5           0           0
CITIGROUP INC                   WT    172967127           1         868         DEFINED  01,08         868           0           0

CITIZENS BKG CORP MICH          COM   174420109       3,383     125,243  SH     DEFINED     01      57,715      66,849         679
CITIZENS BKG CORP MICH          COM   174420109          27       1,000  SH     DEFINED     04       1,000           0           0
CITIZENS BKG CORP MICH          COM   174420109         327      12,100  SH     OTHER       04      12,100           0           0
CITIZENS BKG CORP MICH          COM   174420109       2,212      81,887  SH     DEFINED  01,08      50,354      31,533           0
CITIZENS BKG CORP MICH          COM   174420109           2          80  SH     DEFINED     10          80           0           0

CITIZENS COMMUNICATIONS CO      COM   17453B101      22,369   1,735,358  SH     DEFINED     01     960,231     748,077      27,050
CITIZENS COMMUNICATIONS CO      COM   17453B101         318      24,650  SH     OTHER       01      24,400           0         250
CITIZENS COMMUNICATIONS CO      COM   17453B101         215      16,654  SH     DEFINED     02      16,604           0          50
CITIZENS COMMUNICATIONS CO      COM   17453B101          43       3,300  SH     OTHER       02       3,300           0           0
CITIZENS COMMUNICATIONS CO      COM   17453B101           1         100  SH     DEFINED     03           0         100           0
CITIZENS COMMUNICATIONS CO      COM   17453B101         611      47,435  SH     DEFINED     04      46,435           0       1,000
CITIZENS COMMUNICATIONS CO      COM   17453B101          42       3,220  SH     OTHER       04       3,220           0           0
CITIZENS COMMUNICATIONS CO      COM   17453B101           9         700  SH     OTHER    01,06           0           0         700
CITIZENS COMMUNICATIONS CO      COM   17453B101      14,203   1,101,859  SH     DEFINED  01,08     990,659     111,200           0
CITIZENS COMMUNICATIONS CO      COM   17453B101         398      30,905  SH     DEFINED     10      30,505         400           0
CITIZENS COMMUNICATIONS CO      COM   17453B101          39       3,000  SH     OTHER       10           0       3,000           0

CITIZENS FIRST BANCORP INC D    COM   17461R106         545      25,815  SH     DEFINED     01      19,936       5,879           0
CITIZENS FIRST BANCORP INC D    COM   17461R106         522      24,744  SH     DEFINED  01,08       8,367      16,377           0

CITIZENS INC                    COM   174740100         458      62,940  SH     DEFINED     01      49,617      12,808         515
CITIZENS INC                    COM   174740100         496      68,206  SH     DEFINED  01,08      21,252      46,954           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    118
________

CITIZENS SOUTH BKG CP DEL       COM   176682102         145      10,917  SH     DEFINED     01       1,284       9,633           0
CITIZENS SOUTH BKG CP DEL       COM   176682102         286      21,575  SH     DEFINED  01,08       9,582      11,993           0

CITRIX SYS INC                  COM   177376100      19,895     977,168  SH     DEFINED     01     528,391     432,752      16,025
CITRIX SYS INC                  COM   177376100       2,051     100,724  SH     OTHER       01           0           0     100,724
CITRIX SYS INC                  COM   177376100          31       1,500  SH     OTHER       02       1,500           0           0
CITRIX SYS INC                  COM   177376100           1          50  SH     DEFINED     03           0          50           0
CITRIX SYS INC                  COM   177376100          59       2,900  SH     DEFINED     04       2,900           0           0
CITRIX SYS INC                  COM   177376100          57       2,800  SH     OTHER       04       2,800           0           0
CITRIX SYS INC                  COM   177376100           8         400  SH     OTHER    01,06           0           0         400
CITRIX SYS INC                  COM   177376100      15,710     771,635  SH     DEFINED  01,08     708,180      63,455           0
CITRIX SYS INC                  COM   177376100           1          30  SH     DEFINED     10          30           0           0

CITY BK LYNNWOOD WASH           COM   17770A109         487      17,992  SH     DEFINED     01      12,927       4,565         500
CITY BK LYNNWOOD WASH           COM   17770A109         673      24,883  SH     DEFINED  01,08       8,075      16,808           0
CITY BK LYNNWOOD WASH           COM   17770A109         911      33,648  SH     DEFINED     10      33,648           0           0

CITY HLDG CO                    COM   177835105       1,876      64,107  SH     DEFINED     01      37,534      25,673         900
CITY HLDG CO                    COM   177835105       1,525      52,124  SH     DEFINED  01,08      22,396      29,728           0

CITY NATL CORP                  COM   178566105       6,613     148,407  SH     DEFINED     01      56,586      90,552       1,269
CITY NATL CORP                  COM   178566105          45       1,000  SH     OTHER       01       1,000           0           0
CITY NATL CORP                  COM   178566105          74       1,650  SH     DEFINED     03       1,650           0           0
CITY NATL CORP                  COM   178566105       5,679     127,453  SH     DEFINED  01,08      92,714      34,739           0

CLAIRES STORES INC              COM   179584107       7,007     276,282  SH     DEFINED     01     175,823      97,384       3,075
CLAIRES STORES INC              COM   179584107           3         130  SH     DEFINED     02           0           0         130
CLAIRES STORES INC              COM   179584107      54,313   2,141,674  SH     DEFINED     04   2,141,674           0           0
CLAIRES STORES INC              COM   179584107       3,213     126,703  SH     DEFINED  01,08      74,499      52,204           0

CLARCOR INC                     COM   179895107       4,692     121,714  SH     DEFINED     01      85,469      34,145       2,100
CLARCOR INC                     COM   179895107         598      15,500  SH     OTHER       01           0      15,500           0
CLARCOR INC                     COM   179895107          19         500  SH     OTHER    01,06           0           0         500
CLARCOR INC                     COM   179895107       4,192     108,734  SH     DEFINED  01,08      63,267      45,467           0

CLARK INC                       COM   181457102       1,112      93,040  SH     DEFINED     01      71,262      21,628         150
CLARK INC                       COM   181457102         524      43,827  SH     DEFINED  01,08      12,782      31,045           0

CLARUS CORP                     COM   182707109         102      16,200  SH     DEFINED     01       2,900      13,300           0
CLARUS CORP                     COM   182707109         628     100,000  SH     OTHER       04      50,000           0      50,000
CLARUS CORP                     COM   182707109         178      28,342  SH     DEFINED  01,08       7,342      21,000           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    119
________

CLAYTON HOMES INC               COM   184190106       4,961     395,274  SH     DEFINED     01     148,544     245,980         750
CLAYTON HOMES INC               COM   184190106          28       2,200  SH     DEFINED     03       2,000         200           0
CLAYTON HOMES INC               COM   184190106          14       1,093  SH     OTHER       03           0       1,093           0
CLAYTON HOMES INC               COM   184190106          28       2,220  SH     DEFINED     04       2,220           0           0
CLAYTON HOMES INC               COM   184190106         220      17,549  SH     OTHER       04      17,549           0           0
CLAYTON HOMES INC               COM   184190106       3,718     296,233  SH     DEFINED  01,08     203,911      92,322           0
CLAYTON HOMES INC               COM   184190106          36       2,880  SH     DEFINED     10       2,295           0         585

CLEAN HARBORS INC               COM   184496107         131      13,800  SH     DEFINED     01       1,500      12,300           0
CLEAN HARBORS INC               COM   184496107         309      32,510  SH     DEFINED  01,08       9,900      22,610           0

CLEAR CHANNEL COMMUNICATIONS    COM   184502102     148,424   3,501,400  SH     DEFINED     01   1,825,001   1,619,206      57,193
CLEAR CHANNEL COMMUNICATIONS    COM   184502102       1,300      30,676  SH     OTHER       01      20,386       3,907       6,383
CLEAR CHANNEL COMMUNICATIONS    COM   184502102       2,384      56,228  SH     DEFINED     02      47,755       8,473           0
CLEAR CHANNEL COMMUNICATIONS    COM   184502102         289       6,825  SH     OTHER       02       6,325         500           0
CLEAR CHANNEL COMMUNICATIONS    COM   184502102         437      10,301  SH     DEFINED     03       1,835       6,716       1,750
CLEAR CHANNEL COMMUNICATIONS    COM   184502102           8         180  SH     OTHER       03         180           0           0
CLEAR CHANNEL COMMUNICATIONS    COM   184502102       2,666      62,900  SH     DEFINED     04      61,505           0       1,395
CLEAR CHANNEL COMMUNICATIONS    COM   184502102       2,455      57,916  SH     OTHER       04      57,416           0         500
CLEAR CHANNEL COMMUNICATIONS    COM   184502102       1,846      43,559  SH     DEFINED     05      38,059       4,850         650
CLEAR CHANNEL COMMUNICATIONS    COM   184502102         112       2,650  SH     OTHER       05       2,450         200           0
CLEAR CHANNEL COMMUNICATIONS    COM   184502102          68       1,600  SH     OTHER    01,06           0           0       1,600
CLEAR CHANNEL COMMUNICATIONS    COM   184502102     108,256   2,553,815  SH     DEFINED  01,08   2,328,693     225,122           0
CLEAR CHANNEL COMMUNICATIONS    COM   184502102         600      14,144  SH     DEFINED     10      14,144           0           0
CLEAR CHANNEL COMMUNICATIONS    COM   184502102         388       9,150  SH     OTHER       10       9,150           0           0

CLEVELAND CLIFFS INC            COM   185896107         589      32,970  SH     DEFINED     01      18,187      14,583         200
CLEVELAND CLIFFS INC            COM   185896107           2         100  SH     DEFINED     04         100           0           0
CLEVELAND CLIFFS INC            COM   185896107           4         200  SH     OTHER    01,06           0           0         200
CLEVELAND CLIFFS INC            COM   185896107         912      51,075  SH     DEFINED  01,08      34,100      16,975           0
CLEVELAND CLIFFS INC            COM   185896107           2         135  SH     DEFINED     10         135           0           0

CLICK COMMERCE INC              COM   18681D208          12       8,360  SH     DEFINED     01       1,540       6,820           0
CLICK COMMERCE INC              COM   18681D208          17      12,060  SH     DEFINED     03           0      12,060           0
CLICK COMMERCE INC              COM   18681D208          20      14,120  SH     DEFINED  01,08       3,380      10,740           0

CLICK2LEARN INC                 COM   18681S106          40      23,300  SH     DEFINED     01       3,400      19,900           0
CLICK2LEARN INC                 COM   18681S106          72      41,353  SH     DEFINED  01,08       9,953      31,400           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    120
________

CLOROX CO DEL                   COM   189054109      52,693   1,235,466  SH     DEFINED     01     651,190     557,729      26,547
CLOROX CO DEL                   COM   189054109       1,155      27,076  SH     OTHER       01      21,540       5,336         200
CLOROX CO DEL                   COM   189054109         364       8,525  SH     DEFINED     02       6,575       1,450         500
CLOROX CO DEL                   COM   189054109         176       4,125  SH     OTHER       02           0       4,125           0
CLOROX CO DEL                   COM   189054109         488      11,450  SH     DEFINED     03       6,450       3,750       1,250
CLOROX CO DEL                   COM   189054109          91       2,134  SH     OTHER       03       2,034         100           0
CLOROX CO DEL                   COM   189054109       1,821      42,704  SH     DEFINED     04      41,504           0       1,200
CLOROX CO DEL                   COM   189054109       1,229      28,825  SH     OTHER       04      28,825           0           0
CLOROX CO DEL                   COM   189054109          81       1,900  SH     DEFINED     05       1,900           0           0
CLOROX CO DEL                   COM   189054109         230       5,400  SH     OTHER       05           0         200       5,200
CLOROX CO DEL                   COM   189054109          26         600  SH     OTHER    01,06           0           0         600
CLOROX CO DEL                   COM   189054109      44,486   1,043,054  SH     DEFINED  01,08     783,748     259,306           0
CLOROX CO DEL                   COM   189054109         222       5,214  SH     DEFINED     10       3,514       1,700           0
CLOROX CO DEL                   COM   189054109          26         600  SH     OTHER       10           0         600           0

CLOSURE MED CORP                COM   189093107         535      28,789  SH     DEFINED     01      14,568      13,721         500
CLOSURE MED CORP                COM   189093107           4         200  SH     DEFINED     04         200           0           0
CLOSURE MED CORP                COM   189093107         570      30,637  SH     DEFINED  01,08      10,849      19,788           0

COACH INC                       COM   189754104      31,084     624,920  SH     DEFINED     01     420,655     188,662      15,603
COACH INC                       COM   189754104          47         954  SH     OTHER       01           0         954           0
COACH INC                       COM   189754104          17         334  SH     DEFINED     02         334           0           0
COACH INC                       COM   189754104         316       6,360  SH     DEFINED     03       6,360           0           0
COACH INC                       COM   189754104         105       2,102  SH     DEFINED     04       2,102           0           0
COACH INC                       COM   189754104          68       1,375  SH     OTHER       04       1,375           0           0
COACH INC                       COM   189754104      12,976     260,881  SH     DEFINED  01,08     197,605      63,276           0
COACH INC                       COM   189754104         134       2,690  SH     DEFINED     10       2,690           0           0

COACHMEN INDS INC               COM   189873102         866      72,451  SH     DEFINED     01      44,476      27,165         810
COACHMEN INDS INC               COM   189873102           4         300  SH     OTHER    01,06           0           0         300
COACHMEN INDS INC               COM   189873102         817      68,348  SH     DEFINED  01,08      27,685      40,663           0

COAST DISTR SYS                 COM   190345108          16       5,300  SH     DEFINED     01           0       5,300           0
COAST DISTR SYS                 COM   190345108          48      15,700  SH     DEFINED  01,08       2,264      13,436           0

COASTAL BANCORP INC             COM   19041P105         554      19,489  SH     DEFINED     01       8,944      10,545           0
COASTAL BANCORP INC             COM   19041P105         394      13,871  SH     DEFINED  01,08       4,356       9,515           0

COASTAL FINL CORP DEL           COM   19046E105         369      28,675  SH     DEFINED     01      16,905      11,770           0
COASTAL FINL CORP DEL           COM   19046E105         269      20,901  SH     DEFINED  01,08       6,088      14,813           0

COBALT CORP                     COM   19074W100       1,318      64,146  SH     DEFINED     01      26,291      37,735         120
COBALT CORP                     COM   19074W100       1,719      83,664  SH     DEFINED  01,08      24,792      58,872           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    121
________

COBIZ INC                       COM   190897108         339      24,734  SH     DEFINED     01      12,635      11,899         200
COBIZ INC                       COM   190897108         388      28,250  SH     DEFINED  01,08       6,820      21,430           0

COBRA ELECTRS CORP              COM   191042100          55       7,900  SH     DEFINED     01         800       7,100           0
COBRA ELECTRS CORP              COM   191042100         139      20,008  SH     DEFINED  01,08       3,110      16,898           0

COCA COLA BOTTLING CO CONS      COM   191098102         678      12,412  SH     DEFINED     01       4,210       7,902         300
COCA COLA BOTTLING CO CONS      COM   191098102          11         200  SH     OTHER    01,06           0           0         200
COCA COLA BOTTLING CO CONS      COM   191098102       1,903      34,862  SH     DEFINED  01,08      18,455      16,407           0

COCA COLA CO                    COM   191216100     701,240  15,109,678  SH     DEFINED     01   8,245,172   6,481,653     382,853
COCA COLA CO                    COM   191216100      57,383   1,236,439  SH     OTHER       01     423,169     721,113      92,157
COCA COLA CO                    COM   191216100       9,177     197,740  SH     DEFINED     02     150,265      41,506       5,969
COCA COLA CO                    COM   191216100       4,751     102,371  SH     OTHER       02      49,646      40,135      12,590
COCA COLA CO                    COM   191216100      27,897     601,106  SH     DEFINED     03     493,461      82,566      25,079
COCA COLA CO                    COM   191216100      94,645   2,039,326  SH     OTHER       03     115,671   1,912,687      10,968
COCA COLA CO                    COM   191216100      91,091   1,962,747  SH     DEFINED     04   1,882,027           0      80,720
COCA COLA CO                    COM   191216100      69,187   1,490,780  SH     OTHER       04   1,204,180           0     286,600
COCA COLA CO                    COM   191216100       8,724     187,982  SH     DEFINED     05     152,605      28,330       7,047
COCA COLA CO                    COM   191216100       2,362      50,893  SH     OTHER       05      19,294      20,385      11,214
COCA COLA CO                    COM   191216100         297       6,400  SH     OTHER    01,06           0           0       6,400
COCA COLA CO                    COM   191216100         147       3,170  SH     OTHER    04,07           0           0       3,170
COCA COLA CO                    COM   191216100     505,666  10,895,627  SH     DEFINED  01,08   9,443,150   1,360,784      91,693
COCA COLA CO                    COM   191216100      20,902     450,383  SH     DEFINED     10     259,360     140,103      50,920
COCA COLA CO                    COM   191216100       7,365     158,694  SH     OTHER       10     105,329      50,720       2,645

COCA COLA ENTERPRISES INC       COM   191219104      42,182   2,324,088  SH     DEFINED     01   1,179,922   1,117,820      26,346
COCA COLA ENTERPRISES INC       COM   191219104           5         300  SH     OTHER       01           0           0         300
COCA COLA ENTERPRISES INC       COM   191219104           4         200  SH     DEFINED     03           0         200           0
COCA COLA ENTERPRISES INC       COM   191219104          54       3,000  SH     DEFINED     04       3,000           0           0
COCA COLA ENTERPRISES INC       COM   191219104           4         203  SH     OTHER       04         203           0           0
COCA COLA ENTERPRISES INC       COM   191219104          73       4,000  SH     DEFINED     05       4,000           0           0
COCA COLA ENTERPRISES INC       COM   191219104         182      10,000  SH     OTHER       05           0           0      10,000
COCA COLA ENTERPRISES INC       COM   191219104          18       1,000  SH     OTHER    01,06           0           0       1,000
COCA COLA ENTERPRISES INC       COM   191219104      28,228   1,555,253  SH     DEFINED  01,08   1,409,837     145,416           0
COCA COLA ENTERPRISES INC       COM   191219104          12         669  SH     DEFINED     10         669           0           0

COEUR D ALENE MINES CORP IDA    COM   192108108         204     146,970  SH     DEFINED     01      28,800     117,600         570
COEUR D ALENE MINES CORP IDA    COM   192108108          14      10,000  SH     DEFINED     04      10,000           0           0
COEUR D ALENE MINES CORP IDA    COM   192108108           4       3,001  SH     OTHER       04       3,001           0           0
COEUR D ALENE MINES CORP IDA    COM   192108108         183     131,710  SH     DEFINED  01,08      73,368      58,342           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    122
________

COGNEX CORP                     COM   192422103       2,246     100,571  SH     DEFINED     01      72,961      24,960       2,650
COGNEX CORP                     COM   192422103           4         200  SH     DEFINED     02           0         200           0
COGNEX CORP                     COM   192422103          42       1,900  SH     DEFINED     04         900           0       1,000
COGNEX CORP                     COM   192422103          18         800  SH     OTHER    01,06           0           0         800
COGNEX CORP                     COM   192422103       3,483     155,993  SH     DEFINED  01,08      83,512      72,481           0

COGNITRONICS CORP               COM   192432102          22      10,000  SH     DEFINED     01       1,150       8,850           0
COGNITRONICS CORP               COM   192432102          21       9,592  SH     DEFINED  01,08       2,341       7,251           0

COGNOS INC                      COM   19244C109         771      28,500  SH     DEFINED     01      19,500           0       9,000
COGNOS INC                      COM   19244C109          24         900  SH     OTHER       01         900           0           0

COGNIZANT TECHNOLOGY SOLUTIO    COM   192446102       4,069     166,822  SH     DEFINED     01     125,198      39,374       2,250
COGNIZANT TECHNOLOGY SOLUTIO    COM   192446102          49       1,995  SH     OTHER       01         747           0       1,248
COGNIZANT TECHNOLOGY SOLUTIO    COM   192446102           4         165  SH     DEFINED     03           0           0         165
COGNIZANT TECHNOLOGY SOLUTIO    COM   192446102           9         351  SH     OTHER       03         351           0           0
COGNIZANT TECHNOLOGY SOLUTIO    COM   192446102          12         495  SH     OTHER       04         395           0         100
COGNIZANT TECHNOLOGY SOLUTIO    COM   192446102       3,622     148,504  SH     DEFINED  01,08      83,744      64,760           0

COHERENT INC                    COM   192479103       3,721     153,317  SH     DEFINED     01     111,289      39,178       2,850
COHERENT INC                    COM   192479103           2         100  SH     OTHER       02           0         100           0
COHERENT INC                    COM   192479103          24       1,000  SH     DEFINED     03           0       1,000           0
COHERENT INC                    COM   192479103          13         550  SH     OTHER    01,06           0           0         550
COHERENT INC                    COM   192479103       3,387     139,557  SH     DEFINED  01,08      78,164      61,393           0

COHU INC                        COM   192576106       1,221      78,261  SH     DEFINED     01      46,467      29,744       2,050
COHU INC                        COM   192576106           6         400  SH     OTHER    01,06           0           0         400
COHU INC                        COM   192576106       1,432      91,809  SH     DEFINED  01,08      43,420      48,389           0

COINSTAR INC                    COM   19259P300       1,663      87,841  SH     DEFINED     01      45,539      40,052       2,250
COINSTAR INC                    COM   19259P300          38       2,000  SH     OTHER       01           0           0       2,000
COINSTAR INC                    COM   19259P300           8         400  SH     OTHER    01,06           0           0         400
COINSTAR INC                    COM   19259P300       1,895     100,082  SH     DEFINED  01,08      60,118      39,964           0

COLDWATER CREEK INC             COM   193068103         426      34,655  SH     DEFINED     01      13,245      21,260         150
COLDWATER CREEK INC             COM   193068103         492      40,051  SH     DEFINED  01,08      19,272      20,779           0
COLDWATER CREEK INC             COM   193068103           2         150  SH     DEFINED     10         150           0           0

COLE NATIONAL CORP NEW          COM   193290103         542      43,280  SH     DEFINED     01      20,713      22,567           0
COLE NATIONAL CORP NEW          COM   193290103          25       2,000  SH     OTHER       01           0       2,000           0
COLE NATIONAL CORP NEW          COM   193290103         459      36,696  SH     DEFINED  01,08      12,907      23,789           0

COLE KENNETH PRODTNS INC        COM   193294105         754      38,677  SH     DEFINED     01      18,645      19,832         200
COLE KENNETH PRODTNS INC        COM   193294105           4         200  SH     DEFINED     04           0           0         200
COLE KENNETH PRODTNS INC        COM   193294105       1,046      53,680  SH     DEFINED  01,08      25,584      28,096           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    123
________

COLGATE PALMOLIVE CO            COM   194162103     180,012   3,106,339  SH     DEFINED     01   1,662,256   1,388,200      55,883
COLGATE PALMOLIVE CO            COM   194162103       5,054      87,205  SH     OTHER       01      55,336      28,809       3,060
COLGATE PALMOLIVE CO            COM   194162103       3,026      52,222  SH     DEFINED     02      49,022       2,350         850
COLGATE PALMOLIVE CO            COM   194162103       1,728      29,817  SH     OTHER       02      20,500       8,947         370
COLGATE PALMOLIVE CO            COM   194162103       1,732      29,882  SH     DEFINED     03      19,015       9,427       1,440
COLGATE PALMOLIVE CO            COM   194162103      10,532     181,749  SH     OTHER       03     175,764       2,185       3,800
COLGATE PALMOLIVE CO            COM   194162103       7,201     124,261  SH     DEFINED     04     119,011           0       5,250
COLGATE PALMOLIVE CO            COM   194162103      10,673     184,175  SH     OTHER       04     105,783           0      78,392
COLGATE PALMOLIVE CO            COM   194162103         804      13,870  SH     DEFINED     05       9,870       4,000           0
COLGATE PALMOLIVE CO            COM   194162103         191       3,300  SH     OTHER       05         800       2,500           0
COLGATE PALMOLIVE CO            COM   194162103          81       1,400  SH     OTHER    01,06           0           0       1,400
COLGATE PALMOLIVE CO            COM   194162103     127,823   2,205,742  SH     DEFINED  01,08   2,000,591     205,151           0
COLGATE PALMOLIVE CO            COM   194162103       4,953      85,469  SH     DEFINED     10      44,769      12,800      27,900
COLGATE PALMOLIVE CO            COM   194162103       1,499      25,869  SH     OTHER       10      24,169       1,200         500

COLLAGENEX PHARMACEUTICALS I    COM   19419B100         152      11,500  SH     DEFINED     01       2,000       9,500           0
COLLAGENEX PHARMACEUTICALS I    COM   19419B100         322      24,292  SH     DEFINED  01,08       9,092      15,200           0

COLLINS & AIKMAN CORP NEW       COM   194830204         398     134,926  SH     DEFINED     01      51,860      81,616       1,450
COLLINS & AIKMAN CORP NEW       COM   194830204         564     191,038  SH     DEFINED  01,08      71,808     119,230           0

COLLINS INDS INC                COM   194858106          30       8,600  SH     DEFINED     01           0       8,600           0
COLLINS INDS INC                COM   194858106          60      17,238  SH     DEFINED  01,08       3,294      13,944           0

COLONIAL BANCGROUP INC          COM   195493309       5,500     396,517  SH     DEFINED     01     148,859     241,684       5,974
COLONIAL BANCGROUP INC          COM   195493309          57       4,081  SH     DEFINED     04       4,081           0           0
COLONIAL BANCGROUP INC          COM   195493309       3,495     252,016  SH     DEFINED  01,08     162,816      89,200           0

COLONIAL PPTYS TR               COM   195872106       2,136      60,687  SH     DEFINED     01      32,557      27,480         650
COLONIAL PPTYS TR               COM   195872106          35       1,000  SH     DEFINED     04       1,000           0           0
COLONIAL PPTYS TR               COM   195872106          16         450  SH     OTHER    01,06           0           0         450
COLONIAL PPTYS TR               COM   195872106       3,769     107,103  SH     DEFINED  01,08      69,613      37,490           0

COLORADO MEDTECH INC            COM   19652U104          82      17,400  SH     DEFINED     01       2,500      14,900           0
COLORADO MEDTECH INC            COM   19652U104          99      21,079  SH     DEFINED  01,08       3,979      17,100           0

COLUMBIA BANCORP                COM   197227101         482      20,064  SH     DEFINED     01      10,747       8,967         350
COLUMBIA BANCORP                COM   197227101         407      16,936  SH     DEFINED  01,08       4,523      12,413           0

COLUMBIA BKG SYS INC            COM   197236102         818      45,532  SH     DEFINED     01      30,051      14,671         810
COLUMBIA BKG SYS INC            COM   197236102         607      33,772  SH     DEFINED  01,08      12,371      21,401           0
COLUMBIA BKG SYS INC            COM   197236102          39       2,174  SH     DEFINED     10       2,174           0           0

COLUMBIA LABS INC               COM   197779101       1,199     106,598  SH     DEFINED     01      65,686      40,502         410
COLUMBIA LABS INC               COM   197779101       1,718     152,716  SH     DEFINED  01,08      93,663      59,053           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    124
________

COLUMBIA SPORTSWEAR CO          COM   198516106       1,113      21,646  SH     DEFINED     01      15,573       5,450         623
COLUMBIA SPORTSWEAR CO          COM   198516106       2,177      42,360  SH     DEFINED  01,08      17,559      24,801           0
COLUMBIA SPORTSWEAR CO          COM   198516106           3          50  SH     DEFINED     10          50           0           0

COLUMBUS MCKINNON CORP N Y      COM   199333105          99      40,986  SH     DEFINED     01      21,636      19,100         250
COLUMBUS MCKINNON CORP N Y      COM   199333105          80      33,068  SH     DEFINED  01,08       7,020      26,048           0

COMFORT SYS USA INC             COM   199908104         364     138,356  SH     DEFINED     01      86,906      50,500         950
COMFORT SYS USA INC             COM   199908104         228      86,842  SH     DEFINED  01,08      17,200      69,642           0

COMARCO INC                     COM   200080109          64       8,950  SH     DEFINED     01       2,350       6,600           0
COMARCO INC                     COM   200080109         156      21,963  SH     DEFINED  01,08       3,336      18,627           0

COMCAST CORP NEW                COM   20030N101     390,849  12,950,593  SH     DEFINED     01   6,854,037   5,868,276     228,280
COMCAST CORP NEW                COM   20030N101         369      12,239  SH     OTHER       01       7,231       2,744       2,264
COMCAST CORP NEW                COM   20030N101          33       1,110  SH     DEFINED     02         448         416         246
COMCAST CORP NEW                COM   20030N101         168       5,562  SH     OTHER       02       3,350       2,126          86
COMCAST CORP NEW                COM   20030N101          60       1,975  SH     DEFINED     03         293       1,516         166
COMCAST CORP NEW                COM   20030N101       1,813      60,087  SH     OTHER       03      59,990          97           0
COMCAST CORP NEW                COM   20030N101           9         301  SH     DEFINED     05         301           0           0
COMCAST CORP NEW                COM   20030N101           0           8  SH     OTHER       05           8           0           0
COMCAST CORP NEW                COM   20030N101         180       5,970  SH     OTHER    01,06           0           0       5,970
COMCAST CORP NEW                COM   20030N101     293,447   9,723,235  SH     DEFINED  01,08   8,833,098     890,137           0
COMCAST CORP NEW                COM   20030N101         153       5,063  SH     DEFINED     10       4,764         129         170
COMCAST CORP NEW                COM   20030N101          47       1,543  SH     OTHER       10         412       1,131           0

COMCAST CORP NEW                COM   20030N200      19,244     663,805  SH     DEFINED     01     577,453      41,897      44,455
COMCAST CORP NEW                COM   20030N200       2,496      86,094  SH     OTHER       01      26,760      58,684         650
COMCAST CORP NEW                COM   20030N200         188       6,469  SH     DEFINED     02       4,713       1,686          70
COMCAST CORP NEW                COM   20030N200          27         934  SH     OTHER       02         934           0           0
COMCAST CORP NEW                COM   20030N200       1,966      67,814  SH     DEFINED     03      51,170       9,109       7,535
COMCAST CORP NEW                COM   20030N200         162       5,600  SH     OTHER       03       3,700       1,200         700
COMCAST CORP NEW                COM   20030N200          42       1,450  SH     DEFINED     05       1,450           0           0
COMCAST CORP NEW                COM   20030N200      10,167     350,692  SH     DEFINED  01,08     350,692           0           0
COMCAST CORP NEW                COM   20030N200         119       4,115  SH     DEFINED     10       3,565           0         550
COMCAST CORP NEW                COM   20030N200         116       4,000  SH     OTHER       10       4,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    125
________

COMERICA INC                    COM   200340107      48,068   1,033,724  SH     DEFINED     01     558,064     460,001      15,659
COMERICA INC                    COM   200340107         453       9,751  SH     OTHER       01       5,143       4,458         150
COMERICA INC                    COM   200340107         133       2,850  SH     DEFINED     02         600       2,250           0
COMERICA INC                    COM   200340107       1,232      26,500  SH     DEFINED     03      18,000       8,500           0
COMERICA INC                    COM   200340107          98       2,100  SH     OTHER       03       2,100           0           0
COMERICA INC                    COM   200340107         800      17,204  SH     DEFINED     04      17,204           0           0
COMERICA INC                    COM   200340107         935      20,118  SH     OTHER       04      16,818           0       3,300
COMERICA INC                    COM   200340107          22         470  SH     OTHER    01,06           0           0         470
COMERICA INC                    COM   200340107      34,535     742,689  SH     DEFINED  01,08     673,682      69,007           0
COMERICA INC                    COM   200340107       2,906      62,502  SH     DEFINED     10      59,556       2,546         400
COMERICA INC                    COM   200340107       1,748      37,585  SH     OTHER       10      12,790      24,795           0

COMFORCE CORP                   COM   20038K109           1       3,200  SH     DEFINED     01       2,200       1,000           0
COMFORCE CORP                   COM   20038K109          10      23,406  SH     DEFINED  01,08       4,852      18,554           0

COMMERCE BANCORP INC NJ         COM   200519106       7,840     211,329  SH     DEFINED     01      77,834     130,459       3,036
COMMERCE BANCORP INC NJ         COM   200519106          37       1,000  SH     DEFINED     04       1,000           0           0
COMMERCE BANCORP INC NJ         COM   200519106         217       5,840  SH     OTHER       04       5,840           0           0
COMMERCE BANCORP INC NJ         COM   200519106       5,633     151,834  SH     DEFINED  01,08     105,484      46,350           0

COMMERCE BANCSHARES INC         COM   200525103       3,124      80,266  SH     DEFINED     01      51,759      25,608       2,899
COMMERCE BANCSHARES INC         COM   200525103         183       4,705  SH     DEFINED     04       4,705           0           0
COMMERCE BANCSHARES INC         COM   200525103         239       6,149  SH     OTHER       04       6,149           0           0
COMMERCE BANCSHARES INC         COM   200525103       4,579     117,644  SH     DEFINED  01,08      70,322      47,322           0
COMMERCE BANCSHARES INC         COM   200525103          17         441  SH     OTHER       10         441           0           0

COMMERCE GROUP INC MASS         COM   200641108       3,458      95,520  SH     DEFINED     01      52,033      42,987         500
COMMERCE GROUP INC MASS         COM   200641108       3,308      91,370  SH     DEFINED  01,08      33,780      57,590           0

COMMERCE ONE INC DEL            COM   200693208          63      26,871  SH     DEFINED     01       5,746      21,125           0
COMMERCE ONE INC DEL            COM   200693208          19       7,943  SH     OTHER       01           0           0       7,943
COMMERCE ONE INC DEL            COM   200693208         125      53,260  SH     DEFINED  01,08      13,500      39,760           0

COMMERCIAL BANKSHARES INC       COM   201607108         217       7,281  SH     DEFINED     01       1,031       6,250           0
COMMERCIAL BANKSHARES INC       COM   201607108          47       1,587  SH     DEFINED     04       1,587           0           0
COMMERCIAL BANKSHARES INC       COM   201607108          99       3,326  SH     OTHER       04       3,326           0           0
COMMERCIAL BANKSHARES INC       COM   201607108         240       8,080  SH     DEFINED  01,08       2,352       5,728           0

COMMERCIAL CAP BANCORP INC      COM   20162L105          46       3,000  SH     DEFINED     01       3,000           0           0
COMMERCIAL CAP BANCORP INC      COM   20162L105         197      12,709  SH     DEFINED  01,08       8,900       3,809           0

COMMERCIAL FEDERAL CORPORATI    COM   201647104       5,242     247,285  SH     DEFINED     01     181,114      61,271       4,900
COMMERCIAL FEDERAL CORPORATI    COM   201647104          17         820  SH     DEFINED     02         820           0           0
COMMERCIAL FEDERAL CORPORATI    COM   201647104          20         920  SH     OTHER    01,06           0           0         920
COMMERCIAL FEDERAL CORPORATI    COM   201647104       5,355     252,585  SH     DEFINED  01,08     154,742      97,843           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    126
________

COMMERCIAL METALS CO            COM   201723103       2,919     164,108  SH     DEFINED     01     108,134      54,524       1,450
COMMERCIAL METALS CO            COM   201723103          11         600  SH     OTHER    01,06           0           0         600
COMMERCIAL METALS CO            COM   201723103       2,525     141,951  SH     DEFINED  01,08      77,637      64,314           0

COMMERCIAL NET LEASE RLTY IN    COM   202218103       3,858     223,790  SH     DEFINED     01     170,879      50,651       2,260
COMMERCIAL NET LEASE RLTY IN    COM   202218103          43       2,500  SH     DEFINED     04       2,500           0           0
COMMERCIAL NET LEASE RLTY IN    COM   202218103           9         550  SH     OTHER       04         550           0           0
COMMERCIAL NET LEASE RLTY IN    COM   202218103       2,268     131,582  SH     DEFINED  01,08      58,111      73,471           0

COMMONWEALTH INDS INC DEL       COM   203004106         214      43,750  SH     DEFINED     01       3,300      39,900         550
COMMONWEALTH INDS INC DEL       COM   203004106           1         300  SH     OTHER    01,06           0           0         300
COMMONWEALTH INDS INC DEL       COM   203004106         197      40,345  SH     DEFINED  01,08      19,093      21,252           0

COMMONWEALTH TEL ENTERPRISES    COM   203349105       2,387      54,333  SH     DEFINED     01      28,871      24,812         650
COMMONWEALTH TEL ENTERPRISES    COM   203349105       3,095      70,435  SH     DEFINED  01,08      33,974      36,461           0

COMMSCOPE INC                   COM   203372107       3,623     381,401  SH     DEFINED     01     242,027     135,324       4,050
COMMSCOPE INC                   COM   203372107       1,506     158,572  SH     DEFINED  01,08      94,357      64,215           0

COMMUNITY BK NORTHN VA          COM   203566104          68       5,828  SH     DEFINED     01           0       5,828           0
COMMUNITY BK NORTHN VA          COM   203566104         172      14,700  SH     DEFINED  01,08       4,600      10,100           0

COMMUNITY BK SYS INC            COM   203607106       2,319      61,019  SH     DEFINED     01      46,881      13,338         800
COMMUNITY BK SYS INC            COM   203607106          11         300  SH     OTHER       02         300           0           0
COMMUNITY BK SYS INC            COM   203607106         118       3,112  SH     OTHER       04       3,112           0           0
COMMUNITY BK SYS INC            COM   203607106       1,319      34,700  SH     DEFINED  01,08      10,894      23,806           0

COMMUNITY BKS INC MILLERSBUR    COM   203628102         667      22,645  SH     DEFINED     01      17,331       4,789         525
COMMUNITY BKS INC MILLERSBUR    COM   203628102         638      21,685  SH     DEFINED  01,08       6,540      15,145           0

COMMUNITY HEALTH SYS INC NEW    COM   203668108       5,270     273,220  SH     DEFINED     01      85,530     176,490      11,200
COMMUNITY HEALTH SYS INC NEW    COM   203668108       3,043     157,765  SH     DEFINED  01,08      93,841      63,924           0

COMMUNICATIONS SYS INC          COM   203900105          83      10,600  SH     DEFINED     01       1,800       8,800           0
COMMUNICATIONS SYS INC          COM   203900105         169      21,671  SH     DEFINED  01,08       3,681      17,990           0

COMMUNITY FIRST BANKSHARES I    COM   203902101       3,874     142,282  SH     DEFINED     01      84,075      53,907       4,300
COMMUNITY FIRST BANKSHARES I    COM   203902101          22         790  SH     OTHER    01,06           0           0         790
COMMUNITY FIRST BANKSHARES I    COM   203902101       5,773     212,018  SH     DEFINED  01,08     133,230      78,788           0

COMMUNITY TR BANCORP INC        COM   204149108       1,555      59,427  SH     DEFINED     01      31,587      26,990         850
COMMUNITY TR BANCORP INC        COM   204149108         885      33,849  SH     DEFINED  01,08       9,463      24,386           0

COMMUNITY WEST BANCSHARES       COM   204157101          22       3,500  SH     DEFINED     01           0       3,500           0
COMMUNITY WEST BANCSHARES       COM   204157101          52       8,345  SH     DEFINED  01,08       2,325       6,020           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    127
________

COMPASS BANCSHARES INC          COM   20449H109      14,446     415,965  SH     DEFINED     01     161,912     246,331       7,722
COMPASS BANCSHARES INC          COM   20449H109           3          81  SH     DEFINED     02          81           0           0
COMPASS BANCSHARES INC          COM   20449H109          23         653  SH     DEFINED     04         653           0           0
COMPASS BANCSHARES INC          COM   20449H109      13,257     381,715  SH     DEFINED  01,08     288,752      92,963           0
COMPASS BANCSHARES INC          COM   20449H109         695      20,000  SH     DEFINED     10      20,000           0           0

COMPETITIVE TECHNOLOGIES INC    COM   204512107           9       5,800  SH     DEFINED     01       1,200       4,600           0
COMPETITIVE TECHNOLOGIES INC    COM   204512107          24      14,862  SH     DEFINED  01,08       2,301      12,561           0

COMPEX TECHNOLOGIES INC         COM   204513105          58      12,400  SH     DEFINED     01       2,100      10,300           0
COMPEX TECHNOLOGIES INC         COM   204513105          89      19,091  SH     DEFINED  01,08       5,231      13,860           0

COMPUCREDIT CORP                COM   20478N100       1,568     129,192  SH     DEFINED     01      81,637      46,555       1,000
COMPUCREDIT CORP                COM   20478N100       1,433     118,074  SH     DEFINED  01,08      52,133      65,941           0

COMPUCOM SYS INC                COM   204780100       1,093     240,145  SH     DEFINED     01     178,845      61,200         100
COMPUCOM SYS INC                COM   204780100         502     110,274  SH     DEFINED  01,08      27,914      82,360           0

COMPUTER ACCESS TECHNOLOGY      COM   204853105          32       9,700  SH     DEFINED     01       3,700       6,000           0
COMPUTER ACCESS TECHNOLOGY      COM   204853105          98      30,200  SH     DEFINED  01,08       5,300      24,900           0

COMPUTER ASSOC INTL INC         COM   204912109      82,719   3,712,687  SH     DEFINED     01   2,128,707   1,528,218      55,762
COMPUTER ASSOC INTL INC         COM   204912109       1,389      62,333  SH     OTHER       01      49,508       7,025       5,800
COMPUTER ASSOC INTL INC         COM   204912109          19         866  SH     DEFINED     02         866           0           0
COMPUTER ASSOC INTL INC         COM   204912109          29       1,313  SH     DEFINED     03           0         850         463
COMPUTER ASSOC INTL INC         COM   204912109         668      30,000  SH     OTHER       03      30,000           0           0
COMPUTER ASSOC INTL INC         COM   204912109           8         337  SH     DEFINED     04         337           0           0
COMPUTER ASSOC INTL INC         COM   204912109         223      10,000  SH     OTHER       04           0           0      10,000
COMPUTER ASSOC INTL INC         COM   204912109          33       1,500  SH     OTHER    01,06           0           0       1,500
COMPUTER ASSOC INTL INC         COM   204912109      54,139   2,429,949  SH     DEFINED  01,08   2,218,749     211,200           0
COMPUTER ASSOC INTL INC         COM   204912109          20         888  SH     DEFINED     10         888           0           0

COMPUTER NETWORK TECHNOLOGY     COM   204925101         802     101,084  SH     DEFINED     01      60,492      40,092         500
COMPUTER NETWORK TECHNOLOGY     COM   204925101         977     123,235  SH     DEFINED  01,08      72,333      50,902           0

COMPUTER MOTION INC             COM   205253107          38       9,800  SH     DEFINED     01       2,000       7,800           0
COMPUTER MOTION INC             COM   205253107         124      32,000  SH     DEFINED  01,08       8,200      23,800           0

COMPUTER PROGRAMS & SYS INC     COM   205306103         479      23,917  SH     DEFINED     01      10,067      11,150       2,700
COMPUTER PROGRAMS & SYS INC     COM   205306103         422      21,106  SH     DEFINED  01,08       6,299      14,807           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    128
________

COMPUTER SCIENCES CORP          COM   205363104      45,641   1,197,289  SH     DEFINED     01     666,513     508,119      22,657
COMPUTER SCIENCES CORP          COM   205363104       2,472      64,835  SH     OTHER       01      18,737      31,284      14,814
COMPUTER SCIENCES CORP          COM   205363104         789      20,691  SH     DEFINED     02      14,751       5,890          50
COMPUTER SCIENCES CORP          COM   205363104         381      10,000  SH     OTHER       02       3,025       6,975           0
COMPUTER SCIENCES CORP          COM   205363104         606      15,897  SH     DEFINED     03       6,555       8,872         470
COMPUTER SCIENCES CORP          COM   205363104         342       8,965  SH     OTHER       03       2,965           0       6,000
COMPUTER SCIENCES CORP          COM   205363104       2,161      56,679  SH     DEFINED     04      56,679           0           0
COMPUTER SCIENCES CORP          COM   205363104         984      25,811  SH     OTHER       04      24,411           0       1,400
COMPUTER SCIENCES CORP          COM   205363104       1,602      42,015  SH     DEFINED     05      33,560       7,410       1,045
COMPUTER SCIENCES CORP          COM   205363104         506      13,270  SH     OTHER       05       5,050       8,025         195
COMPUTER SCIENCES CORP          COM   205363104          19         500  SH     OTHER    01,06           0           0         500
COMPUTER SCIENCES CORP          COM   205363104      29,904     784,464  SH     DEFINED  01,08     711,819      72,645           0
COMPUTER SCIENCES CORP          COM   205363104          46       1,202  SH     DEFINED     10         302         900           0
COMPUTER SCIENCES CORP          COM   205363104          42       1,100  SH     OTHER       10       1,100           0           0

COMPUTER TASK GROUP INC         COM   205477102          83      29,280  SH     DEFINED     01       4,280      25,000           0
COMPUTER TASK GROUP INC         COM   205477102         141      49,499  SH     DEFINED  01,08       9,465      40,034           0

COMPUTERIZED THERMAL IMAGING    COM   20557C108          20      45,900  SH     DEFINED     01      16,700      29,200           0
COMPUTERIZED THERMAL IMAGING    COM   20557C108          25      55,900  SH     DEFINED  01,08      35,500      20,400           0

COMPX INTERNATIONAL INC         COM   20563P101          80      14,377  SH     DEFINED     01       5,639       8,638         100
COMPX INTERNATIONAL INC         COM   20563P101          64      11,423  SH     DEFINED  01,08       2,541       8,882           0

COMPUWARE CORP                  COM   205638109      12,094   2,114,282  SH     DEFINED     01   1,103,939     972,543      37,800
COMPUWARE CORP                  COM   205638109           2         350  SH     OTHER       01           0           0         350
COMPUWARE CORP                  COM   205638109           6       1,100  SH     DEFINED     02       1,100           0           0
COMPUWARE CORP                  COM   205638109           1         150  SH     DEFINED     03           0         150           0
COMPUWARE CORP                  COM   205638109           2         400  SH     OTHER       04         400           0           0
COMPUWARE CORP                  COM   205638109           6       1,000  SH     OTHER    01,06           0           0       1,000
COMPUWARE CORP                  COM   205638109       8,778   1,534,632  SH     DEFINED  01,08   1,404,087     130,545           0
COMPUWARE CORP                  COM   205638109           0          59  SH     DEFINED     10          59           0           0

COMSTOCK RES INC                COM   205768203       1,203      87,923  SH     DEFINED     01      50,027      36,496       1,400
COMSTOCK RES INC                COM   205768203          86       6,300  SH     OTHER       01           0       6,300           0
COMSTOCK RES INC                COM   205768203       1,596     116,684  SH     DEFINED  01,08      66,989      49,695           0

COMTECH TELECOMMUNICATIONS C    COM   205826209         953      33,800  SH     DEFINED     01      27,500       6,300           0
COMTECH TELECOMMUNICATIONS C    COM   205826209           3         100  SH     DEFINED     02         100           0           0
COMTECH TELECOMMUNICATIONS C    COM   205826209       1,234      43,765  SH     DEFINED  01,08      33,365      10,400           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    129
________

COMVERSE TECHNOLOGY INC         COM   205862402      16,799   1,119,177  SH     DEFINED     01     609,148     491,229      18,800
COMVERSE TECHNOLOGY INC         COM   205862402          12         775  SH     OTHER       01           0         600         175
COMVERSE TECHNOLOGY INC         COM   205862402           2         100  SH     DEFINED     03           0         100           0
COMVERSE TECHNOLOGY INC         COM   205862402          16       1,060  SH     DEFINED     04       1,060           0           0
COMVERSE TECHNOLOGY INC         COM   205862402          13         870  SH     OTHER       04         870           0           0
COMVERSE TECHNOLOGY INC         COM   205862402           8         500  SH     OTHER    01,06           0           0         500
COMVERSE TECHNOLOGY INC         COM   205862402      13,106     873,134  SH     DEFINED  01,08     800,169      72,965           0
COMVERSE TECHNOLOGY INC         COM   205862402           1          34  SH     DEFINED     10          34           0           0

CONAGRA FOODS INC               COM   205887102      72,723   3,081,467  SH     DEFINED     01   1,630,391   1,398,627      52,449
CONAGRA FOODS INC               COM   205887102         548      23,224  SH     OTHER       01      19,249       3,525         450
CONAGRA FOODS INC               COM   205887102       5,904     250,170  SH     DEFINED     02      11,666     238,304         200
CONAGRA FOODS INC               COM   205887102          47       2,000  SH     OTHER       02       2,000           0           0
CONAGRA FOODS INC               COM   205887102          78       3,300  SH     DEFINED     03       2,800         500           0
CONAGRA FOODS INC               COM   205887102          17         700  SH     OTHER       03         500           0         200
CONAGRA FOODS INC               COM   205887102         486      20,600  SH     DEFINED     04      20,600           0           0
CONAGRA FOODS INC               COM   205887102         503      21,315  SH     OTHER       04      21,315           0           0
CONAGRA FOODS INC               COM   205887102          33       1,400  SH     OTHER    01,06           0           0       1,400
CONAGRA FOODS INC               COM   205887102      54,949   2,328,339  SH     DEFINED  01,08   2,108,813     219,226         300
CONAGRA FOODS INC               COM   205887102         287      12,180  SH     DEFINED     10      12,180           0           0
CONAGRA FOODS INC               COM   205887102         112       4,750  SH     OTHER       10       1,150       3,600           0

COMPUTER HORIZONS CORP          COM   205908106         519     114,306  SH     DEFINED     01      65,506      48,000         800
COMPUTER HORIZONS CORP          COM   205908106         718     158,155  SH     DEFINED  01,08      83,288      74,867           0

COMSHARE INC                    COM   205912108          44       9,600  SH     DEFINED     01       1,400       8,200           0
COMSHARE INC                    COM   205912108          91      19,900  SH     DEFINED  01,08       5,732      14,168           0

CONCEPTUS INC                   COM   206016107         842      60,080  SH     DEFINED     01      35,492      23,538       1,050
CONCEPTUS INC                   COM   206016107       1,449     103,331  SH     DEFINED  01,08      66,452      36,879           0

CONCERTO SOFTWARE INC           COM   20602T106         162      17,600  SH     DEFINED     01       3,000      14,200         400
CONCERTO SOFTWARE INC           COM   20602T106           2         200  SH     OTHER    01,06           0           0         200
CONCERTO SOFTWARE INC           COM   20602T106         285      31,052  SH     DEFINED  01,08      15,446      15,606           0

CONCORD CAMERA CORP             COM   206156101         608      87,356  SH     DEFINED     01      48,981      36,025       2,350
CONCORD CAMERA CORP             COM   206156101           4         600  SH     OTHER    01,06           0           0         600
CONCORD CAMERA CORP             COM   206156101         753     108,183  SH     DEFINED  01,08      59,469      48,714           0

CONCORD COMMUNICATIONS INC      COM   206186108         803      58,290  SH     DEFINED     01      35,740      20,900       1,650
CONCORD COMMUNICATIONS INC      COM   206186108          82       5,917  SH     OTHER       01           0           0       5,917
CONCORD COMMUNICATIONS INC      COM   206186108           4         300  SH     OTHER    01,06           0           0         300
CONCORD COMMUNICATIONS INC      COM   206186108         952      69,116  SH     DEFINED  01,08      38,499      30,617           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    130
________

CONCORD EFS INC                 COM   206197105      42,007   2,853,760  SH     DEFINED     01   1,547,090   1,264,645      42,025
CONCORD EFS INC                 COM   206197105         264      17,914  SH     OTHER       01           0      17,489         425
CONCORD EFS INC                 COM   206197105         404      27,438  SH     DEFINED     02      27,438           0           0
CONCORD EFS INC                 COM   206197105         126       8,558  SH     OTHER       02       8,558           0           0
CONCORD EFS INC                 COM   206197105           3         200  SH     DEFINED     03           0         200           0
CONCORD EFS INC                 COM   206197105          29       2,000  SH     DEFINED     04       2,000           0           0
CONCORD EFS INC                 COM   206197105         164      11,110  SH     OTHER       04      11,110           0           0
CONCORD EFS INC                 COM   206197105          19       1,300  SH     OTHER    01,06           0           0       1,300
CONCORD EFS INC                 COM   206197105      33,139   2,251,313  SH     DEFINED  01,08   2,060,440     190,873           0
CONCORD EFS INC                 COM   206197105         182      12,350  SH     DEFINED     10      10,750           0       1,600

CONCUR TECHNOLOGIES INC         COM   206708109         313      30,944  SH     DEFINED     01       4,844      26,100           0
CONCUR TECHNOLOGIES INC         COM   206708109         923      91,267  SH     DEFINED  01,08      50,547      40,720           0

CONCURRENT COMPUTER CORP NEW    COM   206710204         630     217,245  SH     DEFINED     01     140,217      75,428       1,600
CONCURRENT COMPUTER CORP NEW    COM   206710204           2         674  SH     DEFINED     03         674           0           0
CONCURRENT COMPUTER CORP NEW    COM   206710204         795     274,021  SH     DEFINED  01,08     164,866     109,155           0
CONCURRENT COMPUTER CORP NEW    COM   206710204           3       1,000  SH     DEFINED     10           0           0       1,000

CONE MLS CORP N C               COM   206814105          41      25,500  SH     DEFINED     01       5,400      20,100           0
CONE MLS CORP N C               COM   206814105           2       1,000  SH     DEFINED     04       1,000           0           0
CONE MLS CORP N C               COM   206814105          78      48,955  SH     DEFINED  01,08      12,492      36,463           0

CONEXANT SYSTEMS INC            COM   207142100       2,417     576,846  SH     DEFINED     01     230,000     331,509      15,337
CONEXANT SYSTEMS INC            COM   207142100           4       1,000  SH     OTHER       01           0           0       1,000
CONEXANT SYSTEMS INC            COM   207142100           1         280  SH     DEFINED     03          80           0         200
CONEXANT SYSTEMS INC            COM   207142100          24       5,837  SH     DEFINED     04       5,837           0           0
CONEXANT SYSTEMS INC            COM   207142100           2         568  SH     OTHER       04         568           0           0
CONEXANT SYSTEMS INC            COM   207142100       3,410     813,947  SH     DEFINED  01,08     445,847     368,100           0
CONEXANT SYSTEMS INC            COM   207142100           2         400  SH     DEFINED     10         400           0           0
CONEXANT SYSTEMS INC            COM   207142100           8       2,000  SH     OTHER       10       2,000           0           0

CONGOLEUM CORP NEW              COM   207195108           4       5,400  SH     DEFINED     01         600       4,800           0
CONGOLEUM CORP NEW              COM   207195108           4       5,500  SH     DEFINED  01,08       1,400       4,100           0

CONMED CORP                     COM   207410101       2,261     122,946  SH     DEFINED     01      83,703      37,493       1,750
CONMED CORP                     COM   207410101          11         600  SH     OTHER    01,06           0           0         600
CONMED CORP                     COM   207410101       2,675     145,434  SH     DEFINED  01,08      90,378      55,056           0

CONNECTICUT BANCSHARES INC      COM   207540105       1,564      39,944  SH     DEFINED     01      23,950      15,394         600
CONNECTICUT BANCSHARES INC      COM   207540105       1,330      33,972  SH     DEFINED  01,08      13,445      20,527           0

CONNECTICUT WTR SVC INC         COM   207797101         615      24,108  SH     DEFINED     01      13,728      10,230         150
CONNECTICUT WTR SVC INC         COM   207797101          88       3,439  SH     DEFINED     04       3,439           0           0
CONNECTICUT WTR SVC INC         COM   207797101         538      21,088  SH     DEFINED  01,08       6,030      15,058           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    131
________

CONNETICS CORP                  COM   208192104       1,684     112,286  SH     DEFINED     01      65,142      45,384       1,760
CONNETICS CORP                  COM   208192104          19       1,288  SH     DEFINED     02           0       1,288           0
CONNETICS CORP                  COM   208192104       2,006     133,718  SH     DEFINED  01,08      79,128      54,590           0

CONOCOPHILLIPS                  COM   20825C104     220,244   4,019,059  SH     DEFINED     01   2,137,892   1,812,425      68,742
CONOCOPHILLIPS                  COM   20825C104       1,041      19,003  SH     OTHER       01       4,944      13,286         773
CONOCOPHILLIPS                  COM   20825C104         479       8,734  SH     DEFINED     02       7,158       1,431         145
CONOCOPHILLIPS                  COM   20825C104         213       3,892  SH     OTHER       02       2,889       1,003           0
CONOCOPHILLIPS                  COM   20825C104         818      14,925  SH     DEFINED     03       7,789       3,341       3,795
CONOCOPHILLIPS                  COM   20825C104          36         650  SH     OTHER       03         350         300           0
CONOCOPHILLIPS                  COM   20825C104       4,960      90,511  SH     DEFINED     04      87,916           0       2,595
CONOCOPHILLIPS                  COM   20825C104       1,207      22,031  SH     OTHER       04      17,938           0       4,093
CONOCOPHILLIPS                  COM   20825C104         804      14,670  SH     DEFINED     05      12,631         404       1,635
CONOCOPHILLIPS                  COM   20825C104         128       2,335  SH     OTHER       05           0       1,728         607
CONOCOPHILLIPS                  COM   20825C104          93       1,701  SH     OTHER    01,06           0           0       1,701
CONOCOPHILLIPS                  COM   20825C104     159,288   2,906,712  SH     DEFINED  01,08   2,524,338     375,233       7,141
CONOCOPHILLIPS                  COM   20825C104       1,205      21,998  SH     DEFINED     10      19,653       1,982         363
CONOCOPHILLIPS                  COM   20825C104          28         507  SH     OTHER       10         507           0           0

CONRAD INDS INC                 COM   208305102          22       9,200  SH     DEFINED     01       1,000       8,200           0
CONRAD INDS INC                 COM   208305102          29      11,962  SH     DEFINED  01,08       2,762       9,200           0

CONSOL ENERGY INC               COM   20854P109         919      40,425  SH     DEFINED     01      30,629       8,659       1,137
CONSOL ENERGY INC               COM   20854P109       1,657      72,877  SH     DEFINED  01,08      24,561      48,316           0

CONSOLIDATED EDISON INC         COM   209115104      58,098   1,342,379  SH     DEFINED     01     741,781     582,830      17,768
CONSOLIDATED EDISON INC         COM   209115104         221       5,110  SH     OTHER       01       1,068       3,842         200
CONSOLIDATED EDISON INC         COM   209115104         361       8,336  SH     DEFINED     02       2,000       6,336           0
CONSOLIDATED EDISON INC         COM   209115104          82       1,900  SH     OTHER       02         700           0       1,200
CONSOLIDATED EDISON INC         COM   209115104          69       1,600  SH     DEFINED     03         500       1,100           0
CONSOLIDATED EDISON INC         COM   209115104          63       1,460  SH     OTHER       03         600         860           0
CONSOLIDATED EDISON INC         COM   209115104       1,688      38,996  SH     DEFINED     04      37,596           0       1,400
CONSOLIDATED EDISON INC         COM   209115104         464      10,722  SH     OTHER       04       7,722           0       3,000
CONSOLIDATED EDISON INC         COM   209115104          33         764  SH     DEFINED     05         764           0           0
CONSOLIDATED EDISON INC         COM   209115104          22         500  SH     OTHER    01,06           0           0         500
CONSOLIDATED EDISON INC         COM   209115104      44,099   1,018,915  SH     DEFINED  01,08     926,096      92,819           0
CONSOLIDATED EDISON INC         COM   209115104          51       1,186  SH     DEFINED     10       1,186           0           0
CONSOLIDATED EDISON INC         COM   209115104          89       2,050  SH     OTHER       10       2,050           0           0

CONSOLIDATED GRAPHICS INC       COM   209341106       1,834      80,147  SH     DEFINED     01      56,626      22,571         950
CONSOLIDATED GRAPHICS INC       COM   209341106           6         250  SH     OTHER    01,06           0           0         250
CONSOLIDATED GRAPHICS INC       COM   209341106         979      42,805  SH     DEFINED  01,08      20,138      22,667           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    132
________

CONSOLIDATED TOMOKA LD CO       COM   210226106         151       6,000  SH     DEFINED     01       1,300       4,700           0
CONSOLIDATED TOMOKA LD CO       COM   210226106          27       1,061  SH     OTHER       01           0       1,061           0
CONSOLIDATED TOMOKA LD CO       COM   210226106         112       4,450  SH     OTHER       04       4,450           0           0
CONSOLIDATED TOMOKA LD CO       COM   210226106         407      16,204  SH     DEFINED  01,08       3,645      12,559           0

CONSTELLATION BRANDS INC        COM   21036P108       9,209     293,270  SH     DEFINED     01     106,250     178,090       8,930
CONSTELLATION BRANDS INC        COM   21036P108          16         522  SH     DEFINED     02         522           0           0
CONSTELLATION BRANDS INC        COM   21036P108         188       6,000  SH     DEFINED     04       6,000           0           0
CONSTELLATION BRANDS INC        COM   21036P108       5,893     187,679  SH     DEFINED  01,08     114,579      73,100           0
CONSTELLATION BRANDS INC        COM   21036P108         173       5,500  SH     DEFINED     10       5,500           0           0
CONSTELLATION BRANDS INC        COM   21036P108          41       1,300  SH     OTHER       10       1,300           0           0

CONSTAR INTL INC NEW            COM   21036U107          96      12,600  SH     DEFINED  01,08       5,100       7,500           0

CONSTELLATION ENERGY GROUP I    COM   210371100      32,184     938,303  SH     DEFINED     01     488,831     430,584      18,888
CONSTELLATION ENERGY GROUP I    COM   210371100         331       9,650  SH     OTHER       01       7,000       2,500         150
CONSTELLATION ENERGY GROUP I    COM   210371100          75       2,180  SH     DEFINED     02       1,600         580           0
CONSTELLATION ENERGY GROUP I    COM   210371100          10         300  SH     OTHER       02         300           0           0
CONSTELLATION ENERGY GROUP I    COM   210371100          10         300  SH     OTHER       03           0         300           0
CONSTELLATION ENERGY GROUP I    COM   210371100         334       9,731  SH     DEFINED     04       9,731           0           0
CONSTELLATION ENERGY GROUP I    COM   210371100         180       5,250  SH     OTHER       04       5,250           0           0
CONSTELLATION ENERGY GROUP I    COM   210371100          15         450  SH     OTHER    01,06           0           0         450
CONSTELLATION ENERGY GROUP I    COM   210371100      23,416     682,689  SH     DEFINED  01,08     618,644      64,045           0
CONSTELLATION ENERGY GROUP I    COM   210371100           8         229  SH     DEFINED     10         229           0           0

CONSUMER PORTFOLIO SVCS INC     COM   210502100          66      24,000  SH     DEFINED     01       2,200      21,800           0
CONSUMER PORTFOLIO SVCS INC     COM   210502100          81      29,400  SH     DEFINED  01,08       6,356      23,044           0

CONTINENTAL AIRLS INC           COM   210795308       2,107     140,720  SH     DEFINED     01      51,819      85,538       3,363
CONTINENTAL AIRLS INC           COM   210795308          67       4,450  SH     DEFINED     04       4,200           0         250
CONTINENTAL AIRLS INC           COM   210795308           0          12  SH     OTHER       04           9           0           3
CONTINENTAL AIRLS INC           COM   210795308       3,590     239,808  SH     DEFINED  01,08     145,408      94,400           0

CONVERA CORP                    COM   211919105         123      31,500  SH     DEFINED     01       7,200      24,300           0
CONVERA CORP                    COM   211919105         204      51,918  SH     DEFINED  01,08      13,407      38,511           0

CONVERGYS CORP                  COM   212485106      14,153     884,545  SH     DEFINED     01     476,636     387,095      20,814
CONVERGYS CORP                  COM   212485106         130       8,150  SH     OTHER       01           0       8,000         150
CONVERGYS CORP                  COM   212485106          77       4,800  SH     DEFINED     02           0       4,800           0
CONVERGYS CORP                  COM   212485106           7         454  SH     OTHER       02           0         454           0
CONVERGYS CORP                  COM   212485106           4         250  SH     DEFINED     03           0         250           0
CONVERGYS CORP                  COM   212485106          32       2,000  SH     DEFINED     04       2,000           0           0
CONVERGYS CORP                  COM   212485106           6         400  SH     OTHER    01,06           0           0         400
CONVERGYS CORP                  COM   212485106      10,950     684,401  SH     DEFINED  01,08     623,727      60,674           0
CONVERGYS CORP                  COM   212485106           0          30  SH     DEFINED     10          30           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    133
________

COOPER CAMERON CORP             COM   216640102       8,379     166,320  SH     DEFINED     01      61,003     102,436       2,881
COOPER CAMERON CORP             COM   216640102         186       3,690  SH     DEFINED     04       3,690           0           0
COOPER CAMERON CORP             COM   216640102          38         752  SH     OTHER       04         752           0           0
COOPER CAMERON CORP             COM   216640102          13         250  SH     DEFINED     05         250           0           0
COOPER CAMERON CORP             COM   216640102       7,161     142,138  SH     DEFINED  01,08     104,830      37,308           0

COOPER COS INC                  COM   216648402       5,653     162,590  SH     DEFINED     01     116,794      42,696       3,100
COOPER COS INC                  COM   216648402           2          70  SH     OTHER       02          70           0           0
COOPER COS INC                  COM   216648402          23         666  SH     DEFINED     04         666           0           0
COOPER COS INC                  COM   216648402           6         166  SH     OTHER       04         166           0           0
COOPER COS INC                  COM   216648402          21         600  SH     OTHER    01,06           0           0         600
COOPER COS INC                  COM   216648402       4,409     126,816  SH     DEFINED  01,08      53,795      73,021           0

COOPER TIRE & RUBR CO           COM   216831107       9,134     519,284  SH     DEFINED     01     316,214     196,878       6,192
COOPER TIRE & RUBR CO           COM   216831107           1          75  SH     OTHER       01           0           0          75
COOPER TIRE & RUBR CO           COM   216831107           1          50  SH     DEFINED     03           0          50           0
COOPER TIRE & RUBR CO           COM   216831107          26       1,475  SH     DEFINED     04       1,475           0           0
COOPER TIRE & RUBR CO           COM   216831107          53       3,000  SH     OTHER       04           0           0       3,000
COOPER TIRE & RUBR CO           COM   216831107           4         200  SH     OTHER    01,06           0           0         200
COOPER TIRE & RUBR CO           COM   216831107       4,997     284,075  SH     DEFINED  01,08     258,647      25,428           0
COOPER TIRE & RUBR CO           COM   216831107           0          12  SH     DEFINED     10          12           0           0

COORS ADOLPH CO                 COM   217016104       9,732     198,702  SH     DEFINED     01     102,884      92,660       3,158
COORS ADOLPH CO                 COM   217016104           5         100  SH     OTHER    01,06           0           0         100
COORS ADOLPH CO                 COM   217016104       6,025     123,014  SH     DEFINED  01,08     111,910      11,104           0
COORS ADOLPH CO                 COM   217016104           0           6  SH     DEFINED     10           6           0           0

COPART INC                      COM   217204106       3,818     404,011  SH     DEFINED     01     153,616     243,373       7,022
COPART INC                      COM   217204106          24       2,535  SH     OTHER       01           0       2,535           0
COPART INC                      COM   217204106          19       2,000  SH     DEFINED     02           0       2,000           0
COPART INC                      COM   217204106       1,987     210,232  SH     DEFINED  01,08     148,332      61,900           0

COPPER MTN NETWORKS INC         COM   217510205          64       5,950  SH     DEFINED     01       1,030       4,920           0
COPPER MTN NETWORKS INC         COM   217510205           1         130  SH     DEFINED     04         130           0           0
COPPER MTN NETWORKS INC         COM   217510205         111      10,244  SH     DEFINED  01,08       2,704       7,540           0
COPPER MTN NETWORKS INC         COM   217510205           0           5  SH     DEFINED     10           5           0           0

CORILLIAN CORP                  COM   218725109          62      36,400  SH     DEFINED     01       6,200      30,200           0
CORILLIAN CORP                  COM   218725109         110      64,878  SH     DEFINED  01,08       9,878      55,000           0

CORINTHIAN COLLEGES INC         COM   218868107       9,912     205,176  SH     DEFINED     01     114,676      79,650      10,850
CORINTHIAN COLLEGES INC         COM   218868107          19         400  SH     DEFINED     04         400           0           0
CORINTHIAN COLLEGES INC         COM   218868107       5,618     116,282  SH     DEFINED  01,08      72,100      44,182           0
CORINTHIAN COLLEGES INC         COM   218868107          10         200  SH     OTHER       10           0         200           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    134
________

CORIXA CORP                     COM   21887F100       1,221     157,737  SH     DEFINED     01      91,456      65,131       1,150
CORIXA CORP                     COM   21887F100           9       1,225  SH     OTHER       01           0           0       1,225
CORIXA CORP                     COM   21887F100           9       1,200  SH     OTHER       03           0       1,200           0
CORIXA CORP                     COM   21887F100         369      47,634  SH     DEFINED     04      47,634           0           0
CORIXA CORP                     COM   21887F100       1,565     202,194  SH     DEFINED  01,08     113,448      88,746           0

CORIO INC                       COM   218875102          69      43,399  SH     DEFINED     01      11,100      32,299           0
CORIO INC                       COM   218875102         125      78,100  SH     DEFINED  01,08      23,600      54,500           0

CORN PRODS INTL INC             COM   219023108       5,992     199,549  SH     DEFINED     01     142,515      53,634       3,400
CORN PRODS INTL INC             COM   219023108          49       1,645  SH     OTHER       01         470       1,175           0
CORN PRODS INTL INC             COM   219023108           8         275  SH     OTHER       02          75           0         200
CORN PRODS INTL INC             COM   219023108          64       2,125  SH     DEFINED     04       2,125           0           0
CORN PRODS INTL INC             COM   219023108          11         350  SH     OTHER       04         350           0           0
CORN PRODS INTL INC             COM   219023108          21         690  SH     OTHER    01,06           0           0         690
CORN PRODS INTL INC             COM   219023108       4,448     148,123  SH     DEFINED  01,08      83,437      64,686           0

CORNELL COMPANIES INC           COM   219141108       1,265      83,544  SH     DEFINED     01      66,844      15,900         800
CORNELL COMPANIES INC           COM   219141108         540      35,680  SH     DEFINED  01,08      11,694      23,986           0

CORNERSTONE RLTY INCOME TR I    COM   21922V102       1,202     164,393  SH     DEFINED     01      91,265      72,078       1,050
CORNERSTONE RLTY INCOME TR I    COM   21922V102           9       1,232  SH     DEFINED     04       1,232           0           0
CORNERSTONE RLTY INCOME TR I    COM   21922V102          66       9,090  SH     OTHER       04           0           0       9,090
CORNERSTONE RLTY INCOME TR I    COM   21922V102         983     134,429  SH     DEFINED  01,08      39,147      95,282           0

CORNING INC                     COM   219350105      53,132   7,189,666  SH     DEFINED     01   3,740,258   3,335,202     114,206
CORNING INC                     COM   219350105          19       2,625  SH     OTHER       01       1,300         300       1,025
CORNING INC                     COM   219350105           4         600  SH     DEFINED     02           0         600           0
CORNING INC                     COM   219350105          41       5,500  SH     OTHER       02       3,500       1,000       1,000
CORNING INC                     COM   219350105           3         450  SH     DEFINED     03           0         450           0
CORNING INC                     COM   219350105          66       8,880  SH     OTHER       03       8,880           0           0
CORNING INC                     COM   219350105         654      88,543  SH     DEFINED     04      88,543           0           0
CORNING INC                     COM   219350105         457      61,900  SH     OTHER       04      44,800           0      17,100
CORNING INC                     COM   219350105          23       3,100  SH     OTHER    01,06           0           0       3,100
CORNING INC                     COM   219350105      40,569   5,489,671  SH     DEFINED  01,08   4,990,054     499,617           0
CORNING INC                     COM   219350105          88      11,860  SH     DEFINED     10      11,860           0           0
CORNING INC                     COM   219350105           7       1,000  SH     OTHER       10           0       1,000           0

CORPORATE EXECUTIVE BRD CO      COM   21988R102       6,709     164,356  SH     DEFINED     01     119,877      42,479       2,000
CORPORATE EXECUTIVE BRD CO      COM   21988R102          31         765  SH     OTHER       01           0         765           0
CORPORATE EXECUTIVE BRD CO      COM   21988R102       3,525      86,357  SH     DEFINED  01,08      46,003      40,354           0

CORPORATE HIGH YIELD FD INC     UNDEF 219914108           0       5,376         DEFINED     01       5,376           0           0
CORPORATE HIGH YIELD FD INC     UNDEF 219914108           1       6,500         DEFINED     02       6,500           0           0
CORPORATE HIGH YIELD FD INC     UNDEF 219914108          59       6,636         DEFINED     04       6,636           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    135
________

CORRECTIONAL SVCS CORP          COM   219921103          82      27,640  SH     DEFINED     01       1,540      26,100           0
CORRECTIONAL SVCS CORP          COM   219921103          53      18,094  SH     DEFINED  01,08       5,086      13,008           0

CORPORATE HIGH YIELD FD III     UNDEF 219925104           1      17,489         DEFINED     01      17,489           0           0
CORPORATE HIGH YIELD FD III     UNDEF 219925104           0         913         DEFINED     03           0         913           0

CORPORATE HIGH YIELD FD V IN    UNDEF 219931102           1       5,003         DEFINED     01       5,003           0           0
CORPORATE HIGH YIELD FD V IN    UNDEF 219931102           2      12,700         OTHER       01           0      12,700           0

CORPORATE OFFICE PPTYS TR       COM   22002T108         931      54,979  SH     DEFINED     01      39,829      13,950       1,200
CORPORATE OFFICE PPTYS TR       COM   22002T108       1,396      82,467  SH     DEFINED  01,08      39,084      43,383           0

CORRECTIONAL PPTYS TR           COM   22025E104       1,017      36,313  SH     DEFINED     01      33,113       3,000         200
CORRECTIONAL PPTYS TR           COM   22025E104          28       1,000  SH     OTHER       02       1,000           0           0
CORRECTIONAL PPTYS TR           COM   22025E104          28       1,000  SH     DEFINED     04       1,000           0           0
CORRECTIONAL PPTYS TR           COM   22025E104         873      31,161  SH     DEFINED  01,08      17,900      13,261           0

CORRECTIONS CORP AMER NEW       COM   22025Y407       3,627     143,190  SH     DEFINED     01     123,510      17,799       1,881
CORRECTIONS CORP AMER NEW       COM   22025Y407           0           1  SH     DEFINED     04           1           0           0
CORRECTIONS CORP AMER NEW       COM   22025Y407       2,309      91,143  SH     DEFINED  01,08      37,526      53,617           0

CORRPRO COS INC                 COM   220317101           5      10,000  SH     DEFINED     01       1,100       8,900           0
CORRPRO COS INC                 COM   220317101           7      12,775  SH     DEFINED  01,08       3,475       9,300           0

CORTEX PHARMACEUTICALS INC      COM   220524300          59      33,000  SH     DEFINED     01       3,200      29,800           0
CORTEX PHARMACEUTICALS INC      COM   220524300           9       5,040  SH     DEFINED  01,08       3,062       1,978           0

CORUS BANKSHARES INC            COM   220873103       1,755      36,459  SH     DEFINED     01      19,229      17,030         200
CORUS BANKSHARES INC            COM   220873103       2,220      46,130  SH     DEFINED  01,08      13,875      32,255           0

CORVAS INTL INC                 COM   221005101          77      28,500  SH     DEFINED     01       5,500      23,000           0
CORVAS INTL INC                 COM   221005101         133      49,405  SH     DEFINED  01,08      12,996      36,409           0

CORVEL CORP                     COM   221006109       1,001      27,804  SH     DEFINED     01      14,378      13,276         150
CORVEL CORP                     COM   221006109         924      25,670  SH     DEFINED  01,08       6,803      18,867           0

CORVIS CORP                     COM   221009103         106      73,200  SH     DEFINED     01      73,200           0           0
CORVIS CORP                     COM   221009103          29      20,000  SH     DEFINED     04      20,000           0           0
CORVIS CORP                     COM   221009103           0          80  SH     OTHER       04          80           0           0
CORVIS CORP                     COM   221009103         640     441,115  SH     DEFINED  01,08     240,000     201,115           0
CORVIS CORP                     COM   221009103           1       1,000  SH     DEFINED     10       1,000           0           0

COSINE COMMUNICATIONS INC       COM   221222607          63      10,430  SH     DEFINED     01       2,060       8,370           0
COSINE COMMUNICATIONS INC       COM   221222607         109      17,910  SH     DEFINED  01,08       4,720      13,190           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    136
________

COST PLUS INC CALIF             COM   221485105       3,144      88,132  SH     DEFINED     01      41,165      35,367      11,600
COST PLUS INC CALIF             COM   221485105          40       1,125  SH     OTHER       01           0       1,125           0
COST PLUS INC CALIF             COM   221485105          13         372  SH     DEFINED     02         372           0           0
COST PLUS INC CALIF             COM   221485105          15         425  SH     OTHER    01,06           0           0         425
COST PLUS INC CALIF             COM   221485105       3,628     101,708  SH     DEFINED  01,08      65,526      36,182           0

COSTCO WHSL CORP NEW            COM   22160K105     113,444   3,099,561  SH     DEFINED     01   1,772,996   1,259,284      67,281
COSTCO WHSL CORP NEW            COM   22160K105       2,164      59,115  SH     OTHER       01      22,949      35,386         780
COSTCO WHSL CORP NEW            COM   22160K105       4,543     124,118  SH     DEFINED     02      82,578      36,425       5,115
COSTCO WHSL CORP NEW            COM   22160K105       1,701      46,475  SH     OTHER       02      20,105      23,970       2,400
COSTCO WHSL CORP NEW            COM   22160K105       5,826     159,177  SH     DEFINED     03      87,767      58,044      13,366
COSTCO WHSL CORP NEW            COM   22160K105       2,438      66,620  SH     OTHER       03      52,248       9,222       5,150
COSTCO WHSL CORP NEW            COM   22160K105      18,287     499,636  SH     DEFINED     04     492,111           0       7,525
COSTCO WHSL CORP NEW            COM   22160K105       5,736     156,714  SH     OTHER       04     139,414           0      17,300
COSTCO WHSL CORP NEW            COM   22160K105         265       7,240  SH     DEFINED     05       5,730         935         575
COSTCO WHSL CORP NEW            COM   22160K105          42       1,150  SH     OTHER    01,06           0           0       1,150
COSTCO WHSL CORP NEW            COM   22160K105      75,312   2,057,698  SH     DEFINED  01,08   1,880,953     176,745           0
COSTCO WHSL CORP NEW            COM   22160K105       2,735      74,731  SH     DEFINED     10      44,181         650      29,900
COSTCO WHSL CORP NEW            COM   22160K105         578      15,795  SH     OTHER       10      10,805       3,965       1,025

COSTAR GROUP INC                COM   22160N109       1,387      46,734  SH     DEFINED     01      28,306      17,678         750
COSTAR GROUP INC                COM   22160N109       1,130      38,082  SH     DEFINED  01,08      12,832      25,250           0

COTTON STS LIFE INS CO          COM   221774102          80       7,900  SH     DEFINED     01       1,300       6,600           0
COTTON STS LIFE INS CO          COM   221774102         112      11,064  SH     DEFINED  01,08       2,738       8,326           0

COUNTRYWIDE FINANCIAL CORP      COM   222372104      50,823     730,529  SH     DEFINED     01     370,258     348,621      11,650
COUNTRYWIDE FINANCIAL CORP      COM   222372104          73       1,050  SH     OTHER       01         900           0         150
COUNTRYWIDE FINANCIAL CORP      COM   222372104          61         879  SH     DEFINED     02         788           0          91
COUNTRYWIDE FINANCIAL CORP      COM   222372104          14         200  SH     OTHER       02         200           0           0
COUNTRYWIDE FINANCIAL CORP      COM   222372104           3          50  SH     DEFINED     03           0          50           0
COUNTRYWIDE FINANCIAL CORP      COM   222372104          87       1,250  SH     OTHER       03       1,250           0           0
COUNTRYWIDE FINANCIAL CORP      COM   222372104       2,132      30,642  SH     DEFINED     04      30,642           0           0
COUNTRYWIDE FINANCIAL CORP      COM   222372104          21         300  SH     OTHER    01,06           0           0         300
COUNTRYWIDE FINANCIAL CORP      COM   222372104      36,930     530,832  SH     DEFINED  01,08     482,681      48,151           0
COUNTRYWIDE FINANCIAL CORP      COM   222372104         173       2,489  SH     DEFINED     10       1,394           0       1,095
COUNTRYWIDE FINANCIAL CORP      COM   222372104         111       1,596  SH     OTHER       10       1,596           0           0

COURIER CORP                    COM   222660102         753      14,625  SH     DEFINED     01       9,225       5,200         200
COURIER CORP                    COM   222660102         781      15,162  SH     DEFINED  01,08       3,240      11,922           0

COUSINS PPTYS INC               COM   222795106       1,239      44,398  SH     DEFINED     01      27,751      14,733       1,914
COUSINS PPTYS INC               COM   222795106         558      20,000  SH     OTHER       04      20,000           0           0
COUSINS PPTYS INC               COM   222795106       3,262     116,924  SH     DEFINED  01,08      50,338      66,586           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    137
________

COVANSYS CORP                   COM   22281W103         297      92,678  SH     DEFINED     01      38,313      53,915         450
COVANSYS CORP                   COM   22281W103         187      58,297  SH     DEFINED  01,08      12,636      45,661           0

COVALENT GROUP INC              COM   222815102           6       2,500  SH     DEFINED     01       2,500           0           0
COVALENT GROUP INC              COM   222815102          48      21,195  SH     DEFINED  01,08       4,995      16,200           0

COVANCE INC                     COM   222816100       5,272     291,266  SH     DEFINED     01     160,249     119,407      11,610
COVANCE INC                     COM   222816100          72       4,000  SH     DEFINED     03           0           0       4,000
COVANCE INC                     COM   222816100          70       3,845  SH     DEFINED     04       3,845           0           0
COVANCE INC                     COM   222816100       3,296     182,072  SH     DEFINED  01,08     116,360      65,712           0

COVENANT TRANS INC              COM   22284P105         562      32,774  SH     DEFINED     01      15,868      16,756         150
COVENANT TRANS INC              COM   22284P105         476      27,710  SH     DEFINED  01,08       9,088      18,622           0

COVENTRY HEALTH CARE INC        COM   222862104       9,645     208,945  SH     DEFINED     01      96,664     107,922       4,359
COVENTRY HEALTH CARE INC        COM   222862104       5,944     128,773  SH     DEFINED  01,08      88,970      39,803           0

COVEST BANCSHARES INC           COM   223032103         101       4,100  SH     DEFINED     01         600       3,500           0
COVEST BANCSHARES INC           COM   223032103         176       7,100  SH     DEFINED  01,08       1,550       5,550           0

COVISTA COMMUNICATIONS INC      COM   223574104           5       1,627  SH     DEFINED     01       1,627           0           0
COVISTA COMMUNICATIONS INC      COM   223574104          48      15,396  SH     DEFINED  01,08       5,862       9,534           0

COX COMMUNICATIONS INC NEW      COM   224044107      11,426     358,167  SH     DEFINED     01     261,792      87,432       8,943
COX COMMUNICATIONS INC NEW      COM   224044107          19         600  SH     DEFINED     03         600           0           0
COX COMMUNICATIONS INC NEW      COM   224044107          32       1,000  SH     DEFINED     04       1,000           0           0
COX COMMUNICATIONS INC NEW      COM   224044107         746      23,400  SH     OTHER       04      23,400           0           0
COX COMMUNICATIONS INC NEW      COM   224044107      24,751     775,890  SH     DEFINED  01,08     401,686     374,204           0
COX COMMUNICATIONS INC NEW      COM   224044107          37       1,145  SH     DEFINED     10       1,145           0           0

COX RADIO INC                   COM   224051102         935      40,480  SH     DEFINED     01      25,145      13,877       1,458
COX RADIO INC                   COM   224051102           4         179  SH     DEFINED     03         179           0           0
COX RADIO INC                   COM   224051102          23       1,000  SH     OTHER       04       1,000           0           0
COX RADIO INC                   COM   224051102       2,902     125,578  SH     DEFINED  01,08      55,243      70,335           0

CP SHIPS LTD                    COM   22409V102         885      52,900  SH     DEFINED     01      52,900           0           0
CP SHIPS LTD                    COM   22409V102          62       3,725  SH     OTHER       01           0       3,725           0
CP SHIPS LTD                    COM   22409V102          12         737  SH     DEFINED     03         737           0           0
CP SHIPS LTD                    COM   22409V102           3         150  SH     OTHER       04         150           0           0

CRAFTMADE INTL INC              COM   22413E104         214      11,900  SH     DEFINED     01           0      11,900           0
CRAFTMADE INTL INC              COM   22413E104         173       9,600  SH     DEFINED  01,08       2,350       7,250           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    138
________

CRANE CO                        COM   224399105       7,549     333,587  SH     DEFINED     01     177,168     151,240       5,179
CRANE CO                        COM   224399105         123       5,419  SH     OTHER       01       4,969         400          50
CRANE CO                        COM   224399105          81       3,581  SH     OTHER       02           0       3,581           0
CRANE CO                        COM   224399105           1          50  SH     DEFINED     03           0          50           0
CRANE CO                        COM   224399105         192       8,500  SH     DEFINED     04       8,500           0           0
CRANE CO                        COM   224399105         204       9,019  SH     OTHER       04       9,019           0           0
CRANE CO                        COM   224399105           2         100  SH     OTHER    01,06           0           0         100
CRANE CO                        COM   224399105       4,812     212,657  SH     DEFINED  01,08     190,357      22,300           0
CRANE CO                        COM   224399105           0          11  SH     DEFINED     10          11           0           0

CRAWFORD & CO                   COM   224633107         575     117,121  SH     DEFINED     01      57,785      57,636       1,700
CRAWFORD & CO                   COM   224633107         625     127,243  SH     DEFINED  01,08      52,338      74,905           0

CREDIT SUISSE ASSET MGMT INC    UNDEF 224916106           0       1,000         OTHER       01       1,000           0           0
CREDIT SUISSE ASSET MGMT INC    UNDEF 224916106           0       9,000         DEFINED     02       9,000           0           0

CRAY INC                        COM   225223106       1,585     200,644  SH     DEFINED     01     122,044      75,600       3,000
CRAY INC                        COM   225223106       2,028     256,717  SH     DEFINED  01,08     146,263     110,454           0

CREDENCE SYS CORP               COM   225302108       2,663     309,966  SH     DEFINED     01     153,120     153,046       3,800
CREDENCE SYS CORP               COM   225302108           1         112  SH     DEFINED     02           0           0         112
CREDENCE SYS CORP               COM   225302108           2         200  SH     DEFINED     04         200           0           0
CREDENCE SYS CORP               COM   225302108       1,605     186,882  SH     DEFINED  01,08     117,829      69,053           0

CREDIT ACCEP CORP MICH          COM   225310101       1,505     150,532  SH     DEFINED     01     100,309      50,023         200
CREDIT ACCEP CORP MICH          COM   225310101       1,029     102,890  SH     DEFINED  01,08      35,019      67,871           0

CREDO PETE CORP                 COM   225439207          52       3,960  SH     DEFINED     01         840       3,120           0
CREDO PETE CORP                 COM   225439207         136      10,301  SH     DEFINED  01,08       1,779       8,522           0

CREDIT SUISSE HIGH YLD BND F    UNDEF 22544F103           1      11,800         DEFINED     03           0      11,800           0
CREDIT SUISSE HIGH YLD BND F    UNDEF 22544F103           5       1,109         OTHER       04       1,109           0           0

CREE INC                        COM   225447101       5,396     332,067  SH     DEFINED     01     184,054     143,063       4,950
CREE INC                        COM   225447101           2         115  SH     DEFINED     03           0           0         115
CREE INC                        COM   225447101      10,621     653,626  SH     DEFINED     04     653,626           0           0
CREE INC                        COM   225447101         184      11,320  SH     OTHER       04      11,320           0           0
CREE INC                        COM   225447101       3,397     209,028  SH     DEFINED  01,08     127,400      81,628           0
CREE INC                        COM   225447101           6         395  SH     DEFINED     10         200           0         195

CRESCENT REAL ESTATE EQUITIE    COM   225756105       1,793     107,945  SH     DEFINED     01      72,144      31,865       3,936
CRESCENT REAL ESTATE EQUITIE    COM   225756105          37       2,200  SH     DEFINED     02       2,200           0           0
CRESCENT REAL ESTATE EQUITIE    COM   225756105         180      10,847  SH     DEFINED     04      10,847           0           0
CRESCENT REAL ESTATE EQUITIE    COM   225756105          34       2,025  SH     OTHER       04         500           0       1,525
CRESCENT REAL ESTATE EQUITIE    COM   225756105       3,691     222,222  SH     DEFINED  01,08     153,112      69,110           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    139
________

CRIIMI MAE INC                  COM   226603504          56       5,138  SH     DEFINED     01       2,338       2,800           0
CRIIMI MAE INC                  COM   226603504          26       2,343  SH     OTHER       04       2,343           0           0
CRIIMI MAE INC                  COM   226603504         138      12,620  SH     DEFINED  01,08       7,320       5,300           0
CRIIMI MAE INC                  COM   226603504           0          12  SH     DEFINED     10          12           0           0

CRITICAL PATH INC               COM   22674V100          63      63,728  SH     DEFINED     01      15,228      48,500           0
CRITICAL PATH INC               COM   22674V100           0         300  SH     OTHER       01           0         300           0
CRITICAL PATH INC               COM   22674V100          50      50,100  SH     DEFINED  01,08      34,000      16,100           0

CRITICARE SYS INC               COM   226901106          42      13,400  SH     DEFINED     01       2,100      11,300           0
CRITICARE SYS INC               COM   226901106          90      28,770  SH     DEFINED  01,08       5,238      23,532           0

CROMPTON CORP                   COM   227116100       4,150     588,658  SH     DEFINED     01     284,082     295,976       8,600
CROMPTON CORP                   COM   227116100       2,480     351,711  SH     DEFINED  01,08     221,061     130,650           0

CROSS A T CO                    COM   227478104         163      27,500  SH     DEFINED     01      13,700      13,300         500
CROSS A T CO                    COM   227478104          12       2,000  SH     OTHER       03           0       2,000           0
CROSS A T CO                    COM   227478104           2         300  SH     OTHER    01,06           0           0         300
CROSS A T CO                    COM   227478104         233      39,162  SH     DEFINED  01,08      18,734      20,428           0

CROSS CTRY HEALTHCARE INC       COM   227483104       1,411     107,239  SH     DEFINED     01      68,289      37,100       1,850
CROSS CTRY HEALTHCARE INC       COM   227483104       1,189      90,359  SH     DEFINED  01,08      31,034      59,325           0

CROSS MEDIA MARKETING CORP      COM   22754R201           7      28,737  SH     DEFINED     01      15,807      12,730         200
CROSS MEDIA MARKETING CORP      COM   22754R201           3      14,180  SH     DEFINED  01,08       4,016      10,164           0

CROSSROADS SYS INC              COM   22765D100          45      26,900  SH     DEFINED     01       5,500      21,400           0
CROSSROADS SYS INC              COM   22765D100           4       2,500  SH     DEFINED     04       2,500           0           0
CROSSROADS SYS INC              COM   22765D100          75      44,328  SH     DEFINED  01,08      11,528      32,800           0

CROWN AMERN RLTY TR             COM   228186102       1,018      94,760  SH     DEFINED     01      60,239      32,361       2,160
CROWN AMERN RLTY TR             COM   228186102         430      40,000  SH     DEFINED     04      40,000           0           0
CROWN AMERN RLTY TR             COM   228186102         961      89,472  SH     DEFINED  01,08      63,963      25,509           0
CROWN AMERN RLTY TR             COM   228186102         215      20,000  SH     DEFINED     10           0      20,000           0

CROWN CASTLE INTL CORP          COM   228227104       4,193     539,671  SH     DEFINED     01     420,000     107,221      12,450
CROWN CASTLE INTL CORP          COM   228227104          39       5,000  SH     OTHER       01       5,000           0           0
CROWN CASTLE INTL CORP          COM   228227104           0          14  SH     DEFINED     04          14           0           0
CROWN CASTLE INTL CORP          COM   228227104       3,339     429,763  SH     DEFINED  01,08     186,814     242,949           0

CROWN HOLDINGS INC              COM   228368106       3,921     549,128  SH     DEFINED     01     322,232     219,366       7,530
CROWN HOLDINGS INC              COM   228368106       3,852     539,521  SH     DEFINED  01,08     233,837     305,684           0
CROWN HOLDINGS INC              COM   228368106           6         842  SH     DEFINED     10         842           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    140
________

CROWN MEDIA HLDGS INC           COM   228411104         412     101,586  SH     DEFINED     01      62,683      37,253       1,650
CROWN MEDIA HLDGS INC           COM   228411104         533     131,231  SH     DEFINED  01,08      40,510      90,721           0

CRYO-CELL INTL INC              COM   228895108           1       1,200  SH     DEFINED     01       1,200           0           0
CRYO-CELL INTL INC              COM   228895108          20      19,814  SH     DEFINED  01,08       2,714      17,100           0

CRYOLIFE INC                    COM   228903100       1,409     136,180  SH     DEFINED     01     111,529      22,951       1,700
CRYOLIFE INC                    COM   228903100          41       3,915  SH     DEFINED     04       3,915           0           0
CRYOLIFE INC                    COM   228903100           4         400  SH     OTHER    01,06           0           0         400
CRYOLIFE INC                    COM   228903100         784      75,769  SH     DEFINED  01,08      41,541      34,228           0

CTI MOLECULAR IMAGING INC       COM   22943D105         808      43,300  SH     DEFINED     01       8,200      35,100           0
CTI MOLECULAR IMAGING INC       COM   22943D105           2          95  SH     DEFINED     03           0           0          95
CTI MOLECULAR IMAGING INC       COM   22943D105       1,539      82,500  SH     DEFINED  01,08      26,000      56,500           0

CUBIC CORP                      COM   229669106       1,494      67,236  SH     DEFINED     01      35,198      31,038       1,000
CUBIC CORP                      COM   229669106          67       3,000  SH     OTHER       04       3,000           0           0
CUBIC CORP                      COM   229669106          11         500  SH     OTHER    01,06           0           0         500
CUBIC CORP                      COM   229669106       2,820     126,892  SH     DEFINED  01,08      66,485      60,407           0

CUBIST PHARMACEUTICALS INC      COM   229678107       1,046      96,874  SH     DEFINED     01      60,628      34,646       1,600
CUBIST PHARMACEUTICALS INC      COM   229678107           2         200  SH     DEFINED     04         200           0           0
CUBIST PHARMACEUTICALS INC      COM   229678107         664      61,499  SH     DEFINED  01,08      48,139      13,360           0

CULLEN FROST BANKERS INC        COM   229899109       2,181      67,937  SH     DEFINED     01      42,480      20,766       4,691
CULLEN FROST BANKERS INC        COM   229899109          31         956  SH     DEFINED     02         800           0         156
CULLEN FROST BANKERS INC        COM   229899109          10         300  SH     OTHER       02         300           0           0
CULLEN FROST BANKERS INC        COM   229899109          96       3,000  SH     OTHER       05           0       3,000           0
CULLEN FROST BANKERS INC        COM   229899109          32       1,000  SH     OTHER    01,06           0           0       1,000
CULLEN FROST BANKERS INC        COM   229899109       5,109     159,158  SH     DEFINED  01,08     122,161      36,997           0

CULP INC                        COM   230215105         220      31,939  SH     DEFINED     01      18,089      13,700         150
CULP INC                        COM   230215105         224      32,512  SH     DEFINED  01,08       5,236      27,276           0

CUMMINS INC                     COM   231021106       8,805     245,323  SH     DEFINED     01     131,541     105,946       7,836
CUMMINS INC                     COM   231021106           2          50  SH     OTHER       01           0           0          50
CUMMINS INC                     COM   231021106          16         434  SH     OTHER       04         434           0           0
CUMMINS INC                     COM   231021106           4         100  SH     OTHER    01,06           0           0         100
CUMMINS INC                     COM   231021106       5,715     159,229  SH     DEFINED  01,08     143,029      16,200           0
CUMMINS INC                     COM   231021106           4         117  SH     DEFINED     10         117           0           0

CUMULUS MEDIA INC               COM   231082108       2,375     126,548  SH     DEFINED     01      55,451      52,989      18,108
CUMULUS MEDIA INC               COM   231082108       3,118     166,099  SH     DEFINED  01,08      96,999      69,100           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    141
________

CURAGEN CORP                    COM   23126R101         792     149,063  SH     DEFINED     01     100,130      46,383       2,550
CURAGEN CORP                    COM   23126R101         783     147,384  SH     DEFINED  01,08      62,121      85,263           0

CURATIVE HEALTH SVCS INC        COM   231264102       1,023      60,473  SH     DEFINED     01      43,723      16,100         650
CURATIVE HEALTH SVCS INC        COM   231264102           4         225  SH     OTHER    01,06           0           0         225
CURATIVE HEALTH SVCS INC        COM   231264102       1,365      80,712  SH     DEFINED  01,08      57,851      22,861           0

CURIS INC                       COM   231269101         111      30,200  SH     DEFINED     01       3,550      26,650           0
CURIS INC                       COM   231269101         209      56,982  SH     DEFINED  01,08      14,863      42,119           0

CURON MED INC                   COM   231292103          25      21,600  SH     DEFINED     01       3,800      17,800           0
CURON MED INC                   COM   231292103          30      25,800  SH     DEFINED  01,08       3,500      22,300           0

CURTISS WRIGHT CORP             COM   231561101       2,269      35,901  SH     DEFINED     01      21,316      14,385         200
CURTISS WRIGHT CORP             COM   231561101          13         200  SH     OTHER    01,06           0           0         200
CURTISS WRIGHT CORP             COM   231561101       3,462      54,771  SH     DEFINED  01,08      31,655      23,116           0

CUTTER & BUCK INC               COM   232217109          52      10,200  SH     DEFINED     01       1,900       8,300           0
CUTTER & BUCK INC               COM   232217109          97      19,111  SH     DEFINED  01,08       5,159      13,952           0

CYANOTECH CORP                  COM   232437202           2       2,900  SH     DEFINED     01       2,900           0           0
CYANOTECH CORP                  COM   232437202         364     700,000  SH     DEFINED     03           0     700,000           0
CYANOTECH CORP                  COM   232437202         208     400,000  SH     OTHER       03           0           0     400,000
CYANOTECH CORP                  COM   232437202           1       2,317  SH     DEFINED  01,08       2,317           0           0

CYBERSOURCE CORP                COM   23251J106         138      50,500  SH     DEFINED     01       5,000      45,500           0
CYBERSOURCE CORP                COM   23251J106         158      57,528  SH     DEFINED  01,08      15,128      42,400           0

CYBERONICS INC                  COM   23251P102       1,599      74,161  SH     DEFINED     01      46,145      26,916       1,100
CYBERONICS INC                  COM   23251P102       2,201     102,081  SH     DEFINED  01,08      63,496      38,585           0

CYBEROPTICS CORP                COM   232517102          59       8,900  SH     DEFINED     01       1,550       7,350           0
CYBEROPTICS CORP                COM   232517102          98      14,687  SH     DEFINED  01,08       3,873      10,814           0

CYBEX INTL INC                  COM   23252E106          10       6,900  SH     DEFINED     01           0       6,900           0
CYBEX INTL INC                  COM   23252E106          24      17,100  SH     DEFINED  01,08       3,540      13,560           0

CYMER INC                       COM   232572107       3,103      96,765  SH     DEFINED     01      43,468      42,748      10,549
CYMER INC                       COM   232572107          82       2,545  SH     DEFINED     04       2,545           0           0
CYMER INC                       COM   232572107          21         650  SH     OTHER    01,06           0           0         650
CYMER INC                       COM   232572107       3,862     120,437  SH     DEFINED  01,08      70,964      49,473           0

CYPRESS BIOSCIENCES INC         COM   232674507          22       5,125  SH     DEFINED     01       1,225       3,900           0
CYPRESS BIOSCIENCES INC         COM   232674507         124      28,642  SH     DEFINED  01,08       6,627      22,015           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    142
________

CYPRESS SEMICONDUCTOR CORP      COM   232806109       4,860     405,033  SH     DEFINED     01     151,443     245,190       8,400
CYPRESS SEMICONDUCTOR CORP      COM   232806109          11         900  SH     DEFINED     04         900           0           0
CYPRESS SEMICONDUCTOR CORP      COM   232806109          26       2,190  SH     OTHER       04         200           0       1,990
CYPRESS SEMICONDUCTOR CORP      COM   232806109       3,491     290,923  SH     DEFINED  01,08     203,372      87,551           0

CYSIVE INC                      COM   23281T108          70      21,865  SH     DEFINED     01       5,600      16,265           0
CYSIVE INC                      COM   23281T108         159      49,407  SH     DEFINED  01,08      13,107      36,300           0

CYTEC INDS INC                  COM   232820100       6,160     182,256  SH     DEFINED     01      98,453      81,303       2,500
CYTEC INDS INC                  COM   232820100           7         200  SH     DEFINED     02         200           0           0
CYTEC INDS INC                  COM   232820100           6         171  SH     OTHER       04         171           0           0
CYTEC INDS INC                  COM   232820100       3,409     100,865  SH     DEFINED  01,08      55,511      45,354           0

CYTOGEN CORP                    COM   232824300          60       7,240  SH     DEFINED     01       1,570       5,670           0
CYTOGEN CORP                    COM   232824300         129      15,447  SH     DEFINED  01,08       4,212      11,235           0

D & E COMMUNICATIONS INC        COM   232860106         177      15,600  SH     DEFINED     01       2,668      12,932           0
D & E COMMUNICATIONS INC        COM   232860106         263      23,182  SH     DEFINED  01,08       9,951      13,231           0

D & K HEALTHCARE RES INC        COM   232861104       1,325      82,101  SH     DEFINED     01      64,101      17,200         800
D & K HEALTHCARE RES INC        COM   232861104          44       2,712  SH     OTHER       01       2,712           0           0
D & K HEALTHCARE RES INC        COM   232861104       1,194      73,975  SH     DEFINED  01,08      47,956      26,019           0

CYTYC CORP                      COM   232946103       3,841     364,078  SH     DEFINED     01     137,759     219,919       6,400
CYTYC CORP                      COM   232946103         296      28,080  SH     OTHER       01           0           0      28,080
CYTYC CORP                      COM   232946103          11       1,042  SH     DEFINED     02       1,042           0           0
CYTYC CORP                      COM   232946103          46       4,365  SH     DEFINED     04       4,365           0           0
CYTYC CORP                      COM   232946103       3,299     312,656  SH     DEFINED  01,08     230,956      81,700           0

DHB INDS INC                    COM   23321E103         297      72,686  SH     DEFINED     01      37,686      34,600         400
DHB INDS INC                    COM   23321E103         375      91,722  SH     DEFINED  01,08      28,802      62,920           0

DMI FURNITURE INC               COM   233230101           4       1,600  SH     DEFINED     01         500       1,100           0
DMI FURNITURE INC               COM   233230101          23      10,000  SH     DEFINED     04      10,000           0           0
DMI FURNITURE INC               COM   233230101          25      10,893  SH     DEFINED  01,08       1,992       8,901           0

DJ ORTHOPEDICS INC              COM   23325G104         120      10,905  SH     DEFINED     01       7,005       3,700         200
DJ ORTHOPEDICS INC              COM   23325G104         399      36,441  SH     DEFINED  01,08       8,400      28,041           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    143
________

DNP SELECT INCOME FD            COM   23325P104          90       8,262  SH     DEFINED     01       6,485       1,777           0
DNP SELECT INCOME FD            COM   23325P104          39       3,610  SH     OTHER       01       2,520       1,090           0
DNP SELECT INCOME FD            COM   23325P104          27       2,500  SH     DEFINED     02       2,500           0           0
DNP SELECT INCOME FD            COM   23325P104          25       2,256  SH     OTHER       02           0       2,256           0
DNP SELECT INCOME FD            COM   23325P104         457      42,087  SH     DEFINED     04      13,277           0      28,810
DNP SELECT INCOME FD            COM   23325P104         167      15,320  SH     OTHER       04      15,320           0           0
DNP SELECT INCOME FD            COM   23325P104          27       2,500  SH     OTHER       10       2,500           0           0

DPAC TECHNOLOGIES CORP          COM   233269109          23      19,500  SH     DEFINED     01       3,900      15,600           0
DPAC TECHNOLOGIES CORP          COM   233269109          40      32,963  SH     DEFINED  01,08       6,069      26,894           0

DQE INC                         COM   23329J104       5,255     348,702  SH     DEFINED     01     182,553     160,899       5,250
DQE INC                         COM   23329J104          23       1,500  SH     OTHER       01           0           0       1,500
DQE INC                         COM   23329J104           7         480  SH     DEFINED     03         480           0           0
DQE INC                         COM   23329J104         879      58,333  SH     DEFINED     04      58,333           0           0
DQE INC                         COM   23329J104          45       3,000  SH     OTHER       04           0           0       3,000
DQE INC                         COM   23329J104       2,916     193,488  SH     DEFINED  01,08     109,073      84,415           0

DPL INC                         COM   233293109       6,612     414,828  SH     DEFINED     01     160,145     246,359       8,324
DPL INC                         COM   233293109           5         337  SH     OTHER       01           0         337           0
DPL INC                         COM   233293109          31       1,959  SH     OTHER       02       1,400         559           0
DPL INC                         COM   233293109          65       4,050  SH     OTHER       03           0       4,050           0
DPL INC                         COM   233293109         125       7,869  SH     DEFINED     04       7,369           0         500
DPL INC                         COM   233293109         144       9,037  SH     OTHER       04       9,037           0           0
DPL INC                         COM   233293109       4,799     301,088  SH     DEFINED  01,08     209,282      91,806           0
DPL INC                         COM   233293109          14         900  SH     DEFINED     10           0         900           0
DPL INC                         COM   233293109          65       4,100  SH     OTHER       10       4,100           0           0

DRS TECHNOLOGIES INC            COM   23330X100       2,131      76,330  SH     DEFINED     01      46,261      29,169         900
DRS TECHNOLOGIES INC            COM   23330X100          31       1,100  SH     OTHER       04       1,100           0           0
DRS TECHNOLOGIES INC            COM   23330X100          13         450  SH     OTHER    01,06           0           0         450
DRS TECHNOLOGIES INC            COM   23330X100       3,129     112,060  SH     DEFINED  01,08      72,212      39,848           0

D R HORTON INC                  COM   23331A109      12,753     453,843  SH     DEFINED     01     167,300     275,579      10,964
D R HORTON INC                  COM   23331A109          13         450  SH     OTHER       02           0         450           0
D R HORTON INC                  COM   23331A109          11         400  SH     OTHER       04         400           0           0
D R HORTON INC                  COM   23331A109       8,396     298,782  SH     DEFINED  01,08     197,270     101,512           0
D R HORTON INC                  COM   23331A109          30       1,082  SH     DEFINED     10       1,082           0           0

DSP GROUP INC                   COM   23332B106       2,008      92,292  SH     DEFINED     01      56,164      33,538       2,590
DSP GROUP INC                   COM   23332B106          11         525  SH     OTHER    01,06           0           0         525
DSP GROUP INC                   COM   23332B106       2,973     136,648  SH     DEFINED  01,08      86,338      50,310           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    144
________

DST SYS INC DEL                 COM   233326107      14,471     380,813  SH     DEFINED     01     143,690     231,411       5,712
DST SYS INC DEL                 COM   233326107          15         400  SH     DEFINED     03           0           0         400
DST SYS INC DEL                 COM   233326107          15         400  SH     DEFINED     04         250           0         150
DST SYS INC DEL                 COM   233326107      11,324     297,991  SH     DEFINED  01,08     213,808      84,183           0

DT INDUSTRIES INC               COM   23333J108         110      47,700  SH     DEFINED     01       2,100      45,600           0
DT INDUSTRIES INC               COM   23333J108          68      29,234  SH     DEFINED  01,08       9,491      19,743           0

DTE ENERGY CO                   COM   233331107      37,377     967,313  SH     DEFINED     01     508,073     446,795      12,445
DTE ENERGY CO                   COM   233331107         730      18,882  SH     OTHER       01       1,000      16,414       1,468
DTE ENERGY CO                   COM   233331107          32         832  SH     DEFINED     02         784           0          48
DTE ENERGY CO                   COM   233331107          25         650  SH     DEFINED     03           0         650           0
DTE ENERGY CO                   COM   233331107          29         742  SH     OTHER       03         742           0           0
DTE ENERGY CO                   COM   233331107         182       4,714  SH     DEFINED     04       4,714           0           0
DTE ENERGY CO                   COM   233331107          90       2,337  SH     OTHER       04       2,337           0           0
DTE ENERGY CO                   COM   233331107          15         400  SH     OTHER    01,06           0           0         400
DTE ENERGY CO                   COM   233331107      28,191     729,575  SH     DEFINED  01,08     666,526      63,049           0
DTE ENERGY CO                   COM   233331107         168       4,347  SH     DEFINED     10       3,829           0         518
DTE ENERGY CO                   COM   233331107         229       5,915  SH     OTHER       10         975       4,940           0

DVI INC                         COM   233343102         260      55,727  SH     DEFINED     01      35,234      20,193         300
DVI INC                         COM   233343102         194      41,593  SH     DEFINED  01,08      14,280      27,313           0

DADE BEHRING HLDGS INC          COM   23342J206         203       9,000  SH     DEFINED     01       8,200         800           0
DADE BEHRING HLDGS INC          COM   23342J206         862      38,105  SH     DEFINED  01,08      30,000       8,105           0

DAKTRONICS INC                  COM   234264109       1,943     119,501  SH     DEFINED     01      90,357      28,344         800
DAKTRONICS INC                  COM   234264109         869      53,459  SH     DEFINED  01,08      21,992      31,467           0

DAN RIV INC GA                  COM   235774106         173      64,200  SH     DEFINED     01      45,500      18,700           0
DAN RIV INC GA                  COM   235774106          96      35,772  SH     DEFINED  01,08       9,472      26,300           0

DANA CORP                       COM   235811106       9,999     865,000  SH     DEFINED     01     464,731     385,914      14,355
DANA CORP                       COM   235811106           1         125  SH     OTHER       01           0           0         125
DANA CORP                       COM   235811106           1          95  SH     DEFINED     02          95           0           0
DANA CORP                       COM   235811106          11         950  SH     DEFINED     03         700         250           0
DANA CORP                       COM   235811106          51       4,450  SH     DEFINED     04       4,450           0           0
DANA CORP                       COM   235811106           2         200  SH     OTHER       04           0           0         200
DANA CORP                       COM   235811106           5         400  SH     OTHER    01,06           0           0         400
DANA CORP                       COM   235811106       6,573     568,620  SH     DEFINED  01,08     513,437      55,183           0
DANA CORP                       COM   235811106           0          27  SH     DEFINED     10          27           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    145
________

DANAHER CORP DEL                COM   235851102     116,235   1,708,077  SH     DEFINED     01   1,199,585     468,437      40,055
DANAHER CORP DEL                COM   235851102       7,135     104,845  SH     OTHER       01      52,845      45,339       6,661
DANAHER CORP DEL                COM   235851102      12,791     187,967  SH     DEFINED     02      38,462       8,075     141,430
DANAHER CORP DEL                COM   235851102         591       8,685  SH     OTHER       02       4,335       3,800         550
DANAHER CORP DEL                COM   235851102      14,443     212,242  SH     DEFINED     03     107,794      74,061      30,387
DANAHER CORP DEL                COM   235851102       3,076      45,200  SH     OTHER       03      41,420       2,845         935
DANAHER CORP DEL                COM   235851102      28,522     419,137  SH     DEFINED     04     410,382           0       8,755
DANAHER CORP DEL                COM   235851102       7,090     104,185  SH     OTHER       04     100,245           0       3,940
DANAHER CORP DEL                COM   235851102       3,594      52,815  SH     DEFINED     05      45,195       4,650       2,970
DANAHER CORP DEL                COM   235851102         344       5,050  SH     OTHER       05       2,255       2,675         120
DANAHER CORP DEL                COM   235851102          27         400  SH     OTHER    01,06           0           0         400
DANAHER CORP DEL                COM   235851102      43,509     639,363  SH     DEFINED  01,08     580,571      58,792           0
DANAHER CORP DEL                COM   235851102       5,886      86,493  SH     DEFINED     10      59,443       1,925      25,125
DANAHER CORP DEL                COM   235851102         723      10,625  SH     OTHER       10       3,080       6,840         705

DANIELSON HLDG CORP             COM   236274106         104      65,140  SH     DEFINED     01       1,500      63,640           0
DANIELSON HLDG CORP             COM   236274106          69      42,864  SH     DEFINED  01,08      13,488      29,376           0

DARDEN RESTAURANTS INC          COM   237194105      19,144   1,008,658  SH     DEFINED     01     543,095     441,014      24,549
DARDEN RESTAURANTS INC          COM   237194105         106       5,602  SH     OTHER       01       4,402       1,200           0
DARDEN RESTAURANTS INC          COM   237194105         255      13,425  SH     DEFINED     02      12,925         500           0
DARDEN RESTAURANTS INC          COM   237194105         124       6,525  SH     OTHER       02       2,325       4,200           0
DARDEN RESTAURANTS INC          COM   237194105           7         350  SH     DEFINED     03         200         150           0
DARDEN RESTAURANTS INC          COM   237194105         171       9,000  SH     OTHER       03       9,000           0           0
DARDEN RESTAURANTS INC          COM   237194105         123       6,480  SH     DEFINED     04       6,480           0           0
DARDEN RESTAURANTS INC          COM   237194105         409      21,533  SH     OTHER       04      21,533           0           0
DARDEN RESTAURANTS INC          COM   237194105           6         300  SH     OTHER    01,06           0           0         300
DARDEN RESTAURANTS INC          COM   237194105      14,072     741,431  SH     DEFINED  01,08     678,367      63,064           0
DARDEN RESTAURANTS INC          COM   237194105         166       8,771  SH     DEFINED     10         131       8,640           0

DARLING INTL INC                COM   237266101          40      16,600  SH     DEFINED     01       2,300      14,300           0
DARLING INTL INC                COM   237266101         156      64,900  SH     DEFINED  01,08      31,798      33,102           0

DATA I O CORP                   COM   237690102          23      11,700  SH     DEFINED     01       1,000      10,700           0
DATA I O CORP                   COM   237690102          56      28,163  SH     DEFINED  01,08       4,043      24,120           0

DATA SYS & SOFTWARE INC         COM   237887104          17       6,600  SH     DEFINED     01       1,000       5,600           0
DATA SYS & SOFTWARE INC         COM   237887104          32      12,700  SH     DEFINED  01,08       3,165       9,535           0

DATAKEY INC                     COM   237909106           4       5,700  SH     DEFINED     01         600       5,100           0
DATAKEY INC                     COM   237909106          11      15,833  SH     DEFINED  01,08       3,008      12,825           0

DATAWATCH CORP                  COM   237917208          11       3,867  SH     DEFINED     01           0       3,867           0
DATAWATCH CORP                  COM   237917208          19       6,978  SH     OTHER       01           0       2,883       4,095
DATAWATCH CORP                  COM   237917208          12       4,223  SH     DEFINED  01,08       1,232       2,991           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    146
________

DATALINK CORP                   COM   237934104          23       4,900  SH     DEFINED     01       1,800       3,100           0
DATALINK CORP                   COM   237934104          82      17,601  SH     DEFINED  01,08       4,401      13,200           0

DATARAM CORP                    COM   238108203          32      10,400  SH     DEFINED     01       1,800       8,600           0
DATARAM CORP                    COM   238108203          97      31,739  SH     DEFINED  01,08       3,905      27,834           0

DATASCOPE CORP                  COM   238113104       1,350      46,497  SH     DEFINED     01      24,641      20,556       1,300
DATASCOPE CORP                  COM   238113104           2          63  SH     DEFINED     02           0           0          63
DATASCOPE CORP                  COM   238113104           9         300  SH     OTHER    01,06           0           0         300
DATASCOPE CORP                  COM   238113104       2,280      78,503  SH     DEFINED  01,08      53,519      24,984           0

DATASTREAM SYS INC              COM   238124101         685      65,073  SH     DEFINED     01      39,445      24,778         850
DATASTREAM SYS INC              COM   238124101         916      86,972  SH     DEFINED  01,08      53,401      33,571           0

DATATEC SYS INC                 COM   238128102          35      32,200  SH     DEFINED     01       6,300      25,900           0
DATATEC SYS INC                 COM   238128102          22      20,000  SH     DEFINED     04      20,000           0           0
DATATEC SYS INC                 COM   238128102          66      60,786  SH     DEFINED  01,08      15,074      45,712           0

DATATRAK INTL INC               COM   238134100          19       4,800  SH     DEFINED     01         600       4,200           0
DATATRAK INTL INC               COM   238134100          33       8,376  SH     DEFINED  01,08       1,476       6,900           0

DAVE & BUSTERS INC              COM   23833N104         572      52,480  SH     DEFINED     01      25,780      26,450         250
DAVE & BUSTERS INC              COM   23833N104           0           5  SH     DEFINED     04           5           0           0
DAVE & BUSTERS INC              COM   23833N104         369      33,848  SH     DEFINED  01,08      11,405      22,443           0

DAVITA INC                      COM   23918K108       1,970      73,558  SH     DEFINED     01      47,756      23,404       2,398
DAVITA INC                      COM   23918K108       3,504     130,831  SH     DEFINED  01,08      88,531      42,300           0
DAVITA INC                      COM   23918K108          54       2,000  SH     DEFINED     10       2,000           0           0

DAWSON GEOPHYSICAL CO           COM   239359102          87      10,700  SH     DEFINED     01         900       9,800           0
DAWSON GEOPHYSICAL CO           COM   239359102          94      11,654  SH     DEFINED  01,08       2,394       9,260           0

DAXOR CORP                      COM   239467103         103       6,600  SH     DEFINED     01       1,000       5,600           0
DAXOR CORP                      COM   239467103         163      10,426  SH     DEFINED  01,08       2,119       8,307           0

DEAN FOODS CO NEW               COM   242370104      14,842     471,184  SH     DEFINED     01     187,160     261,759      22,265
DEAN FOODS CO NEW               COM   242370104         251       7,956  SH     OTHER       01       7,956           0           0
DEAN FOODS CO NEW               COM   242370104         198       6,300  SH     DEFINED     02       3,000       3,300           0
DEAN FOODS CO NEW               COM   242370104         273       8,679  SH     OTHER       02       8,679           0           0
DEAN FOODS CO NEW               COM   242370104           9         300  SH     DEFINED     04         300           0           0
DEAN FOODS CO NEW               COM   242370104         714      22,659  SH     OTHER       04      22,659           0           0
DEAN FOODS CO NEW               COM   242370104      11,074     351,570  SH     DEFINED  01,08     252,563      99,007           0
DEAN FOODS CO NEW               COM   242370104         107       3,405  SH     DEFINED     10       3,405           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    147
________

DEB SHOPS INC                   COM   242728103         451      24,043  SH     DEFINED     01      11,057      12,986           0
DEB SHOPS INC                   COM   242728103         756      40,351  SH     DEFINED  01,08       7,510      32,841           0

DECKERS OUTDOOR CORP            COM   243537107          71      10,900  SH     DEFINED     01       1,200       9,700           0
DECKERS OUTDOOR CORP            COM   243537107         111      17,107  SH     DEFINED  01,08       4,507      12,600           0

DECODE GENETICS INC             COM   243586104         256      81,117  SH     DEFINED     01      62,211      18,006         900
DECODE GENETICS INC             COM   243586104         122      38,611  SH     DEFINED  01,08      17,555      21,056           0

DECORATOR INDS INC              COM   243631207          17       3,400  SH     DEFINED     01         500       2,900           0
DECORATOR INDS INC              COM   243631207           7       1,477  SH     OTHER       04       1,477           0           0
DECORATOR INDS INC              COM   243631207          81      16,074  SH     DEFINED  01,08       1,142      14,932           0

DEERE & CO                      COM   244199105      68,639   1,501,938  SH     DEFINED     01     788,033     654,182      59,723
DEERE & CO                      COM   244199105         599      13,100  SH     OTHER       01       5,355       7,295         450
DEERE & CO                      COM   244199105         321       7,030  SH     DEFINED     02       4,914       2,086          30
DEERE & CO                      COM   244199105         267       5,850  SH     OTHER       02       1,050       4,800           0
DEERE & CO                      COM   244199105       1,052      23,030  SH     DEFINED     03      12,755       6,945       3,330
DEERE & CO                      COM   244199105         196       4,281  SH     OTHER       03       2,156       1,300         825
DEERE & CO                      COM   244199105       4,616     100,998  SH     DEFINED     04      99,043           0       1,955
DEERE & CO                      COM   244199105       1,111      24,320  SH     OTHER       04      20,720           0       3,600
DEERE & CO                      COM   244199105         680      14,875  SH     DEFINED     05      12,340         450       2,085
DEERE & CO                      COM   244199105          27         600  SH     OTHER    01,06           0           0         600
DEERE & CO                      COM   244199105      75,842   1,659,557  SH     DEFINED  01,08     976,961     586,343      96,253
DEERE & CO                      COM   244199105         786      17,203  SH     DEFINED     10      16,128       1,075           0
DEERE & CO                      COM   244199105          27         600  SH     OTHER       10         600           0           0

DEL LABS INC                    COM   245091103         432      18,370  SH     DEFINED     01       7,397      10,868         105
DEL LABS INC                    COM   245091103          66       2,796  SH     DEFINED     04       2,796           0           0
DEL LABS INC                    COM   245091103         630      26,826  SH     DEFINED  01,08       4,470      22,356           0

DEL MONTE FOODS CO              COM   24522P103       4,380     495,427  SH     DEFINED     01     396,090      81,075      18,262
DEL MONTE FOODS CO              COM   24522P103         824      93,216  SH     OTHER       01      90,378       2,838           0
DEL MONTE FOODS CO              COM   24522P103          16       1,846  SH     DEFINED     02         543       1,303           0
DEL MONTE FOODS CO              COM   24522P103          41       4,616  SH     OTHER       02       3,489       1,127           0
DEL MONTE FOODS CO              COM   24522P103           8         914  SH     DEFINED     03           0         914           0
DEL MONTE FOODS CO              COM   24522P103           5         556  SH     OTHER       03         356         200           0
DEL MONTE FOODS CO              COM   24522P103         438      49,512  SH     DEFINED     04      49,512           0           0
DEL MONTE FOODS CO              COM   24522P103       1,464     165,601  SH     OTHER       04     165,067           0         534
DEL MONTE FOODS CO              COM   24522P103       3,961     448,103  SH     DEFINED  01,08     229,137     218,966           0
DEL MONTE FOODS CO              COM   24522P103          63       7,143  SH     DEFINED     10       3,124       4,019           0
DEL MONTE FOODS CO              COM   24522P103          11       1,270  SH     OTHER       10       1,070         200           0

DELIAS CORP                     COM   24688Q101          63      91,735  SH     DEFINED     01      46,596      44,289         850
DELIAS CORP                     COM   24688Q101          47      67,465  SH     DEFINED  01,08      11,233      56,232           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    148
________

DELL COMPUTER CORP              COM   247025109     592,629  18,612,716  SH     DEFINED     01  10,911,566   7,194,685     506,465
DELL COMPUTER CORP              COM   247025109      16,722     525,203  SH     OTHER       01     243,535     235,135      46,533
DELL COMPUTER CORP              COM   247025109       9,563     300,339  SH     DEFINED     02     192,938      97,003      10,398
DELL COMPUTER CORP              COM   247025109       1,998      62,765  SH     OTHER       02      45,140      16,705         920
DELL COMPUTER CORP              COM   247025109      24,858     780,707  SH     DEFINED     03     407,011     266,077     107,619
DELL COMPUTER CORP              COM   247025109       3,661     114,976  SH     OTHER       03      85,723      19,830       9,423
DELL COMPUTER CORP              COM   247025109      36,889   1,158,582  SH     DEFINED     04   1,135,032           0      23,550
DELL COMPUTER CORP              COM   247025109      13,907     436,763  SH     OTHER       04     410,648           0      26,115
DELL COMPUTER CORP              COM   247025109       7,715     242,318  SH     DEFINED     05     209,638      17,275      15,405
DELL COMPUTER CORP              COM   247025109         581      18,255  SH     OTHER       05      13,310       4,625         320
DELL COMPUTER CORP              COM   247025109         212       6,650  SH     OTHER    01,06           0           0       6,650
DELL COMPUTER CORP              COM   247025109     351,855  11,050,738  SH     DEFINED  01,08  10,115,536     935,202           0
DELL COMPUTER CORP              COM   247025109      12,256     384,921  SH     DEFINED     10     289,406      20,975      74,540
DELL COMPUTER CORP              COM   247025109       2,093      65,730  SH     OTHER       10      34,015      29,085       2,630

DELPHAX TECHNOLOGIES INC        COM   24712X106          21       6,700  SH     DEFINED     01           0       6,700           0
DELPHAX TECHNOLOGIES INC        COM   24712X106          44      14,236  SH     DEFINED  01,08       3,242      10,994           0

DELPHI CORP                     COM   247126105      27,692   3,208,814  SH     DEFINED     01   1,649,183   1,508,219      51,412
DELPHI CORP                     COM   247126105          57       6,654  SH     OTHER       01       1,774       4,380         500
DELPHI CORP                     COM   247126105          24       2,761  SH     DEFINED     02         901       1,575         285
DELPHI CORP                     COM   247126105          15       1,773  SH     OTHER       02       1,332         441           0
DELPHI CORP                     COM   247126105           9         996  SH     DEFINED     03           0         996           0
DELPHI CORP                     COM   247126105          11       1,263  SH     OTHER       03       1,263           0           0
DELPHI CORP                     COM   247126105          99      11,421  SH     DEFINED     04      10,955           0         466
DELPHI CORP                     COM   247126105          96      11,137  SH     OTHER       04       3,802           0       7,335
DELPHI CORP                     COM   247126105           1         149  SH     DEFINED     05         149           0           0
DELPHI CORP                     COM   247126105          11       1,300  SH     OTHER    01,06           0           0       1,300
DELPHI CORP                     COM   247126105      20,028   2,320,759  SH     DEFINED  01,08   2,096,472     224,287           0
DELPHI CORP                     COM   247126105          59       6,800  SH     DEFINED     10       6,102           0         698
DELPHI CORP                     COM   247126105         387      44,845  SH     OTHER       10      41,517       3,328           0

DELPHI FINL GROUP INC           COM   247131105       3,537      75,570  SH     DEFINED     01      48,440      25,530       1,600
DELPHI FINL GROUP INC           COM   247131105          19         400  SH     OTHER    01,06           0           0         400
DELPHI FINL GROUP INC           COM   247131105       3,239      69,220  SH     DEFINED  01,08      34,567      34,653           0

DELTA & PINE LD CO              COM   247357106       2,910     132,392  SH     DEFINED     01      76,277      52,215       3,900
DELTA & PINE LD CO              COM   247357106           3         126  SH     DEFINED     02           0           0         126
DELTA & PINE LD CO              COM   247357106          16         750  SH     OTHER    01,06           0           0         750
DELTA & PINE LD CO              COM   247357106       3,588     163,258  SH     DEFINED  01,08      93,066      70,192           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    149
________

DELTA AIR LINES INC DEL         COM   247361108      10,391     707,838  SH     DEFINED     01     371,488     325,275      11,075
DELTA AIR LINES INC DEL         COM   247361108          27       1,850  SH     DEFINED     03           0       1,850           0
DELTA AIR LINES INC DEL         COM   247361108          54       3,700  SH     DEFINED     04       3,700           0           0
DELTA AIR LINES INC DEL         COM   247361108           4         304  SH     OTHER       04           0           0         304
DELTA AIR LINES INC DEL         COM   247361108           4         300  SH     OTHER    01,06           0           0         300
DELTA AIR LINES INC DEL         COM   247361108       7,460     508,191  SH     DEFINED  01,08     461,391      46,800           0
DELTA AIR LINES INC DEL         COM   247361108           0          22  SH     DEFINED     10          22           0           0

DELTA APPAREL INC               COM   247368103         102       6,260  SH     DEFINED     01         680       5,580           0
DELTA APPAREL INC               COM   247368103         192      11,834  SH     DEFINED  01,08       1,716      10,118           0

DELTATHREE INC                  COM   24783N102           1       2,200  SH     DEFINED     01       2,200           0           0
DELTATHREE INC                  COM   24783N102           8      11,784  SH     DEFINED  01,08       2,384       9,400           0

DELTAGEN INC                    COM   24783R103           7      46,672  SH     DEFINED     01      10,767      35,705         200
DELTAGEN INC                    COM   24783R103           7      48,466  SH     DEFINED  01,08       7,800      40,666           0

DELTIC TIMBER CORP              COM   247850100       1,057      37,138  SH     DEFINED     01      18,892      17,496         750
DELTIC TIMBER CORP              COM   247850100           6         225  SH     OTHER    01,06           0           0         225
DELTIC TIMBER CORP              COM   247850100       1,513      53,165  SH     DEFINED  01,08      32,087      21,078           0

DELTA PETE CORP                 COM   247907207          80      17,400  SH     DEFINED     01         100      17,300           0
DELTA PETE CORP                 COM   247907207           1         250  SH     DEFINED     04         250           0           0
DELTA PETE CORP                 COM   247907207         106      23,173  SH     DEFINED  01,08       9,273      13,900           0

DELTA WOODSIDE INDS INC NEW     COM   247909203          22       7,825  SH     DEFINED     01         850       6,975           0
DELTA WOODSIDE INDS INC NEW     COM   247909203          48      16,749  SH     DEFINED  01,08       2,597      14,152           0

DENBURY RES INC                 COM   247916208       1,531     113,995  SH     DEFINED     01      53,423      59,112       1,460
DENBURY RES INC                 COM   247916208           3         200  SH     DEFINED     04         200           0           0
DENBURY RES INC                 COM   247916208       1,609     119,776  SH     DEFINED  01,08      34,964      84,812           0

DELTA FINANCIAL CORP            COM   247918105         145      20,000  SH     DEFINED     01       2,200      17,800           0
DELTA FINANCIAL CORP            COM   247918105          87      11,900  SH     DEFINED  01,08       6,800       5,100           0

DELUXE CORP                     COM   248019101      15,821     353,157  SH     DEFINED     01     194,313     141,986      16,858
DELUXE CORP                     COM   248019101          45       1,000  SH     OTHER       02           0       1,000           0
DELUXE CORP                     COM   248019101          25         550  SH     DEFINED     03           0         550           0
DELUXE CORP                     COM   248019101          18         400  SH     OTHER       03         400           0           0
DELUXE CORP                     COM   248019101         536      11,971  SH     OTHER       04      11,971           0           0
DELUXE CORP                     COM   248019101           9         200  SH     OTHER    01,06           0           0         200
DELUXE CORP                     COM   248019101      10,632     237,328  SH     DEFINED  01,08     214,699      22,629           0
DELUXE CORP                     COM   248019101           1          12  SH     DEFINED     10          12           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    150
________

DENDREON CORP                   COM   24823Q107         163      27,400  SH     DEFINED     01       5,000      22,400           0
DENDREON CORP                   COM   24823Q107         566      95,332  SH     DEFINED  01,08      65,532      29,800           0

DENDRITE INTL INC               COM   248239105       1,607     125,622  SH     DEFINED     01      67,472      55,200       2,950
DENDRITE INTL INC               COM   248239105          10         800  SH     OTHER    01,06           0           0         800
DENDRITE INTL INC               COM   248239105       1,661     129,839  SH     DEFINED  01,08      63,863      65,976           0

DENTSPLY INTL INC NEW           COM   249030107      10,131     247,336  SH     DEFINED     01      93,207     149,307       4,822
DENTSPLY INTL INC NEW           COM   249030107           8         186  SH     DEFINED     02          70           0         116
DENTSPLY INTL INC NEW           COM   249030107         440      10,742  SH     DEFINED     04      10,742           0           0
DENTSPLY INTL INC NEW           COM   249030107       8,489     207,251  SH     DEFINED  01,08     153,044      54,207           0
DENTSPLY INTL INC NEW           COM   249030107          41       1,000  SH     DEFINED     10       1,000           0           0

DEPARTMENT 56 INC               COM   249509100       1,183      77,175  SH     DEFINED     01      61,425      15,100         650
DEPARTMENT 56 INC               COM   249509100           5         300  SH     OTHER    01,06           0           0         300
DEPARTMENT 56 INC               COM   249509100         804      52,473  SH     DEFINED  01,08      22,569      29,904           0

DEPOMED INC                     COM   249908104          55      11,500  SH     DEFINED     01       1,600       9,900           0
DEPOMED INC                     COM   249908104         142      29,648  SH     DEFINED  01,08       7,948      21,700           0

DEVCON INTL CORP                COM   251588109          29       4,500  SH     DEFINED     01           0       4,500           0
DEVCON INTL CORP                COM   251588109          82      12,738  SH     DEFINED  01,08       1,573      11,165           0

DEVELOPERS DIVERSIFIED RLTY     COM   251591103       2,749      96,654  SH     DEFINED     01      62,793      30,092       3,769
DEVELOPERS DIVERSIFIED RLTY     COM   251591103          25         890  SH     DEFINED     02         890           0           0
DEVELOPERS DIVERSIFIED RLTY     COM   251591103           7         262  SH     DEFINED     03           0         262           0
DEVELOPERS DIVERSIFIED RLTY     COM   251591103          46       1,600  SH     OTHER       03           0       1,600           0
DEVELOPERS DIVERSIFIED RLTY     COM   251591103          48       1,692  SH     DEFINED     04       1,692           0           0
DEVELOPERS DIVERSIFIED RLTY     COM   251591103       4,797     168,684  SH     DEFINED  01,08     108,765      59,919           0

DEVON ENERGY CORP NEW           UNDEF 25179MAA1       2,040   2,000,000         DEFINED     01   2,000,000           0           0
DEVON ENERGY CORP NEW           UNDEF 25179MAA1          15      15,000         DEFINED     02      15,000           0           0

DEVON ENERGY CORP NEW           UNDEF 25179MAB9          15      15,000         DEFINED     02      15,000           0           0
DEVON ENERGY CORP NEW           UNDEF 25179MAB9         610       6,000         DEFINED     04       6,000           0           0
DEVON ENERGY CORP NEW           UNDEF 25179MAB9           3       3,000         OTHER       10       3,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    151
________

DEVON ENERGY CORP NEW           COM   25179M103      76,450   1,431,648  SH     DEFINED     01     801,804     610,232      19,612
DEVON ENERGY CORP NEW           COM   25179M103         698      13,075  SH     OTHER       01           0       2,025      11,050
DEVON ENERGY CORP NEW           COM   25179M103          10         195  SH     DEFINED     02          75           0         120
DEVON ENERGY CORP NEW           COM   25179M103           3          50  SH     DEFINED     03           0          50           0
DEVON ENERGY CORP NEW           COM   25179M103         144       2,695  SH     DEFINED     04       1,595           0       1,100
DEVON ENERGY CORP NEW           COM   25179M103          56       1,045  SH     OTHER       04          45           0       1,000
DEVON ENERGY CORP NEW           COM   25179M103         329       6,165  SH     DEFINED     05       6,165           0           0
DEVON ENERGY CORP NEW           COM   25179M103          32         600  SH     OTHER    01,06           0           0         600
DEVON ENERGY CORP NEW           COM   25179M103      53,552   1,002,845  SH     DEFINED  01,08     908,828      94,017           0
DEVON ENERGY CORP NEW           COM   25179M103          88       1,654  SH     DEFINED     10       1,069           0         585

DEVRY INC DEL                   COM   251893103       5,509     236,520  SH     DEFINED     01      93,693     137,727       5,100
DEVRY INC DEL                   COM   251893103       1,573      67,540  SH     OTHER       01           0         300      67,240
DEVRY INC DEL                   COM   251893103         699      30,000  SH     DEFINED     04      30,000           0           0
DEVRY INC DEL                   COM   251893103       3,374     144,862  SH     DEFINED  01,08      97,216      47,646           0

DIACRIN INC                     COM   25243N103          58      20,500  SH     DEFINED     01       3,200      17,300           0
DIACRIN INC                     COM   25243N103          88      30,795  SH     DEFINED  01,08       7,095      23,700           0

DIAGEO P L C                    COM   25243Q205         405       9,250  SH     DEFINED     01           0       9,250           0
DIAGEO P L C                    COM   25243Q205          88       2,000  SH     OTHER       01       2,000           0           0
DIAGEO P L C                    COM   25243Q205          11         248  SH     DEFINED     02          70           0         178
DIAGEO P L C                    COM   25243Q205           8         172  SH     OTHER       02         172           0           0
DIAGEO P L C                    COM   25243Q205          10         237  SH     DEFINED     03         237           0           0
DIAGEO P L C                    COM   25243Q205          22         500  SH     DEFINED     04         500           0           0
DIAGEO P L C                    COM   25243Q205          57       1,307  SH     OTHER       04       1,307           0           0
DIAGEO P L C                    COM   25243Q205          37         845  SH     DEFINED     05         845           0           0
DIAGEO P L C                    COM   25243Q205          26         600  SH     OTHER       05           0           0         600
DIAGEO P L C                    COM   25243Q205           1          30  SH     DEFINED     10           0           0          30

DIAGNOSTIC PRODS CORP           COM   252450101       2,203      53,669  SH     DEFINED     01      17,580      34,150       1,939
DIAGNOSTIC PRODS CORP           COM   252450101          31         765  SH     OTHER       01           0         765           0
DIAGNOSTIC PRODS CORP           COM   252450101          25         600  SH     OTHER    01,06           0           0         600
DIAGNOSTIC PRODS CORP           COM   252450101       3,925      95,618  SH     DEFINED  01,08      55,342      40,276           0

DIAL CORP NEW                   COM   25247D101       5,933     305,053  SH     DEFINED     01     116,758     186,227       2,068
DIAL CORP NEW                   COM   25247D101           0          20  SH     OTHER       01           0          20           0
DIAL CORP NEW                   COM   25247D101          12         600  SH     DEFINED     02           0         600           0
DIAL CORP NEW                   COM   25247D101           6         324  SH     OTHER       02           0           0         324
DIAL CORP NEW                   COM   25247D101       4,450     228,782  SH     DEFINED  01,08     160,923      67,859           0
DIAL CORP NEW                   COM   25247D101          35       1,800  SH     DEFINED     10       1,800           0           0

DIAMETRICS MED INC              COM   252532106          44      36,800  SH     DEFINED     01       5,100      31,700           0
DIAMETRICS MED INC              COM   252532106          55      46,339  SH     DEFINED  01,08      11,695      34,644           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    152
________

DIAMOND OFFSHORE DRILLING IN    COM   25271C102       1,693      80,639  SH     DEFINED     01      57,212      22,681         746
DIAMOND OFFSHORE DRILLING IN    COM   25271C102           4         175  SH     OTHER       03           0         175           0
DIAMOND OFFSHORE DRILLING IN    COM   25271C102          94       4,500  SH     DEFINED     04       4,500           0           0
DIAMOND OFFSHORE DRILLING IN    COM   25271C102          21       1,000  SH     OTHER       04           0           0       1,000
DIAMOND OFFSHORE DRILLING IN    COM   25271C102       4,202     200,202  SH     DEFINED  01,08      92,012     108,190           0

DIAMONDCLUSTER INTL INC         COM   25278P106         279      76,830  SH     DEFINED     01      45,477      30,903         450
DIAMONDCLUSTER INTL INC         COM   25278P106           5       1,500  SH     OTHER       01           0           0       1,500
DIAMONDCLUSTER INTL INC         COM   25278P106           1         366  SH     OTHER       04         366           0           0
DIAMONDCLUSTER INTL INC         COM   25278P106         206      56,748  SH     DEFINED  01,08      11,970      44,778           0

DIAMONDS TR                     COM   252787106       2,270      25,250  SH     DEFINED     01      20,700       2,650       1,900
DIAMONDS TR                     COM   252787106         699       7,775  SH     OTHER       01       7,162         613           0
DIAMONDS TR                     COM   252787106         530       5,900  SH     DEFINED     02       5,800           0         100
DIAMONDS TR                     COM   252787106          22         250  SH     OTHER       02           0         250           0
DIAMONDS TR                     COM   252787106         162       1,800  SH     DEFINED     03       1,500         300           0
DIAMONDS TR                     COM   252787106       2,144      23,851  SH     DEFINED     04      23,851           0           0
DIAMONDS TR                     COM   252787106         265       2,945  SH     OTHER       04       2,945           0           0
DIAMONDS TR                     COM   252787106         589       6,550  SH     DEFINED  01,08       6,550           0           0
DIAMONDS TR                     COM   252787106          18         200  SH     DEFINED     10         200           0           0

DIASYS CORP                     COM   252838107           1         800  SH     DEFINED     01         800           0           0
DIASYS CORP                     COM   252838107           8       9,839  SH     DEFINED  01,08         139       9,700           0

DICKS SPORTING GOODS INC        COM   253393102       2,612      71,200  SH     DEFINED     01      65,600       5,600           0
DICKS SPORTING GOODS INC        COM   253393102       1,900      51,800  SH     DEFINED  01,08      39,200      12,600           0

DIEBOLD INC                     COM   253651103      10,253     237,062  SH     DEFINED     01      92,359     140,051       4,652
DIEBOLD INC                     COM   253651103          43       1,000  SH     DEFINED     02         400           0         600
DIEBOLD INC                     COM   253651103          35         800  SH     OTHER       02           0         800           0
DIEBOLD INC                     COM   253651103          41         955  SH     DEFINED     03         505         450           0
DIEBOLD INC                     COM   253651103       2,433      56,250  SH     OTHER       03      55,000       1,250           0
DIEBOLD INC                     COM   253651103          54       1,238  SH     DEFINED     04         338           0         900
DIEBOLD INC                     COM   253651103         281       6,500  SH     OTHER       04       6,500           0           0
DIEBOLD INC                     COM   253651103       7,809     180,547  SH     DEFINED  01,08     116,275      64,272           0
DIEBOLD INC                     COM   253651103          58       1,350  SH     OTHER       10         450         900           0

DIEDRICH COFFEE INC             COM   253675201          16       5,052  SH     DEFINED     01         252       4,800           0
DIEDRICH COFFEE INC             COM   253675201          21       6,770  SH     DEFINED  01,08       2,127       4,643           0

DIGENE CORP                     COM   253752109       1,261      46,132  SH     DEFINED     01      26,031      19,201         900
DIGENE CORP                     COM   253752109           7         250  SH     DEFINED     04         250           0           0
DIGENE CORP                     COM   253752109       1,457      53,297  SH     DEFINED  01,08      23,401      29,896           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    153
________

DIGI INTL INC                   COM   253798102         132      23,180  SH     DEFINED     01       3,780      18,600         800
DIGI INTL INC                   COM   253798102           2         400  SH     OTHER    01,06           0           0         400
DIGI INTL INC                   COM   253798102         357      62,890  SH     DEFINED  01,08      28,053      34,837           0

DIGIMARC CORP                   COM   253807101         636      40,510  SH     DEFINED     01      22,230      18,080         200
DIGIMARC CORP                   COM   253807101       1,232      78,485  SH     DEFINED  01,08      49,017      29,468           0

DIGITAL ANGEL CORP              COM   253830103           3       1,000  SH     DEFINED     01       1,000           0           0
DIGITAL ANGEL CORP              COM   253830103          62      23,403  SH     DEFINED  01,08      12,503      10,900           0

DIGITAL IMPACT INC DEL          COM   25385G106          18       9,750  SH     DEFINED     01       3,150       6,600           0
DIGITAL IMPACT INC DEL          COM   25385G106          89      48,211  SH     DEFINED  01,08       9,611      38,600           0

DIGITAL INSIGHT CORP            COM   25385P106       1,898     100,208  SH     DEFINED     01      60,690      37,568       1,950
DIGITAL INSIGHT CORP            COM   25385P106       2,665     140,709  SH     DEFINED  01,08      83,743      56,966           0

DIGITAL LIGHTWAVE INC           COM   253855100          33      30,400  SH     DEFINED     01       5,900      24,500           0
DIGITAL LIGHTWAVE INC           COM   253855100           3       2,500  SH     DEFINED     04       2,500           0           0
DIGITAL LIGHTWAVE INC           COM   253855100          59      53,917  SH     DEFINED  01,08      13,777      40,140           0

DIGITAL VIDEO SYS INC           COM   25387R407          13       7,358  SH     DEFINED     01          58       7,300           0
DIGITAL VIDEO SYS INC           COM   25387R407          14       8,200  SH     DEFINED  01,08       2,300       5,900           0

DIGITAL RIV INC                 COM   25388B104       1,441      75,250  SH     DEFINED     01      57,700      15,950       1,600
DIGITAL RIV INC                 COM   25388B104          52       2,700  SH     DEFINED     02           0           0       2,700
DIGITAL RIV INC                 COM   25388B104          10         500  SH     OTHER       02           0         500           0
DIGITAL RIV INC                 COM   25388B104       2,211     115,457  SH     DEFINED  01,08      67,064      48,393           0

DIGITAS INC                     COM   25388K104         592     118,135  SH     DEFINED     01      38,920      68,745      10,470
DIGITAS INC                     COM   25388K104         512     102,106  SH     DEFINED  01,08      32,730      69,376           0

DIGITALTHINK INC                COM   25388M100         141      41,850  SH     DEFINED     01       6,950      34,900           0
DIGITALTHINK INC                COM   25388M100         297      87,768  SH     DEFINED  01,08      32,768      55,000           0

DIGITAL GENERATION SYS INC      COM   253921100         124      64,450  SH     DEFINED     01       5,000      59,450           0
DIGITAL GENERATION SYS INC      COM   253921100           6       3,000  SH     OTHER       04       3,000           0           0
DIGITAL GENERATION SYS INC      COM   253921100         254     131,710  SH     DEFINED  01,08      45,359      86,351           0

DIME CMNTY BANCSHARES           COM   253922108       2,338      92,279  SH     DEFINED     01      48,549      41,605       2,125
DIME CMNTY BANCSHARES           COM   253922108          13         500  SH     OTHER    01,06           0           0         500
DIME CMNTY BANCSHARES           COM   253922108       3,745     147,807  SH     DEFINED  01,08     104,964      42,843           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    154
________

DILLARDS INC                    COM   254067101       6,158     457,158  SH     DEFINED     01     234,725     215,770       6,663
DILLARDS INC                    COM   254067101           1          75  SH     OTHER       01           0           0          75
DILLARDS INC                    COM   254067101           1          50  SH     DEFINED     03           0          50           0
DILLARDS INC                    COM   254067101         121       9,000  SH     DEFINED     04       9,000           0           0
DILLARDS INC                    COM   254067101          17       1,252  SH     DEFINED     05       1,252           0           0
DILLARDS INC                    COM   254067101           3         200  SH     OTHER    01,06           0           0         200
DILLARDS INC                    COM   254067101       4,679     347,377  SH     DEFINED  01,08     316,750      30,627           0
DILLARDS INC                    COM   254067101           0          18  SH     DEFINED     10          18           0           0

DIME BANCORP INC NEW            WT    25429Q110          22     143,381         DEFINED     01      24,573     118,808           0
DIME BANCORP INC NEW            WT    25429Q110           0         500         DEFINED     02         500           0           0
DIME BANCORP INC NEW            WT    25429Q110           0       1,000         DEFINED     04       1,000           0           0
DIME BANCORP INC NEW            WT    25429Q110           0       1,770         OTHER       04       1,770           0           0
DIME BANCORP INC NEW            WT    25429Q110           0       1,739         DEFINED  01,08       1,739           0           0
DIME BANCORP INC NEW            WT    25429Q110           0       2,000         DEFINED     10       2,000           0           0

DIMON INC                       COM   254394109       1,988     277,626  SH     DEFINED     01     203,528      71,448       2,650
DIMON INC                       COM   254394109           6         870  SH     OTHER    01,06           0           0         870
DIMON INC                       COM   254394109         957     133,667  SH     DEFINED  01,08      56,556      77,111           0

DIODES INC                      COM   254543101         196      10,250  SH     DEFINED     01       1,800       8,450           0
DIODES INC                      COM   254543101         489      25,494  SH     DEFINED  01,08       6,044      19,450           0

DIONEX CORP                     COM   254546104       4,780     120,272  SH     DEFINED     01      90,163      28,759       1,350
DIONEX CORP                     COM   254546104           3          83  SH     DEFINED     02           0           0          83
DIONEX CORP                     COM   254546104         234       5,880  SH     OTHER       04           0           0       5,880
DIONEX CORP                     COM   254546104          16         400  SH     OTHER    01,06           0           0         400
DIONEX CORP                     COM   254546104       3,902      98,197  SH     DEFINED  01,08      62,919      35,278           0

DISCOVERY LABORATORIES INC N    COM   254668106          51       8,000  SH     DEFINED     01       4,300       3,700           0
DISCOVERY LABORATORIES INC N    COM   254668106         949     147,822  SH     DEFINED  01,08     104,922      42,900           0

DISCOVERY PARTNERS INTL INC     COM   254675101         250      56,876  SH     DEFINED     01      30,276      26,200         400
DISCOVERY PARTNERS INTL INC     COM   254675101         238      54,144  SH     DEFINED  01,08      12,360      41,784           0

DISNEY WALT CO                  CONDB 254687AU0       2,078   2,000,000  PRN    DEFINED     01   2,000,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    155
________

DISNEY WALT CO                  COM   254687106     250,782  12,697,800  SH     DEFINED     01   6,989,956   5,520,475     187,369
DISNEY WALT CO                  COM   254687106      10,628     538,142  SH     OTHER       01     289,886     231,766      16,490
DISNEY WALT CO                  COM   254687106       1,985     100,506  SH     DEFINED     02      68,434      28,972       3,100
DISNEY WALT CO                  COM   254687106         470      23,804  SH     OTHER       02      13,725       7,989       2,090
DISNEY WALT CO                  COM   254687106       1,754      88,801  SH     DEFINED     03      47,960      34,649       6,192
DISNEY WALT CO                  COM   254687106       2,736     138,551  SH     OTHER       03      95,415      21,577      21,559
DISNEY WALT CO                  COM   254687106       9,029     457,163  SH     DEFINED     04     418,992           0      38,171
DISNEY WALT CO                  COM   254687106      13,605     688,857  SH     OTHER       04     557,397           0     131,460
DISNEY WALT CO                  COM   254687106         422      21,363  SH     DEFINED     05      19,963         700         700
DISNEY WALT CO                  COM   254687106         296      14,971  SH     OTHER       05      12,571       2,400           0
DISNEY WALT CO                  COM   254687106         103       5,200  SH     OTHER    01,06           0           0       5,200
DISNEY WALT CO                  COM   254687106     174,480   8,834,409  SH     DEFINED  01,08   8,229,185     605,224           0
DISNEY WALT CO                  COM   254687106       1,639      82,970  SH     DEFINED     10      28,403      32,462      22,105
DISNEY WALT CO                  COM   254687106       1,640      83,020  SH     OTHER       10      53,219      27,051       2,750

DITECH COMMUNICATIONS CORP      COM   25500M103         154      31,600  SH     DEFINED     01       6,000      25,600           0
DITECH COMMUNICATIONS CORP      COM   25500M103           2         325  SH     DEFINED     04         325           0           0
DITECH COMMUNICATIONS CORP      COM   25500M103         313      64,404  SH     DEFINED  01,08      24,204      40,200           0

DIVERSA CORP                    COM   255064107       1,060     110,746  SH     DEFINED     01      62,956      46,140       1,650
DIVERSA CORP                    COM   255064107         934      97,556  SH     DEFINED  01,08      29,479      68,077           0

DIXIE GROUP INC                 COM   255519100          40      11,500  SH     DEFINED     01       2,400       9,100           0
DIXIE GROUP INC                 COM   255519100          10       3,000  SH     OTHER       01           0       3,000           0
DIXIE GROUP INC                 COM   255519100         117      34,115  SH     DEFINED  01,08       5,086      29,029           0

DIXON TICONDEROGA CO            COM   255860108           6       1,900  SH     DEFINED     01         500       1,400           0
DIXON TICONDEROGA CO            COM   255860108          34      11,300  SH     DEFINED  01,08       1,807       9,493           0

DOCUCORP INTL INC               COM   255911109         238      36,953  SH     DEFINED     01      21,353      15,400         200
DOCUCORP INTL INC               COM   255911109         177      27,382  SH     DEFINED  01,08       6,315      21,067           0

DOBSON COMMUNICATIONS CORP      COM   256069105         192      36,350  SH     DEFINED     01       5,850      29,300       1,200
DOBSON COMMUNICATIONS CORP      COM   256069105         646     122,533  SH     DEFINED  01,08      23,895      98,638           0
DOBSON COMMUNICATIONS CORP      COM   256069105           1         100  SH     OTHER       10         100           0           0

DOCENT INC                      COM   25608L502          48      14,199  SH     DEFINED     01       2,833      11,366           0
DOCENT INC                      COM   25608L502          86      25,332  SH     DEFINED  01,08       7,066      18,266           0

DOCUMENT SCIENCES CORP          COM   25614R105          15       3,681  SH     DEFINED     01         417       3,264           0
DOCUMENT SCIENCES CORP          COM   25614R105          27       6,750  SH     DEFINED  01,08       1,570       5,180           0

DOCUMENTUM INC                  COM   256159104       3,184     162,510  SH     DEFINED     01     101,780      58,130       2,600
DOCUMENTUM INC                  COM   256159104       2,821     144,024  SH     DEFINED  01,08      58,226      85,798           0
DOCUMENTUM INC                  COM   256159104           2         100  SH     DEFINED     10         100           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    156
________

DOLLAR GEN CORP                 COM   256669102      33,123   1,813,973  SH     DEFINED     01     945,091     837,571      31,311
DOLLAR GEN CORP                 COM   256669102           5         300  SH     OTHER       01           0           0         300
DOLLAR GEN CORP                 COM   256669102           5         300  SH     DEFINED     02         300           0           0
DOLLAR GEN CORP                 COM   256669102           3         150  SH     DEFINED     03           0         150           0
DOLLAR GEN CORP                 COM   256669102         424      23,241  SH     DEFINED     04      23,241           0           0
DOLLAR GEN CORP                 COM   256669102          16         900  SH     OTHER    01,06           0           0         900
DOLLAR GEN CORP                 COM   256669102      24,648   1,349,814  SH     DEFINED  01,08   1,230,544     119,270           0
DOLLAR GEN CORP                 COM   256669102          74       4,053  SH     DEFINED     10       2,053       2,000           0

DOLLAR THRIFTY AUTOMOTIVE GP    COM   256743105       3,121     168,226  SH     DEFINED     01     121,323      45,453       1,450
DOLLAR THRIFTY AUTOMOTIVE GP    COM   256743105          28       1,500  SH     OTHER       01           0       1,500           0
DOLLAR THRIFTY AUTOMOTIVE GP    COM   256743105       1,668      89,941  SH     DEFINED  01,08      44,892      45,049           0

DOLLAR TREE STORES INC          COM   256747106      14,225     447,735  SH     DEFINED     01     211,523     230,014       6,198
DOLLAR TREE STORES INC          COM   256747106          78       2,460  SH     DEFINED     04       2,460           0           0
DOLLAR TREE STORES INC          COM   256747106          35       1,100  SH     OTHER       04       1,100           0           0
DOLLAR TREE STORES INC          COM   256747106       9,199     289,537  SH     DEFINED  01,08     209,146      80,391           0

DOMINION HOMES INC              COM   257386102         544      22,434  SH     DEFINED     01      14,684       7,700          50
DOMINION HOMES INC              COM   257386102         430      17,738  SH     DEFINED  01,08       5,849      11,889           0

DOMINION RES INC VA NEW         COM   25746U109     132,092   2,055,262  SH     DEFINED     01   1,146,550     853,302      55,410
DOMINION RES INC VA NEW         COM   25746U109       5,609      87,275  SH     OTHER       01      53,784      29,985       3,506
DOMINION RES INC VA NEW         COM   25746U109       2,803      43,606  SH     DEFINED     02      34,416       7,275       1,915
DOMINION RES INC VA NEW         COM   25746U109         636       9,899  SH     OTHER       02       5,710       3,389         800
DOMINION RES INC VA NEW         COM   25746U109       6,123      95,276  SH     DEFINED     03      49,545      29,931      15,800
DOMINION RES INC VA NEW         COM   25746U109       1,432      22,279  SH     OTHER       03      17,279       3,200       1,800
DOMINION RES INC VA NEW         COM   25746U109      20,075     312,361  SH     DEFINED     04     297,250           0      15,111
DOMINION RES INC VA NEW         COM   25746U109      11,441     178,017  SH     OTHER       04     168,096           0       9,921
DOMINION RES INC VA NEW         COM   25746U109       4,326      67,314  SH     DEFINED     05      55,479       5,335       6,500
DOMINION RES INC VA NEW         COM   25746U109         377       5,865  SH     OTHER       05       4,025       1,840           0
DOMINION RES INC VA NEW         COM   25746U109          48         750  SH     OTHER    01,06           0           0         750
DOMINION RES INC VA NEW         COM   25746U109         116       1,800  SH     OTHER    04,07           0           0       1,800
DOMINION RES INC VA NEW         COM   25746U109      88,352   1,374,699  SH     DEFINED  01,08   1,253,741     120,958           0
DOMINION RES INC VA NEW         COM   25746U109       5,603      87,177  SH     DEFINED     10      68,927      15,625       2,625
DOMINION RES INC VA NEW         COM   25746U109       1,839      28,609  SH     OTHER       10      20,410       7,449         750

DONALDSON INC                   COM   257651109       6,599     148,458  SH     DEFINED     01      54,850      86,140       7,468
DONALDSON INC                   COM   257651109          61       1,380  SH     OTHER       01         600         780           0
DONALDSON INC                   COM   257651109           9         201  SH     DEFINED     02          92           0         109
DONALDSON INC                   COM   257651109          80       1,800  SH     DEFINED     04       1,800           0           0
DONALDSON INC                   COM   257651109          27         600  SH     OTHER       04           0           0         600
DONALDSON INC                   COM   257651109       4,195      94,370  SH     DEFINED  01,08      64,070      30,300           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    157
________

DONEGAL GROUP INC               COM   257701300          56       4,467  SH     DEFINED     01         567       3,900           0
DONEGAL GROUP INC               COM   257701300         201      16,015  SH     DEFINED  01,08       3,931      12,084           0

DONNELLEY R R & SONS CO         COM   257867101      71,751   2,744,855  SH     DEFINED     01   1,546,426   1,182,200      16,229
DONNELLEY R R & SONS CO         COM   257867101      79,033   3,023,461  SH     OTHER       01   1,782,510     930,751     310,200
DONNELLEY R R & SONS CO         COM   257867101         335      12,800  SH     DEFINED     02      12,000         800           0
DONNELLEY R R & SONS CO         COM   257867101          71       2,723  SH     OTHER       02       1,150       1,573           0
DONNELLEY R R & SONS CO         COM   257867101       8,551     327,140  SH     DEFINED     03     325,800       1,340           0
DONNELLEY R R & SONS CO         COM   257867101         680      26,000  SH     OTHER       03       8,000      18,000           0
DONNELLEY R R & SONS CO         COM   257867101         283      10,833  SH     DEFINED     04      10,833           0           0
DONNELLEY R R & SONS CO         COM   257867101       2,160      82,634  SH     OTHER       04      79,634           0       3,000
DONNELLEY R R & SONS CO         COM   257867101       1,669      63,840  SH     DEFINED     05      57,550       1,255       5,035
DONNELLEY R R & SONS CO         COM   257867101          77       2,935  SH     OTHER       05       2,435         500           0
DONNELLEY R R & SONS CO         COM   257867101           8         300  SH     OTHER    01,06           0           0         300
DONNELLEY R R & SONS CO         COM   257867101      12,932     494,702  SH     DEFINED  01,08     452,725      41,977           0
DONNELLEY R R & SONS CO         COM   257867101          56       2,133  SH     DEFINED     10         883         750         500

DOR BIOPHARMA INC               COM   258094101          10      11,400  SH     DEFINED     01       1,400      10,000           0
DOR BIOPHARMA INC               COM   258094101           4       4,155  SH     DEFINED  01,08       3,155       1,000           0

DORAL FINL CORP                 COM   25811P100       3,286      73,601  SH     DEFINED     01      46,001      24,100       3,500
DORAL FINL CORP                 COM   25811P100          47       1,050  SH     OTHER       01           0       1,050           0
DORAL FINL CORP                 COM   25811P100           4         100  SH     OTHER       02         100           0           0
DORAL FINL CORP                 COM   25811P100       5,387     120,640  SH     DEFINED  01,08      71,390      49,250           0
DORAL FINL CORP                 COM   25811P100         250       5,600  SH     OTHER       10       5,600           0           0

DOT HILL SYS CORP               COM   25848T109         482      36,800  SH     DEFINED     01       4,900      31,900           0
DOT HILL SYS CORP               COM   25848T109           5         400  SH     OTHER       01           0         400           0
DOT HILL SYS CORP               COM   25848T109           7         500  SH     DEFINED     04         500           0           0
DOT HILL SYS CORP               COM   25848T109         805      61,447  SH     DEFINED  01,08      21,647      39,800           0

DOUBLE EAGLE PETE CO            COM   258570209         359      45,600  SH     DEFINED     01         600      45,000           0
DOUBLE EAGLE PETE CO            COM   258570209           2         250  SH     DEFINED     04         250           0           0
DOUBLE EAGLE PETE CO            COM   258570209          39       4,909  SH     DEFINED  01,08       3,009       1,900           0

DOUBLECLICK INC                 COM   258609304       3,001     324,476  SH     DEFINED     01     251,912      65,814       6,750
DOUBLECLICK INC                 COM   258609304          18       1,998  SH     DEFINED     02       1,998           0           0
DOUBLECLICK INC                 COM   258609304          18       1,928  SH     DEFINED     04       1,928           0           0
DOUBLECLICK INC                 COM   258609304           1         100  SH     OTHER       04           0           0         100
DOUBLECLICK INC                 COM   258609304       3,611     390,421  SH     DEFINED  01,08     190,547     199,874           0

DOV PHARMACEUTICAL INC          COM   259858108           8         750  SH     DEFINED     01          50         700           0
DOV PHARMACEUTICAL INC          COM   259858108         338      29,900  SH     DEFINED  01,08      10,900      19,000           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    158
________

DOVER CORP                      COM   260003108      36,772   1,227,355  SH     DEFINED     01     664,043     533,004      30,308
DOVER CORP                      COM   260003108       1,473      49,155  SH     OTHER       01      24,501      16,698       7,956
DOVER CORP                      COM   260003108         586      19,555  SH     DEFINED     02      17,050       2,400         105
DOVER CORP                      COM   260003108          66       2,200  SH     OTHER       02       2,200           0           0
DOVER CORP                      COM   260003108         280       9,332  SH     DEFINED     03       4,000       5,332           0
DOVER CORP                      COM   260003108         132       4,400  SH     OTHER       03       2,000       2,400           0
DOVER CORP                      COM   260003108         230       7,670  SH     DEFINED     04       7,670           0           0
DOVER CORP                      COM   260003108         367      12,248  SH     OTHER       04      12,248           0           0
DOVER CORP                      COM   260003108          23         760  SH     DEFINED     05         760           0           0
DOVER CORP                      COM   260003108          15         500  SH     OTHER    01,06           0           0         500
DOVER CORP                      COM   260003108      26,646     889,374  SH     DEFINED  01,08     808,839      80,535           0
DOVER CORP                      COM   260003108         530      17,676  SH     DEFINED     10      15,276           0       2,400
DOVER CORP                      COM   260003108       1,244      41,526  SH     OTHER       10      22,475      17,926       1,125

DOVER DOWNS GAMING & ENTMT I    COM   260095104         521      56,311  SH     DEFINED     01      26,708      29,463         140
DOVER DOWNS GAMING & ENTMT I    COM   260095104           3         280  SH     DEFINED     04         280           0           0
DOVER DOWNS GAMING & ENTMT I    COM   260095104         280      30,320  SH     DEFINED  01,08       8,381      21,939           0

DOVER MOTORSPORTS INC           COM   260174107         317      77,310  SH     DEFINED     01      35,411      41,549         350
DOVER MOTORSPORTS INC           COM   260174107           2         400  SH     DEFINED     04         400           0           0
DOVER MOTORSPORTS INC           COM   260174107         387      94,372  SH     DEFINED  01,08      32,534      61,838           0

DOW CHEM CO                     COM   260543103     169,406   5,471,761  SH     DEFINED     01   2,981,014   2,380,509     110,238
DOW CHEM CO                     COM   260543103       5,325     172,012  SH     OTHER       01     100,556      48,582      22,874
DOW CHEM CO                     COM   260543103       1,375      44,409  SH     DEFINED     02      30,452       9,057       4,900
DOW CHEM CO                     COM   260543103         616      19,885  SH     OTHER       02      10,234       7,363       2,288
DOW CHEM CO                     COM   260543103       2,310      74,628  SH     DEFINED     03      42,618      23,367       8,643
DOW CHEM CO                     COM   260543103       1,262      40,751  SH     OTHER       03      28,016       4,032       8,703
DOW CHEM CO                     COM   260543103       9,850     318,157  SH     DEFINED     04     309,455           0       8,702
DOW CHEM CO                     COM   260543103       5,242     169,309  SH     OTHER       04     164,310           0       4,999
DOW CHEM CO                     COM   260543103       1,213      39,194  SH     DEFINED     05      32,164       1,300       5,730
DOW CHEM CO                     COM   260543103         209       6,745  SH     OTHER       05         595       2,250       3,900
DOW CHEM CO                     COM   260543103          72       2,311  SH     OTHER    01,06           0           0       2,311
DOW CHEM CO                     COM   260543103     144,523   4,668,067  SH     DEFINED  01,08   3,528,602   1,031,581     107,884
DOW CHEM CO                     COM   260543103       5,208     168,208  SH     DEFINED     10     104,501      18,702      45,005
DOW CHEM CO                     COM   260543103       2,229      72,004  SH     OTHER       10      40,706      31,298           0

DOW JONES & CO INC              COM   260561105      18,258     424,309  SH     DEFINED     01     218,751     199,427       6,131
DOW JONES & CO INC              COM   260561105         368       8,556  SH     OTHER       01           0       7,506       1,050
DOW JONES & CO INC              COM   260561105         129       2,990  SH     DEFINED     04       2,990           0           0
DOW JONES & CO INC              COM   260561105          52       1,208  SH     OTHER       04       1,208           0           0
DOW JONES & CO INC              COM   260561105           9         200  SH     OTHER    01,06           0           0         200
DOW JONES & CO INC              COM   260561105      12,951     300,976  SH     DEFINED  01,08     272,171      28,805           0
DOW JONES & CO INC              COM   260561105           9         215  SH     DEFINED     10          15         200           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    159
________

DOWNEY FINL CORP                COM   261018105       2,812      68,088  SH     DEFINED     01      31,430      34,170       2,488
DOWNEY FINL CORP                COM   261018105          12         300  SH     DEFINED     04         300           0           0
DOWNEY FINL CORP                COM   261018105          23         560  SH     OTHER    01,06           0           0         560
DOWNEY FINL CORP                COM   261018105       4,222     102,229  SH     DEFINED  01,08      48,577      53,652           0

DRAXIS HEALTH INC               COM   26150J101          26      16,000  SH     DEFINED     04      16,000           0           0

DRESS BARN INC                  COM   261570105       1,564     124,913  SH     DEFINED     01      63,229      58,684       3,000
DRESS BARN INC                  COM   261570105           8         600  SH     OTHER    01,06           0           0         600
DRESS BARN INC                  COM   261570105       2,613     208,735  SH     DEFINED  01,08     117,763      90,972           0

DREW INDS INC                   COM   26168L205         376      20,633  SH     DEFINED     01       9,033      11,500         100
DREW INDS INC                   COM   26168L205         519      28,524  SH     DEFINED  01,08       4,950      23,574           0

DREXLER TECHNOLOGY CORP         COM   261876106         582      37,844  SH     DEFINED     01      20,244      17,100         500
DREXLER TECHNOLOGY CORP         COM   261876106         697      45,284  SH     DEFINED  01,08      22,059      23,225           0

DREYFUS STRATEGIC MUNS INC      UNDEF 261932107           0       4,782         DEFINED     01       3,391       1,391           0
DREYFUS STRATEGIC MUNS INC      UNDEF 261932107           1       7,411         DEFINED     02       2,500       4,911           0
DREYFUS STRATEGIC MUNS INC      UNDEF 261932107          98       9,800         DEFINED     04       9,800           0           0
DREYFUS STRATEGIC MUNS INC      UNDEF 261932107          12       1,244         OTHER       04       1,244           0           0

DREYFUS STRATEGIC MUN BD FD     UNDEF 26202F107           0       2,049         DEFINED     01       2,049           0           0
DREYFUS STRATEGIC MUN BD FD     UNDEF 26202F107           0       1,162         DEFINED     02           0       1,162           0
DREYFUS STRATEGIC MUN BD FD     UNDEF 26202F107         165      18,500         DEFINED     04      18,500           0           0
DREYFUS STRATEGIC MUN BD FD     UNDEF 26202F107         174      19,498         OTHER       04      18,796           0         702

DRIL-QUIP INC                   COM   262037104         627      34,472  SH     DEFINED     01      13,432      20,240         800
DRIL-QUIP INC                   COM   262037104           6         350  SH     OTHER    01,06           0           0         350
DRIL-QUIP INC                   COM   262037104         905      49,738  SH     DEFINED  01,08      24,653      25,085           0

DRUGSTORE COM INC               COM   262241102         749     128,276  SH     DEFINED     01      60,176      67,400         700
DRUGSTORE COM INC               COM   262241102          12       2,000  SH     DEFINED     02           0       2,000           0
DRUGSTORE COM INC               COM   262241102           1         100  SH     DEFINED     04         100           0           0
DRUGSTORE COM INC               COM   262241102           6       1,000  SH     OTHER       04       1,000           0           0
DRUGSTORE COM INC               COM   262241102         968     165,727  SH     DEFINED  01,08      86,334      79,393           0
DRUGSTORE COM INC               COM   262241102           6       1,000  SH     OTHER       10           0       1,000           0

DSL NET INC                     COM   262506108           7      13,200  SH     DEFINED     01      13,200           0           0
DSL NET INC                     COM   262506108          49      94,451  SH     DEFINED  01,08      27,451      67,000           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    160
________

DU PONT E I DE NEMOURS & CO     COM   263534109     276,602   6,642,701  SH     DEFINED     01   3,760,187   2,669,485     213,029
DU PONT E I DE NEMOURS & CO     COM   263534109      18,396     441,781  SH     OTHER       01     181,215     208,317      52,249
DU PONT E I DE NEMOURS & CO     COM   263534109       7,197     172,840  SH     DEFINED     02     125,421      38,589       8,830
DU PONT E I DE NEMOURS & CO     COM   263534109       2,998      71,998  SH     OTHER       02      52,561      17,591       1,846
DU PONT E I DE NEMOURS & CO     COM   263534109       5,654     135,781  SH     DEFINED     03      76,529      40,027      19,225
DU PONT E I DE NEMOURS & CO     COM   263534109       8,080     194,051  SH     OTHER       03      66,597     125,239       2,215
DU PONT E I DE NEMOURS & CO     COM   263534109      46,023   1,105,248  SH     DEFINED     04   1,059,168           0      46,080
DU PONT E I DE NEMOURS & CO     COM   263534109      22,098     530,693  SH     OTHER       04     515,125           0      15,568
DU PONT E I DE NEMOURS & CO     COM   263534109       4,598     110,427  SH     DEFINED     05      96,062       8,105       6,260
DU PONT E I DE NEMOURS & CO     COM   263534109         708      17,009  SH     OTHER       05       7,644       6,765       2,600
DU PONT E I DE NEMOURS & CO     COM   263534109         108       2,600  SH     OTHER    01,06           0           0       2,600
DU PONT E I DE NEMOURS & CO     COM   263534109     178,527   4,287,383  SH     DEFINED  01,08   3,835,606     451,777           0
DU PONT E I DE NEMOURS & CO     COM   263534109       7,297     175,239  SH     DEFINED     10     132,489      32,484      10,266
DU PONT E I DE NEMOURS & CO     COM   263534109       1,667      40,045  SH     OTHER       10      24,752      14,793         500

DUANE READE INC                 COM   263578106       1,644     111,473  SH     DEFINED     01      81,350      28,173       1,950
DUANE READE INC                 COM   263578106           3         200  SH     DEFINED     04         200           0           0
DUANE READE INC                 COM   263578106           7         500  SH     OTHER    01,06           0           0         500
DUANE READE INC                 COM   263578106       1,273      86,322  SH     DEFINED  01,08      42,900      43,422           0

DUCKWALL-ALCO STORES INC NEW    COM   264142100          48       4,400  SH     DEFINED     01         700       3,700           0
DUCKWALL-ALCO STORES INC NEW    COM   264142100          83       7,660  SH     DEFINED  01,08       2,100       5,560           0

DUCOMMUN INC DEL                COM   264147109         507      35,970  SH     DEFINED     01      17,120      18,700         150
DUCOMMUN INC DEL                COM   264147109         865      61,380  SH     DEFINED  01,08      40,970      20,410           0

DUKE ENERGY CORP                COM   264399106     108,652   5,446,221  SH     DEFINED     01   2,944,838   2,419,917      81,466
DUKE ENERGY CORP                COM   264399106       1,971      98,795  SH     OTHER       01      50,756      43,966       4,073
DUKE ENERGY CORP                COM   264399106       1,415      70,943  SH     DEFINED     02      47,190      17,053       6,700
DUKE ENERGY CORP                COM   264399106         391      19,622  SH     OTHER       02      14,399       4,715         508
DUKE ENERGY CORP                COM   264399106       1,342      67,250  SH     DEFINED     03      50,970      14,595       1,685
DUKE ENERGY CORP                COM   264399106         263      13,200  SH     OTHER       03       7,780       4,420       1,000
DUKE ENERGY CORP                COM   264399106       1,944      97,449  SH     DEFINED     04      94,249           0       3,200
DUKE ENERGY CORP                COM   264399106       2,373     118,938  SH     OTHER       04     109,513           0       9,425
DUKE ENERGY CORP                COM   264399106       2,303     115,441  SH     DEFINED     05      38,110      12,075      65,256
DUKE ENERGY CORP                COM   264399106         150       7,508  SH     OTHER       05       6,000       1,508           0
DUKE ENERGY CORP                COM   264399106          46       2,300  SH     OTHER    01,06           0           0       2,300
DUKE ENERGY CORP                COM   264399106      77,601   3,889,779  SH     DEFINED  01,08   3,534,046     355,733           0
DUKE ENERGY CORP                COM   264399106       2,087     104,600  SH     DEFINED     10      91,380      13,020         200
DUKE ENERGY CORP                COM   264399106         676      33,860  SH     OTHER       10      28,610       5,250           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    161
________

DUKE REALTY CORP                COM   264411505       4,713     171,056  SH     DEFINED     01     107,255      56,865       6,936
DUKE REALTY CORP                COM   264411505         873      31,694  SH     OTHER       01      31,694           0           0
DUKE REALTY CORP                COM   264411505          15         550  SH     DEFINED     02         550           0           0
DUKE REALTY CORP                COM   264411505         209       7,600  SH     DEFINED     03         600       4,000       3,000
DUKE REALTY CORP                COM   264411505           3         100  SH     OTHER       03         100           0           0
DUKE REALTY CORP                COM   264411505          76       2,760  SH     DEFINED     04       2,760           0           0
DUKE REALTY CORP                COM   264411505         171       6,200  SH     OTHER       04       4,800           0       1,400
DUKE REALTY CORP                COM   264411505       6,445     233,935  SH     DEFINED  01,08     135,878      98,057           0
DUKE REALTY CORP                COM   264411505          19         700  SH     DEFINED     10         700           0           0

DUN & BRADSTREET CORP DEL NE    COM   26483E100      14,204     345,606  SH     DEFINED     01     136,119     203,321       6,166
DUN & BRADSTREET CORP DEL NE    COM   26483E100       4,049      98,506  SH     OTHER       01      11,628      17,157      69,721
DUN & BRADSTREET CORP DEL NE    COM   26483E100          19         452  SH     DEFINED     02          50         307          95
DUN & BRADSTREET CORP DEL NE    COM   26483E100         282       6,850  SH     OTHER       02       2,850       4,000           0
DUN & BRADSTREET CORP DEL NE    COM   26483E100         117       2,850  SH     DEFINED     03       2,350         500           0
DUN & BRADSTREET CORP DEL NE    COM   26483E100         320       7,783  SH     OTHER       03       7,458         225         100
DUN & BRADSTREET CORP DEL NE    COM   26483E100          67       1,637  SH     DEFINED     04       1,637           0           0
DUN & BRADSTREET CORP DEL NE    COM   26483E100         230       5,587  SH     OTHER       04       5,587           0           0
DUN & BRADSTREET CORP DEL NE    COM   26483E100          35         853  SH     DEFINED     05         853           0           0
DUN & BRADSTREET CORP DEL NE    COM   26483E100       7,729     188,047  SH     DEFINED  01,08     135,268      52,779           0
DUN & BRADSTREET CORP DEL NE    COM   26483E100           7         160  SH     DEFINED     10         160           0           0
DUN & BRADSTREET CORP DEL NE    COM   26483E100          14         350  SH     OTHER       10         350           0           0

DURA AUTOMOTIVE SYSTEMS CORP    COM   265903104         549      54,452  SH     DEFINED     01      29,423      24,079         950
DURA AUTOMOTIVE SYSTEMS CORP    COM   265903104         891      88,294  SH     DEFINED  01,08      58,860      29,434           0

DUPONT PHOTOMASKS INC           COM   26613X101         978      52,024  SH     DEFINED     01      30,455      20,969         600
DUPONT PHOTOMASKS INC           COM   26613X101          47       2,500  SH     DEFINED     04       2,500           0           0
DUPONT PHOTOMASKS INC           COM   26613X101           7         350  SH     OTHER    01,06           0           0         350
DUPONT PHOTOMASKS INC           COM   26613X101       1,629      86,657  SH     DEFINED  01,08      57,194      29,463           0

DURATEK INC                     COM   26658Q102         108      13,600  SH     DEFINED     01       1,100      12,500           0
DURATEK INC                     COM   26658Q102         193      24,333  SH     DEFINED  01,08       6,706      17,627           0

DURECT CORP                     COM   266605104         260     108,488  SH     DEFINED     01      59,843      46,995       1,650
DURECT CORP                     COM   266605104         249     103,816  SH     DEFINED  01,08      35,733      68,083           0

DUSA PHARMACEUTICALS INC        COM   266898105          34      13,600  SH     DEFINED     01       2,800      10,800           0
DUSA PHARMACEUTICALS INC        COM   266898105          52      20,602  SH     DEFINED  01,08       3,700      16,902           0

DURASWITCH INDUSTRIES INC       COM   266905207          19       9,300  SH     DEFINED     01       1,900       7,400           0
DURASWITCH INDUSTRIES INC       COM   266905207          16       7,572  SH     DEFINED  01,08       2,872       4,700           0

DWYER GROUP INC                 COM   267455103          35       5,300  SH     DEFINED     01           0       5,300           0
DWYER GROUP INC                 COM   267455103          65       9,800  SH     DEFINED  01,08       2,700       7,100           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    162
________

DYAX CORP                       COM   26746E103          79      19,300  SH     DEFINED     01       3,900      15,400           0
DYAX CORP                       COM   26746E103         157      38,490  SH     DEFINED  01,08      10,390      28,100           0

DYCOM INDS INC                  COM   267475101       3,910     239,868  SH     DEFINED     01     121,949     114,969       2,950
DYCOM INDS INC                  COM   267475101       2,228     136,664  SH     DEFINED  01,08      81,153      55,511           0

DYNAMIC MATLS CORP              COM   267888105          10       4,300  SH     DEFINED     01           0       4,300           0
DYNAMIC MATLS CORP              COM   267888105           2       1,000  SH     OTHER       01           0       1,000           0
DYNAMIC MATLS CORP              COM   267888105          14       5,900  SH     DEFINED  01,08       1,900       4,000           0

DYNACQ INTL INC                 COM   267919306         525      30,895  SH     DEFINED     01      15,756      15,039         100
DYNACQ INTL INC                 COM   267919306         865      50,958  SH     DEFINED  01,08      31,262      19,696           0

DYNAMICS RESH CORP              COM   268057106         350      22,910  SH     DEFINED     01      10,760      12,000         150
DYNAMICS RESH CORP              COM   268057106          15       1,000  SH     OTHER       02           0       1,000           0
DYNAMICS RESH CORP              COM   268057106         412      26,982  SH     DEFINED  01,08       3,809      23,173           0

DYNEGY INC NEW                  COM   26816Q101       8,280   1,971,506  SH     DEFINED     01   1,002,339     937,276      31,891
DYNEGY INC NEW                  COM   26816Q101           6       1,501  SH     OTHER       01         751           0         750
DYNEGY INC NEW                  COM   26816Q101           2         387  SH     DEFINED     02         387           0           0
DYNEGY INC NEW                  COM   26816Q101           1         150  SH     DEFINED     03           0         150           0
DYNEGY INC NEW                  COM   26816Q101          10       2,344  SH     DEFINED     04       1,344           0       1,000
DYNEGY INC NEW                  COM   26816Q101          58      13,800  SH     DEFINED     05      13,800           0           0
DYNEGY INC NEW                  COM   26816Q101           4       1,000  SH     OTHER    01,06           0           0       1,000
DYNEGY INC NEW                  COM   26816Q101       5,405   1,286,918  SH     DEFINED  01,08   1,147,697     139,221           0
DYNEGY INC NEW                  COM   26816Q101           0          60  SH     DEFINED     10          60           0           0

DYNEX CAP INC                   COM   26817Q506         518      86,974  SH     DEFINED     01      72,074      14,900           0
DYNEX CAP INC                   COM   26817Q506         119      20,000  SH     DEFINED     04      20,000           0           0
DYNEX CAP INC                   COM   26817Q506         114      19,200  SH     DEFINED  01,08       5,000      14,200           0

DYNTEK INC                      COM   268180106           1       1,000  SH     DEFINED     01       1,000           0           0
DYNTEK INC                      COM   268180106          14      17,869  SH     DEFINED  01,08      12,863       5,006           0

ECC INTL CORP                   COM   268255106          33       7,700  SH     DEFINED     01       1,200       6,500           0
ECC INTL CORP                   COM   268255106          89      20,584  SH     DEFINED  01,08       3,695      16,889           0

EFC BANCORP INC                 COM   268423100         165       9,155  SH     DEFINED     01       8,555         600           0
EFC BANCORP INC                 COM   268423100         123       6,813  SH     DEFINED  01,08       2,013       4,800           0

EGL INC                         COM   268484102       3,545     233,231  SH     DEFINED     01      93,658     137,273       2,300
EGL INC                         COM   268484102       2,162     142,245  SH     DEFINED  01,08      95,661      46,584           0

E-LOAN INC                      COM   26861P107          97      17,500  SH     DEFINED     01       8,200       9,300           0
E-LOAN INC                      COM   26861P107       1,135     204,861  SH     DEFINED  01,08     150,061      54,800           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    163
________

ELXSI CORP                      COM   268613205          29       8,200  SH     DEFINED     01         600       7,600           0
ELXSI CORP                      COM   268613205          32       9,035  SH     DEFINED  01,08       2,801       6,234           0

E M C CORP MASS                 COM   268648102     150,231  14,348,710  SH     DEFINED     01   8,282,522   5,823,971     242,217
E M C CORP MASS                 COM   268648102       3,000     286,492  SH     OTHER       01     133,951     129,731      22,810
E M C CORP MASS                 COM   268648102         680      64,979  SH     DEFINED     02      41,362      19,442       4,175
E M C CORP MASS                 COM   268648102         207      19,755  SH     OTHER       02      13,855       2,400       3,500
E M C CORP MASS                 COM   268648102         349      33,307  SH     DEFINED     03      10,414      20,455       2,438
E M C CORP MASS                 COM   268648102          91       8,680  SH     OTHER       03       5,430       3,250           0
E M C CORP MASS                 COM   268648102         972      92,851  SH     DEFINED     04      66,551           0      26,300
E M C CORP MASS                 COM   268648102         398      38,025  SH     OTHER       04      37,225           0         800
E M C CORP MASS                 COM   268648102       1,143     109,199  SH     DEFINED     05      86,214      19,375       3,610
E M C CORP MASS                 COM   268648102         405      38,638  SH     OTHER       05      25,260      12,700         678
E M C CORP MASS                 COM   268648102          59       5,600  SH     OTHER    01,06           0           0       5,600
E M C CORP MASS                 COM   268648102     105,020  10,030,538  SH     DEFINED  01,08   9,177,121     853,417           0
E M C CORP MASS                 COM   268648102       1,172     111,971  SH     DEFINED     10      27,471       4,500      80,000
E M C CORP MASS                 COM   268648102         183      17,488  SH     OTHER       10      14,282       3,206           0

EMC INS GROUP INC               COM   268664109         280      14,753  SH     DEFINED     01       3,553      11,200           0
EMC INS GROUP INC               COM   268664109         540      28,470  SH     DEFINED  01,08       5,231      23,239           0

EMS TECHNOLOGIES INC            COM   26873N108       1,590     117,844  SH     DEFINED     01      98,294      19,500          50
EMS TECHNOLOGIES INC            COM   26873N108          17       1,240  SH     OTHER       01           0       1,240           0
EMS TECHNOLOGIES INC            COM   26873N108         381      28,240  SH     DEFINED  01,08       9,725      18,515           0

ENSCO INTL INC                  COM   26874Q100      13,023     484,143  SH     DEFINED     01     177,184     296,026      10,933
ENSCO INTL INC                  COM   26874Q100         451      16,761  SH     OTHER       01       4,400      12,361           0
ENSCO INTL INC                  COM   26874Q100           7         246  SH     DEFINED     02           0           0         246
ENSCO INTL INC                  COM   26874Q100          13         500  SH     OTHER       02         500           0           0
ENSCO INTL INC                  COM   26874Q100           5         182  SH     DEFINED     03           0           0         182
ENSCO INTL INC                  COM   26874Q100      10,449     388,426  SH     DEFINED  01,08     282,905     105,521           0

EOG RES INC                     COM   26875P101      31,002     740,970  SH     DEFINED     01     430,518     299,979      10,473
EOG RES INC                     COM   26875P101         297       7,100  SH     OTHER       01           0       7,100           0
EOG RES INC                     COM   26875P101           6         135  SH     DEFINED     02          55           0          80
EOG RES INC                     COM   26875P101           9         210  SH     DEFINED     03         210           0           0
EOG RES INC                     COM   26875P101         130       3,100  SH     DEFINED     04       3,100           0           0
EOG RES INC                     COM   26875P101          13         310  SH     OTHER       04           0           0         310
EOG RES INC                     COM   26875P101          29         700  SH     DEFINED     05         700           0           0
EOG RES INC                     COM   26875P101          13         300  SH     OTHER    01,06           0           0         300
EOG RES INC                     COM   26875P101      21,185     506,344  SH     DEFINED  01,08     458,048      48,296           0
EOG RES INC                     COM   26875P101           1          20  SH     DEFINED     10          20           0           0

EON COMMUNICATIONS CORP         COM   268763109           3       2,300  SH     DEFINED     01       2,300           0           0
EON COMMUNICATIONS CORP         COM   268763109          16      14,781  SH     DEFINED  01,08       1,381      13,400           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    164
________

EOP OPER LTD PARTNERSHIP        CONDB 268766BR2       2,118   2,000,000  PRN    DEFINED     01   2,000,000           0           0

EP MEDSYSTEMS INC               COM   26881P103          10       3,900  SH     DEFINED     01       2,800       1,100           0
EP MEDSYSTEMS INC               COM   26881P103          69      28,252  SH     DEFINED  01,08       5,667      22,585           0

EPIX MEDICAL INC                COM   26881Q101         677      48,170  SH     DEFINED     01      21,970      25,400         800
EPIX MEDICAL INC                COM   26881Q101         595      42,354  SH     DEFINED  01,08      13,290      29,064           0

E PIPHANY INC                   COM   26881V100       1,204     235,600  SH     DEFINED     01     137,156      94,794       3,650
E PIPHANY INC                   COM   26881V100           4         875  SH     DEFINED     02           0           0         875
E PIPHANY INC                   COM   26881V100       1,425     278,794  SH     DEFINED  01,08     158,298     120,496           0

EPIQ SYS INC                    COM   26882D109         777      45,237  SH     DEFINED     01      26,078      19,059         100
EPIQ SYS INC                    COM   26882D109       1,072      62,390  SH     DEFINED  01,08      36,036      26,354           0

ESB FINL CORP                   COM   26884F102         330      24,242  SH     DEFINED     01      14,168      10,074           0
ESB FINL CORP                   COM   26884F102         255      18,701  SH     DEFINED  01,08       5,373      13,328           0

ESS TECHNOLOGY INC              COM   269151106       1,719     176,257  SH     DEFINED     01     127,229      45,778       3,250
ESS TECHNOLOGY INC              COM   269151106           5         500  SH     DEFINED     04         500           0           0
ESS TECHNOLOGY INC              COM   269151106           8         800  SH     OTHER    01,06           0           0         800
ESS TECHNOLOGY INC              COM   269151106       1,476     151,425  SH     DEFINED  01,08      76,799      74,626           0

E TRADE GROUP INC               COM   269246104       9,079   1,068,127  SH     DEFINED     01     391,489     663,133      13,505
E TRADE GROUP INC               COM   269246104          87      10,265  SH     DEFINED     04      10,265           0           0
E TRADE GROUP INC               COM   269246104          45       5,350  SH     OTHER       04       5,150           0         200
E TRADE GROUP INC               COM   269246104       7,013     825,116  SH     DEFINED  01,08     577,126     247,990           0

EVCI CAREER COLLEGES INC        COM   26926P100          11       4,200  SH     DEFINED     01         300       3,900           0
EVCI CAREER COLLEGES INC        COM   26926P100          17       6,600  SH     DEFINED  01,08         200       6,400           0

EXCO RESOURCES INC              COM   269279204         246      13,700  SH     DEFINED     01         900      12,800           0
EXCO RESOURCES INC              COM   269279204         273      15,200  SH     DEFINED  01,08       6,300       8,900           0

E Z EM INC                      COM   269305405         175      20,800  SH     DEFINED     01       2,100      18,700           0
E Z EM INC                      COM   269305405         136      16,182  SH     DEFINED  01,08       4,406      11,776           0

EAGLE SUPPLY GROUP INC          COM   269894101          14       8,400  SH     DEFINED     01           0       8,400           0
EAGLE SUPPLY GROUP INC          COM   269894101           4       2,395  SH     DEFINED  01,08       2,295         100           0

EARTHSHELL CORP                 COM   27032B100          82     190,635  SH     DEFINED     01      92,608      97,827         200
EARTHSHELL CORP                 COM   27032B100          75     173,753  SH     DEFINED  01,08      40,381     133,372           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    165
________

EARTHLINK INC                   COM   270321102       3,609     452,263  SH     DEFINED     01     254,819     190,998       6,446
EARTHLINK INC                   COM   270321102          40       5,000  SH     DEFINED     04       5,000           0           0
EARTHLINK INC                   COM   270321102           1         100  SH     OTHER       04         100           0           0
EARTHLINK INC                   COM   270321102       3,933     492,910  SH     DEFINED  01,08     229,376     263,534           0

EAST WEST BANCORP INC           COM   27579R104       3,476      96,217  SH     DEFINED     01      49,169      44,988       2,060
EAST WEST BANCORP INC           COM   27579R104          18         500  SH     OTHER    01,06           0           0         500
EAST WEST BANCORP INC           COM   27579R104       3,260      90,232  SH     DEFINED  01,08      46,410      43,822           0

EASTERN CO                      COM   276317104          47       3,250  SH     DEFINED     01         450       2,800           0
EASTERN CO                      COM   276317104         164      11,218  SH     DEFINED  01,08       1,601       9,617           0

EASTERN VA BANKSHARES INC       COM   277196101          18         800  SH     DEFINED     01         300         500           0
EASTERN VA BANKSHARES INC       COM   277196101         207       9,013  SH     DEFINED  01,08       2,613       6,400           0

EASTGROUP PPTY INC              COM   277276101       1,777      65,827  SH     DEFINED     01      43,339      21,638         850
EASTGROUP PPTY INC              COM   277276101          41       1,500  SH     DEFINED     04       1,500           0           0
EASTGROUP PPTY INC              COM   277276101           8         300  SH     OTHER       04         300           0           0
EASTGROUP PPTY INC              COM   277276101       1,221      45,217  SH     DEFINED  01,08      14,900      30,317           0
EASTGROUP PPTY INC              COM   277276101          57       2,100  SH     DEFINED     10       2,100           0           0

EASTMAN CHEM CO                 COM   277432100      14,301     451,571  SH     DEFINED     01     243,952     201,455       6,164
EASTMAN CHEM CO                 COM   277432100         191       6,025  SH     OTHER       01       1,991       2,756       1,278
EASTMAN CHEM CO                 COM   277432100          23         731  SH     DEFINED     02         731           0           0
EASTMAN CHEM CO                 COM   277432100           8         251  SH     DEFINED     03           0         251           0
EASTMAN CHEM CO                 COM   277432100          50       1,578  SH     OTHER       03       1,398         180           0
EASTMAN CHEM CO                 COM   277432100         285       9,009  SH     DEFINED     04       8,909           0         100
EASTMAN CHEM CO                 COM   277432100          39       1,226  SH     OTHER       04         467           0         759
EASTMAN CHEM CO                 COM   277432100           6         200  SH     OTHER    01,06           0           0         200
EASTMAN CHEM CO                 COM   277432100       9,850     311,022  SH     DEFINED  01,08     280,888      30,134           0
EASTMAN CHEM CO                 COM   277432100           4         126  SH     DEFINED     10         126           0           0
EASTMAN CHEM CO                 COM   277432100           9         275  SH     OTHER       10         250          25           0

EASTMAN KODAK CO                COM   277461109      46,772   1,710,122  SH     DEFINED     01     927,301     758,814      24,007
EASTMAN KODAK CO                COM   277461109         827      30,223  SH     OTHER       01      12,789      12,519       4,915
EASTMAN KODAK CO                COM   277461109          43       1,555  SH     DEFINED     02       1,250         305           0
EASTMAN KODAK CO                COM   277461109          25         926  SH     OTHER       02           0         926           0
EASTMAN KODAK CO                COM   277461109          44       1,605  SH     DEFINED     03         500       1,105           0
EASTMAN KODAK CO                COM   277461109         418      15,268  SH     OTHER       03      14,200         868         200
EASTMAN KODAK CO                COM   277461109         833      30,442  SH     DEFINED     04      30,242           0         200
EASTMAN KODAK CO                COM   277461109         268       9,811  SH     OTHER       04       7,336           0       2,475
EASTMAN KODAK CO                COM   277461109          19         700  SH     OTHER    01,06           0           0         700
EASTMAN KODAK CO                COM   277461109      35,011   1,280,110  SH     DEFINED  01,08   1,164,430     115,680           0
EASTMAN KODAK CO                COM   277461109          23         827  SH     DEFINED     10         702           0         125
EASTMAN KODAK CO                COM   277461109          38       1,400  SH     OTHER       10       1,300         100           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    166
________

EASYLINK SVCS CORP              COM   27784T200           3       5,039  SH     DEFINED     01         879       4,160           0
EASYLINK SVCS CORP              COM   27784T200           5       6,847  SH     DEFINED  01,08       4,071       2,776           0

EATON CORP                      COM   278058102      33,353     424,280  SH     DEFINED     01     221,153     194,028       9,099
EATON CORP                      COM   278058102          75         950  SH     OTHER       01           0         850         100
EATON CORP                      COM   278058102          47         600  SH     DEFINED     02         600           0           0
EATON CORP                      COM   278058102         226       2,874  SH     OTHER       02       2,874           0           0
EATON CORP                      COM   278058102          12         150  SH     DEFINED     03         100          50           0
EATON CORP                      COM   278058102         141       1,800  SH     OTHER       03       1,800           0           0
EATON CORP                      COM   278058102         212       2,700  SH     DEFINED     04       2,700           0           0
EATON CORP                      COM   278058102         515       6,550  SH     OTHER       04       1,850           0       4,700
EATON CORP                      COM   278058102          16         200  SH     OTHER    01,06           0           0         200
EATON CORP                      COM   278058102      24,141     307,099  SH     DEFINED  01,08     278,823      28,276           0
EATON CORP                      COM   278058102          73         932  SH     DEFINED     10         932           0           0
EATON CORP                      COM   278058102         102       1,296  SH     OTHER       10         696         600           0

EATON VANCE FL MUNI INCOME T    COM   27826B100         223      14,000  SH     DEFINED     04      14,000           0           0
EATON VANCE FL MUNI INCOME T    COM   27826B100          53       3,333  SH     OTHER       04           0           0       3,333

EATON VANCE CA MUNI INCOME T    UNDEF 27826F101           2      10,000         OTHER       03           0      10,000           0

EATON VANCE CORP                COM   278265103      16,573     524,477  SH     DEFINED     01     294,679     208,019      21,779
EATON VANCE CORP                COM   278265103       2,481      78,510  SH     OTHER       01      35,090      29,370      14,050
EATON VANCE CORP                COM   278265103       1,787      56,535  SH     DEFINED     02      43,975      10,175       2,385
EATON VANCE CORP                COM   278265103         453      14,340  SH     OTHER       02       9,840       4,500           0
EATON VANCE CORP                COM   278265103         638      20,205  SH     DEFINED     03      12,025       7,910         270
EATON VANCE CORP                COM   278265103         169       5,335  SH     OTHER       03       3,580         880         875
EATON VANCE CORP                COM   278265103       2,188      69,254  SH     DEFINED     04      67,629           0       1,625
EATON VANCE CORP                COM   278265103         905      28,635  SH     OTHER       04      28,290           0         345
EATON VANCE CORP                COM   278265103       2,139      67,675  SH     DEFINED     05      57,705       7,250       2,720
EATON VANCE CORP                COM   278265103         307       9,720  SH     OTHER       05       6,695       3,025           0
EATON VANCE CORP                COM   278265103       5,414     171,314  SH     DEFINED  01,08     123,918      47,396           0
EATON VANCE CORP                COM   278265103         454      14,355  SH     DEFINED     10      13,655           0         700


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    167
________

EBAY INC                        COM   278642103     217,337   2,089,780  SH     DEFINED     01   1,259,978     802,740      27,062
EBAY INC                        COM   278642103       2,711      26,065  SH     OTHER       01      11,950      12,590       1,525
EBAY INC                        COM   278642103         104         997  SH     DEFINED     02         292         600         105
EBAY INC                        COM   278642103          37         360  SH     OTHER       02         130         230           0
EBAY INC                        COM   278642103       2,162      20,787  SH     DEFINED     03      11,830       6,995       1,962
EBAY INC                        COM   278642103         415       3,995  SH     OTHER       03       1,495         900       1,600
EBAY INC                        COM   278642103       3,759      36,140  SH     DEFINED     04      34,940           0       1,200
EBAY INC                        COM   278642103       1,677      16,125  SH     OTHER       04      16,125           0           0
EBAY INC                        COM   278642103         476       4,575  SH     DEFINED     05       3,625           0         950
EBAY INC                        COM   278642103          83         800  SH     OTHER    01,06           0           0         800
EBAY INC                        COM   278642103     126,475   1,216,109  SH     DEFINED  01,08   1,116,775      99,334           0
EBAY INC                        COM   278642103         211       2,030  SH     DEFINED     10       1,330         700           0
EBAY INC                        COM   278642103         312       3,000  SH     OTHER       10       3,000           0           0

ECHELON CORP                    COM   27874N105       1,396     100,219  SH     DEFINED     01      55,642      43,927         650
ECHELON CORP                    COM   27874N105       1,673     120,136  SH     DEFINED  01,08      55,009      65,127           0

ECHOSTAR COMMUNICATIONS NEW     CONDB 278762AD1       2,978   3,000,000  PRN    DEFINED     01   3,000,000           0           0

ECHOSTAR COMMUNICATIONS NEW     COM   278762109      16,788     484,933  SH     DEFINED     01     340,568     133,738      10,627
ECHOSTAR COMMUNICATIONS NEW     COM   278762109          76       2,200  SH     OTHER       04       2,200           0           0
ECHOSTAR COMMUNICATIONS NEW     COM   278762109          87       2,500  SH     OTHER       05       2,500           0           0
ECHOSTAR COMMUNICATIONS NEW     COM   278762109      18,008     520,153  SH     DEFINED  01,08     348,775     171,378           0
ECHOSTAR COMMUNICATIONS NEW     COM   278762109         138       4,000  SH     DEFINED     10       4,000           0           0

ECLIPSYS CORP                   COM   278856109       2,106     200,226  SH     DEFINED     01     137,503      60,623       2,100
ECLIPSYS CORP                   COM   278856109       1,230     116,888  SH     DEFINED  01,08      42,666      74,222           0

ECOLAB INC                      COM   278865100      59,687   2,331,537  SH     DEFINED     01   1,494,351     781,674      55,512
ECOLAB INC                      COM   278865100       3,865     150,988  SH     OTHER       01      70,410      64,080      16,498
ECOLAB INC                      COM   278865100       1,519      59,340  SH     DEFINED     02      31,090      24,350       3,900
ECOLAB INC                      COM   278865100         159       6,210  SH     OTHER       02       3,110       3,100           0
ECOLAB INC                      COM   278865100      12,777     499,119  SH     DEFINED     03     252,100     160,334      86,685
ECOLAB INC                      COM   278865100       2,329      90,987  SH     OTHER       03      63,107      14,650      13,230
ECOLAB INC                      COM   278865100      18,706     730,695  SH     DEFINED     04     707,721           0      22,974
ECOLAB INC                      COM   278865100       5,629     219,870  SH     OTHER       04     213,870           0       6,000
ECOLAB INC                      COM   278865100       4,815     188,080  SH     DEFINED     05     158,190      21,020       8,870
ECOLAB INC                      COM   278865100         983      38,382  SH     OTHER       05      23,232      14,750         400
ECOLAB INC                      COM   278865100          15         600  SH     OTHER    01,06           0           0         600
ECOLAB INC                      COM   278865100      27,444   1,072,017  SH     DEFINED  01,08     971,331     100,686           0
ECOLAB INC                      COM   278865100       1,294      50,561  SH     DEFINED     10      43,841       1,650       5,070
ECOLAB INC                      COM   278865100         358      13,968  SH     OTHER       10       1,250      12,718           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    168
________

ECOLLEGE COM                    COM   27887E100          68       5,967  SH     DEFINED     01       2,750       3,217           0
ECOLLEGE COM                    COM   27887E100         390      34,307  SH     DEFINED  01,08      12,107      22,200           0
ECOLLEGE COM                    COM   27887E100          28       2,500  SH     DEFINED     10       2,500           0           0

ECOLOGY & ENVIRONMENT INC       COM   278878103          16       1,900  SH     DEFINED     01         300       1,600           0
ECOLOGY & ENVIRONMENT INC       COM   278878103          29       3,400  SH     OTHER       01           0       3,400           0
ECOLOGY & ENVIRONMENT INC       COM   278878103          48       5,565  SH     DEFINED  01,08       1,075       4,490           0

EDELBROCK CORP                  COM   279434104          47       4,550  SH     DEFINED     01         770       3,780           0
EDELBROCK CORP                  COM   279434104         100       9,679  SH     DEFINED  01,08       2,736       6,943           0

EDEN BIOSCIENCE CORP            COM   279445100          44      27,400  SH     DEFINED     01       4,600      22,800           0
EDEN BIOSCIENCE CORP            COM   279445100          71      43,800  SH     DEFINED  01,08      11,500      32,300           0

EDGAR ONLINE INC                COM   279765101          19      17,300  SH     DEFINED     01       3,000      14,300           0
EDGAR ONLINE INC                COM   279765101          14      12,685  SH     DEFINED  01,08       4,085       8,600           0

EDGE PETE CORP DEL              COM   279862106          75      13,300  SH     DEFINED     01       1,200      12,100           0
EDGE PETE CORP DEL              COM   279862106           1         250  SH     DEFINED     04         250           0           0
EDGE PETE CORP DEL              COM   279862106          95      16,700  SH     DEFINED  01,08       4,300      12,400           0

EDGEWATER TECHNOLOGY INC        COM   280358102         161      33,538  SH     DEFINED     01       3,402      30,136           0
EDGEWATER TECHNOLOGY INC        COM   280358102         121      25,192  SH     DEFINED  01,08       5,159      20,033           0

EDISON INTL                     COM   281020107      30,475   1,854,831  SH     DEFINED     01     972,311     848,843      33,677
EDISON INTL                     COM   281020107          21       1,300  SH     OTHER       01           0       1,000         300
EDISON INTL                     COM   281020107          14         865  SH     DEFINED     02         100           0         765
EDISON INTL                     COM   281020107          21       1,300  SH     OTHER       02           0       1,300           0
EDISON INTL                     COM   281020107          37       2,264  SH     DEFINED     03       1,400         150         714
EDISON INTL                     COM   281020107         540      32,849  SH     OTHER       03      32,609           0         240
EDISON INTL                     COM   281020107          26       1,600  SH     OTHER       04       1,600           0           0
EDISON INTL                     COM   281020107           6         363  SH     DEFINED     05           0         363           0
EDISON INTL                     COM   281020107          13         800  SH     OTHER    01,06           0           0         800
EDISON INTL                     COM   281020107      22,556   1,372,848  SH     DEFINED  01,08   1,243,961     128,887           0
EDISON INTL                     COM   281020107           1          46  SH     DEFINED     10          46           0           0

EDISON SCHOOLS INC              COM   281033100          76      50,800  SH     DEFINED     01       8,200      42,600           0
EDISON SCHOOLS INC              COM   281033100           0          85  SH     DEFINED     02          85           0           0
EDISON SCHOOLS INC              COM   281033100         127      84,877  SH     DEFINED  01,08      22,577      62,300           0

EDO CORP                        COM   281347104       1,029      58,124  SH     DEFINED     01      29,236      25,938       2,950
EDO CORP                        COM   281347104           7         400  SH     OTHER    01,06           0           0         400
EDO CORP                        COM   281347104       1,816     102,618  SH     DEFINED  01,08      69,010      33,608           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    169
________

EDUCATION MGMT CORP             COM   28139T101       5,506     103,807  SH     DEFINED     01      37,442      64,722       1,643
EDUCATION MGMT CORP             COM   28139T101       4,591      86,548  SH     DEFINED  01,08      55,008      31,540           0

EDUCATIONAL DEV CORP            COM   281479105          45       4,400  SH     DEFINED     01           0       4,400           0
EDUCATIONAL DEV CORP            COM   281479105         114      11,107  SH     DEFINED  01,08       1,679       9,428           0

J D EDWARDS & CO                COM   281667105       1,955     136,588  SH     DEFINED     01      90,360      42,110       4,118
J D EDWARDS & CO                COM   281667105       2,710     189,358  SH     DEFINED  01,08     107,250      82,108           0

EDWARDS LIFESCIENCES CORP       COM   28176E108       7,919     246,393  SH     DEFINED     01     123,312     119,120       3,961
EDWARDS LIFESCIENCES CORP       COM   28176E108         184       5,727  SH     OTHER       01       1,530       4,197           0
EDWARDS LIFESCIENCES CORP       COM   28176E108          16         500  SH     DEFINED     02           0         500           0
EDWARDS LIFESCIENCES CORP       COM   28176E108         204       6,359  SH     DEFINED     03       6,359           0           0
EDWARDS LIFESCIENCES CORP       COM   28176E108           6         190  SH     OTHER       03         130          60           0
EDWARDS LIFESCIENCES CORP       COM   28176E108         141       4,373  SH     DEFINED     04       4,373           0           0
EDWARDS LIFESCIENCES CORP       COM   28176E108         154       4,788  SH     OTHER       04       4,088           0         700
EDWARDS LIFESCIENCES CORP       COM   28176E108       4,363     135,761  SH     DEFINED  01,08      93,156      42,605           0
EDWARDS LIFESCIENCES CORP       COM   28176E108          16         495  SH     DEFINED     10         420          75           0

EDWARDS AG INC                  COM   281760108       9,391     274,589  SH     DEFINED     01     105,955     156,518      12,116
EDWARDS AG INC                  COM   281760108          85       2,484  SH     OTHER       01         200       2,284           0
EDWARDS AG INC                  COM   281760108          39       1,150  SH     DEFINED     02         150           0       1,000
EDWARDS AG INC                  COM   281760108          29         843  SH     OTHER       02         843           0           0
EDWARDS AG INC                  COM   281760108         478      13,975  SH     DEFINED     04      13,975           0           0
EDWARDS AG INC                  COM   281760108          62       1,800  SH     OTHER       04       1,800           0           0
EDWARDS AG INC                  COM   281760108       6,408     187,370  SH     DEFINED  01,08     129,283      58,087           0
EDWARDS AG INC                  COM   281760108          47       1,362  SH     DEFINED     10       1,362           0           0
EDWARDS AG INC                  COM   281760108          17         500  SH     OTHER       10         500           0           0

EFUNDS CORP                     COM   28224R101       2,974     257,515  SH     DEFINED     01     193,903      57,974       5,638
EFUNDS CORP                     COM   28224R101          20       1,750  SH     DEFINED     02           0       1,750           0
EFUNDS CORP                     COM   28224R101           3         220  SH     OTHER       03         220           0           0
EFUNDS CORP                     COM   28224R101          72       6,197  SH     OTHER       04       6,197           0           0
EFUNDS CORP                     COM   28224R101          10         900  SH     OTHER    01,06           0           0         900
EFUNDS CORP                     COM   28224R101       3,081     266,789  SH     DEFINED  01,08     183,813      82,976           0

EGAIN COMMUNICATIONS            COM   28225C103           9      20,203  SH     DEFINED     01       6,488      13,715           0
EGAIN COMMUNICATIONS            COM   28225C103          27      56,499  SH     DEFINED  01,08      17,504      38,995           0

8X8 INC NEW                     COM   282914100          12      24,300  SH     DEFINED     01       3,800      20,500           0
8X8 INC NEW                     COM   282914100          17      34,140  SH     DEFINED  01,08      11,240      22,900           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    170
________

EL PASO CORP                    COM   28336L109      27,306   3,379,488  SH     DEFINED     01   1,770,788   1,550,396      58,304
EL PASO CORP                    COM   28336L109          41       5,091  SH     OTHER       01       4,541           0         550
EL PASO CORP                    COM   28336L109          16       2,020  SH     DEFINED     02       1,500           0         520
EL PASO CORP                    COM   28336L109          24       3,003  SH     OTHER       02       1,527           0       1,476
EL PASO CORP                    COM   28336L109           2         270  SH     DEFINED     03           0         250          20
EL PASO CORP                    COM   28336L109           1         102  SH     OTHER       03         102           0           0
EL PASO CORP                    COM   28336L109         190      23,481  SH     DEFINED     04         307           0      23,174
EL PASO CORP                    COM   28336L109          25       3,125  SH     OTHER       04       2,125           0       1,000
EL PASO CORP                    COM   28336L109           2         300  SH     DEFINED     05         300           0           0
EL PASO CORP                    COM   28336L109           1         100  SH     OTHER       05           0         100           0
EL PASO CORP                    COM   28336L109          12       1,500  SH     OTHER    01,06           0           0       1,500
EL PASO CORP                    COM   28336L109      20,775   2,571,183  SH     DEFINED  01,08   2,334,211     236,972           0
EL PASO CORP                    COM   28336L109          38       4,674  SH     DEFINED     10       4,674           0           0
EL PASO CORP                    COM   28336L109           8       1,000  SH     OTHER       10       1,000           0           0

EL PASO ELEC CO                 COM   283677854       2,333     189,224  SH     DEFINED     01      96,756      89,668       2,800
EL PASO ELEC CO                 COM   283677854          12       1,000  SH     OTHER    01,06           0           0       1,000
EL PASO ELEC CO                 COM   283677854       2,326     188,645  SH     DEFINED  01,08      97,770      90,875           0

ELAN PLC                        COM   284131208           9       1,625  SH     DEFINED     01       1,300         325           0
ELAN PLC                        COM   284131208           7       1,250  SH     OTHER       01           0       1,250           0
ELAN PLC                        COM   284131208           3         500  SH     DEFINED     02         400         100           0
ELAN PLC                        COM   284131208           3         500  SH     DEFINED     03         400           0         100
ELAN PLC                        COM   284131208           2         375  SH     OTHER       03         125         250           0
ELAN PLC                        COM   284131208         129      22,800  SH     DEFINED     04      22,400           0         400
ELAN PLC                        COM   284131208          27       4,775  SH     OTHER       04       4,775           0           0
ELAN PLC                        COM   284131208           1         136  SH     DEFINED     05         136           0           0
ELAN PLC                        COM   284131208          14       2,400  SH     OTHER       05       2,400           0           0
ELAN PLC                        COM   284131208         139      24,700  SH     DEFINED  01,08      24,700           0           0

ELDER BEERMAN STORES CORP NE    COM   284470101          75      12,900  SH     DEFINED     01       2,700      10,200           0
ELDER BEERMAN STORES CORP NE    COM   284470101         123      21,042  SH     DEFINED  01,08       5,742      15,300           0

ELDERTRUST                      COM   284560109           8       1,000  SH     DEFINED     01       1,000           0           0
ELDERTRUST                      COM   284560109         110      13,600  SH     DEFINED  01,08       3,700       9,900           0

ELECTRIC FUEL CORP              COM   284871100          26      32,100  SH     DEFINED     01       1,500      30,600           0
ELECTRIC FUEL CORP              COM   284871100          21      25,874  SH     DEFINED  01,08      13,374      12,500           0

ELECTRO RENT CORP               COM   285218103       1,149     107,298  SH     DEFINED     01      76,737      30,261         300
ELECTRO RENT CORP               COM   285218103       1,261     117,730  SH     DEFINED  01,08      52,193      65,537           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    171
________

ELECTRO SCIENTIFIC INDS         COM   285229100       1,439      94,927  SH     DEFINED     01      57,668      35,709       1,550
ELECTRO SCIENTIFIC INDS         COM   285229100          20       1,300  SH     OTHER       01       1,300           0           0
ELECTRO SCIENTIFIC INDS         COM   285229100           8         550  SH     OTHER    01,06           0           0         550
ELECTRO SCIENTIFIC INDS         COM   285229100       2,168     142,999  SH     DEFINED  01,08      95,674      47,325           0
ELECTRO SCIENTIFIC INDS         COM   285229100           5         300  SH     DEFINED     10         300           0           0

ELECTRO-SENSORS INC             COM   285233102           4       1,200  SH     DEFINED     01           0       1,200           0
ELECTRO-SENSORS INC             COM   285233102          36      11,524  SH     DEFINED  01,08       2,155       9,369           0

ELECTROGLAS INC                 COM   285324109          88      64,067  SH     DEFINED     01      33,422      30,045         600
ELECTROGLAS INC                 COM   285324109          65      47,783  SH     DEFINED  01,08      10,011      37,772           0
ELECTROGLAS INC                 COM   285324109           5       3,700  SH     OTHER       10       3,700           0           0

ELECTRONIC ARTS INC             COM   285512109      85,469   1,156,548  SH     DEFINED     01     737,893     390,565      28,090
ELECTRONIC ARTS INC             COM   285512109         931      12,594  SH     OTHER       01       2,030           0      10,564
ELECTRONIC ARTS INC             COM   285512109           2          30  SH     DEFINED     02           0          30           0
ELECTRONIC ARTS INC             COM   285512109          37         500  SH     OTHER       02         300         200           0
ELECTRONIC ARTS INC             COM   285512109       4,453      60,260  SH     DEFINED     03      32,246      22,715       5,299
ELECTRONIC ARTS INC             COM   285512109       2,911      39,394  SH     OTHER       03      35,594       2,000       1,800
ELECTRONIC ARTS INC             COM   285512109      10,765     145,667  SH     DEFINED     04     143,217           0       2,450
ELECTRONIC ARTS INC             COM   285512109       3,727      50,430  SH     OTHER       04      49,945           0         485
ELECTRONIC ARTS INC             COM   285512109         881      11,926  SH     DEFINED     05      10,376       1,220         330
ELECTRONIC ARTS INC             COM   285512109          44         600  SH     OTHER       05         300         300           0
ELECTRONIC ARTS INC             COM   285512109          30         400  SH     OTHER    01,06           0           0         400
ELECTRONIC ARTS INC             COM   285512109      45,666     617,945  SH     DEFINED  01,08     565,712      52,233           0
ELECTRONIC ARTS INC             COM   285512109         527       7,135  SH     DEFINED     10       6,875           0         260
ELECTRONIC ARTS INC             COM   285512109         132       1,780  SH     OTHER       10          40       1,740           0

ELECTRONIC DATA SYS NEW         COM   285661104      65,701   3,062,978  SH     DEFINED     01   1,710,424   1,304,529      48,025
ELECTRONIC DATA SYS NEW         COM   285661104         228      10,640  SH     OTHER       01       6,903       3,312         425
ELECTRONIC DATA SYS NEW         COM   285661104         182       8,499  SH     DEFINED     02       7,499           0       1,000
ELECTRONIC DATA SYS NEW         COM   285661104          22       1,032  SH     OTHER       02         912         120           0
ELECTRONIC DATA SYS NEW         COM   285661104         718      33,462  SH     DEFINED     03      23,025       8,350       2,087
ELECTRONIC DATA SYS NEW         COM   285661104          19         875  SH     OTHER       03         875           0           0
ELECTRONIC DATA SYS NEW         COM   285661104       4,116     191,890  SH     DEFINED     04     187,065           0       4,825
ELECTRONIC DATA SYS NEW         COM   285661104         709      33,063  SH     OTHER       04      32,963           0         100
ELECTRONIC DATA SYS NEW         COM   285661104         959      44,688  SH     DEFINED     05      29,456       1,325      13,907
ELECTRONIC DATA SYS NEW         COM   285661104          41       1,890  SH     OTHER       05         700       1,190           0
ELECTRONIC DATA SYS NEW         COM   285661104          14         650  SH     OTHER    01,06           0           0         650
ELECTRONIC DATA SYS NEW         COM   285661104      56,834   2,649,619  SH     DEFINED  01,08   1,848,440     766,309      34,870
ELECTRONIC DATA SYS NEW         COM   285661104         828      38,620  SH     DEFINED     10      36,095       2,525           0

ELECTRONICS BOUTIQUE HLDGS C    COM   286045109       1,122      48,923  SH     DEFINED     01      23,151      25,122         650
ELECTRONICS BOUTIQUE HLDGS C    COM   286045109       1,945      84,804  SH     DEFINED  01,08      46,592      38,212           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    172
________

ELECTRONICS FOR IMAGING INC     COM   286082102       5,187     256,763  SH     DEFINED     01     179,704      74,059       3,000
ELECTRONICS FOR IMAGING INC     COM   286082102          26       1,300  SH     OTHER       01       1,300           0           0
ELECTRONICS FOR IMAGING INC     COM   286082102           6         301  SH     DEFINED     02           0           0         301
ELECTRONICS FOR IMAGING INC     COM   286082102          10         500  SH     DEFINED     04         500           0           0
ELECTRONICS FOR IMAGING INC     COM   286082102       3,722     184,261  SH     DEFINED  01,08      81,188     103,073           0
ELECTRONICS FOR IMAGING INC     COM   286082102           2         120  SH     DEFINED     10           0           0         120

ELIZABETH ARDEN INC             COM   28660G106         718      54,452  SH     DEFINED     01      31,793      21,859         800
ELIZABETH ARDEN INC             COM   28660G106          66       5,000  SH     DEFINED     04           0           0       5,000
ELIZABETH ARDEN INC             COM   28660G106         883      67,018  SH     DEFINED  01,08      36,810      30,208           0

ELKCORP                         COM   287456107       1,957      86,993  SH     DEFINED     01      41,503      35,240      10,250
ELKCORP                         COM   287456107           9         400  SH     OTHER    01,06           0           0         400
ELKCORP                         COM   287456107       2,465     109,566  SH     DEFINED  01,08      61,063      48,503           0

ELLIS PERRY INTL INC            COM   288853104         133       6,800  SH     DEFINED     01       1,400       5,400           0
ELLIS PERRY INTL INC            COM   288853104         258      13,250  SH     DEFINED  01,08       4,733       8,517           0

ELOYALTY CORP                   COM   290151307          26       6,657  SH     DEFINED     01       1,002       5,655           0
ELOYALTY CORP                   COM   290151307          44      11,251  SH     DEFINED  01,08       3,299       7,952           0

EMAGIN CORP                     COM   29076N107          15      25,500  SH     DEFINED     01       1,700      23,800           0
EMAGIN CORP                     COM   29076N107          16      27,473  SH     DEFINED  01,08       6,473      21,000           0

EMBARCADERO TECHNOLOGIES INC    COM   290787100         353      50,133  SH     DEFINED     01      24,182      25,751         200
EMBARCADERO TECHNOLOGIES INC    COM   290787100           4         600  SH     DEFINED     02           0           0         600
EMBARCADERO TECHNOLOGIES INC    COM   290787100         392      55,731  SH     DEFINED  01,08      17,183      38,548           0

EMBREX INC                      COM   290817105         252      24,806  SH     DEFINED     01      14,356      10,300         150
EMBREX INC                      COM   290817105         189      18,657  SH     DEFINED  01,08       4,266      14,391           0

EMCOR GROUP INC                 COM   29084Q100       2,702      54,731  SH     DEFINED     01      29,884      21,797       3,050
EMCOR GROUP INC                 COM   29084Q100          42         850  SH     OTHER       01           0         850           0
EMCOR GROUP INC                 COM   29084Q100          15         300  SH     OTHER    01,06           0           0         300
EMCOR GROUP INC                 COM   29084Q100       3,827      77,530  SH     DEFINED  01,08      49,326      28,204           0

EMCORE CORP                     COM   290846104         332     101,762  SH     DEFINED     01      59,975      41,137         650
EMCORE CORP                     COM   290846104         256      78,494  SH     DEFINED  01,08      16,606      61,888           0

EMERGE INTERACTIVE INC          COM   29088W103           5       6,338  SH     DEFINED     01       6,338           0           0
EMERGE INTERACTIVE INC          COM   29088W103          23      30,000  SH     DEFINED     04      30,000           0           0
EMERGE INTERACTIVE INC          COM   29088W103          28      36,538  SH     DEFINED  01,08       6,080      30,458           0
EMERGE INTERACTIVE INC          COM   29088W103           0         300  SH     DEFINED     10         300           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    173
________

EMERITUS CORP                   COM   291005106          40       9,500  SH     DEFINED     01       1,500       8,000           0
EMERITUS CORP                   COM   291005106          73      17,340  SH     DEFINED  01,08       4,156      13,184           0

EMERSON ELEC CO                 COM   291011104     155,497   3,042,999  SH     DEFINED     01   1,769,541   1,181,331      92,127
EMERSON ELEC CO                 COM   291011104      14,725     288,160  SH     OTHER       01     139,036     122,316      26,808
EMERSON ELEC CO                 COM   291011104       4,598      89,984  SH     DEFINED     02      63,084      25,170       1,730
EMERSON ELEC CO                 COM   291011104       2,918      57,102  SH     OTHER       02      42,952      12,920       1,230
EMERSON ELEC CO                 COM   291011104       2,782      54,451  SH     DEFINED     03      26,102      23,575       4,774
EMERSON ELEC CO                 COM   291011104       2,843      55,633  SH     OTHER       03      36,423      10,310       8,900
EMERSON ELEC CO                 COM   291011104      12,500     244,626  SH     DEFINED     04     233,529           0      11,097
EMERSON ELEC CO                 COM   291011104       6,363     124,520  SH     OTHER       04     119,520           0       5,000
EMERSON ELEC CO                 COM   291011104       2,146      41,989  SH     DEFINED     05      35,534       2,075       4,380
EMERSON ELEC CO                 COM   291011104         309       6,040  SH     OTHER       05       1,730       3,310       1,000
EMERSON ELEC CO                 COM   291011104          56       1,100  SH     OTHER    01,06           0           0       1,100
EMERSON ELEC CO                 COM   291011104     119,510   2,338,747  SH     DEFINED  01,08   1,631,297     620,608      86,842
EMERSON ELEC CO                 COM   291011104       7,129     139,507  SH     DEFINED     10      74,543      32,758      32,206
EMERSON ELEC CO                 COM   291011104       2,411      47,191  SH     OTHER       10      24,964      22,227           0

EMERSON RADIO CORP              COM   291087203         200      29,800  SH     DEFINED     01       6,800      23,000           0
EMERSON RADIO CORP              COM   291087203         406      60,440  SH     DEFINED  01,08      19,461      40,979           0

EMISPHERE TECHNOLOGIES INC      COM   291345106          66      18,300  SH     DEFINED     01       3,600      14,700           0
EMISPHERE TECHNOLOGIES INC      COM   291345106         117      32,371  SH     DEFINED  01,08       8,478      23,893           0

EMMIS COMMUNICATIONS CORP       COM   291525103       3,694     159,727  SH     DEFINED     01      60,203      97,760       1,764
EMMIS COMMUNICATIONS CORP       COM   291525103          56       2,400  SH     OTHER       04       2,400           0           0
EMMIS COMMUNICATIONS CORP       COM   291525103       2,870     124,083  SH     DEFINED  01,08      87,719      36,364           0

EMPIRE DIST ELEC CO             COM   291641108       1,818      83,609  SH     DEFINED     01      43,707      38,402       1,500
EMPIRE DIST ELEC CO             COM   291641108       2,090      96,080  SH     DEFINED  01,08      54,760      41,320           0

EN POINTE TECHNOLOGIES INC      COM   29247F108           4       6,100  SH     DEFINED     01         800       5,300           0
EN POINTE TECHNOLOGIES INC      COM   29247F108           6       8,728  SH     DEFINED  01,08       1,519       7,209           0

EMULEX CORP                     COM   292475209       2,545     111,760  SH     DEFINED     01      69,691      38,224       3,845
EMULEX CORP                     COM   292475209          51       2,230  SH     DEFINED     04       2,230           0           0
EMULEX CORP                     COM   292475209       3,417     150,070  SH     DEFINED  01,08      91,810      58,260           0

ENBRIDGE ENERGY PARTNERS L P    COM   29250R106          38         800  SH     DEFINED     01         300         500           0
ENBRIDGE ENERGY PARTNERS L P    COM   29250R106          14         300  SH     DEFINED     02           0         300           0
ENBRIDGE ENERGY PARTNERS L P    COM   29250R106          24         500  SH     OTHER       02         100         400           0
ENBRIDGE ENERGY PARTNERS L P    COM   29250R106          38         800  SH     DEFINED     03           0         800           0
ENBRIDGE ENERGY PARTNERS L P    COM   29250R106         498      10,400  SH     DEFINED     04      10,400           0           0
ENBRIDGE ENERGY PARTNERS L P    COM   29250R106         297       6,201  SH     OTHER       04       5,801           0         400
ENBRIDGE ENERGY PARTNERS L P    COM   29250R106          57       1,200  SH     DEFINED     10       1,200           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    174
________

ENCANA CORP                     COM   292505104      14,531     378,700  SH     DEFINED     01     339,485      35,630       3,585
ENCANA CORP                     COM   292505104       2,221      57,886  SH     OTHER       01      21,145      31,741       5,000
ENCANA CORP                     COM   292505104       1,326      34,550  SH     DEFINED     02      30,375       3,425         750
ENCANA CORP                     COM   292505104         119       3,100  SH     OTHER       02         100       2,800         200
ENCANA CORP                     COM   292505104       2,612      68,085  SH     DEFINED     03      34,284      29,186       4,615
ENCANA CORP                     COM   292505104         363       9,465  SH     OTHER       03       9,015         450           0
ENCANA CORP                     COM   292505104       5,580     145,418  SH     DEFINED     04     143,618           0       1,800
ENCANA CORP                     COM   292505104       1,893      49,338  SH     OTHER       04      49,138           0         200
ENCANA CORP                     COM   292505104       2,105      54,850  SH     DEFINED     05      46,225       6,470       2,155
ENCANA CORP                     COM   292505104         254       6,625  SH     OTHER       05       5,825         800           0
ENCANA CORP                     COM   292505104         408      10,626  SH     DEFINED     10      10,336         250          40
ENCANA CORP                     COM   292505104          28         720  SH     OTHER       10         180         540           0

ENCORE ACQUISITION CO           COM   29255W100         484      25,296  SH     DEFINED     01      20,490       4,556         250
ENCORE ACQUISITION CO           COM   29255W100       1,150      60,030  SH     DEFINED  01,08      15,082      44,948           0

ENCORE MED CORP                 COM   29256E109           5       1,300  SH     DEFINED     01       1,300           0           0
ENCORE MED CORP                 COM   29256E109          92      25,000  SH     DEFINED     04      25,000           0           0
ENCORE MED CORP                 COM   29256E109          70      18,910  SH     DEFINED  01,08       4,410      14,500           0

ENCYSIVE PHARMACEUTICALS INC    COM   29256X107         660     138,016  SH     DEFINED     01      86,248      50,668       1,100
ENCYSIVE PHARMACEUTICALS INC    COM   29256X107         581     121,632  SH     DEFINED  01,08      40,660      80,972           0

ENCORE WIRE CORP                COM   292562105         487      52,499  SH     DEFINED     01      28,010      24,189         300
ENCORE WIRE CORP                COM   292562105         343      36,989  SH     DEFINED  01,08      10,503      26,486           0

ENDWAVE CORP                    COM   29264A206          39      14,875  SH     DEFINED     01      10,275       4,600           0
ENDWAVE CORP                    COM   29264A206          30      11,225  SH     DEFINED  01,08       2,325       8,900           0

ENDO PHARMACEUTICALS HLDGS I    COM   29264F205       4,158     248,251  SH     DEFINED     01     154,539      92,262       1,450
ENDO PHARMACEUTICALS HLDGS I    COM   29264F205       2,235     133,450  SH     DEFINED  01,08      43,422      90,028           0

ENERGEN CORP                    COM   29265N108       4,149     124,593  SH     DEFINED     01      69,222      52,371       3,000
ENERGEN CORP                    COM   29265N108          47       1,400  SH     OTHER       02       1,400           0           0
ENERGEN CORP                    COM   29265N108          22         670  SH     OTHER    01,06           0           0         670
ENERGEN CORP                    COM   29265N108       6,136     184,268  SH     DEFINED  01,08     118,480      65,788           0

ENERGY CONVERSION DEVICES IN    COM   292659109         509      54,171  SH     DEFINED     01      30,432      23,389         350
ENERGY CONVERSION DEVICES IN    COM   292659109          19       2,000  SH     DEFINED     04       2,000           0           0
ENERGY CONVERSION DEVICES IN    COM   292659109         701      74,538  SH     DEFINED  01,08      43,370      31,168           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    175
________

ENERGY EAST CORP                COM   29266M109       9,863     475,078  SH     DEFINED     01     181,642     288,371       5,065
ENERGY EAST CORP                COM   29266M109          21       1,000  SH     OTHER       01       1,000           0           0
ENERGY EAST CORP                COM   29266M109           8         400  SH     OTHER       02           0         400           0
ENERGY EAST CORP                COM   29266M109          62       3,000  SH     DEFINED     03       3,000           0           0
ENERGY EAST CORP                COM   29266M109           4         200  SH     OTHER       03         200           0           0
ENERGY EAST CORP                COM   29266M109          13         616  SH     DEFINED     04         616           0           0
ENERGY EAST CORP                COM   29266M109          80       3,867  SH     OTHER       04       3,867           0           0
ENERGY EAST CORP                COM   29266M109       6,565     316,211  SH     DEFINED  01,08     211,149     105,062           0
ENERGY EAST CORP                COM   29266M109          29       1,410  SH     OTHER       10           0       1,410           0

ENERGIZER HLDGS INC             COM   29266R108       9,385     298,872  SH     DEFINED     01     118,279     173,906       6,687
ENERGIZER HLDGS INC             COM   29266R108          28         900  SH     OTHER       01           0         900           0
ENERGIZER HLDGS INC             COM   29266R108         450      14,345  SH     DEFINED     02      14,345           0           0
ENERGIZER HLDGS INC             COM   29266R108          34       1,091  SH     OTHER       02       1,091           0           0
ENERGIZER HLDGS INC             COM   29266R108         116       3,699  SH     DEFINED     04       3,699           0           0
ENERGIZER HLDGS INC             COM   29266R108          27         871  SH     OTHER       04         100           0         771
ENERGIZER HLDGS INC             COM   29266R108       6,608     210,434  SH     DEFINED  01,08     147,761      62,673           0
ENERGIZER HLDGS INC             COM   29266R108           5         146  SH     DEFINED     10         146           0           0
ENERGIZER HLDGS INC             COM   29266R108       1,104      35,144  SH     OTHER       10       5,144      30,000           0

ENDOLOGIX INC                   COM   29266S106          47      13,700  SH     DEFINED     01       2,500      11,200           0
ENDOLOGIX INC                   COM   29266S106           0          12  SH     DEFINED     04          12           0           0
ENDOLOGIX INC                   COM   29266S106         100      29,211  SH     DEFINED  01,08       9,653      19,558           0

ENERGY PARTNERS LTD             COM   29270U105         629      54,456  SH     DEFINED     01      42,731      10,475       1,250
ENERGY PARTNERS LTD             COM   29270U105         261      22,631  SH     DEFINED  01,08       9,940      12,691           0

ENERGY WEST INC                 COM   29274A105          31       5,100  SH     DEFINED     01         300       4,800           0
ENERGY WEST INC                 COM   29274A105          15       2,500  SH     OTHER       04       2,500           0           0
ENERGY WEST INC                 COM   29274A105          27       4,500  SH     DEFINED  01,08       1,058       3,442           0

ENGELHARD CORP                  COM   292845104      18,391     742,484  SH     DEFINED     01     399,223     330,462      12,799
ENGELHARD CORP                  COM   292845104          77       3,125  SH     OTHER       01           0       3,000         125
ENGELHARD CORP                  COM   292845104          30       1,225  SH     DEFINED     03           0       1,225           0
ENGELHARD CORP                  COM   292845104           7         300  SH     OTHER    01,06           0           0         300
ENGELHARD CORP                  COM   292845104      12,264     495,129  SH     DEFINED  01,08     445,732      49,397           0
ENGELHARD CORP                  COM   292845104          36       1,465  SH     DEFINED     10       1,050           0         415

ENGINEERED SUPPORT SYS INC      COM   292866100       2,102      50,412  SH     DEFINED     01      27,505      19,847       3,060
ENGINEERED SUPPORT SYS INC      COM   292866100          15         350  SH     OTHER    01,06           0           0         350
ENGINEERED SUPPORT SYS INC      COM   292866100       3,379      81,033  SH     DEFINED  01,08      50,663      30,370           0

ENDOCARDIAL SOLUTIONS INC       COM   292962107         225      37,606  SH     DEFINED     01      25,381      11,925         300
ENDOCARDIAL SOLUTIONS INC       COM   292962107         252      42,097  SH     DEFINED  01,08       9,500      32,597           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    176
________

ENERGYSOUTH INC                 COM   292970100         364      11,210  SH     DEFINED     01       4,210       6,900         100
ENERGYSOUTH INC                 COM   292970100         442      13,609  SH     DEFINED  01,08       2,810      10,799           0

ENESCO GROUP INC                COM   292973104         276      37,346  SH     DEFINED     01      25,696      11,600          50
ENESCO GROUP INC                COM   292973104           2         300  SH     OTHER    01,06           0           0         300
ENESCO GROUP INC                COM   292973104         245      33,133  SH     DEFINED  01,08      15,633      17,500           0

ENGLOBAL CORP                   COM   293306106          46      20,300  SH     DEFINED     01       1,800      18,500           0
ENGLOBAL CORP                   COM   293306106          30      13,500  SH     DEFINED  01,08       9,600       3,900           0

ENNIS BUSINESS FORMS INC        COM   293389102         987      67,827  SH     DEFINED     01      31,927      35,600         300
ENNIS BUSINESS FORMS INC        COM   293389102          15       1,000  SH     DEFINED     04       1,000           0           0
ENNIS BUSINESS FORMS INC        COM   293389102         603      41,447  SH     DEFINED  01,08      12,718      28,729           0

ENPRO INDS INC                  COM   29355X107         309      28,900  SH     DEFINED     01       4,093      24,807           0
ENPRO INDS INC                  COM   29355X107         450      42,100  SH     DEFINED  01,08      14,400      27,700           0
ENPRO INDS INC                  COM   29355X107           1         100  SH     OTHER       10         100           0           0

ENTEGRIS INC                    COM   29362U104       2,420     179,378  SH     DEFINED     01     101,922      75,256       2,200
ENTEGRIS INC                    COM   29362U104       2,602     192,858  SH     DEFINED  01,08      75,736     117,122           0
ENTEGRIS INC                    COM   29362U104          27       2,000  SH     DEFINED     10       2,000           0           0

ENTERASYS NETWORKS INC          COM   293637104       1,798     593,253  SH     DEFINED     01     334,858     249,045       9,350
ENTERASYS NETWORKS INC          COM   293637104       1,910     630,262  SH     DEFINED  01,08     270,237     360,025           0
ENTERASYS NETWORKS INC          COM   293637104           3       1,050  SH     DEFINED     10       1,050           0           0

ENTERCOM COMMUNICATIONS CORP    COM   293639100       7,185     146,596  SH     DEFINED     01      52,123      92,798       1,675
ENTERCOM COMMUNICATIONS CORP    COM   293639100       4,744      96,802  SH     DEFINED  01,08      63,399      33,403           0

ENTERGY CORP NEW                COM   29364G103      68,222   1,292,565  SH     DEFINED     01     668,028     603,293      21,244
ENTERGY CORP NEW                COM   29364G103         362       6,866  SH     OTHER       01       2,000       3,300       1,566
ENTERGY CORP NEW                COM   29364G103          32         600  SH     DEFINED     02         600           0           0
ENTERGY CORP NEW                COM   29364G103          26         500  SH     OTHER       02         500           0           0
ENTERGY CORP NEW                COM   29364G103       1,377      26,083  SH     DEFINED     03      15,158      10,380         545
ENTERGY CORP NEW                COM   29364G103         413       7,825  SH     OTHER       03       5,460         825       1,540
ENTERGY CORP NEW                COM   29364G103         585      11,081  SH     DEFINED     04      11,081           0           0
ENTERGY CORP NEW                COM   29364G103         193       3,650  SH     OTHER       04       3,650           0           0
ENTERGY CORP NEW                COM   29364G103          32         600  SH     OTHER    01,06           0           0         600
ENTERGY CORP NEW                COM   29364G103      50,917     964,706  SH     DEFINED  01,08     874,023      90,683           0
ENTERGY CORP NEW                COM   29364G103          39         730  SH     DEFINED     10         730           0           0
ENTERGY CORP NEW                COM   29364G103          26         500  SH     OTHER       10         500           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    177
________

ENTERPRISE PRODS PARTNERS L     COM   293792107         442      19,600  SH     DEFINED     01      19,600           0           0
ENTERPRISE PRODS PARTNERS L     COM   293792107          45       2,000  SH     OTHER       01           0       2,000           0
ENTERPRISE PRODS PARTNERS L     COM   293792107          11         500  SH     DEFINED     02         500           0           0
ENTERPRISE PRODS PARTNERS L     COM   293792107          23       1,000  SH     OTHER       04       1,000           0           0

ENTERTAINMENT PPTYS TR          COM   29380T105       1,604      55,807  SH     DEFINED     01      33,894      20,913       1,000
ENTERTAINMENT PPTYS TR          COM   29380T105       1,341      46,636  SH     DEFINED  01,08      13,907      32,729           0

ENTREMED INC                    COM   29382F103          90      21,570  SH     DEFINED     01       4,470      17,100           0
ENTREMED INC                    COM   29382F103           9       2,100  SH     DEFINED     04       1,800           0         300
ENTREMED INC                    COM   29382F103         173      41,726  SH     DEFINED  01,08       9,826      31,900           0

ENTRAVISION COMMUNICATIONS C    COM   29382R107       1,357     119,589  SH     DEFINED     01      36,782      80,930       1,877
ENTRAVISION COMMUNICATIONS C    COM   29382R107       1,552     136,731  SH     DEFINED  01,08      36,831      99,900           0

ENTRUST INC                     COM   293848107         540     190,958  SH     DEFINED     01     120,197      69,561       1,200
ENTRUST INC                     COM   293848107           1         400  SH     DEFINED     04         400           0           0
ENTRUST INC                     COM   293848107         559     197,368  SH     DEFINED  01,08      91,260     106,108           0

ENZON PHARMACEUTICALS INC       COM   293904108       1,810     144,238  SH     DEFINED     01      91,141      50,697       2,400
ENZON PHARMACEUTICALS INC       COM   293904108          19       1,500  SH     DEFINED     02           0           0       1,500
ENZON PHARMACEUTICALS INC       COM   293904108           4         279  SH     DEFINED     03           0           0         279
ENZON PHARMACEUTICALS INC       COM   293904108           0           3  SH     OTHER       04           3           0           0
ENZON PHARMACEUTICALS INC       COM   293904108       2,126     169,431  SH     DEFINED  01,08      91,835      77,596           0

ENVIRONMENTAL ELEMENTS CORP     COM   293940102           6       2,900  SH     DEFINED     01       1,000       1,900           0
ENVIRONMENTAL ELEMENTS CORP     COM   293940102          25      12,300  SH     DEFINED  01,08       3,016       9,284           0

ENVIRONMENTAL TECTONICS CORP    COM   294092101          42       8,100  SH     DEFINED     01       1,300       6,800           0
ENVIRONMENTAL TECTONICS CORP    COM   294092101          65      12,657  SH     DEFINED  01,08       3,357       9,300           0

ENZO BIOCHEM INC                COM   294100102       1,807      83,957  SH     DEFINED     01      49,719      31,505       2,733
ENZO BIOCHEM INC                COM   294100102          71       3,307  SH     DEFINED     04       3,307           0           0
ENZO BIOCHEM INC                COM   294100102          11         530  SH     OTHER    01,06           0           0         530
ENZO BIOCHEM INC                COM   294100102       2,288     106,297  SH     DEFINED  01,08      48,627      57,670           0

EON LABS INC                    COM   29412E100       5,117     145,627  SH     DEFINED     01     102,277      42,700         650
EON LABS INC                    COM   29412E100       1,474      41,953  SH     DEFINED  01,08      11,100      30,853           0

EPIMMUNE INC                    COM   29425Y101           3       1,800  SH     DEFINED     01       1,800           0           0
EPIMMUNE INC                    COM   29425Y101          15      10,519  SH     DEFINED  01,08       1,994       8,525           0

EPICOR SOFTWARE CORP            COM   29426L108         269      44,900  SH     DEFINED     01       8,500      36,400           0
EPICOR SOFTWARE CORP            COM   29426L108           3         500  SH     DEFINED     04         500           0           0
EPICOR SOFTWARE CORP            COM   29426L108         552      92,027  SH     DEFINED  01,08      34,094      57,933           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    178
________

EPLUS INC                       COM   294268107         153      14,400  SH     DEFINED     01         700      13,700           0
EPLUS INC                       COM   294268107         186      17,523  SH     DEFINED  01,08       4,623      12,900           0

EPRESENCE INC                   COM   294348107          84      34,100  SH     DEFINED     01       4,600      29,400         100
EPRESENCE INC                   COM   294348107         101      40,961  SH     DEFINED  01,08      10,908      30,053           0

EQUIFIN INC                     COM   29442V106           0         900  SH     DEFINED     01           0         900           0
EQUIFIN INC                     COM   29442V106           5      12,900  SH     DEFINED  01,08       1,148      11,752           0

EQUIFAX INC                     COM   294429105      20,530     789,604  SH     DEFINED     01     416,244     360,843      12,517
EQUIFAX INC                     COM   294429105         348      13,370  SH     OTHER       01           0       1,245      12,125
EQUIFAX INC                     COM   294429105         168       6,450  SH     DEFINED     02       5,300         750         400
EQUIFAX INC                     COM   294429105          42       1,600  SH     OTHER       02       1,600           0           0
EQUIFAX INC                     COM   294429105          57       2,200  SH     DEFINED     03         550       1,650           0
EQUIFAX INC                     COM   294429105         780      30,000  SH     OTHER       03      30,000           0           0
EQUIFAX INC                     COM   294429105       1,088      41,852  SH     DEFINED     04      41,852           0           0
EQUIFAX INC                     COM   294429105         283      10,900  SH     OTHER       04       7,900           0       3,000
EQUIFAX INC                     COM   294429105          10         400  SH     OTHER    01,06           0           0         400
EQUIFAX INC                     COM   294429105      15,466     594,836  SH     DEFINED  01,08     540,973      53,863           0
EQUIFAX INC                     COM   294429105          14         523  SH     DEFINED     10         523           0           0
EQUIFAX INC                     COM   294429105          52       2,000  SH     OTHER       10           0       2,000           0

EQUITABLE RES INC               COM   294549100       8,784     215,617  SH     DEFINED     01      87,355     121,450       6,812
EQUITABLE RES INC               COM   294549100          20         500  SH     OTHER       02         500           0           0
EQUITABLE RES INC               COM   294549100          41       1,000  SH     DEFINED     04       1,000           0           0
EQUITABLE RES INC               COM   294549100         222       5,446  SH     OTHER       04       5,446           0           0
EQUITABLE RES INC               COM   294549100       6,709     164,669  SH     DEFINED  01,08     119,703      44,966           0
EQUITABLE RES INC               COM   294549100          61       1,500  SH     DEFINED     10       1,200         300           0

EQUITEX INC                     COM   294592308          31      29,600  SH     DEFINED     01         700      28,900           0
EQUITEX INC                     COM   294592308         364     346,412  SH     DEFINED     04     346,412           0           0
EQUITEX INC                     COM   294592308          27      25,864  SH     DEFINED  01,08       3,064      22,800           0

EQUITY INCOME FD                COM   294700703         823      10,164  SH     OTHER       01           0      10,164           0
EQUITY INCOME FD                COM   294700703          49         600  SH     DEFINED     02         500         100           0
EQUITY INCOME FD                COM   294700703         141       1,744  SH     OTHER       02       1,744           0           0
EQUITY INCOME FD                COM   294700703         179       2,205  SH     DEFINED     03       2,205           0           0
EQUITY INCOME FD                COM   294700703          24         300  SH     OTHER       03         100         200           0
EQUITY INCOME FD                COM   294700703         219       2,706  SH     DEFINED     04       2,706           0           0
EQUITY INCOME FD                COM   294700703         954      11,773  SH     OTHER       04      11,623           0         150

EQUITY INNS INC                 COM   294703103         735     106,592  SH     DEFINED     01      79,332      26,250       1,010
EQUITY INNS INC                 COM   294703103         766     111,066  SH     DEFINED  01,08      36,478      74,588           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    179
________

EQUITY MARKETING INC            COM   294724109          81       5,500  SH     DEFINED     01       1,300       4,200           0
EQUITY MARKETING INC            COM   294724109         150      10,164  SH     DEFINED  01,08       2,713       7,451           0

EQUITY OFFICE PROPERTIES TRU    COM   294741103      70,289   2,602,344  SH     DEFINED     01   1,454,900   1,088,938      58,506
EQUITY OFFICE PROPERTIES TRU    COM   294741103       2,003      74,173  SH     OTHER       01      46,943      25,155       2,075
EQUITY OFFICE PROPERTIES TRU    COM   294741103         492      18,199  SH     DEFINED     02      14,900       2,099       1,200
EQUITY OFFICE PROPERTIES TRU    COM   294741103          93       3,450  SH     OTHER       02         950       2,500           0
EQUITY OFFICE PROPERTIES TRU    COM   294741103       2,354      87,143  SH     DEFINED     03      49,407      21,626      16,110
EQUITY OFFICE PROPERTIES TRU    COM   294741103         433      16,015  SH     OTHER       03      11,565       4,150         300
EQUITY OFFICE PROPERTIES TRU    COM   294741103       6,368     235,748  SH     DEFINED     04     229,313           0       6,435
EQUITY OFFICE PROPERTIES TRU    COM   294741103       2,524      93,440  SH     OTHER       04      85,642           0       7,798
EQUITY OFFICE PROPERTIES TRU    COM   294741103         461      17,050  SH     DEFINED     05      16,215           0         835
EQUITY OFFICE PROPERTIES TRU    COM   294741103          67       2,465  SH     OTHER       05       2,465           0           0
EQUITY OFFICE PROPERTIES TRU    COM   294741103          30       1,100  SH     OTHER    01,06           0           0       1,100
EQUITY OFFICE PROPERTIES TRU    COM   294741103      49,684   1,839,457  SH     DEFINED  01,08   1,674,857     164,600           0
EQUITY OFFICE PROPERTIES TRU    COM   294741103         645      23,894  SH     DEFINED     10      23,344         550           0
EQUITY OFFICE PROPERTIES TRU    COM   294741103         194       7,200  SH     OTHER       10       5,800       1,400           0

EQUITY OIL CO                   COM   294749106          41      14,800  SH     DEFINED     01         100      14,700           0
EQUITY OIL CO                   COM   294749106         109      39,118  SH     DEFINED  01,08       4,682      34,436           0

EQUITY ONE                      COM   294752100       2,617     159,565  SH     DEFINED     01     104,455      52,216       2,894
EQUITY ONE                      COM   294752100       2,196     133,879  SH     DEFINED  01,08      38,545      95,334           0
EQUITY ONE                      COM   294752100          15         900  SH     DEFINED     10         900           0           0

EQUITY RESIDENTIAL              COM   29476L107      45,140   1,739,506  SH     DEFINED     01     944,228     723,653      71,625
EQUITY RESIDENTIAL              COM   29476L107       1,078      41,525  SH     OTHER       01      24,860      14,915       1,750
EQUITY RESIDENTIAL              COM   29476L107         499      19,235  SH     DEFINED     02      14,435       1,000       3,800
EQUITY RESIDENTIAL              COM   29476L107         278      10,695  SH     OTHER       02       2,920       2,775       5,000
EQUITY RESIDENTIAL              COM   29476L107         782      30,142  SH     DEFINED     03      17,595      10,945       1,602
EQUITY RESIDENTIAL              COM   29476L107         235       9,055  SH     OTHER       03       7,920       1,135           0
EQUITY RESIDENTIAL              COM   29476L107         608      23,444  SH     DEFINED     04      23,444           0           0
EQUITY RESIDENTIAL              COM   29476L107         256       9,850  SH     OTHER       04       5,930           0       3,920
EQUITY RESIDENTIAL              COM   29476L107           5         200  SH     DEFINED     05         200           0           0
EQUITY RESIDENTIAL              COM   29476L107          38       1,475  SH     OTHER       05       1,475           0           0
EQUITY RESIDENTIAL              COM   29476L107          18         700  SH     OTHER    01,06           0           0         700
EQUITY RESIDENTIAL              COM   29476L107      31,687   1,221,062  SH     DEFINED  01,08   1,114,856     106,206           0
EQUITY RESIDENTIAL              COM   29476L107         137       5,287  SH     DEFINED     10       4,040       1,247           0
EQUITY RESIDENTIAL              COM   29476L107          67       2,575  SH     OTHER       10       2,575           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    180
________

EQUITY RESIDENTIAL              CONPF 29476L859          13         500         DEFINED     01         500           0           0
EQUITY RESIDENTIAL              CONPF 29476L859          19         750         OTHER       01           0         750           0
EQUITY RESIDENTIAL              CONPF 29476L859          69       2,700         DEFINED     02       2,300         400           0
EQUITY RESIDENTIAL              CONPF 29476L859          46       1,800         OTHER       02           0       1,300         500
EQUITY RESIDENTIAL              CONPF 29476L859          25       1,000         DEFINED     03           0       1,000           0
EQUITY RESIDENTIAL              CONPF 29476L859          99       3,900         OTHER       03       2,900           0       1,000
EQUITY RESIDENTIAL              CONPF 29476L859         247       9,700         DEFINED     04       9,700           0           0
EQUITY RESIDENTIAL              CONPF 29476L859          59       2,300         OTHER       04       2,300           0           0
EQUITY RESIDENTIAL              CONPF 29476L859          38       1,500         DEFINED     10       1,500           0           0

ERESEARCHTECHNOLOGY INC         COM   29481V108       1,340      59,964  SH     DEFINED     01      35,664      24,300           0
ERESEARCHTECHNOLOGY INC         COM   29481V108       2,208      98,829  SH     DEFINED  01,08      63,951      34,878           0

ERICSSON L M TEL CO             COM   294821608          26       2,450  SH     DEFINED     01       2,160          80         210
ERICSSON L M TEL CO             COM   294821608           5         480  SH     OTHER       01         480           0           0
ERICSSON L M TEL CO             COM   294821608          36       3,360  SH     DEFINED     03       3,330          30           0
ERICSSON L M TEL CO             COM   294821608          27       2,520  SH     OTHER       03         660       1,860           0
ERICSSON L M TEL CO             COM   294821608          90       8,433  SH     DEFINED  01,08       8,433           0           0

ERIE INDTY CO                   COM   29530P102       1,716      41,588  SH     DEFINED     01      30,119      10,119       1,350
ERIE INDTY CO                   COM   29530P102       2,782      67,436  SH     DEFINED  01,08      26,436      41,000           0

ESCALADE INC                    COM   296056104         221      13,752  SH     DEFINED     01       6,152       7,600           0
ESCALADE INC                    COM   296056104         418      26,042  SH     DEFINED  01,08       3,013      23,029           0

ESCO TECHNOLOGIES INC           COM   296315104       2,703      61,438  SH     DEFINED     01      39,282      21,256         900
ESCO TECHNOLOGIES INC           COM   296315104           4          85  SH     OTHER       01          85           0           0
ESCO TECHNOLOGIES INC           COM   296315104          35         800  SH     DEFINED     04         800           0           0
ESCO TECHNOLOGIES INC           COM   296315104       2,626      59,692  SH     DEFINED  01,08      32,340      27,352           0

ESPERION THERAPEUTICS INC       COM   29664R106       1,951     100,403  SH     DEFINED     01      61,314      37,339       1,750
ESPERION THERAPEUTICS INC       COM   29664R106       2,097     107,906  SH     DEFINED  01,08      54,935      52,971           0

ESPEED INC                      COM   296643109       2,797     141,553  SH     DEFINED     01     104,739      35,494       1,320
ESPEED INC                      COM   296643109       2,172     109,943  SH     DEFINED  01,08      58,988      50,955           0

ESSEX PPTY TR INC               COM   297178105       3,316      57,925  SH     DEFINED     01      35,749      20,726       1,450
ESSEX PPTY TR INC               COM   297178105          63       1,100  SH     DEFINED     04       1,100           0           0
ESSEX PPTY TR INC               COM   297178105          26         450  SH     OTHER    01,06           0           0         450
ESSEX PPTY TR INC               COM   297178105       3,780      66,020  SH     DEFINED  01,08      30,228      35,792           0

ESTERLINE TECHNOLOGIES CORP     COM   297425100       2,423     139,198  SH     DEFINED     01     107,759      30,139       1,300
ESTERLINE TECHNOLOGIES CORP     COM   297425100           7         400  SH     OTHER    01,06           0           0         400
ESTERLINE TECHNOLOGIES CORP     COM   297425100       1,664      95,556  SH     DEFINED  01,08      51,921      43,635           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    181
________

ETHAN ALLEN INTERIORS INC       COM   297602104       1,430      40,662  SH     DEFINED     01      24,492      13,014       3,156
ETHAN ALLEN INTERIORS INC       COM   297602104           5         150  SH     DEFINED     03           0         150           0
ETHAN ALLEN INTERIORS INC       COM   297602104          26         750  SH     OTHER    01,06           0           0         750
ETHAN ALLEN INTERIORS INC       COM   297602104       4,255     121,005  SH     DEFINED  01,08      63,429      57,576           0

ETHYL CORP                      COM   297659609         324      32,577  SH     DEFINED     01      13,577      19,000           0
ETHYL CORP                      COM   297659609         332      33,320  SH     DEFINED  01,08      11,140      22,180           0

EUNIVERSE INC                   COM   298412107          65      36,299  SH     DEFINED     01      28,499       7,800           0
EUNIVERSE INC                   COM   298412107          73      40,939  SH     DEFINED  01,08      10,700      30,239           0

EURONET WORLDWIDE INC           COM   298736109         593      55,146  SH     DEFINED     01      38,996      15,300         850
EURONET WORLDWIDE INC           COM   298736109         902      83,924  SH     DEFINED  01,08      49,190      34,734           0

EVANS & SUTHERLAND COMPUTER     COM   299096107          86      15,100  SH     DEFINED     01       2,100      13,000           0
EVANS & SUTHERLAND COMPUTER     COM   299096107         128      22,449  SH     DEFINED  01,08       4,712      17,737           0

EVERCEL INC                     COM   299759100          21      11,300  SH     DEFINED     01       1,300      10,000           0
EVERCEL INC                     COM   299759100          25      13,966  SH     DEFINED  01,08       4,732       9,234           0

EVERGREEN RES INC               COM   299900308       5,252      96,709  SH     DEFINED     01      66,792      24,767       5,150
EVERGREEN RES INC               COM   299900308         206       3,800  SH     OTHER       02           0       3,800           0
EVERGREEN RES INC               COM   299900308          15         285  SH     DEFINED     03           0         200          85
EVERGREEN RES INC               COM   299900308         136       2,500  SH     OTHER       04       2,500           0           0
EVERGREEN RES INC               COM   299900308          22         400  SH     OTHER    01,06           0           0         400
EVERGREEN RES INC               COM   299900308       3,974      73,170  SH     DEFINED  01,08      39,018      34,152           0
EVERGREEN RES INC               COM   299900308          11         200  SH     DEFINED     10           0           0         200

EVERGREEN SOLAR INC             COM   30033R108           8       5,600  SH     DEFINED     01       2,000       3,600           0
EVERGREEN SOLAR INC             COM   30033R108          20      15,100  SH     DEFINED  01,08       2,400      12,700           0

EVERTRUST FINL GROUP INC        COM   300412103         255      11,100  SH     DEFINED     01      11,100           0           0
EVERTRUST FINL GROUP INC        COM   300412103           9         400  SH     DEFINED  01,08         400           0           0

EVOLVING SYS INC                COM   30049R100          61      18,700  SH     DEFINED     01       2,500      16,200           0
EVOLVING SYS INC                COM   30049R100         109      33,286  SH     DEFINED  01,08       6,986      26,300           0

EXACT SCIENCES CORP             COM   30063P105         532      48,623  SH     DEFINED     01      28,187      20,436           0
EXACT SCIENCES CORP             COM   30063P105         514      46,961  SH     DEFINED  01,08      15,955      31,006           0

EXACTECH INC                    COM   30064E109         166      11,300  SH     DEFINED     01       2,200       9,100           0
EXACTECH INC                    COM   30064E109         291      19,830  SH     DEFINED  01,08       7,630      12,200           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    182
________

EXAR CORP                       COM   300645108       2,091     134,048  SH     DEFINED     01      81,982      48,166       3,900
EXAR CORP                       COM   300645108          12         800  SH     OTHER    01,06           0           0         800
EXAR CORP                       COM   300645108       3,156     202,277  SH     DEFINED  01,08     132,329      69,948           0

EXCEL TECHNOLOGY INC            COM   30067T103       1,021      44,440  SH     DEFINED     01      19,559      19,621       5,260
EXCEL TECHNOLOGY INC            COM   30067T103           1          35  SH     DEFINED     04           0           0          35
EXCEL TECHNOLOGY INC            COM   30067T103       1,051      45,718  SH     DEFINED  01,08      27,933      17,785           0

EXCHANGE NATL BANCSHARES INC    COM   301309100          26         460  SH     DEFINED     01         260         200           0
EXCHANGE NATL BANCSHARES INC    COM   301309100         302       5,400  SH     DEFINED  01,08       1,800       3,600           0

EXE TECHNOLOGIES INC            COM   301504601          30       6,042  SH     DEFINED     01       1,214       4,828           0
EXE TECHNOLOGIES INC            COM   301504601          44       8,826  SH     DEFINED  01,08       3,484       5,342           0

EXELON CORP                     COM   30161N101     127,467   2,131,207  SH     DEFINED     01   1,177,432     891,912      61,863
EXELON CORP                     COM   30161N101       1,867      31,215  SH     OTHER       01      12,895      15,746       2,574
EXELON CORP                     COM   30161N101         171       2,853  SH     DEFINED     02       1,030         648       1,175
EXELON CORP                     COM   30161N101          92       1,535  SH     OTHER       02         923         612           0
EXELON CORP                     COM   30161N101       7,554     126,300  SH     DEFINED     03      67,475      49,887       8,938
EXELON CORP                     COM   30161N101       1,948      32,566  SH     OTHER       03      20,331      10,960       1,275
EXELON CORP                     COM   30161N101       4,360      72,890  SH     DEFINED     04      71,860           0       1,030
EXELON CORP                     COM   30161N101       1,853      30,988  SH     OTHER       04      27,838           0       3,150
EXELON CORP                     COM   30161N101         792      13,240  SH     DEFINED     05      12,740           0         500
EXELON CORP                     COM   30161N101          37         615  SH     OTHER       05         615           0           0
EXELON CORP                     COM   30161N101          52         862  SH     OTHER    01,06           0           0         862
EXELON CORP                     COM   30161N101      86,475   1,445,827  SH     DEFINED  01,08   1,316,045     129,782           0
EXELON CORP                     COM   30161N101         403       6,733  SH     DEFINED     10       6,228         200         305
EXELON CORP                     COM   30161N101         243       4,062  SH     OTHER       10       3,562         500           0

EXELIXIS INC                    COM   30161Q104       1,193     173,158  SH     DEFINED     01      99,231      73,027         900
EXELIXIS INC                    COM   30161Q104       1,009     146,496  SH     DEFINED  01,08      46,914      99,582           0

EXEGENICS INC                   COM   301610101           3       6,200  SH     DEFINED     01       3,200       3,000           0
EXEGENICS INC                   COM   301610101           3       5,593  SH     DEFINED  01,08       4,393       1,200           0

EXTENDED SYSTEMS INC            COM   301973103          53      13,700  SH     DEFINED     01       2,100      11,600           0
EXTENDED SYSTEMS INC            COM   301973103          86      21,966  SH     DEFINED  01,08       6,066      15,900           0

EXPEDIA INC                     COM   302125109       4,243      55,729  SH     DEFINED     01      46,294       8,400       1,035
EXPEDIA INC                     COM   302125109          15         200  SH     OTHER       04         200           0           0
EXPEDIA INC                     COM   302125109       4,864      63,878  SH     DEFINED  01,08      37,678      26,200           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    183
________

EXPEDITORS INTL WASH INC        COM   302130109      51,227   1,486,576  SH     DEFINED     01   1,062,079     364,474      60,023
EXPEDITORS INTL WASH INC        COM   302130109       3,482     101,040  SH     OTHER       01      56,066      41,914       3,060
EXPEDITORS INTL WASH INC        COM   302130109       2,390      69,370  SH     DEFINED     02      45,645      20,875       2,850
EXPEDITORS INTL WASH INC        COM   302130109         464      13,475  SH     OTHER       02       5,475       8,000           0
EXPEDITORS INTL WASH INC        COM   302130109       3,174      92,099  SH     DEFINED     03      34,594      33,325      24,180
EXPEDITORS INTL WASH INC        COM   302130109         217       6,300  SH     OTHER       03       4,400       1,200         700
EXPEDITORS INTL WASH INC        COM   302130109       3,490     101,265  SH     DEFINED     04     100,540           0         725
EXPEDITORS INTL WASH INC        COM   302130109         537      15,585  SH     OTHER       04      13,625           0       1,960
EXPEDITORS INTL WASH INC        COM   302130109       2,156      62,555  SH     DEFINED     05      45,065       7,380      10,110
EXPEDITORS INTL WASH INC        COM   302130109         124       3,600  SH     OTHER       05       2,850         750           0
EXPEDITORS INTL WASH INC        COM   302130109      11,760     341,273  SH     DEFINED  01,08     269,145      72,128           0
EXPEDITORS INTL WASH INC        COM   302130109       1,315      38,160  SH     DEFINED     10      36,360       1,150         650
EXPEDITORS INTL WASH INC        COM   302130109         718      20,825  SH     OTHER       10      18,575       1,350         900

EXPLORATION CO                  COM   302133202         215      50,509  SH     DEFINED     01      27,059      23,100         350
EXPLORATION CO                  COM   302133202         187      43,928  SH     DEFINED  01,08       9,665      34,263           0

EXPONENT INC                    COM   30214U102         116       7,500  SH     DEFINED     01       2,000       5,500           0
EXPONENT INC                    COM   30214U102         186      12,000  SH     DEFINED  01,08       3,007       8,993           0

EXPRESSJET HOLDINGS INC         COM   30218U108       2,116     140,156  SH     DEFINED     01      65,906      72,900       1,350
EXPRESSJET HOLDINGS INC         COM   30218U108       2,138     141,603  SH     DEFINED  01,08      39,187     102,416           0

EXPRESS SCRIPTS INC             COM   302182100      16,407     239,833  SH     DEFINED     01      89,265     145,756       4,812
EXPRESS SCRIPTS INC             COM   302182100         171       2,500  SH     OTHER       01           0       2,500           0
EXPRESS SCRIPTS INC             COM   302182100           4          65  SH     DEFINED     02          25           0          40
EXPRESS SCRIPTS INC             COM   302182100          96       1,400  SH     DEFINED     04       1,250           0         150
EXPRESS SCRIPTS INC             COM   302182100         219       3,200  SH     OTHER       04       3,000           0         200
EXPRESS SCRIPTS INC             COM   302182100      13,901     203,194  SH     DEFINED  01,08     150,224      52,970           0

EXTENDED STAY AMER INC          COM   30224P101       4,284     317,541  SH     DEFINED     01     140,198     173,065       4,278
EXTENDED STAY AMER INC          COM   30224P101          13       1,000  SH     OTHER       01       1,000           0           0
EXTENDED STAY AMER INC          COM   30224P101          43       3,200  SH     DEFINED     04       3,200           0           0
EXTENDED STAY AMER INC          COM   30224P101       2,858     211,831  SH     DEFINED  01,08     147,031      64,800           0

EXTREME NETWORKS INC            COM   30226D106       4,461     847,358  SH     DEFINED     01     709,015     132,170       6,173
EXTREME NETWORKS INC            COM   30226D106          15       2,900  SH     OTHER       01           0           0       2,900
EXTREME NETWORKS INC            COM   30226D106       2,217     421,021  SH     DEFINED  01,08     223,801     197,220           0

EXULT INC DEL                   COM   302284104       1,138     132,979  SH     DEFINED     01     111,572      18,957       2,450
EXULT INC DEL                   COM   302284104          36       4,200  SH     DEFINED     04       4,200           0           0
EXULT INC DEL                   COM   302284104       1,875     219,038  SH     DEFINED  01,08      61,828     157,210           0

EZCORP INC                      COM   302301106          35       8,000  SH     DEFINED     01         200       7,800           0
EZCORP INC                      COM   302301106          83      19,148  SH     DEFINED  01,08       5,013      14,135           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    184
________

EXXON MOBIL CORP                COM   30231G102   1,578,698  43,962,632  SH     DEFINED     01  24,402,262  18,484,869   1,075,501
EXXON MOBIL CORP                COM   30231G102      86,469   2,407,928  SH     OTHER       01   1,072,023   1,034,061     301,844
EXXON MOBIL CORP                COM   30231G102      27,741     772,525  SH     DEFINED     02     545,320     185,920      41,285
EXXON MOBIL CORP                COM   30231G102      16,934     471,571  SH     OTHER       02     272,917     160,474      38,180
EXXON MOBIL CORP                COM   30231G102      46,701   1,300,514  SH     DEFINED     03     725,507     464,336     110,671
EXXON MOBIL CORP                COM   30231G102      28,048     781,076  SH     OTHER       03     641,221     110,589      29,266
EXXON MOBIL CORP                COM   30231G102     173,252   4,824,629  SH     DEFINED     04   4,674,521           0     150,108
EXXON MOBIL CORP                COM   30231G102     141,590   3,942,912  SH     OTHER       04   3,539,189           0     403,723
EXXON MOBIL CORP                COM   30231G102      27,286     759,835  SH     DEFINED     05     697,052      43,886      18,897
EXXON MOBIL CORP                COM   30231G102       5,892     164,071  SH     OTHER       05      60,462      74,901      28,708
EXXON MOBIL CORP                COM   30231G102         605      16,844  SH     OTHER    01,06           0           0      16,844
EXXON MOBIL CORP                COM   30231G102   1,067,091  29,715,709  SH     DEFINED  01,08  26,998,165   2,717,544           0
EXXON MOBIL CORP                COM   30231G102      47,499   1,322,735  SH     DEFINED     10     743,639     326,167     252,929
EXXON MOBIL CORP                COM   30231G102      35,988   1,002,181  SH     OTHER       10     267,092     728,294       6,795

EZENIA INC                      COM   302311105          12      16,900  SH     DEFINED     01       1,900      15,000           0
EZENIA INC                      COM   302311105          13      19,483  SH     DEFINED  01,08       3,273      16,210           0

F&M BANCORP MD                  COM   302367107       1,869      37,962  SH     DEFINED     01      22,734      14,628         600
F&M BANCORP MD                  COM   302367107       1,446      29,376  SH     DEFINED  01,08       9,545      19,831           0

FBL FINL GROUP INC              COM   30239F106       1,348      66,878  SH     DEFINED     01      32,756      33,422         700
FBL FINL GROUP INC              COM   30239F106         108       5,371  SH     DEFINED     04       5,371           0           0
FBL FINL GROUP INC              COM   30239F106       1,120      55,601  SH     DEFINED  01,08      15,556      40,045           0

F A O INC                       COM   30240S600          24      10,231  SH     DEFINED     01       6,654       3,577           0
F A O INC                       COM   30240S600          11       4,822  SH     DEFINED  01,08       1,218       3,604           0

FEI CO                          COM   30241L109       1,960     104,448  SH     DEFINED     01      52,725      40,473      11,250
FEI CO                          COM   30241L109          12         650  SH     OTHER    01,06           0           0         650
FEI CO                          COM   30241L109       2,634     140,308  SH     DEFINED  01,08      86,065      54,243           0

FFLC BANCORP INC                COM   30242W104         168       6,450  SH     DEFINED     01         750       5,700           0
FFLC BANCORP INC                COM   30242W104          71       2,749  SH     DEFINED     04       2,749           0           0
FFLC BANCORP INC                COM   30242W104         237       9,124  SH     DEFINED  01,08       2,386       6,738           0

FLIR SYS INC                    COM   302445101       3,246     107,810  SH     DEFINED     01      64,698      40,812       2,300
FLIR SYS INC                    COM   302445101           3         100  SH     DEFINED     04         100           0           0
FLIR SYS INC                    COM   302445101          20         650  SH     OTHER    01,06           0           0         650
FLIR SYS INC                    COM   302445101       4,276     141,999  SH     DEFINED  01,08      82,433      59,566           0
FLIR SYS INC                    COM   302445101          36       1,200  SH     DEFINED     10       1,200           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    185
________

FMC TECHNOLOGIES INC            COM   30249U101       4,318     205,140  SH     DEFINED     01      75,119     128,965       1,056
FMC TECHNOLOGIES INC            COM   30249U101           1          46  SH     DEFINED     02           0          46           0
FMC TECHNOLOGIES INC            COM   30249U101           4         189  SH     OTHER       04         189           0           0
FMC TECHNOLOGIES INC            COM   30249U101       2,916     138,507  SH     DEFINED  01,08      92,349      46,158           0

F M C CORP                      COM   302491303       3,493     154,365  SH     DEFINED     01      77,384      74,731       2,250
F M C CORP                      COM   302491303          16         700  SH     DEFINED     04         700           0           0
F M C CORP                      COM   302491303           2         110  SH     OTHER       04         110           0           0
F M C CORP                      COM   302491303       2,100      92,818  SH     DEFINED  01,08      56,234      36,584           0

FMS FINL CORP                   COM   302509104         160       9,700  SH     DEFINED     01       1,100       8,600           0
FMS FINL CORP                   COM   302509104         190      11,500  SH     DEFINED  01,08       3,050       8,450           0

F N B CORP N C                  COM   302519103           2         100  SH     DEFINED     01           0         100           0
F N B CORP N C                  COM   302519103         286      11,667  SH     DEFINED  01,08       5,079       6,588           0

FNB CORP PA                     COM   302520101       1,730      57,216  SH     DEFINED     01      36,048      18,773       2,395
FNB CORP PA                     COM   302520101         331      10,941  SH     DEFINED     04      10,941           0           0
FNB CORP PA                     COM   302520101         338      11,171  SH     OTHER       04      10,869           0         302
FNB CORP PA                     COM   302520101       1,882      62,265  SH     DEFINED  01,08      30,139      32,126           0

FPIC INS GROUP INC              COM   302563101         549      39,650  SH     DEFINED     01      20,650      18,800         200
FPIC INS GROUP INC              COM   302563101         336      24,258  SH     DEFINED     04      22,258           0       2,000
FPIC INS GROUP INC              COM   302563101         338      24,437  SH     DEFINED  01,08       4,896      19,541           0

FPL GROUP INC                   COM   302571104      69,991   1,046,981  SH     DEFINED     01     551,991     477,056      17,934
FPL GROUP INC                   COM   302571104       1,211      18,112  SH     OTHER       01       6,771       9,441       1,900
FPL GROUP INC                   COM   302571104         222       3,323  SH     DEFINED     02       2,723           0         600
FPL GROUP INC                   COM   302571104          34         516  SH     OTHER       02         200         316           0
FPL GROUP INC                   COM   302571104         287       4,289  SH     DEFINED     03       3,810         479           0
FPL GROUP INC                   COM   302571104          97       1,450  SH     OTHER       03       1,450           0           0
FPL GROUP INC                   COM   302571104       2,649      39,626  SH     DEFINED     04      38,476           0       1,150
FPL GROUP INC                   COM   302571104       4,916      73,537  SH     OTHER       04      69,337           0       4,200
FPL GROUP INC                   COM   302571104          33         500  SH     OTHER    01,06           0           0         500
FPL GROUP INC                   COM   302571104      52,850     790,580  SH     DEFINED  01,08     717,307      73,273           0
FPL GROUP INC                   COM   302571104         500       7,473  SH     DEFINED     10       6,165       1,308           0
FPL GROUP INC                   COM   302571104         515       7,700  SH     OTHER       10       5,200       1,900         600

FSF FINL CORP                   COM   30262K105          90       3,000  SH     DEFINED     01           0       3,000           0
FSF FINL CORP                   COM   30262K105         122       4,071  SH     DEFINED  01,08       1,000       3,071           0

FSI INTL INC                    COM   302633102         366      99,956  SH     DEFINED     01      58,612      40,594         750
FSI INTL INC                    COM   302633102         260      70,925  SH     DEFINED  01,08      14,827      56,098           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    186
________

FTD INC                         COM   30265Q109          99       4,915  SH     DEFINED     01       2,900       2,015           0
FTD INC                         COM   30265Q109         290      14,402  SH     DEFINED  01,08       6,449       7,953           0

FX ENERGY INC                   COM   302695101         103      32,800  SH     DEFINED     01       2,800      30,000           0
FX ENERGY INC                   COM   302695101          99      31,740  SH     DEFINED  01,08       8,240      23,500           0

FAB INDS INC                    COM   302747100          48       5,200  SH     DEFINED     01         800       4,400           0
FAB INDS INC                    COM   302747100         140      15,245  SH     DEFINED  01,08       2,286      12,959           0

F N B CORP VA                   COM   302930102         335      12,360  SH     DEFINED     01      10,260       2,100           0
F N B CORP VA                   COM   302930102         404      14,923  SH     DEFINED  01,08       3,886      11,037           0

FTI CONSULTING INC              COM   302941109       2,810     112,518  SH     DEFINED     01      78,539      33,304         675
FTI CONSULTING INC              COM   302941109          50       2,000  SH     DEFINED     04           0           0       2,000
FTI CONSULTING INC              COM   302941109       3,275     131,166  SH     DEFINED  01,08      58,316      72,850           0

FACTORY 2-U INC                 COM   303072102         243      50,641  SH     DEFINED     01      31,728      18,113         800
FACTORY 2-U INC                 COM   303072102         149      31,124  SH     DEFINED  01,08       5,984      25,140           0

FACTSET RESH SYS INC            COM   303075105       3,718      84,406  SH     DEFINED     01      46,600      35,906       1,900
FACTSET RESH SYS INC            COM   303075105           4          80  SH     DEFINED     02           0           0          80
FACTSET RESH SYS INC            COM   303075105          22         500  SH     DEFINED     04         500           0           0
FACTSET RESH SYS INC            COM   303075105          29         655  SH     OTHER    01,06           0           0         655
FACTSET RESH SYS INC            COM   303075105       4,116      93,428  SH     DEFINED  01,08      39,468      53,960           0
FACTSET RESH SYS INC            COM   303075105          42         950  SH     DEFINED     10         200         750           0

FACTUAL DATA CORP               COM   303094106          74       4,235  SH     DEFINED     01           0       4,235           0
FACTUAL DATA CORP               COM   303094106         183      10,523  SH     DEFINED  01,08       2,923       7,600           0

FAIR ISAAC CORP                 COM   303250104       8,423     163,722  SH     DEFINED     01      58,458      94,797      10,467
FAIR ISAAC CORP                 COM   303250104       1,978      38,450  SH     OTHER       01         440      19,580      18,430
FAIR ISAAC CORP                 COM   303250104          11         216  SH     DEFINED     02           0           0         216
FAIR ISAAC CORP                 COM   303250104       6,106     118,685  SH     DEFINED  01,08      84,086      34,599           0
FAIR ISAAC CORP                 COM   303250104          26         500  SH     OTHER       10           0         500           0

FAIRCHILD CORP                  COM   303698104         161      40,065  SH     DEFINED     01       7,165      32,900           0
FAIRCHILD CORP                  COM   303698104         231      57,235  SH     DEFINED  01,08      11,888      45,347           0

FAIRCHILD SEMICONDUCTOR INTL    COM   303726103       4,745     371,015  SH     DEFINED     01     136,572     226,743       7,700
FAIRCHILD SEMICONDUCTOR INTL    COM   303726103          40       3,100  SH     DEFINED     04       3,100           0           0
FAIRCHILD SEMICONDUCTOR INTL    COM   303726103       3,350     261,890  SH     DEFINED  01,08     179,690      82,200           0

FAIRMARKET INC                  COM   305158107          28      16,800  SH     DEFINED     01       5,500      11,300           0
FAIRMARKET INC                  COM   305158107          60      35,719  SH     DEFINED  01,08      12,719      23,000           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    187
________

FALCON PRODS INC                COM   306075102          38       8,900  SH     DEFINED     01       1,900       7,000           0
FALCON PRODS INC                COM   306075102          90      21,338  SH     DEFINED  01,08       4,217      17,121           0

FALCONSTOR SOFTWARE INC         COM   306137100         823     123,254  SH     DEFINED     01      70,825      51,579         850
FALCONSTOR SOFTWARE INC         COM   306137100         825     123,492  SH     DEFINED  01,08      72,910      50,582           0

FAMILY DLR STORES INC           COM   307000109      40,257   1,055,230  SH     DEFINED     01     583,585     454,245      17,400
FAMILY DLR STORES INC           COM   307000109         137       3,598  SH     OTHER       01       3,448           0         150
FAMILY DLR STORES INC           COM   307000109         891      23,350  SH     DEFINED     02      17,525       5,675         150
FAMILY DLR STORES INC           COM   307000109          59       1,550  SH     OTHER       02       1,000         250         300
FAMILY DLR STORES INC           COM   307000109          17         450  SH     DEFINED     03         150         300           0
FAMILY DLR STORES INC           COM   307000109       5,982     156,798  SH     DEFINED     04     152,548           0       4,250
FAMILY DLR STORES INC           COM   307000109       1,371      35,937  SH     OTHER       04      35,507           0         430
FAMILY DLR STORES INC           COM   307000109         180       4,710  SH     DEFINED     05       4,300         225         185
FAMILY DLR STORES INC           COM   307000109         267       7,000  SH     OTHER       05           0       7,000           0
FAMILY DLR STORES INC           COM   307000109          15         400  SH     OTHER    01,06           0           0         400
FAMILY DLR STORES INC           COM   307000109      27,000     707,720  SH     DEFINED  01,08     644,526      63,194           0
FAMILY DLR STORES INC           COM   307000109          55       1,430  SH     DEFINED     10       1,430           0           0

FAMOUS DAVES AMER INC           COM   307068106          47      11,500  SH     DEFINED     01       1,200      10,300           0
FAMOUS DAVES AMER INC           COM   307068106          83      20,200  SH     DEFINED  01,08       5,200      15,000           0

FARGO ELECTRONICS INC           COM   30744P102         121      12,700  SH     DEFINED     01       2,400      10,300           0
FARGO ELECTRONICS INC           COM   30744P102         210      22,000  SH     DEFINED  01,08       6,400      15,600           0

FARMER BROS CO                  COM   307675108       1,394       4,108  SH     DEFINED     01       1,963       2,130          15
FARMER BROS CO                  COM   307675108       1,814       5,345  SH     DEFINED  01,08       1,085       4,260           0

FARMERS CAP BK CORP             COM   309562106         819      25,634  SH     DEFINED     01      12,936      12,598         100
FARMERS CAP BK CORP             COM   309562106         576      18,041  SH     DEFINED  01,08       5,128      12,913           0

FARO TECHNOLOGIES INC           COM   311642102          98      13,900  SH     DEFINED     01       1,600      12,300           0
FARO TECHNOLOGIES INC           COM   311642102         149      21,000  SH     DEFINED  01,08       5,500      15,500           0

FASTENAL CO                     COM   311900104       8,680     254,691  SH     DEFINED     01      96,488     151,707       6,496
FASTENAL CO                     COM   311900104          90       2,650  SH     OTHER       01         500           0       2,150
FASTENAL CO                     COM   311900104       2,865      84,062  SH     DEFINED     02      39,962      41,700       2,400
FASTENAL CO                     COM   311900104         215       6,300  SH     OTHER       02       5,400         900           0
FASTENAL CO                     COM   311900104         359      10,530  SH     DEFINED     03       1,000       4,530       5,000
FASTENAL CO                     COM   311900104       1,754      51,475  SH     DEFINED     04      50,500           0         975
FASTENAL CO                     COM   311900104         746      21,900  SH     OTHER       04      21,900           0           0
FASTENAL CO                     COM   311900104       6,688     196,244  SH     DEFINED  01,08     144,776      51,468           0
FASTENAL CO                     COM   311900104         218       6,404  SH     DEFINED     10       6,404           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    188
________

FEATHERLITE INC                 COM   313054108           9       4,800  SH     DEFINED     01         900       3,900           0
FEATHERLITE INC                 COM   313054108          17       9,300  SH     DEFINED  01,08       1,441       7,859           0

FEDDERS CORP                    COM   313135501         131      42,680  SH     DEFINED     01       8,580      33,000       1,100
FEDDERS CORP                    COM   313135501           2         610  SH     OTHER    01,06           0           0         610
FEDDERS CORP                    COM   313135501         248      80,715  SH     DEFINED  01,08      38,053      42,662           0

FEDERAL AGRIC MTG CORP          COM   313148306         423      18,944  SH     DEFINED     01      14,598       3,846         500
FEDERAL AGRIC MTG CORP          COM   313148306          51       2,300  SH     DEFINED     02           0       2,300           0
FEDERAL AGRIC MTG CORP          COM   313148306          67       3,000  SH     DEFINED     04       3,000           0           0
FEDERAL AGRIC MTG CORP          COM   313148306         717      32,086  SH     DEFINED  01,08      28,126       3,960           0

FEDERAL HOME LN MTG CORP        COM   313400301     233,547   4,600,103  SH     DEFINED     01   2,621,943   1,900,827      77,333
FEDERAL HOME LN MTG CORP        COM   313400301       6,178     121,682  SH     OTHER       01      44,315      74,342       3,025
FEDERAL HOME LN MTG CORP        COM   313400301         481       9,469  SH     DEFINED     02       6,598       2,250         621
FEDERAL HOME LN MTG CORP        COM   313400301         114       2,245  SH     OTHER       02       2,045         200           0
FEDERAL HOME LN MTG CORP        COM   313400301       3,740      73,667  SH     DEFINED     03      35,852      34,213       3,602
FEDERAL HOME LN MTG CORP        COM   313400301         977      19,235  SH     OTHER       03      12,013       3,227       3,995
FEDERAL HOME LN MTG CORP        COM   313400301       4,445      87,560  SH     DEFINED     04      76,701           0      10,859
FEDERAL HOME LN MTG CORP        COM   313400301       1,989      39,176  SH     OTHER       04      38,676           0         500
FEDERAL HOME LN MTG CORP        COM   313400301         866      17,060  SH     DEFINED     05      13,490       2,950         620
FEDERAL HOME LN MTG CORP        COM   313400301         260       5,125  SH     OTHER       05       2,335       2,450         340
FEDERAL HOME LN MTG CORP        COM   313400301          91       1,800  SH     OTHER    01,06           0           0       1,800
FEDERAL HOME LN MTG CORP        COM   313400301     155,085   3,054,662  SH     DEFINED  01,08   2,786,052     268,610           0
FEDERAL HOME LN MTG CORP        COM   313400301       1,277      25,144  SH     DEFINED     10      24,794         250         100
FEDERAL HOME LN MTG CORP        COM   313400301       1,093      21,526  SH     OTHER       10       3,750      17,776           0

FEDERAL NATL MTG ASSN           COM   313586109     440,139   6,526,384  SH     DEFINED     01   3,602,742   2,761,376     162,266
FEDERAL NATL MTG ASSN           COM   313586109      21,969     325,758  SH     OTHER       01     166,022     131,025      28,711
FEDERAL NATL MTG ASSN           COM   313586109       9,918     147,057  SH     DEFINED     02      94,844      43,931       8,282
FEDERAL NATL MTG ASSN           COM   313586109       3,506      51,992  SH     OTHER       02      33,610      14,535       3,847
FEDERAL NATL MTG ASSN           COM   313586109      12,257     181,745  SH     DEFINED     03     110,659      58,358      12,728
FEDERAL NATL MTG ASSN           COM   313586109       7,020     104,093  SH     OTHER       03      81,943      18,345       3,805
FEDERAL NATL MTG ASSN           COM   313586109      60,088     890,985  SH     DEFINED     04     865,364           0      25,621
FEDERAL NATL MTG ASSN           COM   313586109      45,952     681,372  SH     OTHER       04     636,588           0      44,784
FEDERAL NATL MTG ASSN           COM   313586109       4,750      70,427  SH     DEFINED     05      58,482      10,010       1,935
FEDERAL NATL MTG ASSN           COM   313586109       1,840      27,281  SH     OTHER       05       6,049      19,450       1,782
FEDERAL NATL MTG ASSN           COM   313586109         172       2,550  SH     OTHER    01,06           0           0       2,550
FEDERAL NATL MTG ASSN           COM   313586109     291,884   4,328,056  SH     DEFINED  01,08   3,954,704     373,352           0
FEDERAL NATL MTG ASSN           COM   313586109      12,374     183,478  SH     DEFINED     10     137,978       6,800      38,700
FEDERAL NATL MTG ASSN           COM   313586109       2,681      39,758  SH     OTHER       10      24,981      14,002         775


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    189
________

FEDERAL REALTY INVT TR          COM   313747206       3,424     107,009  SH     DEFINED     01      91,961      12,748       2,300
FEDERAL REALTY INVT TR          COM   313747206           6         200  SH     OTHER       02         200           0           0
FEDERAL REALTY INVT TR          COM   313747206           8         246  SH     DEFINED     03           0           0         246
FEDERAL REALTY INVT TR          COM   313747206          97       3,034  SH     DEFINED     04       3,034           0           0
FEDERAL REALTY INVT TR          COM   313747206          74       2,300  SH     OTHER       04       2,300           0           0
FEDERAL REALTY INVT TR          COM   313747206       2,901      90,654  SH     DEFINED  01,08      40,858      49,796           0
FEDERAL REALTY INVT TR          COM   313747206           6         175  SH     OTHER       10         175           0           0

FEDERAL SCREW WKS               COM   313819104          51       1,406  SH     DEFINED     01           0       1,406           0
FEDERAL SCREW WKS               COM   313819104         164       4,529  SH     DEFINED  01,08         611       3,918           0
FEDERAL SCREW WKS               COM   313819104          26         717  SH     DEFINED     10           0         717           0

FEDERAL SIGNAL CORP             COM   313855108       5,812     330,787  SH     DEFINED     01     201,622      99,304      29,861
FEDERAL SIGNAL CORP             COM   313855108         382      21,766  SH     OTHER       01       1,600       8,666      11,500
FEDERAL SIGNAL CORP             COM   313855108          84       4,766  SH     DEFINED     02       4,266         500           0
FEDERAL SIGNAL CORP             COM   313855108          13         750  SH     OTHER       02         750           0           0
FEDERAL SIGNAL CORP             COM   313855108         789      44,887  SH     DEFINED     03      24,734      17,735       2,418
FEDERAL SIGNAL CORP             COM   313855108         171       9,740  SH     OTHER       03       7,740       2,000           0
FEDERAL SIGNAL CORP             COM   313855108       2,012     114,515  SH     DEFINED     04      67,017           0      47,498
FEDERAL SIGNAL CORP             COM   313855108         494      28,096  SH     OTHER       04      26,096           0       2,000
FEDERAL SIGNAL CORP             COM   313855108           1          50  SH     OTHER       05          50           0           0
FEDERAL SIGNAL CORP             COM   313855108       3,051     173,632  SH     DEFINED  01,08     120,225      53,407           0
FEDERAL SIGNAL CORP             COM   313855108         125       7,100  SH     DEFINED     10       7,100           0           0

FEDERATED DEPT STORES INC DE    COM   31410H101      39,548   1,073,216  SH     DEFINED     01     561,552     493,243      18,421
FEDERATED DEPT STORES INC DE    COM   31410H101          47       1,275  SH     OTHER       01       1,100           0         175
FEDERATED DEPT STORES INC DE    COM   31410H101          10         270  SH     DEFINED     02         270           0           0
FEDERATED DEPT STORES INC DE    COM   31410H101          14         383  SH     DEFINED     03           0         383           0
FEDERATED DEPT STORES INC DE    COM   31410H101         196       5,325  SH     DEFINED     04       5,325           0           0
FEDERATED DEPT STORES INC DE    COM   31410H101          74       2,000  SH     OTHER       04       2,000           0           0
FEDERATED DEPT STORES INC DE    COM   31410H101          18         500  SH     OTHER    01,06           0           0         500
FEDERATED DEPT STORES INC DE    COM   31410H101      31,144     845,155  SH     DEFINED  01,08     769,811      75,344           0
FEDERATED DEPT STORES INC DE    COM   31410H101           8         209  SH     DEFINED     10         209           0           0

FEDERATED INVS INC PA           COM   314211103      15,810     576,573  SH     DEFINED     01     302,649     269,281       4,643
FEDERATED INVS INC PA           COM   314211103           3         100  SH     OTHER       01           0           0         100
FEDERATED INVS INC PA           COM   314211103          19         700  SH     OTHER       04           0           0         700
FEDERATED INVS INC PA           COM   314211103           8         300  SH     OTHER    01,06           0           0         300
FEDERATED INVS INC PA           COM   314211103      12,077     440,453  SH     DEFINED  01,08     403,038      37,415           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    190
________

FEDEX CORP                      COM   31428X106     107,444   1,732,137  SH     DEFINED     01     902,759     799,440      29,938
FEDEX CORP                      COM   31428X106         325       5,232  SH     OTHER       01       3,713         500       1,019
FEDEX CORP                      COM   31428X106         797      12,850  SH     DEFINED     02      11,025       1,625         200
FEDEX CORP                      COM   31428X106         239       3,850  SH     OTHER       02       2,400       1,450           0
FEDEX CORP                      COM   31428X106         893      14,390  SH     DEFINED     03       9,035       4,875         480
FEDEX CORP                      COM   31428X106          56         910  SH     OTHER       03         200         280         430
FEDEX CORP                      COM   31428X106       1,775      28,618  SH     DEFINED     04      26,868           0       1,750
FEDEX CORP                      COM   31428X106         994      16,027  SH     OTHER       04      12,227           0       3,800
FEDEX CORP                      COM   31428X106          25         400  SH     DEFINED     05           0         400           0
FEDEX CORP                      COM   31428X106          48         769  SH     OTHER    01,06           0           0         769
FEDEX CORP                      COM   31428X106      82,185   1,324,922  SH     DEFINED  01,08   1,205,570     119,352           0
FEDEX CORP                      COM   31428X106         146       2,349  SH     DEFINED     10       2,349           0           0
FEDEX CORP                      COM   31428X106         517       8,335  SH     OTHER       10       7,325         510         500

FELCOR LODGING TR INC           COM   31430F101       1,361     173,396  SH     DEFINED     01     100,387      70,109       2,900
FELCOR LODGING TR INC           COM   31430F101       1,437     183,097  SH     DEFINED  01,08      84,046      99,051           0

FERRO CORP                      COM   315405100       4,033     179,018  SH     DEFINED     01      85,115      91,503       2,400
FERRO CORP                      COM   315405100       2,916     129,443  SH     DEFINED  01,08      88,581      40,862           0
FERRO CORP                      COM   315405100          34       1,500  SH     DEFINED     10       1,500           0           0

F5 NETWORKS INC                 COM   315616102       1,302      78,334  SH     DEFINED     01      47,650      30,284         400
F5 NETWORKS INC                 COM   315616102       1,871     112,553  SH     DEFINED  01,08      69,054      43,499           0

FIBERCORE INC                   COM   31563B109           4      17,200  SH     DEFINED     01           0      17,200           0
FIBERCORE INC                   COM   31563B109           2      10,200  SH     DEFINED  01,08      10,200           0           0

FIBERMARK INC                   COM   315646109          39       8,400  SH     DEFINED     01       1,600       6,800           0
FIBERMARK INC                   COM   315646109          59      12,700  SH     DEFINED  01,08       3,400       9,300           0

FIBERSTARS INC                  COM   315662106          15       3,900  SH     DEFINED     01           0       3,900           0
FIBERSTARS INC                  COM   315662106          31       8,091  SH     DEFINED  01,08       2,332       5,759           0

FIDELITY BANCORP INC DEL        COM   31583B105          94       2,900  SH     DEFINED     01         450       2,450           0
FIDELITY BANCORP INC DEL        COM   31583B105         177       5,475  SH     DEFINED  01,08       1,337       4,138           0

FIDELITY BANKSHARES INC NEW     COM   31604Q107       1,052      47,337  SH     DEFINED     01      35,146      11,191       1,000
FIDELITY BANKSHARES INC NEW     COM   31604Q107         889      40,027  SH     DEFINED     04      40,027           0           0
FIDELITY BANKSHARES INC NEW     COM   31604Q107         965      43,418  SH     DEFINED  01,08      13,538      29,880           0

FIDELITY NATIONAL SOLTNS INC    COM   31620P109       1,206      46,265  SH     DEFINED     01      34,946      11,180         139
FIDELITY NATIONAL SOLTNS INC    COM   31620P109       2,247      86,190  SH     DEFINED  01,08      26,417      59,773           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    191
________

FIDELITY NATL FINL INC          COM   316326107      14,527     472,269  SH     DEFINED     01     188,424     256,930      26,915
FIDELITY NATL FINL INC          COM   316326107          12         375  SH     OTHER       04         375           0           0
FIDELITY NATL FINL INC          COM   316326107       9,463     307,654  SH     DEFINED  01,08     212,909      94,745           0

FIDELITY SOUTHN CORP NEW        COM   316394105         139      12,025  SH     DEFINED     01       2,425       9,600           0
FIDELITY SOUTHN CORP NEW        COM   316394105         182      15,750  SH     DEFINED  01,08       3,850      11,900           0

FIFTH THIRD BANCORP             COM   316773100     219,816   3,828,219  SH     DEFINED     01   2,092,156   1,573,070     162,993
FIFTH THIRD BANCORP             COM   316773100      30,012     522,683  SH     OTHER       01     130,076     318,168      74,439
FIFTH THIRD BANCORP             COM   316773100       2,364      41,167  SH     DEFINED     02      30,152       8,734       2,281
FIFTH THIRD BANCORP             COM   316773100       1,407      24,502  SH     OTHER       02      18,165       4,637       1,700
FIFTH THIRD BANCORP             COM   316773100       8,964     156,112  SH     DEFINED     03      84,789      60,340      10,983
FIFTH THIRD BANCORP             COM   316773100       2,030      35,358  SH     OTHER       03      26,009       3,629       5,720
FIFTH THIRD BANCORP             COM   316773100      25,551     444,985  SH     DEFINED     04     430,530           0      14,455
FIFTH THIRD BANCORP             COM   316773100      19,690     342,918  SH     OTHER       04     324,779           0      18,139
FIFTH THIRD BANCORP             COM   316773100       1,153      20,077  SH     DEFINED     05      17,042       2,075         960
FIFTH THIRD BANCORP             COM   316773100         202       3,514  SH     OTHER       05       1,624       1,800          90
FIFTH THIRD BANCORP             COM   316773100          85       1,474  SH     OTHER    01,06           0           0       1,474
FIFTH THIRD BANCORP             COM   316773100     138,646   2,414,589  SH     DEFINED  01,08   2,203,427     211,162           0
FIFTH THIRD BANCORP             COM   316773100      13,090     227,971  SH     DEFINED     10     118,899     107,447       1,625
FIFTH THIRD BANCORP             COM   316773100       5,257      91,562  SH     OTHER       10      73,674      17,763         125

FILENET CORP                    COM   316869106       2,092     116,208  SH     DEFINED     01      70,691      43,517       2,000
FILENET CORP                    COM   316869106          13         730  SH     OTHER    01,06           0           0         730
FILENET CORP                    COM   316869106       2,661     147,844  SH     DEFINED  01,08      74,280      73,564           0

FINANCIAL FED CORP              COM   317492106       1,337      54,797  SH     DEFINED     01      35,593      19,204           0
FINANCIAL FED CORP              COM   317492106           3         115  SH     DEFINED     02           0           0         115
FINANCIAL FED CORP              COM   317492106           9         350  SH     OTHER    01,06           0           0         350
FINANCIAL FED CORP              COM   317492106       1,390      56,968  SH     DEFINED  01,08      28,484      28,484           0

FINANCIAL INDS CORP             COM   317574101         722      48,549  SH     DEFINED     01      37,489      11,060           0
FINANCIAL INDS CORP             COM   317574101         523      35,168  SH     DEFINED  01,08       5,783      29,385           0

FINANCIAL INSTNS INC            COM   317585404         467      19,806  SH     DEFINED     01      14,633       5,013         160
FINANCIAL INSTNS INC            COM   317585404         548      23,267  SH     DEFINED  01,08       7,283      15,984           0

FINDWHAT COM                    COM   317794105         325      17,000  SH     DEFINED     01       1,800      15,200           0
FINDWHAT COM                    COM   317794105       1,310      68,527  SH     DEFINED  01,08      44,427      24,100           0

FINISAR                         COM   31787A101         602     393,143  SH     DEFINED     01     190,195     199,648       3,300
FINISAR                         COM   31787A101         496     323,927  SH     DEFINED  01,08     185,694     138,233           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    192
________

FINISHMASTER INC                COM   31787P108          52       5,300  SH     DEFINED     01       1,100       4,200           0
FINISHMASTER INC                COM   31787P108          64       6,570  SH     OTHER       01           0       6,570           0
FINISHMASTER INC                COM   31787P108          51       5,200  SH     DEFINED  01,08       3,500       1,700           0

FINLAY ENTERPRISES INC          COM   317884203         529      31,950  SH     DEFINED     01      20,250      11,600         100
FINLAY ENTERPRISES INC          COM   317884203         364      22,003  SH     DEFINED  01,08       7,033      14,970           0

FINISH LINE INC                 COM   317923100       1,543      69,740  SH     DEFINED     01      35,909      32,831       1,000
FINISH LINE INC                 COM   317923100       2,096      94,694  SH     DEFINED  01,08      58,936      35,758           0

FIREPOND INC                    COM   318224201          12       3,820  SH     DEFINED     01         720       3,100           0
FIREPOND INC                    COM   318224201          22       6,742  SH     DEFINED  01,08       1,832       4,910           0

FIRST ALBANY COS INC            COM   318465101         567      46,986  SH     DEFINED     01      38,568       8,418           0
FIRST ALBANY COS INC            COM   318465101         271      22,420  SH     DEFINED  01,08       8,496      13,924           0

FIRST AMERN CORP CALIF          CONDB 318522AD1       4,550   4,000,000  PRN    DEFINED     01   4,000,000           0           0

FIRST AMERN CORP CALIF          COM   318522307       7,734     293,504  SH     DEFINED     01     134,241     152,929       6,334
FIRST AMERN CORP CALIF          COM   318522307           6         241  SH     DEFINED     03           0           0         241
FIRST AMERN CORP CALIF          COM   318522307       4,103     155,712  SH     DEFINED  01,08     103,259      52,453           0

FIRST AVIATION SVCS INC         COM   31865W108          51      13,500  SH     DEFINED     01           0      13,500           0
FIRST AVIATION SVCS INC         COM   31865W108          33       8,609  SH     DEFINED  01,08       2,709       5,900           0

FIRST BANCORP P R               COM   318672102       3,578     130,335  SH     DEFINED     01      73,454      52,981       3,900
FIRST BANCORP P R               COM   318672102          21         765  SH     OTHER    01,06           0           0         765
FIRST BANCORP P R               COM   318672102       3,782     137,768  SH     DEFINED  01,08      67,847      69,921           0

FIRST BANCORP N C               COM   318910106         637      24,585  SH     DEFINED     01      12,484      11,801         300
FIRST BANCORP N C               COM   318910106         602      23,242  SH     DEFINED  01,08       6,554      16,688           0

FIRST BELL BANCORP INC          COM   319301107         150       5,800  SH     DEFINED     01         300       5,500           0
FIRST BELL BANCORP INC          COM   319301107         215       8,300  SH     DEFINED  01,08       2,358       5,942           0

FIRST BUSEY CORP                COM   319383105         931      38,568  SH     DEFINED     01      18,184      19,784         600
FIRST BUSEY CORP                COM   319383105         751      31,118  SH     DEFINED  01,08       8,578      22,540           0

FIRST CASH FINL SVCS INC        COM   31942D107         300      21,100  SH     DEFINED     01       1,200      19,900           0
FIRST CASH FINL SVCS INC        COM   31942D107         219      15,403  SH     DEFINED  01,08       3,611      11,792           0

FIRST CHARTER CORP              COM   319439105       2,527     143,639  SH     DEFINED     01     100,945      40,894       1,800
FIRST CHARTER CORP              COM   319439105       1,494      84,956  SH     DEFINED  01,08      26,117      58,839           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    193
________

FIRST CTZNS BANCSHARES INC N    COM   31946M103       3,052      30,271  SH     DEFINED     01      17,167      12,804         300
FIRST CTZNS BANCSHARES INC N    COM   31946M103       2,789      27,659  SH     DEFINED  01,08       6,933      20,726           0

FIRST COLONIAL GROUP INC        COM   319734109         163       3,361  SH     DEFINED     01         120       3,241           0
FIRST COLONIAL GROUP INC        COM   319734109         187       3,850  SH     DEFINED  01,08         920       2,930           0

FIRST COMWLTH FINL CORP PA      COM   319829107       3,109     239,855  SH     DEFINED     01     120,994     117,561       1,300
FIRST COMWLTH FINL CORP PA      COM   319829107          76       5,827  SH     DEFINED     04       5,827           0           0
FIRST COMWLTH FINL CORP PA      COM   319829107       2,172     167,578  SH     DEFINED  01,08      56,234     111,344           0

FIRST CMNTY BANCSHARES INC N    COM   31983A103         781      22,231  SH     DEFINED     01      16,522       4,989         720
FIRST CMNTY BANCSHARES INC N    COM   31983A103         271       7,718  SH     DEFINED  01,08       2,915       4,803           0

FIRST CMNTY BANCORP CALIF       COM   31983B101         839      27,137  SH     DEFINED     01      23,337       3,700         100
FIRST CMNTY BANCORP CALIF       COM   31983B101         155       5,000  SH     DEFINED     03           0       5,000           0
FIRST CMNTY BANCORP CALIF       COM   31983B101       1,259      40,716  SH     DEFINED  01,08      15,453      25,263           0

FIRST CONSULTING GROUP INC      COM   31986R103         423      93,057  SH     DEFINED     01      40,260      41,497      11,300
FIRST CONSULTING GROUP INC      COM   31986R103         266      58,461  SH     DEFINED  01,08      18,712      39,749           0

FIRST FED CAP CORP              COM   319960100       1,268      64,105  SH     DEFINED     01      37,218      26,487         400
FIRST FED CAP CORP              COM   319960100         972      49,151  SH     DEFINED  01,08      14,358      34,793           0
FIRST FED CAP CORP              COM   319960100          40       2,000  SH     DEFINED     10       2,000           0           0

FIRST FED FINL CORP KY          COM   319961108          51       1,580  SH     DEFINED     01         880         700           0
FIRST FED FINL CORP KY          COM   319961108         267       8,212  SH     DEFINED  01,08       2,046       6,166           0

FIRST DATA CORP                 CONDB 319963AD6       2,163   2,000,000  PRN    DEFINED     01   2,000,000           0           0
FIRST DATA CORP                 CONDB 319963AD6           8       7,000  PRN    DEFINED     04       7,000           0           0

FIRST DATA CORP                 COM   319963104     283,787   6,848,153  SH     DEFINED     01   4,051,450   2,597,474     199,229
FIRST DATA CORP                 COM   319963104      28,142     679,108  SH     OTHER       01     245,243     395,144      38,721
FIRST DATA CORP                 COM   319963104       5,280     127,419  SH     DEFINED     02      90,578      33,115       3,726
FIRST DATA CORP                 COM   319963104         860      20,746  SH     OTHER       02       9,355      10,981         410
FIRST DATA CORP                 COM   319963104       9,775     235,880  SH     DEFINED     03     121,543      87,174      27,163
FIRST DATA CORP                 COM   319963104       3,661      88,335  SH     OTHER       03      66,335      14,295       7,705
FIRST DATA CORP                 COM   319963104      54,791   1,322,177  SH     DEFINED     04   1,287,333           0      34,844
FIRST DATA CORP                 COM   319963104      15,582     376,006  SH     OTHER       04     353,406           0      22,600
FIRST DATA CORP                 COM   319963104       4,732     114,198  SH     DEFINED     05      94,128      11,110       8,960
FIRST DATA CORP                 COM   319963104       1,536      37,059  SH     OTHER       05       8,724      24,120       4,215
FIRST DATA CORP                 COM   319963104          79       1,900  SH     OTHER    01,06           0           0       1,900
FIRST DATA CORP                 COM   319963104     136,719   3,299,204  SH     DEFINED  01,08   3,013,811     285,393           0
FIRST DATA CORP                 COM   319963104       5,762     139,047  SH     DEFINED     10      94,527       9,770      34,750
FIRST DATA CORP                 COM   319963104       1,482      35,761  SH     OTHER       10      25,951       9,510         300


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    194
________

FIRST DEFIANCE FINL CORP        COM   32006W106         660      33,250  SH     DEFINED     01      23,150       9,600         500
FIRST DEFIANCE FINL CORP        COM   32006W106         295      14,881  SH     DEFINED  01,08       3,541      11,340           0

FIRST ESSEX BANCORP INC         COM   320103104       1,216      25,800  SH     DEFINED     01      15,333      10,367         100
FIRST ESSEX BANCORP INC         COM   320103104       1,086      23,030  SH     DEFINED  01,08      10,069      12,961           0

FIRST FED BANCSHARES ARK INC    COM   32020F105         143       4,500  SH     DEFINED     01         900       3,600           0
FIRST FED BANCSHARES ARK INC    COM   32020F105         171       5,400  SH     DEFINED  01,08       1,266       4,134           0

FIRST FINL BANKSHARES           COM   32020R109       1,728      51,645  SH     DEFINED     01      30,336      20,247       1,062
FIRST FINL BANKSHARES           COM   32020R109       1,350      40,333  SH     DEFINED  01,08      13,544      26,789           0

FIRST FED BANKSHARES INC DEL    COM   32020V100          88       5,000  SH     DEFINED     01           0       5,000           0
FIRST FED BANKSHARES INC DEL    COM   32020V100         133       7,608  SH     DEFINED  01,08       1,908       5,700           0

FIRST FINL BANCORP OH           COM   320209109       2,144     135,414  SH     DEFINED     01      71,722      62,957         735
FIRST FINL BANCORP OH           COM   320209109          32       2,052  SH     OTHER       04           0           0       2,052
FIRST FINL BANCORP OH           COM   320209109       2,210     139,592  SH     DEFINED  01,08      57,681      81,911           0

FIRST FINL CORP IND             COM   320218100       2,019      38,164  SH     DEFINED     01      24,568      13,296         300
FIRST FINL CORP IND             COM   320218100       1,044      19,733  SH     DEFINED  01,08       7,984      11,749           0

FIRST FINL HLDGS INC            COM   320239106       1,404      51,253  SH     DEFINED     01      31,979      18,514         760
FIRST FINL HLDGS INC            COM   320239106         117       4,260  SH     OTHER       04       4,260           0           0
FIRST FINL HLDGS INC            COM   320239106         984      35,910  SH     DEFINED  01,08      12,207      23,703           0

FIRST HORIZON PHARMACEUTICAL    COM   32051K106         361      95,110  SH     DEFINED     01      55,228      39,282         600
FIRST HORIZON PHARMACEUTICAL    COM   32051K106         489     128,663  SH     DEFINED  01,08      72,630      56,033           0

FIRST INDUSTRIAL REALTY TRUS    COM   32054K103       2,796      88,474  SH     DEFINED     01      39,863      46,841       1,770
FIRST INDUSTRIAL REALTY TRUS    COM   32054K103          59       1,870  SH     OTHER       04         870           0       1,000
FIRST INDUSTRIAL REALTY TRUS    COM   32054K103       4,572     144,676  SH     DEFINED  01,08      86,888      57,788           0

FIRST IND CORP                  COM   32054R108       1,151      67,082  SH     DEFINED     01      44,951      22,006         125
FIRST IND CORP                  COM   32054R108         627      36,553  SH     OTHER       01      36,553           0           0
FIRST IND CORP                  COM   32054R108          26       1,496  SH     DEFINED     02       1,496           0           0
FIRST IND CORP                  COM   32054R108       1,151      67,061  SH     DEFINED  01,08      21,362      45,699           0

FIRST INVS FINL SVCS GROUP I    COM   32058A101          10       2,500  SH     DEFINED     01         800       1,700           0
FIRST INVS FINL SVCS GROUP I    COM   32058A101          37       9,200  SH     DEFINED  01,08       2,391       6,809           0

FIRST LONG IS CORP              COM   320734106         420      10,492  SH     DEFINED     01       3,642       6,550         300
FIRST LONG IS CORP              COM   320734106         383       9,550  SH     DEFINED  01,08       2,263       7,287           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    195
________

FIRST M & F CORP                COM   320744105          98       2,997  SH     DEFINED     01       1,441       1,556           0
FIRST M & F CORP                COM   320744105         266       8,136  SH     DEFINED  01,08       2,347       5,789           0

FIRST MARINER BANCORP           COM   320795107          52       4,100  SH     DEFINED     01           0       4,100           0
FIRST MARINER BANCORP           COM   320795107         100       7,873  SH     DEFINED  01,08       2,373       5,500           0

FIRST MERCHANTS CORP            COM   320817109       1,224      50,574  SH     DEFINED     01      27,759      22,080         735
FIRST MERCHANTS CORP            COM   320817109       1,047      43,280  SH     DEFINED  01,08      12,670      30,610           0

FIRST MIDWEST BANCORP DEL       COM   320867104       2,111      73,281  SH     DEFINED     01      47,182      21,587       4,512
FIRST MIDWEST BANCORP DEL       COM   320867104         239       8,302  SH     OTHER       02       8,302           0           0
FIRST MIDWEST BANCORP DEL       COM   320867104         102       3,553  SH     DEFINED     04       3,553           0           0
FIRST MIDWEST BANCORP DEL       COM   320867104         317      11,000  SH     OTHER       04      11,000           0           0
FIRST MIDWEST BANCORP DEL       COM   320867104          26         900  SH     OTHER    01,06           0           0         900
FIRST MIDWEST BANCORP DEL       COM   320867104       2,783      96,585  SH     DEFINED  01,08      62,242      34,343           0

FIRST MIDWEST FINL INC          COM   320878101         140       7,700  SH     DEFINED     01           0       7,700           0
FIRST MIDWEST FINL INC          COM   320878101          76       4,200  SH     DEFINED  01,08       1,100       3,100           0

FIRST NATL CORP ORANGEBURG S    COM   320942105         336      13,617  SH     DEFINED     01      11,477       2,140           0
FIRST NATL CORP ORANGEBURG S    COM   320942105         154       6,254  SH     DEFINED  01,08       2,206       4,048           0

FIRST HEALTH GROUP CORP         COM   320960107       8,540     309,210  SH     DEFINED     01     117,699     186,689       4,822
FIRST HEALTH GROUP CORP         COM   320960107          51       1,845  SH     OTHER       01           0       1,845           0
FIRST HEALTH GROUP CORP         COM   320960107           2          85  SH     DEFINED     02          85           0           0
FIRST HEALTH GROUP CORP         COM   320960107          58       2,100  SH     DEFINED     04       1,800           0         300
FIRST HEALTH GROUP CORP         COM   320960107           7         250  SH     OTHER       04         250           0           0
FIRST HEALTH GROUP CORP         COM   320960107       7,819     283,084  SH     DEFINED  01,08     216,066      67,018           0

FIRST MUTUAL BANCSHARES INC     COM   32190E102         133       6,666  SH     DEFINED     01         726       5,940           0
FIRST MUTUAL BANCSHARES INC     COM   32190E102         261      13,052  SH     DEFINED  01,08       1,879      11,173           0

FIRST NIAGARA FINL GP INC       COM   33582V108       1,902     136,662  SH     DEFINED     01      64,592      70,219       1,851
FIRST NIAGARA FINL GP INC       COM   33582V108       2,832     203,432  SH     DEFINED  01,08     107,421      96,011           0

FIRST OAK BROOK BANCSHARES I    COM   335847208         420      12,746  SH     DEFINED     01       5,446       7,200         100
FIRST OAK BROOK BANCSHARES I    COM   335847208         512      15,521  SH     DEFINED  01,08       5,001      10,520           0

FIRST PL FINL CORP              COM   33610T109       1,350      79,909  SH     DEFINED     01      55,464      24,145         300
FIRST PL FINL CORP              COM   33610T109         723      42,803  SH     DEFINED  01,08      11,322      31,481           0

FIRST REP BK SAN FRANCISCO      COM   336158100       1,696      63,766  SH     DEFINED     01      35,153      27,913         700
FIRST REP BK SAN FRANCISCO      COM   336158100           8         300  SH     OTHER    01,06           0           0         300
FIRST REP BK SAN FRANCISCO      COM   336158100       1,227      46,119  SH     DEFINED  01,08      21,515      24,604           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    196
________

FIRST SECURITYFED FINL INC      COM   336392105         182       7,300  SH     DEFINED     01       1,300       6,000           0
FIRST SECURITYFED FINL INC      COM   336392105         180       7,226  SH     DEFINED  01,08       1,726       5,500           0

FIRST SENTINEL BANCORP INC      COM   33640T103       2,087     131,418  SH     DEFINED     01      79,480      50,378       1,560
FIRST SENTINEL BANCORP INC      COM   33640T103       1,184      74,550  SH     DEFINED  01,08      21,259      53,291           0

1ST ST BANCORP INC              COM   33645S100          66       2,600  SH     DEFINED     01       2,600           0           0
1ST ST BANCORP INC              COM   33645S100         143       5,600  SH     DEFINED  01,08       1,400       4,200           0

FIRST ST BANCORPORATION         COM   336453105         675      24,705  SH     DEFINED     01      17,105       7,500         100
FIRST ST BANCORPORATION         COM   336453105         533      19,487  SH     DEFINED  01,08       7,109      12,378           0

FIRST SOUTH BANCORP INC VA      COM   33646W100         195       5,828  SH     DEFINED     01       3,578       2,150         100
FIRST SOUTH BANCORP INC VA      COM   33646W100         303       9,056  SH     DEFINED  01,08       2,025       7,031           0

1ST SOURCE CORP                 COM   336901103       1,689      90,937  SH     DEFINED     01      65,000      25,327         610
1ST SOURCE CORP                 COM   336901103           9         500  SH     OTHER       02         500           0           0
1ST SOURCE CORP                 COM   336901103       1,855      99,910  SH     DEFINED  01,08      41,190      58,720           0

FIRST TENN NATL CORP            COM   337162101      32,549     741,272  SH     DEFINED     01     386,172     342,326      12,774
FIRST TENN NATL CORP            COM   337162101          74       1,677  SH     OTHER       01           0         776         901
FIRST TENN NATL CORP            COM   337162101          35         800  SH     OTHER       02         800           0           0
FIRST TENN NATL CORP            COM   337162101           2          50  SH     DEFINED     03           0          50           0
FIRST TENN NATL CORP            COM   337162101          70       1,600  SH     OTHER       03       1,600           0           0
FIRST TENN NATL CORP            COM   337162101         237       5,401  SH     DEFINED     04       5,401           0           0
FIRST TENN NATL CORP            COM   337162101         369       8,397  SH     OTHER       04       8,290           0         107
FIRST TENN NATL CORP            COM   337162101          13         300  SH     OTHER    01,06           0           0         300
FIRST TENN NATL CORP            COM   337162101      24,584     559,867  SH     DEFINED  01,08     508,622      51,245           0
FIRST TENN NATL CORP            COM   337162101           1          20  SH     DEFINED     10          20           0           0

FIRST UN REAL EST EQ&MTG INV    COM   337400105          16       9,060  SH     DEFINED     01       9,060           0           0
FIRST UN REAL EST EQ&MTG INV    COM   337400105         114      63,100  SH     DEFINED  01,08      16,100      47,000           0

FIRST UTD CORP                  COM   33741H107         155       7,400  SH     DEFINED     01         400       7,000           0
FIRST UTD CORP                  COM   33741H107         240      11,430  SH     DEFINED  01,08       3,630       7,800           0

FIRST VA BANKS INC              COM   337477103      10,285     238,523  SH     DEFINED     01      98,658     135,121       4,744
FIRST VA BANKS INC              COM   337477103          34         787  SH     DEFINED     03           0         787           0
FIRST VA BANKS INC              COM   337477103         255       5,925  SH     DEFINED     04       5,925           0           0
FIRST VA BANKS INC              COM   337477103       2,577      59,762  SH     OTHER       04      59,762           0           0
FIRST VA BANKS INC              COM   337477103       8,283     192,098  SH     DEFINED  01,08     140,176      51,922           0

FIRST VIRTUAL COMMUNICATIONS    COM   337484109          90      20,158  SH     DEFINED     01       6,258      13,900           0
FIRST VIRTUAL COMMUNICATIONS    COM   337484109         186      41,892  SH     DEFINED  01,08       6,240      35,652           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    197
________

FIRSTBANK CORP MICH             COM   33761G104          68       2,249  SH     DEFINED     01       2,249           0           0
FIRSTBANK CORP MICH             COM   33761G104         310      10,222  SH     DEFINED     04      10,222           0           0
FIRSTBANK CORP MICH             COM   33761G104          88       2,900  SH     DEFINED  01,08       2,900           0           0
FIRSTBANK CORP MICH             COM   33761G104         159       5,250  SH     DEFINED     10           0       5,250           0

FIRSTCITY FINL CORP             COM   33761X107          33      15,800  SH     DEFINED     01       1,200      14,600           0
FIRSTCITY FINL CORP             COM   33761X107           0         161  SH     OTHER       05           0         161           0
FIRSTCITY FINL CORP             COM   33761X107           6       2,791  SH     DEFINED  01,08       1,591       1,200           0

FISCHER IMAGING CORP            COM   337719108          37       7,500  SH     DEFINED     01       1,700       5,800           0
FISCHER IMAGING CORP            COM   337719108          81      16,400  SH     DEFINED  01,08       4,324      12,076           0

FISERV INC                      COM   337738108      56,191   1,575,756  SH     DEFINED     01     905,176     649,317      21,263
FISERV INC                      COM   337738108       5,652     158,508  SH     OTHER       01      92,283      57,225       9,000
FISERV INC                      COM   337738108       1,676      47,011  SH     DEFINED     02      33,211      12,125       1,675
FISERV INC                      COM   337738108         314       8,807  SH     OTHER       02       5,382       2,350       1,075
FISERV INC                      COM   337738108         165       4,623  SH     DEFINED     03       1,600       2,932          91
FISERV INC                      COM   337738108          40       1,120  SH     OTHER       03         620           0         500
FISERV INC                      COM   337738108      26,079     731,330  SH     DEFINED     04     714,395           0      16,935
FISERV INC                      COM   337738108      10,946     306,949  SH     OTHER       04     276,450           0      30,499
FISERV INC                      COM   337738108         401      11,250  SH     DEFINED     05      10,825           0         425
FISERV INC                      COM   337738108          34         950  SH     OTHER       05         950           0           0
FISERV INC                      COM   337738108          16         450  SH     OTHER    01,06           0           0         450
FISERV INC                      COM   337738108      32,082     899,672  SH     DEFINED  01,08     827,402      72,270           0
FISERV INC                      COM   337738108       1,107      31,032  SH     DEFINED     10      28,105           0       2,927
FISERV INC                      COM   337738108         126       3,525  SH     OTHER       10          75       3,450           0

FISHER COMMUNICATIONS INC       COM   337756209         903      18,420  SH     DEFINED     01      10,346       7,974         100
FISHER COMMUNICATIONS INC       COM   337756209         184       3,750  SH     DEFINED     03       3,750           0           0
FISHER COMMUNICATIONS INC       COM   337756209         519      10,580  SH     DEFINED  01,08       5,227       5,353           0

FIRSTFED FINL CORP              COM   337907109       3,756     106,442  SH     DEFINED     01      70,980      34,412       1,050
FIRSTFED FINL CORP              COM   337907109          25         700  SH     OTHER       01         700           0           0
FIRSTFED FINL CORP              COM   337907109          12         350  SH     OTHER    01,06           0           0         350
FIRSTFED FINL CORP              COM   337907109       3,410      96,636  SH     DEFINED  01,08      46,649      49,987           0

FIRSTMERIT CORP                 COM   337915102       6,257     274,415  SH     DEFINED     01     106,342     164,123       3,950
FIRSTMERIT CORP                 COM   337915102          14         600  SH     DEFINED     02           0         600           0
FIRSTMERIT CORP                 COM   337915102          11         500  SH     OTHER       02         500           0           0
FIRSTMERIT CORP                 COM   337915102         105       4,600  SH     DEFINED     04       2,600           0       2,000
FIRSTMERIT CORP                 COM   337915102          11         500  SH     OTHER       04         500           0           0
FIRSTMERIT CORP                 COM   337915102       4,389     192,500  SH     DEFINED  01,08     131,145      61,355           0
FIRSTMERIT CORP                 COM   337915102         230      10,090  SH     DEFINED     10      10,090           0           0
FIRSTMERIT CORP                 COM   337915102         743      32,600  SH     OTHER       10      32,600           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    198
________

FIRSTFED AMER BANCORP INC       COM   337929103       1,296      37,560  SH     DEFINED     01      27,872       9,288         400
FIRSTFED AMER BANCORP INC       COM   337929103         791      22,928  SH     DEFINED  01,08       5,612      17,316           0

FLAGSTAR BANCORP INC            COM   337930101       3,168     129,582  SH     DEFINED     01      60,154      68,028       1,400
FLAGSTAR BANCORP INC            COM   337930101          23         950  SH     DEFINED     02         950           0           0
FLAGSTAR BANCORP INC            COM   337930101          29       1,200  SH     OTHER    01,06           0           0       1,200
FLAGSTAR BANCORP INC            COM   337930101       5,118     209,341  SH     DEFINED  01,08     115,625      93,716           0
FLAGSTAR BANCORP INC            COM   337930101         219       8,950  SH     OTHER       10       8,950           0           0

FIRSTENERGY CORP                COM   337932107      64,395   1,674,763  SH     DEFINED     01     874,150     774,171      26,442
FIRSTENERGY CORP                COM   337932107          87       2,264  SH     OTHER       01         434          87       1,743
FIRSTENERGY CORP                COM   337932107          62       1,622  SH     DEFINED     03       1,000         100         522
FIRSTENERGY CORP                COM   337932107           5         135  SH     OTHER       03         135           0           0
FIRSTENERGY CORP                COM   337932107         254       6,608  SH     DEFINED     04       6,608           0           0
FIRSTENERGY CORP                COM   337932107         149       3,877  SH     OTHER       04       3,877           0           0
FIRSTENERGY CORP                COM   337932107          28         733  SH     OTHER    01,06           0           0         733
FIRSTENERGY CORP                COM   337932107      50,930   1,324,588  SH     DEFINED  01,08   1,205,159     119,429           0
FIRSTENERGY CORP                COM   337932107          17         449  SH     DEFINED     10         449           0           0

FISHER SCIENTIFIC INTL INC      COM   338032204       2,427      69,551  SH     DEFINED     01      40,602      26,349       2,600
FISHER SCIENTIFIC INTL INC      COM   338032204           5         145  SH     DEFINED     03           0           0         145
FISHER SCIENTIFIC INTL INC      COM   338032204         176       5,054  SH     DEFINED     04       5,054           0           0
FISHER SCIENTIFIC INTL INC      COM   338032204          24         700  SH     OTHER       04         700           0           0
FISHER SCIENTIFIC INTL INC      COM   338032204       3,336      95,590  SH     DEFINED  01,08      56,983      38,607           0

FIVE STAR QUALITY CARE INC      COM   33832D106          65      42,987  SH     DEFINED     01       1,147      41,840           0
FIVE STAR QUALITY CARE INC      COM   33832D106           0         100  SH     DEFINED     04         100           0           0
FIVE STAR QUALITY CARE INC      COM   33832D106           0         161  SH     OTHER       04         161           0           0
FIVE STAR QUALITY CARE INC      COM   33832D106          18      11,790  SH     DEFINED  01,08       2,290       9,500           0
FIVE STAR QUALITY CARE INC      COM   33832D106           0          50  SH     DEFINED     10           0          50           0

FLAG FINL CORP                  COM   33832H107          64       4,700  SH     DEFINED     01         700       4,000           0
FLAG FINL CORP                  COM   33832H107         200      14,600  SH     DEFINED  01,08       3,650      10,950           0

FLANDERS CORP                   COM   338494107         160      59,217  SH     DEFINED     01      33,617      25,600           0
FLANDERS CORP                   COM   338494107         126      46,483  SH     DEFINED  01,08      11,983      34,500           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    199
________

FLEETBOSTON FINL CORP           COM   339030108     186,548   6,278,970  SH     DEFINED     01   3,345,842   2,812,566     120,562
FLEETBOSTON FINL CORP           COM   339030108       1,538      51,774  SH     OTHER       01      26,661      22,492       2,621
FLEETBOSTON FINL CORP           COM   339030108         296       9,952  SH     DEFINED     02       6,242       2,730         980
FLEETBOSTON FINL CORP           COM   339030108         274       9,225  SH     OTHER       02       8,050       1,175           0
FLEETBOSTON FINL CORP           COM   339030108       1,706      57,433  SH     DEFINED     03      21,110      15,818      20,505
FLEETBOSTON FINL CORP           COM   339030108       3,021     101,671  SH     OTHER       03      98,293       2,378       1,000
FLEETBOSTON FINL CORP           COM   339030108       3,479     117,115  SH     DEFINED     04     117,115           0           0
FLEETBOSTON FINL CORP           COM   339030108       6,073     204,404  SH     OTHER       04     198,050           0       6,354
FLEETBOSTON FINL CORP           COM   339030108         653      21,985  SH     DEFINED     05      20,555           0       1,430
FLEETBOSTON FINL CORP           COM   339030108          17         580  SH     OTHER       05         300           0         280
FLEETBOSTON FINL CORP           COM   339030108          79       2,653  SH     OTHER    01,06           0           0       2,653
FLEETBOSTON FINL CORP           COM   339030108     136,468   4,593,341  SH     DEFINED  01,08   4,168,745     424,596           0
FLEETBOSTON FINL CORP           COM   339030108       1,384      46,592  SH     DEFINED     10      43,917         875       1,800
FLEETBOSTON FINL CORP           COM   339030108         312      10,500  SH     OTHER       10       9,700         800           0

FLEETWOOD ENTERPRISES INC       COM   339099103         901     121,804  SH     DEFINED     01      70,512      47,892       3,400
FLEETWOOD ENTERPRISES INC       COM   339099103           5         700  SH     OTHER    01,06           0           0         700
FLEETWOOD ENTERPRISES INC       COM   339099103       1,144     154,545  SH     DEFINED  01,08      89,086      65,459           0

FLEXSTEEL INDS INC              COM   339382103         350      21,200  SH     DEFINED     01      16,800       4,400           0
FLEXSTEEL INDS INC              COM   339382103         273      16,565  SH     DEFINED  01,08       2,631      13,934           0

FLORIDA BANKS INC               COM   340560101         119      10,300  SH     DEFINED     01         800       9,500           0
FLORIDA BANKS INC               COM   340560101         135      11,734  SH     DEFINED  01,08       3,134       8,600           0

FLORIDA EAST COAST INDS         COM   340632108       2,388      93,453  SH     DEFINED     01      48,870      43,083       1,500
FLORIDA EAST COAST INDS         COM   340632108         758      29,683  SH     DEFINED     04      29,683           0           0
FLORIDA EAST COAST INDS         COM   340632108       1,943      76,035  SH     OTHER       04      76,035           0           0
FLORIDA EAST COAST INDS         COM   340632108       2,323      90,923  SH     DEFINED  01,08      30,224      60,699           0

FLORIDA ROCK INDS INC           COM   341140101       3,345      81,023  SH     DEFINED     01      42,206      36,317       2,500
FLORIDA ROCK INDS INC           COM   341140101          25         600  SH     OTHER    01,06           0           0         600
FLORIDA ROCK INDS INC           COM   341140101       3,809      92,272  SH     DEFINED  01,08      34,403      57,869           0

FLORIDAFIRST BANCORP INC NEW    COM   343258109         158       6,604  SH     DEFINED     01         412       6,192           0
FLORIDAFIRST BANCORP INC NEW    COM   343258109          25       1,032  SH     DEFINED     04       1,032           0           0
FLORIDAFIRST BANCORP INC NEW    COM   343258109         234       9,761  SH     DEFINED  01,08       2,875       6,886           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    200
________

FLUOR CORP NEW                  COM   343412102      15,460     459,585  SH     DEFINED     01     234,932     215,619       9,034
FLUOR CORP NEW                  COM   343412102           3          75  SH     OTHER       01           0           0          75
FLUOR CORP NEW                  COM   343412102           2          50  SH     DEFINED     03           0          50           0
FLUOR CORP NEW                  COM   343412102          65       1,920  SH     DEFINED     04       1,920           0           0
FLUOR CORP NEW                  COM   343412102          10         287  SH     OTHER       04          60           0         227
FLUOR CORP NEW                  COM   343412102          67       2,000  SH     OTHER       05           0       2,000           0
FLUOR CORP NEW                  COM   343412102           8         250  SH     OTHER    01,06           0           0         250
FLUOR CORP NEW                  COM   343412102      11,822     351,435  SH     DEFINED  01,08     319,066      32,369           0
FLUOR CORP NEW                  COM   343412102           0          13  SH     DEFINED     10          13           0           0

FLOW INTL CORP                  COM   343468104          65      45,959  SH     DEFINED     01      25,471      20,188         300
FLOW INTL CORP                  COM   343468104          59      42,166  SH     DEFINED  01,08       7,267      34,899           0
FLOW INTL CORP                  COM   343468104           1         700  SH     DEFINED     10         700           0           0

FLOWERS FOODS INC               COM   343498101       2,506     126,805  SH     DEFINED     01      84,280      42,075         450
FLOWERS FOODS INC               COM   343498101         542      27,444  SH     OTHER       04      27,444           0           0
FLOWERS FOODS INC               COM   343498101          12         600  SH     OTHER    01,06           0           0         600
FLOWERS FOODS INC               COM   343498101       2,789     141,164  SH     DEFINED  01,08      89,663      51,501           0
FLOWERS FOODS INC               COM   343498101           3         138  SH     DEFINED     10         138           0           0

FLOWSERVE CORP                  COM   34354P105       4,074     207,131  SH     DEFINED     01      96,032     107,449       3,650
FLOWSERVE CORP                  COM   34354P105          47       2,400  SH     DEFINED     04       2,400           0           0
FLOWSERVE CORP                  COM   34354P105           8         400  SH     OTHER       04         400           0           0
FLOWSERVE CORP                  COM   34354P105       2,991     152,046  SH     DEFINED  01,08     112,940      39,106           0

FLUSHING FINL CORP              COM   343873105         950      42,869  SH     DEFINED     01      24,324      17,935         610
FLUSHING FINL CORP              COM   343873105         732      33,060  SH     DEFINED  01,08      10,270      22,790           0

FOAMEX INTL INC                 COM   344123104         250      84,514  SH     DEFINED     01      50,627      33,287         600
FOAMEX INTL INC                 COM   344123104         168      56,673  SH     DEFINED  01,08      11,162      45,511           0

FOCUS ENHANCEMENTS INC          COM   344159108          33      26,274  SH     DEFINED     01       2,700      23,574           0
FOCUS ENHANCEMENTS INC          COM   344159108          75      59,729  SH     DEFINED  01,08      13,580      46,149           0

FONAR CORP                      COM   344437108          15      11,400  SH     DEFINED     01       3,900       7,500           0
FONAR CORP                      COM   344437108          13      10,000  SH     DEFINED     04      10,000           0           0
FONAR CORP                      COM   344437108         171     131,628  SH     DEFINED  01,08      32,926      98,702           0

FOOD TECHNOLOGY SERVICE INC     COM   344798103           7       7,500  SH     DEFINED     01       1,400       6,100           0
FOOD TECHNOLOGY SERVICE INC     COM   344798103           0         300  SH     DEFINED     04         300           0           0
FOOD TECHNOLOGY SERVICE INC     COM   344798103          13      13,135  SH     DEFINED  01,08       1,860      11,275           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    201
________

FOOT LOCKER INC                 COM   344849104       2,320     175,069  SH     DEFINED     01     106,771      60,998       7,300
FOOT LOCKER INC                 COM   344849104          66       5,000  SH     DEFINED     03       5,000           0           0
FOOT LOCKER INC                 COM   344849104         496      37,400  SH     DEFINED     04      37,400           0           0
FOOT LOCKER INC                 COM   344849104         133      10,000  SH     OTHER       04      10,000           0           0
FOOT LOCKER INC                 COM   344849104         159      12,000  SH     OTHER       05           0      12,000           0
FOOT LOCKER INC                 COM   344849104       3,118     235,358  SH     DEFINED  01,08     134,358     101,000           0

FOOTHILL INDPT BANCORP          COM   344905104         165       8,863  SH     DEFINED     01         933       7,930           0
FOOTHILL INDPT BANCORP          COM   344905104         197      10,571  SH     DEFINED  01,08       2,888       7,683           0

FOOTSTAR INC                    COM   344912100         989      76,108  SH     DEFINED     01      41,197      33,061       1,850
FOOTSTAR INC                    COM   344912100           3         230  SH     DEFINED     03           0           0         230
FOOTSTAR INC                    COM   344912100          10         748  SH     OTHER       04         748           0           0
FOOTSTAR INC                    COM   344912100           5         400  SH     OTHER    01,06           0           0         400
FOOTSTAR INC                    COM   344912100       1,267      97,455  SH     DEFINED  01,08      60,298      37,157           0

FORD MTR CO DEL                 COM   345370860     115,389  10,499,463  SH     DEFINED     01   5,574,744   4,763,852     160,867
FORD MTR CO DEL                 COM   345370860         203      18,499  SH     OTHER       01      13,089       3,785       1,625
FORD MTR CO DEL                 COM   345370860          49       4,427  SH     DEFINED     02       2,550         200       1,677
FORD MTR CO DEL                 COM   345370860          37       3,370  SH     OTHER       02         900       2,470           0
FORD MTR CO DEL                 COM   345370860           2         150  SH     DEFINED     03           0         150           0
FORD MTR CO DEL                 COM   345370860          89       8,139  SH     OTHER       03       7,864         275           0
FORD MTR CO DEL                 COM   345370860       2,357     214,497  SH     DEFINED     04     214,497           0           0
FORD MTR CO DEL                 COM   345370860         291      26,503  SH     OTHER       04      26,398           0         105
FORD MTR CO DEL                 COM   345370860         148      13,496  SH     OTHER       05           0       3,496      10,000
FORD MTR CO DEL                 COM   345370860          52       4,700  SH     OTHER    01,06           0           0       4,700
FORD MTR CO DEL                 COM   345370860      87,425   7,954,958  SH     DEFINED  01,08   7,222,019     732,939           0
FORD MTR CO DEL                 COM   345370860         701      63,749  SH     DEFINED     10      49,958      13,791           0
FORD MTR CO DEL                 COM   345370860          25       2,272  SH     OTHER       10       1,000       1,272           0

FORD MTR CO CAP TR II           CONPF 345395206       1,738      40,000         DEFINED     01      40,000           0           0
FORD MTR CO CAP TR II           CONPF 345395206          26         600         OTHER       02           0         600           0
FORD MTR CO CAP TR II           CONPF 345395206          22         500         DEFINED     03         500           0           0
FORD MTR CO CAP TR II           CONPF 345395206          22         500         OTHER       05           0         500           0
FORD MTR CO CAP TR II           CONPF 345395206         211       4,850         DEFINED     10       4,850           0           0
FORD MTR CO CAP TR II           CONPF 345395206         325       7,475         OTHER       10       6,475       1,000           0

FOREST CITY ENTERPRISES INC     COM   345550107       1,371      33,076  SH     DEFINED     01      22,115       9,822       1,139
FOREST CITY ENTERPRISES INC     COM   345550107          29         700  SH     OTHER       01         700           0           0
FOREST CITY ENTERPRISES INC     COM   345550107       2,279      54,970  SH     DEFINED  01,08      22,837      32,133           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    202
________

FOREST LABS INC                 COM   345838106     226,251   4,132,436  SH     DEFINED     01   2,650,767   1,311,364     170,305
FOREST LABS INC                 COM   345838106      13,774     251,588  SH     OTHER       01     134,413      89,575      27,600
FOREST LABS INC                 COM   345838106       6,608     120,703  SH     DEFINED     02      86,661      28,890       5,152
FOREST LABS INC                 COM   345838106       1,457      26,620  SH     OTHER       02      15,990       9,280       1,350
FOREST LABS INC                 COM   345838106      16,867     308,082  SH     DEFINED     03     155,444     104,235      48,403
FOREST LABS INC                 COM   345838106       3,120      56,983  SH     OTHER       03      33,403       9,950      13,630
FOREST LABS INC                 COM   345838106      29,720     542,822  SH     DEFINED     04     533,057           0       9,765
FOREST LABS INC                 COM   345838106       7,847     143,319  SH     OTHER       04     138,184           0       5,135
FOREST LABS INC                 COM   345838106       5,698     104,078  SH     DEFINED     05      84,353      13,655       6,070
FOREST LABS INC                 COM   345838106         443       8,100  SH     OTHER       05       2,250       5,850           0
FOREST LABS INC                 COM   345838106          49         900  SH     OTHER    01,06           0           0         900
FOREST LABS INC                 COM   345838106      81,686   1,491,989  SH     DEFINED  01,08   1,360,421     131,568           0
FOREST LABS INC                 COM   345838106       4,753      86,810  SH     DEFINED     10      76,085       4,340       6,385
FOREST LABS INC                 COM   345838106       1,415      25,850  SH     OTHER       10      15,490       9,710         650

FOREST OIL CORP                 COM   346091705       3,982     158,511  SH     DEFINED     01      71,209      86,098       1,204
FOREST OIL CORP                 COM   346091705       2,405      95,748  SH     DEFINED  01,08      64,448      31,300           0

FORGENT NETWORKS INC            COM   34629U103         110      40,700  SH     DEFINED     01       4,900      35,800           0
FORGENT NETWORKS INC            COM   34629U103           5       2,000  SH     OTHER       01           0       2,000           0
FORGENT NETWORKS INC            COM   34629U103         124      45,794  SH     DEFINED  01,08      12,006      33,788           0

FORRESTER RESH INC              COM   346563109         927      57,377  SH     DEFINED     01      33,656      23,621         100
FORRESTER RESH INC              COM   346563109       1,065      65,921  SH     DEFINED  01,08      34,140      31,781           0

FORTUNE BRANDS INC              COM   349631101      59,609   1,141,933  SH     DEFINED     01     735,078     383,950      22,905
FORTUNE BRANDS INC              COM   349631101       1,049      20,100  SH     OTHER       01      11,525       8,550          25
FORTUNE BRANDS INC              COM   349631101       1,399      26,805  SH     DEFINED     02      24,725       1,730         350
FORTUNE BRANDS INC              COM   349631101       1,107      21,210  SH     OTHER       02      19,060         300       1,850
FORTUNE BRANDS INC              COM   349631101       1,060      20,305  SH     DEFINED     03      13,805       5,600         900
FORTUNE BRANDS INC              COM   349631101         224       4,300  SH     OTHER       03       3,850           0         450
FORTUNE BRANDS INC              COM   349631101       4,344      83,210  SH     DEFINED     04      81,860           0       1,350
FORTUNE BRANDS INC              COM   349631101       4,749      90,981  SH     OTHER       04      90,356           0         625
FORTUNE BRANDS INC              COM   349631101          21         400  SH     OTHER    01,06           0           0         400
FORTUNE BRANDS INC              COM   349631101      30,478     583,872  SH     DEFINED  01,08     540,702      43,170           0
FORTUNE BRANDS INC              COM   349631101         250       4,789  SH     DEFINED     10       4,789           0           0
FORTUNE BRANDS INC              COM   349631101         117       2,250  SH     OTHER       10         700       1,150         400

FORTUNE BRANDS INC              CONPF 349631200         344       1,720         DEFINED     05       1,720           0           0

FORWARD AIR CORP                COM   349853101       1,241      49,167  SH     DEFINED     01      26,096      22,321         750
FORWARD AIR CORP                COM   349853101           3         125  SH     DEFINED     02           0           0         125
FORWARD AIR CORP                COM   349853101          11         425  SH     OTHER    01,06           0           0         425
FORWARD AIR CORP                COM   349853101       1,679      66,515  SH     DEFINED  01,08      34,588      31,927           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    203
________

FOSSIL INC                      COM   349882100       2,304      97,496  SH     DEFINED     01      48,697      45,999       2,800
FOSSIL INC                      COM   349882100          20         843  SH     OTHER       04         843           0           0
FOSSIL INC                      COM   349882100          22         930  SH     OTHER    01,06           0           0         930
FOSSIL INC                      COM   349882100       3,911     165,528  SH     DEFINED  01,08      95,500      70,028           0

FOSTER L B CO                   COM   350060109          68      13,300  SH     DEFINED     01       1,400      11,900           0
FOSTER L B CO                   COM   350060109         129      25,226  SH     DEFINED  01,08       4,287      20,939           0

FOUNDRY NETWORKS INC            COM   35063R100       7,596     532,668  SH     DEFINED     01     390,586     137,182       4,900
FOUNDRY NETWORKS INC            COM   35063R100           9         655  SH     DEFINED     04         655           0           0
FOUNDRY NETWORKS INC            COM   35063R100       3,240     227,184  SH     DEFINED  01,08     113,288     113,896           0

4 KIDS ENTMT INC                COM   350865101         770      41,379  SH     DEFINED     01      21,148      20,031         200
4 KIDS ENTMT INC                COM   350865101           5         250  SH     OTHER    01,06           0           0         250
4 KIDS ENTMT INC                COM   350865101       1,259      67,702  SH     DEFINED  01,08      37,114      30,588           0

FOX ENTMT GROUP INC             COM   35138T107       9,215     320,193  SH     DEFINED     01     206,044     107,462       6,687
FOX ENTMT GROUP INC             COM   35138T107         224       7,800  SH     OTHER       01         420       6,830         550
FOX ENTMT GROUP INC             COM   35138T107         704      24,465  SH     DEFINED     02      20,500       3,325         640
FOX ENTMT GROUP INC             COM   35138T107         122       4,250  SH     OTHER       02       1,950       2,300           0
FOX ENTMT GROUP INC             COM   35138T107         184       6,381  SH     DEFINED     03       3,231       3,150           0
FOX ENTMT GROUP INC             COM   35138T107          23         800  SH     OTHER       03         700         100           0
FOX ENTMT GROUP INC             COM   35138T107       3,039     105,595  SH     DEFINED     04     101,695           0       3,900
FOX ENTMT GROUP INC             COM   35138T107         811      28,170  SH     OTHER       04      27,570           0         600
FOX ENTMT GROUP INC             COM   35138T107         463      16,075  SH     DEFINED     05      11,000       5,075           0
FOX ENTMT GROUP INC             COM   35138T107          62       2,150  SH     OTHER       05       2,150           0           0
FOX ENTMT GROUP INC             COM   35138T107      11,876     412,647  SH     DEFINED  01,08     196,448     216,199           0
FOX ENTMT GROUP INC             COM   35138T107           6         200  SH     DEFINED     10         200           0           0

FRANKLIN BANCORP INC MICH       COM   35242V105          80       4,600  SH     DEFINED     01         500       4,100           0
FRANKLIN BANCORP INC MICH       COM   35242V105         108       6,271  SH     DEFINED  01,08       1,541       4,730           0
FRANKLIN BANCORP INC MICH       COM   35242V105          36       2,100  SH     DEFINED     10       2,100           0           0

FRANKLIN COVEY CO               COM   353469109          54      30,823  SH     DEFINED     01       4,623      26,200           0
FRANKLIN COVEY CO               COM   353469109          64      36,441  SH     DEFINED  01,08       6,220      30,221           0

FRANKLIN ELEC INC               COM   353514102       1,562      28,253  SH     DEFINED     01      14,801      13,102         350
FRANKLIN ELEC INC               COM   353514102       1,564      28,291  SH     DEFINED  01,08      12,158      16,133           0
FRANKLIN ELEC INC               COM   353514102         111       2,000  SH     DEFINED     10       2,000           0           0

FRANKLIN ELECTR PUBLISHERS I    COM   353515109          43      10,700  SH     DEFINED     01       1,600       9,100           0
FRANKLIN ELECTR PUBLISHERS I    COM   353515109          87      21,631  SH     DEFINED  01,08       2,703      18,928           0

FRANKLIN FINL CORP TENN         COM   353523202         264       8,758  SH     DEFINED     01       8,158         600           0
FRANKLIN FINL CORP TENN         COM   353523202         330      10,934  SH     DEFINED  01,08       3,890       7,044           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    204
________

FRANKLIN RES INC                COM   354613101      54,970   1,406,962  SH     DEFINED     01     746,634     637,536      22,792
FRANKLIN RES INC                COM   354613101          19         491  SH     OTHER       01           0           0         491
FRANKLIN RES INC                COM   354613101         129       3,300  SH     DEFINED     02       1,800       1,500           0
FRANKLIN RES INC                COM   354613101          18         450  SH     OTHER       02         450           0           0
FRANKLIN RES INC                COM   354613101         391      10,005  SH     DEFINED     03       8,785         765         455
FRANKLIN RES INC                COM   354613101         844      21,600  SH     OTHER       03      21,000         600           0
FRANKLIN RES INC                COM   354613101         763      19,527  SH     DEFINED     04      19,527           0           0
FRANKLIN RES INC                COM   354613101         518      13,250  SH     OTHER       04      13,250           0           0
FRANKLIN RES INC                COM   354613101       1,139      29,153  SH     DEFINED     05      21,543       7,210         400
FRANKLIN RES INC                COM   354613101         426      10,900  SH     OTHER       05       6,800       4,100           0
FRANKLIN RES INC                COM   354613101          27         700  SH     OTHER    01,06           0           0         700
FRANKLIN RES INC                COM   354613101      39,797   1,018,617  SH     DEFINED  01,08     928,304      90,313           0
FRANKLIN RES INC                COM   354613101         666      17,041  SH     DEFINED     10          41           0      17,000

FREDS INC                       COM   356108100       6,123     163,588  SH     DEFINED     01     106,828      37,323      19,437
FREDS INC                       COM   356108100           4         100  SH     DEFINED     04         100           0           0
FREDS INC                       COM   356108100          19         500  SH     OTHER    01,06           0           0         500
FREDS INC                       COM   356108100       3,975     106,190  SH     DEFINED  01,08      62,114      44,076           0

FREEMARKETS INC                 COM   356602102         982     141,364  SH     DEFINED     01      86,184      48,520       6,660
FREEMARKETS INC                 COM   356602102         140      20,075  SH     DEFINED     04      20,075           0           0
FREEMARKETS INC                 COM   356602102         999     143,760  SH     DEFINED  01,08      70,946      72,814           0

FREEPORT-MCMORAN COPPER & GO    COM   35671D857      18,616     759,819  SH     DEFINED     01     385,803     350,311      23,705
FREEPORT-MCMORAN COPPER & GO    COM   35671D857          20         800  SH     OTHER       01         700           0         100
FREEPORT-MCMORAN COPPER & GO    COM   35671D857          18         725  SH     OTHER       02           0           0         725
FREEPORT-MCMORAN COPPER & GO    COM   35671D857          35       1,418  SH     DEFINED     03       1,133          50         235
FREEPORT-MCMORAN COPPER & GO    COM   35671D857          64       2,628  SH     DEFINED     04       2,628           0           0
FREEPORT-MCMORAN COPPER & GO    COM   35671D857           9         374  SH     OTHER       05           0         374           0
FREEPORT-MCMORAN COPPER & GO    COM   35671D857          10         400  SH     OTHER    01,06           0           0         400
FREEPORT-MCMORAN COPPER & GO    COM   35671D857      14,092     575,175  SH     DEFINED  01,08     525,840      49,335           0
FREEPORT-MCMORAN COPPER & GO    COM   35671D857           1          28  SH     DEFINED     10          28           0           0

FREMONT GEN CORP                COM   357288109       3,123     227,932  SH     DEFINED     01     120,083     102,624       5,225
FREMONT GEN CORP                COM   357288109          20       1,470  SH     OTHER    01,06           0           0       1,470
FREMONT GEN CORP                COM   357288109       4,092     298,655  SH     DEFINED  01,08     169,995     128,660           0

FREQUENCY ELECTRS INC           COM   358010106          78       8,600  SH     DEFINED     01       1,600       7,000           0
FREQUENCY ELECTRS INC           COM   358010106          55       6,000  SH     DEFINED     04       6,000           0           0
FREQUENCY ELECTRS INC           COM   358010106           4         400  SH     OTHER       04           0           0         400
FREQUENCY ELECTRS INC           COM   358010106         227      24,912  SH     DEFINED  01,08       3,924      20,988           0

FRESH BRANDS INC                COM   35803U108         108       7,800  SH     DEFINED     01       1,300       6,500           0
FRESH BRANDS INC                COM   35803U108         156      11,257  SH     DEFINED  01,08       2,274       8,983           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    205
________

FRESH CHOICE INC                COM   358032100          12       6,600  SH     DEFINED     01           0       6,600           0
FRESH CHOICE INC                COM   358032100          25      13,700  SH     DEFINED  01,08       4,224       9,476           0

FRIEDMAN BILLINGS RAMSEY GRO    COM   358434108       4,669     348,411  SH     DEFINED     01     188,291     156,448       3,672
FRIEDMAN BILLINGS RAMSEY GRO    COM   358434108          87       6,460  SH     OTHER       03       6,460           0           0
FRIEDMAN BILLINGS RAMSEY GRO    COM   358434108          16       1,222  SH     DEFINED     05       1,222           0           0
FRIEDMAN BILLINGS RAMSEY GRO    COM   358434108       2,888     215,516  SH     DEFINED  01,08      98,575     116,941           0

FRIEDMAN INDS INC               COM   358435105          18       6,582  SH     DEFINED     01       1,102       5,480           0
FRIEDMAN INDS INC               COM   358435105          58      21,450  SH     DEFINED  01,08       3,476      17,974           0

FRIEDMANS INC                   COM   358438109         687      60,455  SH     DEFINED     01      35,970      23,535         950
FRIEDMANS INC                   COM   358438109         559      49,127  SH     DEFINED  01,08      16,037      33,090           0

FRIENDLY ICE CREAM CORP NEW     COM   358497105          53       8,400  SH     DEFINED     01       1,000       7,400           0
FRIENDLY ICE CREAM CORP NEW     COM   358497105          49       7,772  SH     DEFINED  01,08       3,472       4,300           0

FRISCHS RESTAURANTS INC         COM   358748101         151       8,400  SH     DEFINED     01       1,200       7,200           0
FRISCHS RESTAURANTS INC         COM   358748101         299      16,614  SH     DEFINED  01,08       2,083      14,531           0

FRONTIER AIRLINES INC NEW       COM   359065109         923     101,969  SH     DEFINED     01      60,815      38,454       2,700
FRONTIER AIRLINES INC NEW       COM   359065109           5         600  SH     OTHER    01,06           0           0         600
FRONTIER AIRLINES INC NEW       COM   359065109       1,527     168,699  SH     DEFINED  01,08     116,072      52,627           0

FRONTIER FINL CORP WASH         COM   35907K105       1,606      57,116  SH     DEFINED     01      33,862      22,304         950
FRONTIER FINL CORP WASH         COM   35907K105       1,271      45,230  SH     DEFINED  01,08      14,373      30,857           0

FRONTIER OIL CORP               COM   35914P105       1,355      89,176  SH     DEFINED     01      55,801      31,675       1,700
FRONTIER OIL CORP               COM   35914P105           2         100  SH     DEFINED     05         100           0           0
FRONTIER OIL CORP               COM   35914P105           8         500  SH     OTHER    01,06           0           0         500
FRONTIER OIL CORP               COM   35914P105       1,809     119,026  SH     DEFINED  01,08      63,721      55,305           0

FROZEN FOOD EXPRESS INDS INC    COM   359360104         123      39,000  SH     DEFINED     01       2,300      36,700           0
FROZEN FOOD EXPRESS INDS INC    COM   359360104         143      45,183  SH     DEFINED  01,08       6,835      38,348           0

FUELCELL ENERGY INC             COM   35952H106         991     121,028  SH     DEFINED     01      72,146      46,632       2,250
FUELCELL ENERGY INC             COM   35952H106           4         500  SH     OTHER       02         500           0           0
FUELCELL ENERGY INC             COM   35952H106          16       2,000  SH     OTHER       04       2,000           0           0
FUELCELL ENERGY INC             COM   35952H106       1,130     137,973  SH     DEFINED  01,08      70,240      67,733           0

FULLER H B CO                   COM   359694106       2,211     100,411  SH     DEFINED     01      57,168      41,443       1,800
FULLER H B CO                   COM   359694106          12         550  SH     OTHER    01,06           0           0         550
FULLER H B CO                   COM   359694106       3,188     144,762  SH     DEFINED  01,08      91,648      53,114           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    206
________

FULTON FINL CORP PA             COM   360271100       2,754     138,394  SH     DEFINED     01      86,219      46,656       5,519
FULTON FINL CORP PA             COM   360271100         549      27,588  SH     DEFINED     04      27,588           0           0
FULTON FINL CORP PA             COM   360271100         169       8,513  SH     OTHER       04       8,513           0           0
FULTON FINL CORP PA             COM   360271100       4,231     212,609  SH     DEFINED  01,08     135,665      76,944           0

FURNITURE BRANDS INTL INC       COM   360921100       4,699     180,037  SH     DEFINED     01      70,875     106,021       3,141
FURNITURE BRANDS INTL INC       COM   360921100          50       1,900  SH     OTHER       01       1,400         500           0
FURNITURE BRANDS INTL INC       COM   360921100           6         225  SH     DEFINED     02           0           0         225
FURNITURE BRANDS INTL INC       COM   360921100          65       2,500  SH     OTHER       04       2,500           0           0
FURNITURE BRANDS INTL INC       COM   360921100       2,946     112,876  SH     DEFINED  01,08      73,696      39,180           0

G & K SVCS INC                  COM   361268105       2,117      71,895  SH     DEFINED     01      40,370      29,725       1,800
G & K SVCS INC                  COM   361268105          12         400  SH     OTHER    01,06           0           0         400
G & K SVCS INC                  COM   361268105       3,344     113,593  SH     DEFINED  01,08      68,221      45,372           0

GA FINL INC                     COM   361437106         551      21,900  SH     DEFINED     01      13,600       8,300           0
GA FINL INC                     COM   361437106         268      10,645  SH     DEFINED  01,08       3,745       6,900           0

GATX CORP                       COM   361448103       3,037     185,735  SH     DEFINED     01      91,598      91,964       2,173
GATX CORP                       COM   361448103          19       1,148  SH     OTHER       01           0       1,148           0
GATX CORP                       COM   361448103          98       6,000  SH     DEFINED     04       6,000           0           0
GATX CORP                       COM   361448103       2,032     124,308  SH     DEFINED  01,08      89,900      34,408           0
GATX CORP                       COM   361448103           5         300  SH     DEFINED     10         300           0           0

GBC BANCORP CALIF               COM   361475106       1,769      46,244  SH     DEFINED     01      22,842      22,952         450
GBC BANCORP CALIF               COM   361475106           9         225  SH     OTHER    01,06           0           0         225
GBC BANCORP CALIF               COM   361475106       1,721      45,003  SH     DEFINED  01,08      14,544      30,459           0

GP STRATEGIES CORP              COM   36225V104          85      14,000  SH     DEFINED     01       2,300      11,700           0
GP STRATEGIES CORP              COM   36225V104         150      24,640  SH     DEFINED  01,08       6,851      17,789           0

GSE SYS INC                     COM   36227K106          16       9,500  SH     DEFINED     01           0       9,500           0
GSE SYS INC                     COM   36227K106          14       8,500  SH     DEFINED  01,08       2,724       5,776           0

G-III APPAREL GROUP LTD         COM   36237H101          45       6,000  SH     DEFINED     01         900       5,100           0
G-III APPAREL GROUP LTD         COM   36237H101          92      12,259  SH     DEFINED  01,08       3,270       8,989           0

GSI COMMERCE INC                COM   36238G102         549      82,071  SH     DEFINED     01      41,908      39,763         400
GSI COMMERCE INC                COM   36238G102         457      68,353  SH     DEFINED  01,08      23,544      44,809           0

GTSI CORP                       COM   36238K103         735      84,000  SH     DEFINED     01      68,600      15,400           0
GTSI CORP                       COM   36238K103         136      15,500  SH     DEFINED  01,08       4,024      11,476           0

GTC BIOTHERAPEUTICS INC         COM   36238T104         102      30,600  SH     DEFINED     01       6,000      24,600           0
GTC BIOTHERAPEUTICS INC         COM   36238T104         162      48,796  SH     DEFINED  01,08      12,454      36,342           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    207
________

GABELLI ASSET MGMT INC          COM   36239Y102         816      22,612  SH     DEFINED     01      14,019       8,243         350
GABELLI ASSET MGMT INC          COM   36239Y102         629      17,429  SH     DEFINED  01,08       6,144      11,285           0

GABELLI EQUITY TR INC           COM   362397101          12       1,567  SH     OTHER       02           0           0       1,567
GABELLI EQUITY TR INC           COM   362397101         389      52,011  SH     DEFINED     04      52,011           0           0
GABELLI EQUITY TR INC           COM   362397101         131      17,500  SH     OTHER       04      17,500           0           0
GABELLI EQUITY TR INC           COM   362397101          26       3,483  SH     DEFINED     10       1,083       2,400           0

GABLES RESIDENTIAL TR           COM   362418105       2,555      84,511  SH     DEFINED     01      48,833      34,028       1,650
GABLES RESIDENTIAL TR           COM   362418105          15         487  SH     DEFINED     04         487           0           0
GABLES RESIDENTIAL TR           COM   362418105          12         400  SH     OTHER       04         400           0           0
GABLES RESIDENTIAL TR           COM   362418105          15         500  SH     OTHER    01,06           0           0         500
GABLES RESIDENTIAL TR           COM   362418105       2,863      94,709  SH     DEFINED  01,08      49,567      45,142           0

GADZOOKS INC                    COM   362553109          51       8,900  SH     DEFINED     01       1,800       7,100           0
GADZOOKS INC                    COM   362553109          92      16,222  SH     DEFINED  01,08       4,179      12,043           0

GAIAM INC                       COM   36268Q103          85      14,406  SH     DEFINED     01       7,506       6,800         100
GAIAM INC                       COM   36268Q103           2         412  SH     DEFINED     02           0           0         412
GAIAM INC                       COM   36268Q103         113      19,140  SH     DEFINED  01,08       4,358      14,782           0
GAIAM INC                       COM   36268Q103           0          30  SH     OTHER       10          30           0           0

GALAXY NUTRITIONAL FOODS INC    COM   36317Q104           3       1,200  SH     DEFINED     01       1,200           0           0
GALAXY NUTRITIONAL FOODS INC    COM   36317Q104          62      21,930  SH     DEFINED  01,08       5,011      16,919           0

GALLAGHER ARTHUR J & CO         COM   363576109       8,454     310,809  SH     DEFINED     01     126,987     176,037       7,785
GALLAGHER ARTHUR J & CO         COM   363576109         926      34,055  SH     OTHER       01       7,800       3,855      22,400
GALLAGHER ARTHUR J & CO         COM   363576109          52       1,925  SH     DEFINED     02       1,925           0           0
GALLAGHER ARTHUR J & CO         COM   363576109         481      17,697  SH     DEFINED     03       8,900       7,360       1,437
GALLAGHER ARTHUR J & CO         COM   363576109          24         865  SH     OTHER       03         865           0           0
GALLAGHER ARTHUR J & CO         COM   363576109       1,172      43,075  SH     DEFINED     04      42,425           0         650
GALLAGHER ARTHUR J & CO         COM   363576109         524      19,270  SH     OTHER       04      18,270           0       1,000
GALLAGHER ARTHUR J & CO         COM   363576109         613      22,555  SH     DEFINED     05      19,770       1,195       1,590
GALLAGHER ARTHUR J & CO         COM   363576109          73       2,700  SH     OTHER       05       1,800         650         250
GALLAGHER ARTHUR J & CO         COM   363576109       6,022     221,413  SH     DEFINED  01,08     159,652      61,761           0
GALLAGHER ARTHUR J & CO         COM   363576109          95       3,500  SH     DEFINED     10       3,500           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    208
________

GALLAHER GROUP PLC              COM   363595109          49       1,228  SH     DEFINED     01       1,228           0           0
GALLAHER GROUP PLC              COM   363595109         192       4,850  SH     OTHER       01       1,200       3,400         250
GALLAHER GROUP PLC              COM   363595109         874      22,080  SH     DEFINED     02      20,800       1,280           0
GALLAHER GROUP PLC              COM   363595109         311       7,860  SH     OTHER       02       6,260           0       1,600
GALLAHER GROUP PLC              COM   363595109         313       7,900  SH     DEFINED     03       5,100       2,000         800
GALLAHER GROUP PLC              COM   363595109          95       2,400  SH     OTHER       03       2,400           0           0
GALLAHER GROUP PLC              COM   363595109         366       9,238  SH     DEFINED     04       8,838           0         400
GALLAHER GROUP PLC              COM   363595109         871      22,000  SH     OTHER       04      22,000           0           0
GALLAHER GROUP PLC              COM   363595109          20         500  SH     OTHER       10           0         500           0

GALLERY OF HISTORY INC          COM   363812108           8       2,000  SH     DEFINED     01           0       2,000           0
GALLERY OF HISTORY INC          COM   363812108          34       8,900  SH     DEFINED  01,08       2,650       6,250           0

GALYANS TRADING INC             COM   36458R101         764      54,195  SH     DEFINED     01      47,367       6,178         650
GALYANS TRADING INC             COM   36458R101           3         200  SH     DEFINED     04         200           0           0
GALYANS TRADING INC             COM   36458R101       1,131      80,228  SH     DEFINED  01,08      52,787      27,441           0

GAMETECH INTERNATIONAL INC      COM   36466D102          57      17,400  SH     DEFINED     01       1,400      16,000           0
GAMETECH INTERNATIONAL INC      COM   36466D102          57      17,261  SH     DEFINED  01,08       5,261      12,000           0

GAMESTOP CORP                   COM   36466R101       1,126      87,138  SH     DEFINED     01      61,256      25,000         882
GAMESTOP CORP                   COM   36466R101       1,362     105,425  SH     DEFINED  01,08      74,825      30,600           0

GANNETT INC                     COM   364730101     157,183   2,046,384  SH     DEFINED     01   1,147,980     841,339      57,065
GANNETT INC                     COM   364730101       7,951     103,509  SH     OTHER       01      49,558      43,731      10,220
GANNETT INC                     COM   364730101       8,857     115,315  SH     DEFINED     02      79,721      31,519       4,075
GANNETT INC                     COM   364730101       2,721      35,420  SH     OTHER       02      27,075       7,625         720
GANNETT INC                     COM   364730101      13,016     169,463  SH     DEFINED     03      58,629      35,558      75,276
GANNETT INC                     COM   364730101       2,331      30,349  SH     OTHER       03      26,339       3,445         565
GANNETT INC                     COM   364730101      37,062     482,520  SH     DEFINED     04     471,257           0      11,263
GANNETT INC                     COM   364730101      16,954     220,727  SH     OTHER       04     210,202           0      10,525
GANNETT INC                     COM   364730101       5,218      67,937  SH     DEFINED     05      54,962       8,910       4,065
GANNETT INC                     COM   364730101         362       4,709  SH     OTHER       05       3,409       1,300           0
GANNETT INC                     COM   364730101          54         700  SH     OTHER    01,06           0           0         700
GANNETT INC                     COM   364730101      90,397   1,176,895  SH     DEFINED  01,08   1,070,278     106,617           0
GANNETT INC                     COM   364730101       6,136      79,891  SH     DEFINED     10      59,657      17,434       2,800
GANNETT INC                     COM   364730101       2,687      34,981  SH     OTHER       10      14,755      19,376         850

GAP INC DEL                     CONDB 364760AJ7       1,344   1,000,000  PRN    DEFINED     01   1,000,000           0           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    209
________

GAP INC DEL                     COM   364760108      90,193   4,807,739  SH     DEFINED     01   2,514,939   2,224,859      67,941
GAP INC DEL                     COM   364760108         301      16,045  SH     OTHER       01      15,233           0         812
GAP INC DEL                     COM   364760108         982      52,325  SH     DEFINED     02      44,375       7,650         300
GAP INC DEL                     COM   364760108          18         950  SH     OTHER       02         300         650           0
GAP INC DEL                     COM   364760108       1,874      99,888  SH     DEFINED     03      60,430      33,305       6,153
GAP INC DEL                     COM   364760108         173       9,200  SH     OTHER       03       6,100       2,080       1,020
GAP INC DEL                     COM   364760108       2,079     110,822  SH     DEFINED     04     106,822           0       4,000
GAP INC DEL                     COM   364760108         457      24,360  SH     OTHER       04      24,360           0           0
GAP INC DEL                     COM   364760108         507      27,000  SH     DEFINED     05      18,550       7,450       1,000
GAP INC DEL                     COM   364760108          50       2,690  SH     OTHER       05           0       2,000         690
GAP INC DEL                     COM   364760108          42       2,250  SH     OTHER    01,06           0           0       2,250
GAP INC DEL                     COM   364760108      66,685   3,554,618  SH     DEFINED  01,08   3,253,821     300,797           0
GAP INC DEL                     COM   364760108         205      10,942  SH     DEFINED     10      10,942           0           0
GAP INC DEL                     COM   364760108          13         675  SH     OTHER       10         675           0           0

GARDEN FRESH RESTAURANT CORP    COM   365235100          65       7,200  SH     DEFINED     01       1,200       6,000           0
GARDEN FRESH RESTAURANT CORP    COM   365235100          88       9,800  SH     DEFINED  01,08       2,766       7,034           0

GARDNER DENVER INC              COM   365558105       1,159      56,638  SH     DEFINED     01      32,085      23,034       1,519
GARDNER DENVER INC              COM   365558105          93       4,566  SH     OTHER       03       4,566           0           0
GARDNER DENVER INC              COM   365558105          20         972  SH     OTHER       04         972           0           0
GARDNER DENVER INC              COM   365558105           6         300  SH     OTHER    01,06           0           0         300
GARDNER DENVER INC              COM   365558105       1,150      56,220  SH     DEFINED  01,08      26,879      29,341           0

GART SPORTS CO                  COM   366630101         854      30,095  SH     DEFINED     01      17,817      11,928         350
GART SPORTS CO                  COM   366630101       1,411      49,740  SH     DEFINED  01,08      33,649      16,091           0

GARTNER INC                     COM   366651107       1,461     192,754  SH     DEFINED     01     152,029      39,425       1,300
GARTNER INC                     COM   366651107           1         100  SH     OTHER       04         100           0           0
GARTNER INC                     COM   366651107         909     119,931  SH     DEFINED  01,08      74,357      45,574           0

GARTNER INC                     COM   366651206       1,713     228,445  SH     DEFINED     01      69,954     157,791         700
GARTNER INC                     COM   366651206         113      15,127  SH     OTHER       01       2,822         833      11,472
GARTNER INC                     COM   366651206           2         286  SH     OTHER       02         286           0           0
GARTNER INC                     COM   366651206           2         260  SH     DEFINED     03           0         260           0
GARTNER INC                     COM   366651206           0          52  SH     OTHER       03           0           0          52
GARTNER INC                     COM   366651206           7         900  SH     DEFINED     04         900           0           0
GARTNER INC                     COM   366651206         770     102,709  SH     DEFINED  01,08      55,078      47,631           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    210
________

GATEWAY INC                     COM   367626108       6,175   1,691,661  SH     DEFINED     01     870,763     799,073      21,825
GATEWAY INC                     COM   367626108           0         125  SH     OTHER       01           0           0         125
GATEWAY INC                     COM   367626108          15       4,000  SH     DEFINED     02           0       4,000           0
GATEWAY INC                     COM   367626108           1         150  SH     DEFINED     03           0         150           0
GATEWAY INC                     COM   367626108          13       3,598  SH     DEFINED     04       3,598           0           0
GATEWAY INC                     COM   367626108           1         200  SH     OTHER       04         200           0           0
GATEWAY INC                     COM   367626108           3         800  SH     OTHER    01,06           0           0         800
GATEWAY INC                     COM   367626108       4,092   1,120,991  SH     DEFINED  01,08   1,020,019     100,972           0
GATEWAY INC                     COM   367626108           0          52  SH     DEFINED     10          52           0           0

GAYLORD ENTMT CO NEW            COM   367905106       2,215     113,196  SH     DEFINED     01      71,628      41,268         300
GAYLORD ENTMT CO NEW            COM   367905106       1,909      97,524  SH     DEFINED  01,08      39,641      57,883           0

GEHL CO                         COM   368483103          87       8,500  SH     DEFINED     01       1,300       7,200           0
GEHL CO                         COM   368483103         100       9,800  SH     DEFINED  01,08       2,658       7,142           0

GEN-PROBE INC NEW               COM   36866T103       3,460      84,450  SH     DEFINED     01      73,400      11,050           0
GEN-PROBE INC NEW               COM   36866T103       1,700      41,500  SH     DEFINED  01,08      18,000      23,500           0

GEMSTAR-TV GUIDE INTL INC       COM   36866W106       1,586     316,468  SH     DEFINED     01     204,261      93,027      19,180
GEMSTAR-TV GUIDE INTL INC       COM   36866W106           5       1,037  SH     OTHER       04       1,037           0           0
GEMSTAR-TV GUIDE INTL INC       COM   36866W106       2,872     573,288  SH     DEFINED  01,08     305,899     267,389           0

GENAERA CORP                    COM   36867G100          56      33,300  SH     DEFINED     01       6,600      26,700           0
GENAERA CORP                    COM   36867G100          87      51,697  SH     DEFINED  01,08      15,292      36,405           0

GENAISSANCE PHARMACEUTICALS     COM   36867W105          34      22,300  SH     DEFINED     01       3,500      18,800           0
GENAISSANCE PHARMACEUTICALS     COM   36867W105          54      35,000  SH     DEFINED  01,08       5,900      29,100           0

GENCORP INC                     COM   368682100       1,215     136,685  SH     DEFINED     01      64,724      69,661       2,300
GENCORP INC                     COM   368682100           8         860  SH     OTHER    01,06           0           0         860
GENCORP INC                     COM   368682100       1,910     214,799  SH     DEFINED  01,08     142,064      72,735           0

GENE LOGIC INC                  COM   368689105         608     102,182  SH     DEFINED     01      64,860      37,072         250
GENE LOGIC INC                  COM   368689105         593      99,668  SH     DEFINED  01,08      46,992      52,676           0

GENELABS TECHNOLOGIES INC       COM   368706107          73      48,900  SH     DEFINED     01      10,000      38,900           0
GENELABS TECHNOLOGIES INC       COM   368706107           0         150  SH     DEFINED     04           0           0         150
GENELABS TECHNOLOGIES INC       COM   368706107         132      88,077  SH     DEFINED  01,08      22,961      65,116           0

GENENCOR INTL INC               COM   368709101       1,338      81,609  SH     DEFINED     01      28,986      52,023         600
GENENCOR INTL INC               COM   368709101       1,745     106,474  SH     DEFINED  01,08      27,940      78,534           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    211
________

GENENTECH INC                   COM   368710406      32,250     447,170  SH     DEFINED     01     254,003     173,426      19,741
GENENTECH INC                   COM   368710406       3,899      54,065  SH     OTHER       01      19,700      31,315       3,050
GENENTECH INC                   COM   368710406       3,320      46,029  SH     DEFINED     02      27,739      15,985       2,305
GENENTECH INC                   COM   368710406         585       8,105  SH     OTHER       02       5,030       1,825       1,250
GENENTECH INC                   COM   368710406       4,897      67,903  SH     DEFINED     03      34,263      29,277       4,363
GENENTECH INC                   COM   368710406       1,062      14,726  SH     OTHER       03       8,226       6,500           0
GENENTECH INC                   COM   368710406      22,640     313,920  SH     DEFINED     04     306,405           0       7,515
GENENTECH INC                   COM   368710406       6,625      91,862  SH     OTHER       04      87,407           0       4,455
GENENTECH INC                   COM   368710406       1,644      22,799  SH     DEFINED     05      17,559       5,040         200
GENENTECH INC                   COM   368710406         180       2,500  SH     OTHER       05       2,200           0         300
GENENTECH INC                   COM   368710406      36,659     508,303  SH     DEFINED  01,08     352,412     155,891           0
GENENTECH INC                   COM   368710406         309       4,290  SH     DEFINED     10       4,050           0         240
GENENTECH INC                   COM   368710406         310       4,300  SH     OTHER       10       4,300           0           0

GENERAL AMERN INVS INC          COM   368802104         119       4,353  SH     OTHER       01       4,353           0           0
GENERAL AMERN INVS INC          COM   368802104          15         540  SH     DEFINED     03           0           0         540
GENERAL AMERN INVS INC          COM   368802104          86       3,120  SH     DEFINED     04       3,120           0           0
GENERAL AMERN INVS INC          COM   368802104         164       5,962  SH     OTHER       04       5,962           0           0
GENERAL AMERN INVS INC          COM   368802104          17         620  SH     DEFINED     10           0         620           0

GENERAL BINDING CORP            COM   369154109         346      28,960  SH     DEFINED     01      12,110      16,800          50
GENERAL BINDING CORP            COM   369154109         293      24,495  SH     OTHER       01           0           0      24,495
GENERAL BINDING CORP            COM   369154109           2         168  SH     DEFINED     03           0           0         168
GENERAL BINDING CORP            COM   369154109         386      32,307  SH     DEFINED  01,08       6,795      25,512           0

GENERAL CABLE CORP DEL NEW      COM   369300108         642     118,890  SH     DEFINED     01      67,788      48,952       2,150
GENERAL CABLE CORP DEL NEW      COM   369300108         672     124,446  SH     DEFINED  01,08      67,080      57,366           0

GENERAL COMMUNICATION INC       COM   369385109       1,455     166,255  SH     DEFINED     01      88,359      73,546       4,350
GENERAL COMMUNICATION INC       COM   369385109          10       1,100  SH     OTHER    01,06           0           0       1,100
GENERAL COMMUNICATION INC       COM   369385109       1,593     182,112  SH     DEFINED  01,08      91,381      90,731           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    212
________

GENERAL DYNAMICS CORP           COM   369550108     123,520   1,703,720  SH     DEFINED     01     997,909     645,649      60,162
GENERAL DYNAMICS CORP           COM   369550108      10,309     142,196  SH     OTHER       01      61,238      73,242       7,716
GENERAL DYNAMICS CORP           COM   369550108       9,715     133,997  SH     DEFINED     02      93,708      33,965       6,324
GENERAL DYNAMICS CORP           COM   369550108       2,480      34,201  SH     OTHER       02      19,151      14,055         995
GENERAL DYNAMICS CORP           COM   369550108       6,430      88,689  SH     DEFINED     03      42,927      33,154      12,608
GENERAL DYNAMICS CORP           COM   369550108       1,196      16,500  SH     OTHER       03       8,745       6,930         825
GENERAL DYNAMICS CORP           COM   369550108      22,368     308,528  SH     DEFINED     04     300,603           0       7,925
GENERAL DYNAMICS CORP           COM   369550108      10,462     144,299  SH     OTHER       04     136,904           0       7,395
GENERAL DYNAMICS CORP           COM   369550108       6,107      84,233  SH     DEFINED     05      65,538      13,150       5,545
GENERAL DYNAMICS CORP           COM   369550108         888      12,250  SH     OTHER       05       7,125       5,125           0
GENERAL DYNAMICS CORP           COM   369550108          29         400  SH     OTHER    01,06           0           0         400
GENERAL DYNAMICS CORP           COM   369550108      56,797     783,407  SH     DEFINED  01,08     706,886      76,521           0
GENERAL DYNAMICS CORP           COM   369550108       3,068      42,323  SH     DEFINED     10      36,793       5,005         525
GENERAL DYNAMICS CORP           COM   369550108       1,294      17,850  SH     OTHER       10      10,625       6,925         300

GENERAL ELEC CO                 COM   369604103   1,979,223  69,010,577  SH     DEFINED     01  39,017,733  28,070,816   1,922,028
GENERAL ELEC CO                 COM   369604103     212,336   7,403,627  SH     OTHER       01   3,394,803   3,411,553     597,271
GENERAL ELEC CO                 COM   369604103      44,080   1,536,949  SH     DEFINED     02   1,077,150     401,699      58,100
GENERAL ELEC CO                 COM   369604103      27,646     963,956  SH     OTHER       02     635,149     292,899      35,908
GENERAL ELEC CO                 COM   369604103      69,501   2,423,329  SH     DEFINED     03   1,431,933     758,670     232,726
GENERAL ELEC CO                 COM   369604103      45,357   1,581,484  SH     OTHER       03   1,287,752     241,166      52,566
GENERAL ELEC CO                 COM   369604103     246,419   8,592,006  SH     DEFINED     04   8,265,206           0     326,800
GENERAL ELEC CO                 COM   369604103     194,883   6,795,071  SH     OTHER       04   6,349,999           0     445,072
GENERAL ELEC CO                 COM   369604103      22,728     792,453  SH     DEFINED     05     678,373      74,195      39,885
GENERAL ELEC CO                 COM   369604103       4,565     159,166  SH     OTHER       05      59,494      86,097      13,575
GENERAL ELEC CO                 COM   369604103         734      25,600  SH     OTHER    01,06           0           0      25,600
GENERAL ELEC CO                 COM   369604103          36       1,240  SH     OTHER    04,07           0           0       1,240
GENERAL ELEC CO                 COM   369604103   1,301,415  45,377,077  SH     DEFINED  01,08  40,620,502   4,605,823     150,752
GENERAL ELEC CO                 COM   369604103      62,838   2,191,014  SH     DEFINED     10   1,261,688     443,033     486,293
GENERAL ELEC CO                 COM   369604103      32,100   1,119,239  SH     OTHER       10     567,362     541,932       9,945

GENERAL EMPLOYMENT ENTERPRIS    COM   369730106           2       2,235  SH     DEFINED     01         690       1,545           0
GENERAL EMPLOYMENT ENTERPRIS    COM   369730106           6       8,705  SH     DEFINED  01,08       2,508       6,197           0

GENERAL GROWTH PPTYS INC        COM   370021107       4,847      77,633  SH     DEFINED     01      48,604      25,871       3,158
GENERAL GROWTH PPTYS INC        COM   370021107         328       5,250  SH     OTHER       01       5,250           0           0
GENERAL GROWTH PPTYS INC        COM   370021107          14         220  SH     OTHER       02           0         220           0
GENERAL GROWTH PPTYS INC        COM   370021107         481       7,700  SH     DEFINED     04       1,700           0       6,000
GENERAL GROWTH PPTYS INC        COM   370021107          17         275  SH     OTHER       04           0           0         275
GENERAL GROWTH PPTYS INC        COM   370021107       9,163     146,749  SH     DEFINED  01,08     101,349      45,400           0
GENERAL GROWTH PPTYS INC        COM   370021107         219       3,500  SH     DEFINED     10           0       3,500           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    213
________

GENERAL MLS INC                 COM   370334104     117,530   2,479,006  SH     DEFINED     01   1,408,167   1,013,596      57,243
GENERAL MLS INC                 COM   370334104       9,001     189,859  SH     OTHER       01      89,281      95,503       5,075
GENERAL MLS INC                 COM   370334104       5,142     108,457  SH     DEFINED     02      82,724      21,433       4,300
GENERAL MLS INC                 COM   370334104       1,704      35,934  SH     OTHER       02      23,424      10,456       2,054
GENERAL MLS INC                 COM   370334104       3,857      81,347  SH     DEFINED     03      44,685      27,220       9,442
GENERAL MLS INC                 COM   370334104       2,948      62,177  SH     OTHER       03      58,852       2,475         850
GENERAL MLS INC                 COM   370334104       6,088     128,408  SH     DEFINED     04     125,767           0       2,641
GENERAL MLS INC                 COM   370334104       5,770     121,714  SH     OTHER       04     110,114           0      11,600
GENERAL MLS INC                 COM   370334104       2,350      49,560  SH     DEFINED     05      46,780         675       2,105
GENERAL MLS INC                 COM   370334104         107       2,255  SH     OTHER       05          55       2,200           0
GENERAL MLS INC                 COM   370334104          45         950  SH     OTHER    01,06           0           0         950
GENERAL MLS INC                 COM   370334104     101,371   2,138,175  SH     DEFINED  01,08   1,436,123     617,531      84,521
GENERAL MLS INC                 COM   370334104       8,438     177,971  SH     DEFINED     10     138,116      38,080       1,775
GENERAL MLS INC                 COM   370334104       2,448      51,630  SH     OTHER       10      22,992      28,263         375

GENERAL MTRS CORP               COM   370442105     116,303   3,230,627  SH     DEFINED     01   1,724,197   1,464,188      42,242
GENERAL MTRS CORP               COM   370442105         740      20,557  SH     OTHER       01      10,516       7,690       2,351
GENERAL MTRS CORP               COM   370442105         150       4,169  SH     DEFINED     02       1,769       2,400           0
GENERAL MTRS CORP               COM   370442105         118       3,265  SH     OTHER       02       2,608         657           0
GENERAL MTRS CORP               COM   370442105         189       5,247  SH     DEFINED     03           0       5,247           0
GENERAL MTRS CORP               COM   370442105         243       6,759  SH     OTHER       03       5,121       1,638           0
GENERAL MTRS CORP               COM   370442105         896      24,876  SH     DEFINED     04      24,374           0         502
GENERAL MTRS CORP               COM   370442105       1,043      28,985  SH     OTHER       04      15,350           0      13,635
GENERAL MTRS CORP               COM   370442105           6         160  SH     DEFINED     05         160           0           0
GENERAL MTRS CORP               COM   370442105          50       1,400  SH     OTHER    01,06           0           0       1,400
GENERAL MTRS CORP               COM   370442105      83,626   2,322,939  SH     DEFINED  01,08   2,100,839     222,100           0
GENERAL MTRS CORP               COM   370442105         821      22,816  SH     DEFINED     10      13,905       6,109       2,802
GENERAL MTRS CORP               COM   370442105       1,492      41,451  SH     OTHER       10      35,973       5,478           0

GENERAL MTRS CORP               CONPF 370442733       2,240     100,000         DEFINED     01     100,000           0           0
GENERAL MTRS CORP               CONPF 370442733          11         500         DEFINED     03         500           0           0
GENERAL MTRS CORP               CONPF 370442733          11         500         DEFINED     10         500           0           0

GENERAL MTRS CORP               COM   370442832      17,933   1,399,891  SH     DEFINED     01     888,450     426,011      85,430
GENERAL MTRS CORP               COM   370442832         581      45,392  SH     OTHER       01      16,093       8,299      21,000
GENERAL MTRS CORP               COM   370442832          53       4,116  SH     DEFINED     02       1,605       1,311       1,200
GENERAL MTRS CORP               COM   370442832           9         680  SH     OTHER       02         102         578           0
GENERAL MTRS CORP               COM   370442832         795      62,030  SH     DEFINED     03      22,311      35,684       4,035
GENERAL MTRS CORP               COM   370442832         172      13,412  SH     OTHER       03       3,462       9,050         900
GENERAL MTRS CORP               COM   370442832          82       6,387  SH     DEFINED     04       5,793           0         594
GENERAL MTRS CORP               COM   370442832         473      36,962  SH     OTHER       04      32,414           0       4,548
GENERAL MTRS CORP               COM   370442832          56       4,374  SH     DEFINED     05       4,374           0           0
GENERAL MTRS CORP               COM   370442832      27,559   2,151,345  SH     DEFINED  01,08   1,379,885     771,460           0
GENERAL MTRS CORP               COM   370442832         467      36,442  SH     DEFINED     10      34,145       1,505         792
GENERAL MTRS CORP               COM   370442832         836      65,224  SH     OTHER       10      62,700       2,524           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    214
________

GENESCO INC                     COM   371532102       1,241      70,121  SH     DEFINED     01      40,458      28,213       1,450
GENESCO INC                     COM   371532102         153       8,633  SH     DEFINED     04       8,633           0           0
GENESCO INC                     COM   371532102           8         425  SH     OTHER    01,06           0           0         425
GENESCO INC                     COM   371532102       2,073     117,109  SH     DEFINED  01,08      78,018      39,091           0
GENESCO INC                     COM   371532102          35       2,000  SH     DEFINED     10       2,000           0           0

GENESEE & WYO INC               COM   371559105         955      46,406  SH     DEFINED     01      33,406      13,000           0
GENESEE & WYO INC               COM   371559105           8         375  SH     DEFINED     04           0           0         375
GENESEE & WYO INC               COM   371559105         632      30,723  SH     DEFINED  01,08      10,043      20,680           0

GENESIS HEALTH VENTURE INC N    COM   37183F107       1,910     108,434  SH     DEFINED     01      58,484      48,000       1,950
GENESIS HEALTH VENTURE INC N    COM   37183F107       1,849     104,989  SH     DEFINED  01,08      35,550      69,439           0

GENESIS MICROCHIP INC DEL       COM   37184C103       1,190      87,864  SH     DEFINED     01      60,340      25,524       2,000
GENESIS MICROCHIP INC DEL       COM   37184C103       1,153      85,137  SH     DEFINED  01,08      69,935      15,202           0

GENTEX CORP                     COM   371901109       7,949     259,360  SH     DEFINED     01      90,865     154,561      13,934
GENTEX CORP                     COM   371901109          91       2,985  SH     OTHER       02           0       2,985           0
GENTEX CORP                     COM   371901109          15         500  SH     OTHER       04         500           0           0
GENTEX CORP                     COM   371901109       7,335     239,304  SH     DEFINED  01,08     185,744      53,560           0
GENTEX CORP                     COM   371901109         113       3,700  SH     DEFINED     10       3,700           0           0

GENLYTE GROUP INC               COM   372302109       1,663      47,686  SH     DEFINED     01      28,094      18,792         800
GENLYTE GROUP INC               COM   372302109       1,353      38,784  SH     DEFINED  01,08      13,644      25,140           0

GENOME THERAPEUTICS CORP        COM   372430108          66      25,800  SH     DEFINED     01       4,500      21,300           0
GENOME THERAPEUTICS CORP        COM   372430108           3       1,000  SH     DEFINED     04       1,000           0           0
GENOME THERAPEUTICS CORP        COM   372430108          27      10,600  SH     OTHER       04      10,600           0           0
GENOME THERAPEUTICS CORP        COM   372430108         134      52,412  SH     DEFINED  01,08      11,040      41,372           0

GENTA INC                       COM   37245M207       2,284     171,755  SH     DEFINED     01      95,308      75,397       1,050
GENTA INC                       COM   37245M207           6         484  SH     OTHER       01           0           0         484
GENTA INC                       COM   37245M207         133      10,000  SH     DEFINED     04      10,000           0           0
GENTA INC                       COM   37245M207       3,264     245,379  SH     DEFINED  01,08     126,251     119,128           0

GENVEC INC                      COM   37246C109           6       2,700  SH     DEFINED     01       2,700           0           0
GENVEC INC                      COM   37246C109          83      40,500  SH     DEFINED  01,08      10,900      29,600           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    215
________

GENUINE PARTS CO                COM   372460105      39,729   1,241,145  SH     DEFINED     01     570,497     462,557     208,091
GENUINE PARTS CO                COM   372460105       2,011      62,813  SH     OTHER       01      22,979      17,302      22,532
GENUINE PARTS CO                COM   372460105         198       6,187  SH     DEFINED     02       4,112       2,075           0
GENUINE PARTS CO                COM   372460105         577      18,024  SH     OTHER       02      18,024           0           0
GENUINE PARTS CO                COM   372460105       2,527      78,931  SH     DEFINED     03      32,174      42,757       4,000
GENUINE PARTS CO                COM   372460105         508      15,864  SH     OTHER       03      11,164       3,200       1,500
GENUINE PARTS CO                COM   372460105       2,400      74,982  SH     DEFINED     04      74,982           0           0
GENUINE PARTS CO                COM   372460105         618      19,294  SH     OTHER       04      19,294           0           0
GENUINE PARTS CO                COM   372460105           3          95  SH     OTHER       05          95           0           0
GENUINE PARTS CO                COM   372460105          13         400  SH     OTHER    01,06           0           0         400
GENUINE PARTS CO                COM   372460105      23,196     724,639  SH     DEFINED  01,08     657,138      67,501           0
GENUINE PARTS CO                COM   372460105         184       5,743  SH     DEFINED     10       4,437           0       1,306
GENUINE PARTS CO                COM   372460105          66       2,050  SH     OTHER       10       1,000       1,050           0

GENUS INC                       COM   372461103          65      24,050  SH     DEFINED     01       4,000      20,050           0
GENUS INC                       COM   372461103         138      51,134  SH     DEFINED  01,08      13,190      37,944           0

GENTIVA HEALTH SERVICES INC     COM   37247A102         754      83,288  SH     DEFINED     01      47,283      34,705       1,300
GENTIVA HEALTH SERVICES INC     COM   37247A102           2         175  SH     DEFINED     02           0           0         175
GENTIVA HEALTH SERVICES INC     COM   37247A102           2         258  SH     OTHER       04         258           0           0
GENTIVA HEALTH SERVICES INC     COM   37247A102         913     100,853  SH     DEFINED  01,08      52,225      48,628           0

GENZYME CORP                    COM   372917104      56,369   1,346,613  SH     DEFINED     01     756,906     557,454      32,253
GENZYME CORP                    COM   372917104         266       6,354  SH     OTHER       01           0       4,000       2,354
GENZYME CORP                    COM   372917104          48       1,144  SH     DEFINED     02       1,144           0           0
GENZYME CORP                    COM   372917104         152       3,630  SH     DEFINED     03       1,950         450       1,230
GENZYME CORP                    COM   372917104       1,473      35,200  SH     OTHER       03      30,000           0       5,200
GENZYME CORP                    COM   372917104         974      23,260  SH     DEFINED     04      23,260           0           0
GENZYME CORP                    COM   372917104         260       6,212  SH     OTHER       04       6,212           0           0
GENZYME CORP                    COM   372917104          25         600  SH     OTHER    01,06           0           0         600
GENZYME CORP                    COM   372917104      39,166     935,633  SH     DEFINED  01,08     856,843      78,790           0
GENZYME CORP                    COM   372917104         163       3,885  SH     DEFINED     10       2,120       1,000         765
GENZYME CORP                    COM   372917104          16         384  SH     OTHER       10         384           0           0

GENZYME CORP                    COM   372917500          53      22,700  SH     DEFINED     01       3,200      19,500           0
GENZYME CORP                    COM   372917500           0           8  SH     OTHER       01           0           0           8
GENZYME CORP                    COM   372917500           0         203  SH     DEFINED     02         203           0           0
GENZYME CORP                    COM   372917500           0         151  SH     OTHER       04         151           0           0
GENZYME CORP                    COM   372917500          68      29,031  SH     DEFINED  01,08       6,810      22,221           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    216
________

GENZYME CORP                    COM   372917708         209     100,789  SH     DEFINED     01      73,730      26,109         950
GENZYME CORP                    COM   372917708           3       1,279  SH     OTHER       01           0           0       1,279
GENZYME CORP                    COM   372917708           0         130  SH     DEFINED     02         130           0           0
GENZYME CORP                    COM   372917708           1         366  SH     OTHER       03           0           0         366
GENZYME CORP                    COM   372917708          38      18,531  SH     DEFINED     04      18,531           0           0
GENZYME CORP                    COM   372917708           5       2,200  SH     OTHER       04       2,200           0           0
GENZYME CORP                    COM   372917708          48      23,388  SH     DEFINED  01,08       1,900      21,488           0

GEORGIA GULF CORP               COM   373200203       2,000     101,009  SH     DEFINED     01      57,461      42,113       1,435
GEORGIA GULF CORP               COM   373200203          12         625  SH     OTHER    01,06           0           0         625
GEORGIA GULF CORP               COM   373200203       2,498     126,165  SH     DEFINED  01,08      69,015      57,150           0

GEORGIA PAC CORP                COM   373298108      27,471   1,449,647  SH     DEFINED     01     755,907     651,103      42,637
GEORGIA PAC CORP                COM   373298108         121       6,384  SH     OTHER       01       1,884       4,300         200
GEORGIA PAC CORP                COM   373298108          45       2,400  SH     DEFINED     02       2,400           0           0
GEORGIA PAC CORP                COM   373298108           2         100  SH     DEFINED     03           0         100           0
GEORGIA PAC CORP                COM   373298108         135       7,140  SH     DEFINED     04       7,140           0           0
GEORGIA PAC CORP                COM   373298108         447      23,594  SH     OTHER       04      23,594           0           0
GEORGIA PAC CORP                COM   373298108           6         300  SH     OTHER    01,06           0           0         300
GEORGIA PAC CORP                COM   373298108      20,539   1,083,863  SH     DEFINED  01,08     984,971      98,892           0
GEORGIA PAC CORP                COM   373298108          45       2,356  SH     DEFINED     10       1,256           0       1,100
GEORGIA PAC CORP                COM   373298108          23       1,200  SH     OTHER       10       1,200           0           0

GERBER SCIENTIFIC INC           COM   373730100         256      38,427  SH     DEFINED     01      17,427      20,200         800
GERBER SCIENTIFIC INC           COM   373730100           3         400  SH     OTHER    01,06           0           0         400
GERBER SCIENTIFIC INC           COM   373730100         622      93,441  SH     DEFINED  01,08      33,036      60,405           0

GERMAN AMERN BANCORP            COM   373865104         398      22,693  SH     DEFINED     01      16,502       5,551         640
GERMAN AMERN BANCORP            COM   373865104           7         380  SH     DEFINED     04         380           0           0
GERMAN AMERN BANCORP            COM   373865104         364      20,774  SH     DEFINED  01,08       7,213      13,561           0

GERON CORP                      COM   374163103         656      90,047  SH     DEFINED     01      58,531      30,866         650
GERON CORP                      COM   374163103           2         300  SH     DEFINED     02           0         300           0
GERON CORP                      COM   374163103          15       2,100  SH     DEFINED     04       2,100           0           0
GERON CORP                      COM   374163103          13       1,800  SH     OTHER       04       1,800           0           0
GERON CORP                      COM   374163103       1,084     148,927  SH     DEFINED  01,08     102,986      45,941           0

GETTY IMAGES INC                COM   374276103       1,868      45,225  SH     DEFINED     01      28,223      13,587       3,415
GETTY IMAGES INC                COM   374276103       3,074      74,437  SH     DEFINED  01,08      38,968      35,469           0

GETTY RLTY CORP NEW             COM   374297109       1,385      62,050  SH     DEFINED     01      37,795      23,205       1,050
GETTY RLTY CORP NEW             COM   374297109       1,308      58,581  SH     DEFINED  01,08      20,266      38,315           0

GEVITY HR INC                   COM   374393106         272      23,095  SH     DEFINED     01       4,595      18,500           0
GEVITY HR INC                   COM   374393106         500      42,416  SH     DEFINED  01,08      14,700      27,716           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    217
________

GIANT INDS INC                  COM   374508109         135      22,700  SH     DEFINED     01       2,100      20,600           0
GIANT INDS INC                  COM   374508109          97      16,320  SH     DEFINED  01,08       4,135      12,185           0

GIBRALTAR STL CORP              COM   37476F103       1,598      77,735  SH     DEFINED     01      59,745      17,790         200
GIBRALTAR STL CORP              COM   37476F103         731      35,578  SH     DEFINED  01,08      10,350      25,228           0

GIGA TRONICS INC                COM   375175106          10       5,700  SH     DEFINED     01         600       5,100           0
GIGA TRONICS INC                COM   375175106          21      11,920  SH     DEFINED  01,08       1,410      10,510           0

GILEAD SCIENCES INC             COM   375558103      46,435     835,914  SH     DEFINED     01     423,556     389,958      22,400
GILEAD SCIENCES INC             COM   375558103         273       4,910  SH     OTHER       01           0       4,910           0
GILEAD SCIENCES INC             COM   375558103         139       2,500  SH     DEFINED     03       2,500           0           0
GILEAD SCIENCES INC             COM   375558103         210       3,780  SH     DEFINED     04       3,780           0           0
GILEAD SCIENCES INC             COM   375558103         194       3,491  SH     OTHER       04       3,491           0           0
GILEAD SCIENCES INC             COM   375558103      31,803     572,505  SH     DEFINED  01,08     436,969     135,536           0

GILLETTE CO                     COM   375766102     209,147   6,564,563  SH     DEFINED     01   3,610,016   2,820,131     134,416
GILLETTE CO                     COM   375766102      22,353     701,605  SH     OTHER       01     312,698     365,677      23,230
GILLETTE CO                     COM   375766102       4,842     151,990  SH     DEFINED     02      86,445      57,745       7,800
GILLETTE CO                     COM   375766102       2,474      77,646  SH     OTHER       02      61,610      13,336       2,700
GILLETTE CO                     COM   375766102       3,009      94,444  SH     DEFINED     03      53,675      32,520       8,249
GILLETTE CO                     COM   375766102       3,328     104,466  SH     OTHER       03      83,156      20,310       1,000
GILLETTE CO                     COM   375766102       6,156     193,214  SH     DEFINED     04     184,414           0       8,800
GILLETTE CO                     COM   375766102       7,672     240,789  SH     OTHER       04     230,117           0      10,672
GILLETTE CO                     COM   375766102         636      19,949  SH     DEFINED     05      17,076       2,373         500
GILLETTE CO                     COM   375766102         797      25,010  SH     OTHER       05      13,720       3,290       8,000
GILLETTE CO                     COM   375766102          86       2,700  SH     OTHER    01,06           0           0       2,700
GILLETTE CO                     COM   375766102     142,384   4,469,041  SH     DEFINED  01,08   4,068,461     400,580           0
GILLETTE CO                     COM   375766102       3,336     104,696  SH     DEFINED     10      64,288       9,368      31,040
GILLETTE CO                     COM   375766102         191       5,992  SH     OTHER       10       3,362       2,630           0

GLACIER BANCORP INC NEW         COM   37637Q105       1,668      67,730  SH     DEFINED     01      41,006      25,568       1,156
GLACIER BANCORP INC NEW         COM   37637Q105          31       1,276  SH     OTHER       04       1,276           0           0
GLACIER BANCORP INC NEW         COM   37637Q105       1,216      49,397  SH     DEFINED  01,08      14,861      34,536           0

GLADSTONE CAPITAL CORP          COM   376535100         528      25,773  SH     DEFINED     01      22,173       2,900         700
GLADSTONE CAPITAL CORP          COM   376535100         199       9,726  SH     DEFINED  01,08       4,887       4,839           0

GLAMIS GOLD LTD                 COM   376775102         286      24,900  SH     DEFINED     01      24,900           0           0
GLAMIS GOLD LTD                 COM   376775102          57       5,000  SH     OTHER       01       5,000           0           0
GLAMIS GOLD LTD                 COM   376775102           5         450  SH     DEFINED     02           0           0         450
GLAMIS GOLD LTD                 COM   376775102          23       2,000  SH     OTHER       02       2,000           0           0
GLAMIS GOLD LTD                 COM   376775102           6         500  SH     DEFINED     04           0           0         500
GLAMIS GOLD LTD                 COM   376775102          24       2,075  SH     OTHER       04       2,075           0           0
GLAMIS GOLD LTD                 COM   376775102       1,038      90,458  SH     DEFINED  01,08      17,000      73,458           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    218
________

GLATFELTER                      COM   377316104       1,935     131,205  SH     DEFINED     01      58,133      72,272         800
GLATFELTER                      COM   377316104       1,182      80,159  SH     DEFINED  01,08      49,850      30,309           0

GLAXOSMITHKLINE PLC             COM   37733W105       3,771      93,013  SH     DEFINED     01      56,217      28,887       7,909
GLAXOSMITHKLINE PLC             COM   37733W105       2,824      69,665  SH     OTHER       01      44,489      24,776         400
GLAXOSMITHKLINE PLC             COM   37733W105         793      19,573  SH     DEFINED     02      14,013       4,703         857
GLAXOSMITHKLINE PLC             COM   37733W105         656      16,173  SH     OTHER       02      11,325       4,848           0
GLAXOSMITHKLINE PLC             COM   37733W105         549      13,535  SH     DEFINED     03       6,736       6,127         672
GLAXOSMITHKLINE PLC             COM   37733W105       2,494      61,523  SH     OTHER       03      58,268       2,200       1,055
GLAXOSMITHKLINE PLC             COM   37733W105       3,215      79,313  SH     DEFINED     04      79,063           0         250
GLAXOSMITHKLINE PLC             COM   37733W105      11,214     276,615  SH     OTHER       04     269,858           0       6,757
GLAXOSMITHKLINE PLC             COM   37733W105       1,828      45,085  SH     DEFINED     05      42,590         880       1,615
GLAXOSMITHKLINE PLC             COM   37733W105         493      12,170  SH     OTHER       05       2,170           0      10,000
GLAXOSMITHKLINE PLC             COM   37733W105       1,102      27,177  SH     DEFINED     10       9,839      10,631       6,707
GLAXOSMITHKLINE PLC             COM   37733W105         805      19,855  SH     OTHER       10       5,375      14,480           0

GLENAYRE TECHNOLOGIES INC       COM   377899109          97      70,438  SH     DEFINED     01      14,938      55,500           0
GLENAYRE TECHNOLOGIES INC       COM   377899109           0         200  SH     DEFINED     04         200           0           0
GLENAYRE TECHNOLOGIES INC       COM   377899109         154     112,490  SH     DEFINED  01,08      28,018      84,472           0

GLENBOROUGH RLTY TR INC         COM   37803P105       2,810     146,713  SH     DEFINED     01     113,838      32,525         350
GLENBOROUGH RLTY TR INC         COM   37803P105          96       5,000  SH     DEFINED     02       5,000           0           0
GLENBOROUGH RLTY TR INC         COM   37803P105          20       1,025  SH     DEFINED     04       1,025           0           0
GLENBOROUGH RLTY TR INC         COM   37803P105          10         500  SH     OTHER    01,06           0           0         500
GLENBOROUGH RLTY TR INC         COM   37803P105       1,583      82,680  SH     DEFINED  01,08      40,239      42,441           0

GLIMCHER RLTY TR                COM   379302102       2,149      95,933  SH     DEFINED     01      63,415      30,518       2,000
GLIMCHER RLTY TR                COM   379302102          65       2,900  SH     DEFINED     04       2,900           0           0
GLIMCHER RLTY TR                COM   379302102          22       1,000  SH     OTHER       04       1,000           0           0
GLIMCHER RLTY TR                COM   379302102       2,955     131,923  SH     DEFINED  01,08      72,307      59,616           0

GLOBAL HIGH INCOME DLR FD IN    UNDEF 37933G108           0         800         DEFINED     02           0           0         800
GLOBAL HIGH INCOME DLR FD IN    UNDEF 37933G108           1       3,852         OTHER       03           0           0       3,852
GLOBAL HIGH INCOME DLR FD IN    UNDEF 37933G108           2      14,000         DEFINED     10           0      14,000           0

GLOBAL INDS LTD                 COM   379336100       1,246     258,531  SH     DEFINED     01     144,209     110,222       4,100
GLOBAL INDS LTD                 COM   379336100       1,622     336,423  SH     DEFINED  01,08     166,986     169,437           0

GLOBAL IMAGING SYSTEMS          COM   37934A100         932      40,381  SH     DEFINED     01      19,481      20,550         350
GLOBAL IMAGING SYSTEMS          COM   37934A100           9         400  SH     OTHER    01,06           0           0         400
GLOBAL IMAGING SYSTEMS          COM   37934A100       2,302      99,696  SH     DEFINED  01,08      67,620      32,076           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    219
________

GLOBAL PMTS INC                 COM   37940X102       2,685      75,639  SH     DEFINED     01      27,610      45,024       3,005
GLOBAL PMTS INC                 COM   37940X102          26         724  SH     OTHER    01,06           0           0         724
GLOBAL PMTS INC                 COM   37940X102       4,908     138,254  SH     DEFINED  01,08      84,493      53,761           0
GLOBAL PMTS INC                 COM   37940X102          36       1,000  SH     DEFINED     10       1,000           0           0

GLOBAL POWER EQUIPMENT INC      COM   37941P108         310      66,707  SH     DEFINED     01      40,856      25,251         600
GLOBAL POWER EQUIPMENT INC      COM   37941P108         263      56,657  SH     DEFINED  01,08      35,675      20,982           0

GLOBECOMM SYSTEMS INC           COM   37956X103          42      12,850  SH     DEFINED     01       2,400      10,450           0
GLOBECOMM SYSTEMS INC           COM   37956X103          74      22,800  SH     DEFINED  01,08       6,100      16,700           0

GLOBESPANVIRATA INC             COM   37957V106       5,079     607,527  SH     DEFINED     01     414,177     186,248       7,102
GLOBESPANVIRATA INC             COM   37957V106           1          68  SH     OTHER       03          68           0           0
GLOBESPANVIRATA INC             COM   37957V106           1         100  SH     DEFINED     04           0           0         100
GLOBESPANVIRATA INC             COM   37957V106       3,821     457,108  SH     DEFINED  01,08     226,265     230,843           0

GLYCOGENESYS INC                COM   37989P101          16      18,800  SH     DEFINED     01       3,400      15,400           0
GLYCOGENESYS INC                COM   37989P101          29      34,075  SH     DEFINED  01,08      14,875      19,200           0

GOLD BANC CORP INC              COM   379907108       1,935     184,803  SH     DEFINED     01     132,705      51,438         660
GOLD BANC CORP INC              COM   379907108       1,210     115,609  SH     DEFINED  01,08      43,925      71,684           0

GOAMERICA INC                   COM   38020R106           4      10,300  SH     DEFINED     01      10,300           0           0
GOAMERICA INC                   COM   38020R106          21      60,847  SH     DEFINED  01,08      10,897      49,950           0

GOLDEN ENTERPRISES INC          COM   381010107          57      24,200  SH     DEFINED     01         200      24,000           0
GOLDEN ENTERPRISES INC          COM   381010107          77      32,883  SH     DEFINED  01,08       5,424      27,459           0

GOLDEN ST VINTNERS INC          COM   38121K208          14       6,700  SH     DEFINED     01         700       6,000           0
GOLDEN ST VINTNERS INC          COM   38121K208          13       6,018  SH     DEFINED  01,08         818       5,200           0

GOLDEN TELECOM INC              COM   38122G107       1,652      74,837  SH     DEFINED     01      66,551       8,076         210
GOLDEN TELECOM INC              COM   38122G107         328      14,850  SH     DEFINED  01,08       6,691       8,159           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    220
________

GOLDEN WEST FINL CORP DEL       COM   381317106      77,867     973,213  SH     DEFINED     01     560,620     398,822      13,771
GOLDEN WEST FINL CORP DEL       COM   381317106         165       2,059  SH     OTHER       01         759       1,000         300
GOLDEN WEST FINL CORP DEL       COM   381317106         664       8,295  SH     DEFINED     02       6,675       1,200         420
GOLDEN WEST FINL CORP DEL       COM   381317106          20         250  SH     OTHER       02         100         150           0
GOLDEN WEST FINL CORP DEL       COM   381317106       2,968      37,094  SH     DEFINED     03      22,735      12,030       2,329
GOLDEN WEST FINL CORP DEL       COM   381317106         332       4,155  SH     OTHER       03       3,220         360         575
GOLDEN WEST FINL CORP DEL       COM   381317106          66         830  SH     DEFINED     04         830           0           0
GOLDEN WEST FINL CORP DEL       COM   381317106          32         402  SH     OTHER       04         402           0           0
GOLDEN WEST FINL CORP DEL       COM   381317106         761       9,515  SH     DEFINED     05       8,830         400         285
GOLDEN WEST FINL CORP DEL       COM   381317106          32         400  SH     OTHER    01,06           0           0         400
GOLDEN WEST FINL CORP DEL       COM   381317106      51,724     646,465  SH     DEFINED  01,08     588,902      57,563           0
GOLDEN WEST FINL CORP DEL       COM   381317106          68         846  SH     DEFINED     10         546           0         300

GOLDFIELD CORP                  COM   381370105           8      12,300  SH     DEFINED     01           0      12,300           0
GOLDFIELD CORP                  COM   381370105          58      95,600  SH     DEFINED  01,08       1,553      94,047           0

GOLDMAN SACHS GROUP INC         COM   38141G104     250,011   2,985,205  SH     DEFINED     01   1,702,219   1,245,304      37,682
GOLDMAN SACHS GROUP INC         COM   38141G104       6,602      78,834  SH     OTHER       01      38,860      30,393       9,581
GOLDMAN SACHS GROUP INC         COM   38141G104       3,102      37,042  SH     DEFINED     02      23,210      11,682       2,150
GOLDMAN SACHS GROUP INC         COM   38141G104         796       9,500  SH     OTHER       02       6,875       2,225         400
GOLDMAN SACHS GROUP INC         COM   38141G104      12,094     144,403  SH     DEFINED     03      80,252      42,196      21,955
GOLDMAN SACHS GROUP INC         COM   38141G104       2,021      24,126  SH     OTHER       03      14,891       6,235       3,000
GOLDMAN SACHS GROUP INC         COM   38141G104      36,122     431,305  SH     DEFINED     04     419,830           0      11,475
GOLDMAN SACHS GROUP INC         COM   38141G104       5,815      69,430  SH     OTHER       04      65,845           0       3,585
GOLDMAN SACHS GROUP INC         COM   38141G104       5,943      70,961  SH     DEFINED     05      60,989       7,912       2,060
GOLDMAN SACHS GROUP INC         COM   38141G104         677       8,088  SH     OTHER       05       6,167       1,831          90
GOLDMAN SACHS GROUP INC         COM   38141G104         105       1,250  SH     OTHER    01,06           0           0       1,250
GOLDMAN SACHS GROUP INC         COM   38141G104     148,118   1,768,572  SH     DEFINED  01,08   1,613,635     154,937           0
GOLDMAN SACHS GROUP INC         COM   38141G104       3,482      41,575  SH     DEFINED     10      37,960       1,750       1,865
GOLDMAN SACHS GROUP INC         COM   38141G104         792       9,455  SH     OTHER       10       1,150       7,905         400

GOLF TR AMER INC                COM   38168B103          29       9,000  SH     DEFINED     01       1,700       7,300           0
GOLF TR AMER INC                COM   38168B103          39      12,100  SH     DEFINED  01,08       1,800      10,300           0

GOOD GUYS INC                   COM   382091106          30      20,400  SH     DEFINED     01       3,400      17,000           0
GOOD GUYS INC                   COM   382091106          71      47,548  SH     DEFINED  01,08      12,868      34,680           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    221
________

GOODRICH CORP                   COM   382388106      14,016     667,439  SH     DEFINED     01     354,983     302,431      10,025
GOODRICH CORP                   COM   382388106           1          25  SH     OTHER       01           0           0          25
GOODRICH CORP                   COM   382388106           2         111  SH     DEFINED     02         111           0           0
GOODRICH CORP                   COM   382388106           1          50  SH     DEFINED     03           0          50           0
GOODRICH CORP                   COM   382388106          50       2,400  SH     DEFINED     04       2,400           0           0
GOODRICH CORP                   COM   382388106           2         100  SH     OTHER    01,06           0           0         100
GOODRICH CORP                   COM   382388106       9,745     464,063  SH     DEFINED  01,08     419,963      44,100           0
GOODRICH CORP                   COM   382388106           8         368  SH     DEFINED     10         368           0           0
GOODRICH CORP                   COM   382388106          11         500  SH     OTHER       10         500           0           0

GOODRICH PETE CORP              COM   382410405          16       3,600  SH     DEFINED     01           0       3,600           0
GOODRICH PETE CORP              COM   382410405         110      24,446  SH     DEFINED  01,08       7,473      16,973           0

GOODYEAR TIRE & RUBR CO         COM   382550101      86,962  16,564,145  SH     DEFINED     01  16,098,933     448,791      16,421
GOODYEAR TIRE & RUBR CO         COM   382550101           9       1,650  SH     OTHER       01       1,500           0         150
GOODYEAR TIRE & RUBR CO         COM   382550101           7       1,415  SH     DEFINED     02         560           0         855
GOODYEAR TIRE & RUBR CO         COM   382550101           5       1,000  SH     OTHER       02       1,000           0           0
GOODYEAR TIRE & RUBR CO         COM   382550101           0          50  SH     DEFINED     03           0          50           0
GOODYEAR TIRE & RUBR CO         COM   382550101           6       1,080  SH     DEFINED     04       1,080           0           0
GOODYEAR TIRE & RUBR CO         COM   382550101           1         200  SH     OTHER       04         200           0           0
GOODYEAR TIRE & RUBR CO         COM   382550101           2         400  SH     OTHER    01,06           0           0         400
GOODYEAR TIRE & RUBR CO         COM   382550101       3,843     732,064  SH     DEFINED  01,08     668,504      63,560           0
GOODYEAR TIRE & RUBR CO         COM   382550101           1         226  SH     DEFINED     10         226           0           0

GOODYS FAMILY CLOTHING INC      COM   382588101         737      85,681  SH     DEFINED     01      46,781      36,900       2,000
GOODYS FAMILY CLOTHING INC      COM   382588101         559      65,000  SH     OTHER       04      65,000           0           0
GOODYS FAMILY CLOTHING INC      COM   382588101           5         600  SH     OTHER    01,06           0           0         600
GOODYS FAMILY CLOTHING INC      COM   382588101         886     103,048  SH     DEFINED  01,08      51,429      51,619           0

GORMAN RUPP CO                  COM   383082104         807      33,632  SH     DEFINED     01      16,464      17,068         100
GORMAN RUPP CO                  COM   383082104         630      26,232  SH     DEFINED  01,08       6,034      20,198           0

GOTTSCHALKS INC                 COM   383485109          30      14,900  SH     DEFINED     01       2,700      12,200           0
GOTTSCHALKS INC                 COM   383485109          62      30,420  SH     DEFINED  01,08       4,524      25,896           0

GRACE W R & CO DEL NEW          COM   38388F108         999     226,600  SH     DEFINED     01     145,578      77,122       3,900
GRACE W R & CO DEL NEW          COM   38388F108           4       1,000  SH     OTHER       04       1,000           0           0
GRACE W R & CO DEL NEW          COM   38388F108       1,165     264,159  SH     DEFINED  01,08     141,034     123,125           0
GRACE W R & CO DEL NEW          COM   38388F108           1         114  SH     DEFINED     10         114           0           0

GRACO INC                       COM   384109104       1,921      60,045  SH     DEFINED     01      35,725      19,595       4,725
GRACO INC                       COM   384109104         486      15,200  SH     OTHER       01           0           0      15,200
GRACO INC                       COM   384109104          32       1,012  SH     OTHER       04       1,012           0           0
GRACO INC                       COM   384109104          28         875  SH     OTHER    01,06           0           0         875
GRACO INC                       COM   384109104       4,720     147,486  SH     DEFINED  01,08     115,201      32,285           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    222
________

GRAFTECH INTL LTD               COM   384313102       1,108     203,263  SH     DEFINED     01     121,489      80,374       1,400
GRAFTECH INTL LTD               COM   384313102          11       2,000  SH     OTHER       01           0       2,000           0
GRAFTECH INTL LTD               COM   384313102       1,035     189,907  SH     DEFINED  01,08      81,787     108,120           0

GRAINGER W W INC                COM   384802104      35,648     762,354  SH     DEFINED     01     423,900     297,688      40,766
GRAINGER W W INC                COM   384802104       9,197     196,689  SH     OTHER       01      63,499      83,757      49,433
GRAINGER W W INC                COM   384802104       2,904      62,100  SH     DEFINED     02      47,250      12,250       2,600
GRAINGER W W INC                COM   384802104         477      10,200  SH     OTHER       02       9,500         700           0
GRAINGER W W INC                COM   384802104         636      13,593  SH     DEFINED     03       3,970       7,123       2,500
GRAINGER W W INC                COM   384802104         707      15,120  SH     OTHER       03      11,200       1,370       2,550
GRAINGER W W INC                COM   384802104         606      12,950  SH     DEFINED     04      11,950           0       1,000
GRAINGER W W INC                COM   384802104         367       7,855  SH     OTHER       04       7,855           0           0
GRAINGER W W INC                COM   384802104          14         300  SH     DEFINED     05         300           0           0
GRAINGER W W INC                COM   384802104          65       1,400  SH     OTHER       05         600         800           0
GRAINGER W W INC                COM   384802104           9         200  SH     OTHER    01,06           0           0         200
GRAINGER W W INC                COM   384802104      17,504     374,347  SH     DEFINED  01,08     338,583      35,764           0
GRAINGER W W INC                COM   384802104          76       1,631  SH     DEFINED     10       1,631           0           0
GRAINGER W W INC                COM   384802104         204       4,360  SH     OTHER       10       2,760       1,600           0

GRANITE BROADCASTING CORP       COM   387241102          50      16,500  SH     DEFINED     01       2,800      13,700           0
GRANITE BROADCASTING CORP       COM   387241102         101      32,893  SH     DEFINED  01,08       8,350      24,543           0

GRANITE CONSTR INC              COM   387328107       3,345     174,563  SH     DEFINED     01      85,514      86,324       2,725
GRANITE CONSTR INC              COM   387328107         137       7,125  SH     DEFINED     03       7,125           0           0
GRANITE CONSTR INC              COM   387328107       1,790      93,432  SH     DEFINED  01,08      51,080      42,352           0

GRANT PRIDECO INC               COM   38821G101       4,257     362,299  SH     DEFINED     01     129,680     226,248       6,371
GRANT PRIDECO INC               COM   38821G101           0          18  SH     OTHER       01           0          18           0
GRANT PRIDECO INC               COM   38821G101          39       3,300  SH     DEFINED     04       3,300           0           0
GRANT PRIDECO INC               COM   38821G101       3,220     274,002  SH     DEFINED  01,08     192,412      81,590           0
GRANT PRIDECO INC               COM   38821G101          13       1,075  SH     DEFINED     10         630           0         445

GRAPHIC PACKAGING INTL CORP     COM   388690109         474     105,201  SH     DEFINED     01      44,501      60,600         100
GRAPHIC PACKAGING INTL CORP     COM   388690109         332      73,614  SH     DEFINED  01,08      22,113      51,501           0
GRAPHIC PACKAGING INTL CORP     COM   388690109          23       5,000  SH     DEFINED     10       5,000           0           0

GRAY TELEVISION INC             COM   389375106         590      47,600  SH     DEFINED     01       4,800      42,800           0
GRAY TELEVISION INC             COM   389375106         991      79,898  SH     DEFINED  01,08      28,198      51,700           0

GRAY TELEVISION INC             COM   389375205         397      32,294  SH     DEFINED     01      16,519      15,275         500
GRAY TELEVISION INC             COM   389375205         217      17,644  SH     DEFINED  01,08       3,609      14,035           0

GREAT AMERN FINL RES INC        COM   389915109       1,338     102,065  SH     DEFINED     01      89,466      12,549          50
GREAT AMERN FINL RES INC        COM   389915109       1,219      92,957  SH     DEFINED  01,08      29,966      62,991           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    223
________

GREAT ATLANTIC & PAC TEA INC    COM   390064103         708      80,488  SH     DEFINED     01      38,325      40,463       1,700
GREAT ATLANTIC & PAC TEA INC    COM   390064103           1         100  SH     DEFINED     04         100           0           0
GREAT ATLANTIC & PAC TEA INC    COM   390064103           7         750  SH     OTHER    01,06           0           0         750
GREAT ATLANTIC & PAC TEA INC    COM   390064103       1,299     147,659  SH     DEFINED  01,08      85,995      61,664           0
GREAT ATLANTIC & PAC TEA INC    COM   390064103           0          14  SH     DEFINED     10          14           0           0

GREAT LAKES CHEM CORP           COM   390568103       6,543     320,743  SH     DEFINED     01     184,765     132,028       3,950
GREAT LAKES CHEM CORP           COM   390568103           2         100  SH     OTHER       01          50           0          50
GREAT LAKES CHEM CORP           COM   390568103           5         245  SH     DEFINED     02           0           0         245
GREAT LAKES CHEM CORP           COM   390568103          70       3,420  SH     DEFINED     04       1,120           0       2,300
GREAT LAKES CHEM CORP           COM   390568103          22       1,100  SH     OTHER       04       1,100           0           0
GREAT LAKES CHEM CORP           COM   390568103           2         100  SH     OTHER    01,06           0           0         100
GREAT LAKES CHEM CORP           COM   390568103       4,385     214,941  SH     DEFINED  01,08     181,345      33,596           0
GREAT LAKES CHEM CORP           COM   390568103           0           9  SH     DEFINED     10           9           0           0
GREAT LAKES CHEM CORP           COM   390568103          18         900  SH     OTHER       10         900           0           0

GREAT LAKES REIT INC            COM   390752103         846      52,894  SH     DEFINED     01      32,494      19,700         700
GREAT LAKES REIT INC            COM   390752103         160      10,000  SH     DEFINED     04      10,000           0           0
GREAT LAKES REIT INC            COM   390752103         637      39,802  SH     DEFINED  01,08      13,677      26,125           0

GREAT SOUTHN BANCORP INC        COM   390905107         817      21,206  SH     DEFINED     01      11,336       9,370         500
GREAT SOUTHN BANCORP INC        COM   390905107         636      16,512  SH     DEFINED  01,08       4,912      11,600           0

GREAT PLAINS ENERGY INC         COM   391164100       6,501     225,092  SH     DEFINED     01      87,900     133,621       3,571
GREAT PLAINS ENERGY INC         COM   391164100           9         300  SH     OTHER       01           0         300           0
GREAT PLAINS ENERGY INC         COM   391164100          52       1,800  SH     OTHER       02       1,000         800           0
GREAT PLAINS ENERGY INC         COM   391164100          29       1,000  SH     DEFINED     03       1,000           0           0
GREAT PLAINS ENERGY INC         COM   391164100           9         300  SH     OTHER       03           0         300           0
GREAT PLAINS ENERGY INC         COM   391164100         157       5,430  SH     DEFINED     04       5,430           0           0
GREAT PLAINS ENERGY INC         COM   391164100          10         350  SH     DEFINED     05         350           0           0
GREAT PLAINS ENERGY INC         COM   391164100       4,940     171,062  SH     DEFINED  01,08     121,021      50,041           0
GREAT PLAINS ENERGY INC         COM   391164100          30       1,022  SH     DEFINED     10       1,022           0           0

GREATER BAY BANCORP             COM   391648102       4,686     233,816  SH     DEFINED     01      89,381     142,055       2,380
GREATER BAY BANCORP             COM   391648102          11         524  SH     OTHER       03         524           0           0
GREATER BAY BANCORP             COM   391648102       3,329     166,098  SH     DEFINED  01,08     129,767      36,331           0

GREATER COMMUNITY BANCORP       COM   39167M108           9         620  SH     DEFINED     01         220         400           0
GREATER COMMUNITY BANCORP       COM   39167M108         188      12,333  SH     DEFINED  01,08       3,623       8,710           0

GREATER DEL VY HLDGS            COM   391688108          99       4,330  SH     DEFINED     01         525       3,805           0
GREATER DEL VY HLDGS            COM   391688108         150       6,573  SH     DEFINED  01,08       2,082       4,491           0

GREEN MTN COFFEE ROASTERS IN    COM   393122106         324      17,078  SH     DEFINED     01       7,135       9,843         100
GREEN MTN COFFEE ROASTERS IN    COM   393122106         362      19,051  SH     DEFINED  01,08       8,361      10,690           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    224
________

GREEN MOUNTAIN PWR CORP         COM   393154109         178       8,900  SH     DEFINED     01         700       8,200           0
GREEN MOUNTAIN PWR CORP         COM   393154109           2         100  SH     OTHER    01,06           0           0         100
GREEN MOUNTAIN PWR CORP         COM   393154109         278      13,915  SH     DEFINED  01,08       6,129       7,786           0

GREENBRIER COS INC              COM   393657101         443      40,800  SH     DEFINED     01       8,200      32,600           0
GREENBRIER COS INC              COM   393657101         276      25,398  SH     DEFINED  01,08       6,679      18,719           0

GREENPOINT FINL CORP            COM   395384100      15,057     295,577  SH     DEFINED     01     111,484     177,263       6,830
GREENPOINT FINL CORP            COM   395384100          41         800  SH     DEFINED     04         800           0           0
GREENPOINT FINL CORP            COM   395384100      12,392     243,272  SH     DEFINED  01,08     174,973      68,299           0

GREIF INC                       COM   397624107       1,305      56,755  SH     DEFINED     01      27,452      28,503         800
GREIF INC                       COM   397624107         327      14,200  SH     OTHER       02           0           0      14,200
GREIF INC                       COM   397624107          12         500  SH     DEFINED     04         500           0           0
GREIF INC                       COM   397624107       1,361      59,190  SH     DEFINED  01,08      22,288      36,902           0

GREKA ENERGY CORP               COM   397637109          30       5,100  SH     DEFINED     01         900       4,200           0
GREKA ENERGY CORP               COM   397637109          52       9,018  SH     DEFINED  01,08       2,403       6,615           0

GREY GLOBAL GROUP INC           COM   39787M108       2,434       3,149  SH     DEFINED     01       1,809       1,340           0
GREY GLOBAL GROUP INC           COM   39787M108          77         100  SH     OTHER       02           0         100           0
GREY GLOBAL GROUP INC           COM   39787M108       3,016       3,902  SH     DEFINED  01,08         743       3,159           0

GREY WOLF INC                   COM   397888108       2,430     601,588  SH     DEFINED     01     357,545     235,303       8,740
GREY WOLF INC                   COM   397888108           4       1,000  SH     OTHER       01       1,000           0           0
GREY WOLF INC                   COM   397888108          86      21,250  SH     DEFINED     04      21,250           0           0
GREY WOLF INC                   COM   397888108       2,259     559,173  SH     DEFINED  01,08     235,692     323,481           0
GREY WOLF INC                   COM   397888108          16       4,000  SH     DEFINED     10           0       4,000           0

GRIC COMMUNICATIONS INC         COM   398081109          74      19,109  SH     DEFINED     01       4,400      14,709           0
GRIC COMMUNICATIONS INC         COM   398081109         140      36,028  SH     DEFINED  01,08       8,428      27,600           0

GRIFFIN LD & NURSERIES INC      COM   398231100          55       4,100  SH     DEFINED     01         300       3,800           0
GRIFFIN LD & NURSERIES INC      COM   398231100         108       8,000  SH     DEFINED  01,08       2,100       5,900           0

GRIFFON CORP                    COM   398433102       1,601     100,069  SH     DEFINED     01      57,219      40,315       2,535
GRIFFON CORP                    COM   398433102          10         642  SH     OTHER    01,06           0           0         642
GRIFFON CORP                    COM   398433102       2,751     171,925  SH     DEFINED  01,08     107,020      64,905           0

GROUP 1 AUTOMOTIVE INC          COM   398905109       2,110      65,096  SH     DEFINED     01      38,859      25,937         300
GROUP 1 AUTOMOTIVE INC          COM   398905109          15         450  SH     OTHER    01,06           0           0         450
GROUP 1 AUTOMOTIVE INC          COM   398905109       2,553      78,778  SH     DEFINED  01,08      43,378      35,400           0

GROUP 1 SOFTWARE INC NEW        COM   39943Y103         279      15,000  SH     DEFINED     01       2,400      12,600           0
GROUP 1 SOFTWARE INC NEW        COM   39943Y103         736      39,560  SH     DEFINED  01,08      10,310      29,250           0


FORM 13F                        DATE 06-30-03                    NORTHERN TRUST CORPORATION                       PAGE    225
________

GTECH HLDGS CORP                COM   400518106       9,050     240,381  SH     DEFINED     01     126,161     110,320       3,900
GTECH HLDGS CORP                COM   400518106       4,961     131,774  SH     DEFINED  01,08      94,178      37,596           0

GUARANTY FED BANCSHARES INC     COM   40108P101          91       5,700  SH     DEFINED     01