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

Form 13F

Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: March 31, 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 16, 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:	18,776.

Form 13F Information Table Value Total:	$105,677,393.
(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 03-31-03                  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          74       2,529  SH     DEFINED     01       1,429       1,100           0
DAIMLERCHRYSLER AG             COM   D1668R123         497      16,960  SH     DEFINED     04      16,960           0           0
DAIMLERCHRYSLER AG             COM   D1668R123          32       1,099  SH     OTHER       04       1,099           0           0
DAIMLERCHRYSLER AG             COM   D1668R123          10         350  SH     DEFINED     10           0         350           0

ACE LTD                        COM   G0070K103      33,978   1,173,692  SH     DEFINED     01     556,053     606,164      11,475
ACE LTD                        COM   G0070K103         672      23,225  SH     OTHER       01           0      23,000         225
ACE LTD                        COM   G0070K103          52       1,800  SH     DEFINED     04       1,800           0           0
ACE LTD                        COM   G0070K103          43       1,500  SH     OTHER       04       1,500           0           0
ACE LTD                        COM   G0070K103          19         650  SH     OTHER    01,06           0           0         650
ACE LTD                        COM   G0070K103       5,107     176,412  SH     DEFINED  01,08     160,625      15,787           0
ACE LTD                        COM   G0070K103           3         114  SH     DEFINED     10         114           0           0
ACE LTD                        COM   G0070K103          32       1,100  SH     OTHER       10       1,100           0           0

AMDOCS LTD                     COM   G02602103         785      59,100  SH     DEFINED     01      59,100           0           0
AMDOCS LTD                     COM   G02602103          13       1,000  SH     OTHER       10           0           0       1,000

ARCH CAP GROUP LTD             COM   G0450A105         886      26,100  SH     DEFINED     01       3,300      22,800           0
ARCH CAP GROUP LTD             COM   G0450A105         192       5,651  SH     DEFINED  01,08           0       5,651           0

ACCENTURE LTD BERMUDA          COM   G1150G111       2,873     185,350  SH     DEFINED     01     175,000      10,350           0
ACCENTURE LTD BERMUDA          COM   G1150G111          16       1,000  SH     OTHER       01       1,000           0           0
ACCENTURE LTD BERMUDA          COM   G1150G111           8         500  SH     DEFINED     02         500           0           0
ACCENTURE LTD BERMUDA          COM   G1150G111         970      62,575  SH     DEFINED     03      39,375      17,750       5,450
ACCENTURE LTD BERMUDA          COM   G1150G111         177      11,400  SH     OTHER       03      10,200         300         900
ACCENTURE LTD BERMUDA          COM   G1150G111         148       9,550  SH     DEFINED     04       9,550           0           0
ACCENTURE LTD BERMUDA          COM   G1150G111          20       1,300  SH     OTHER       04       1,300           0           0

BUNGE LIMITED                  COM   G16962105       1,331      52,900  SH     DEFINED     01      42,400           0      10,500
BUNGE LIMITED                  COM   G16962105          15         600  SH     OTHER       01           0         600           0
BUNGE LIMITED                  COM   G16962105       1,640      65,200  SH     DEFINED  01,08       8,300      56,900           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      2
________

COOPER INDS LTD                COM   G24182100      15,553     435,537  SH     DEFINED     01     216,975     214,162       4,400
COOPER INDS LTD                COM   G24182100         112       3,133  SH     OTHER       01       3,058           0          75
COOPER INDS LTD                COM   G24182100          17         478  SH     DEFINED     02           0         478           0
COOPER INDS LTD                COM   G24182100           7         200  SH     OTHER       02         200           0           0
COOPER INDS LTD                COM   G24182100           2          50  SH     DEFINED     03           0           0          50
COOPER INDS LTD                COM   G24182100         107       3,000  SH     OTHER       03       3,000           0           0
COOPER INDS LTD                COM   G24182100          93       2,614  SH     DEFINED     04       2,614           0           0
COOPER INDS LTD                COM   G24182100          73       2,036  SH     OTHER       04       1,436           0         600
COOPER INDS LTD                COM   G24182100           7         200  SH     OTHER    01,06           0           0         200
COOPER INDS LTD                COM   G24182100       2,415      67,637  SH     DEFINED  01,08      60,783       6,854           0
COOPER INDS LTD                COM   G24182100          90       2,526  SH     DEFINED     10       2,526           0           0

EVEREST RE GROUP LTD           COM   G3223R108      51,126     893,662  SH     DEFINED     01     561,481     240,796      91,385
EVEREST RE GROUP LTD           COM   G3223R108       3,422      59,812  SH     OTHER       01      16,937      33,175       9,700
EVEREST RE GROUP LTD           COM   G3223R108       1,768      30,900  SH     DEFINED     02      16,370      13,930         600
EVEREST RE GROUP LTD           COM   G3223R108         386       6,750  SH     OTHER       02       3,100       2,450       1,200
EVEREST RE GROUP LTD           COM   G3223R108       4,435      77,523  SH     DEFINED     03      41,863      21,125      14,535
EVEREST RE GROUP LTD           COM   G3223R108         947      16,557  SH     OTHER       03      11,952       3,505       1,100
EVEREST RE GROUP LTD           COM   G3223R108      21,755     380,264  SH     DEFINED     04     371,079           0       9,185
EVEREST RE GROUP LTD           COM   G3223R108       4,792      83,761  SH     OTHER       04      80,361           0       3,400
EVEREST RE GROUP LTD           COM   G3223R108       1,509      26,383  SH     DEFINED     05      20,973       3,460       1,950
EVEREST RE GROUP LTD           COM   G3223R108         157       2,745  SH     OTHER       05         670       2,075           0
EVEREST RE GROUP LTD           COM   G3223R108       2,054      35,904  SH     DEFINED  01,08       6,771      29,133           0
EVEREST RE GROUP LTD           COM   G3223R108       1,896      33,135  SH     DEFINED     10      29,490       2,100       1,545
EVEREST RE GROUP LTD           COM   G3223R108         833      14,560  SH     OTHER       10      10,720       3,240         600

FOSTER WHEELER LTD             COM   G36535105          62      47,711  SH     DEFINED     01       8,500      39,211           0
FOSTER WHEELER LTD             COM   G36535105           0           5  SH     DEFINED     10           5           0           0

FRESH DEL MONTE PRODUCE INC    COM   G36738105         569      37,300  SH     DEFINED     01      10,400      26,900           0
FRESH DEL MONTE PRODUCE INC    COM   G36738105       1,601     104,957  SH     DEFINED  01,08      23,427      81,530           0

GARMIN LTD                     COM   G37260109       2,073      57,900  SH     DEFINED     01      48,600       3,650       5,650
GARMIN LTD                     COM   G37260109           4         100  SH     OTHER       04         100           0           0

GLOBALSANTAFE CORP             COM   G3930E101       1,548      74,949  SH     DEFINED     01      48,919      24,700       1,330
GLOBALSANTAFE CORP             COM   G3930E101         485      23,500  SH     OTHER       01           0      23,500           0
GLOBALSANTAFE CORP             COM   G3930E101           1          37  SH     DEFINED     02          37           0           0
GLOBALSANTAFE CORP             COM   G3930E101          30       1,463  SH     OTHER       02       1,330         133           0
GLOBALSANTAFE CORP             COM   G3930E101           1          55  SH     DEFINED     03          55           0           0
GLOBALSANTAFE CORP             COM   G3930E101          72       3,500  SH     DEFINED     04       3,500           0           0
GLOBALSANTAFE CORP             COM   G3930E101           8         397  SH     DEFINED     05         397           0           0
GLOBALSANTAFE CORP             COM   G3930E101       3,419     165,580  SH     DEFINED  01,08      32,270     133,310           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      3
________

HELEN OF TROY CORP LTD         COM   G4388N106         553      42,200  SH     DEFINED     01       6,100      36,100           0
HELEN OF TROY CORP LTD         COM   G4388N106           5         400  SH     OTHER       04         400           0           0
HELEN OF TROY CORP LTD         COM   G4388N106         861      65,690  SH     DEFINED  01,08      12,077      53,613           0

INGERSOLL-RAND COMPANY LTD     COM   G4776G101      31,088     805,604  SH     DEFINED     01     395,689     402,973       6,942
INGERSOLL-RAND COMPANY LTD     COM   G4776G101         461      11,951  SH     OTHER       01       3,101       8,700         150
INGERSOLL-RAND COMPANY LTD     COM   G4776G101          83       2,138  SH     DEFINED     02       2,083           0          55
INGERSOLL-RAND COMPANY LTD     COM   G4776G101          12         300  SH     OTHER       02           0         300           0
INGERSOLL-RAND COMPANY LTD     COM   G4776G101          41       1,050  SH     DEFINED     03         910         140           0
INGERSOLL-RAND COMPANY LTD     COM   G4776G101          37         952  SH     DEFINED     04         952           0           0
INGERSOLL-RAND COMPANY LTD     COM   G4776G101         193       5,000  SH     OTHER       04       3,350           0       1,650
INGERSOLL-RAND COMPANY LTD     COM   G4776G101          29         750  SH     DEFINED     05         750           0           0
INGERSOLL-RAND COMPANY LTD     COM   G4776G101         116       3,000  SH     OTHER       05       3,000           0           0
INGERSOLL-RAND COMPANY LTD     COM   G4776G101          15         400  SH     OTHER    01,06           0           0         400
INGERSOLL-RAND COMPANY LTD     COM   G4776G101       4,459     115,541  SH     DEFINED  01,08     106,610       8,931           0
INGERSOLL-RAND COMPANY LTD     COM   G4776G101          24         627  SH     DEFINED     10          27         600           0

LORAL SPACE & COMMUNICATIONS   COM   G56462107          23      70,190  SH     DEFINED     01      70,190           0           0
LORAL SPACE & COMMUNICATIONS   COM   G56462107           1       1,980  SH     OTHER       01       1,980           0           0
LORAL SPACE & COMMUNICATIONS   COM   G56462107           0         500  SH     DEFINED     02         500           0           0
LORAL SPACE & COMMUNICATIONS   COM   G56462107          17      50,000  SH     DEFINED     04      50,000           0           0
LORAL SPACE & COMMUNICATIONS   COM   G56462107           0         400  SH     OTHER       04         400           0           0
LORAL SPACE & COMMUNICATIONS   COM   G56462107         173     523,943  SH     DEFINED  01,08     146,800     377,143           0

MONTPELIER RE HOLDINGS LTD     COM   G62185106         787      27,900  SH     DEFINED     01      18,400           0       9,500

NABORS INDUSTRIES LTD          COM   G6359F103      28,202     707,360  SH     DEFINED     01     350,619     347,891       8,850
NABORS INDUSTRIES LTD          COM   G6359F103         753      18,875  SH     OTHER       01         200      18,600          75
NABORS INDUSTRIES LTD          COM   G6359F103          28         700  SH     OTHER       02         500         200           0
NABORS INDUSTRIES LTD          COM   G6359F103           2          50  SH     DEFINED     03           0           0          50
NABORS INDUSTRIES LTD          COM   G6359F103         200       5,010  SH     DEFINED     04       5,010           0           0
NABORS INDUSTRIES LTD          COM   G6359F103          16         400  SH     OTHER    01,06           0           0         400
NABORS INDUSTRIES LTD          COM   G6359F103       4,099     102,821  SH     DEFINED  01,08      93,254       9,567           0
NABORS INDUSTRIES LTD          COM   G6359F103         195       4,900  SH     DEFINED     10       2,700       2,200           0

NOBLE CORPORATION              COM   G65422100      20,067     638,679  SH     DEFINED     01     324,439     309,090       5,150
NOBLE CORPORATION              COM   G65422100         449      14,290  SH     OTHER       01           0      14,190         100
NOBLE CORPORATION              COM   G65422100           2          70  SH     OTHER       02          70           0           0
NOBLE CORPORATION              COM   G65422100          14         450  SH     DEFINED     03         400           0          50
NOBLE CORPORATION              COM   G65422100         234       7,455  SH     DEFINED     04       5,955           0       1,500
NOBLE CORPORATION              COM   G65422100          26         840  SH     OTHER       04         840           0           0
NOBLE CORPORATION              COM   G65422100           9         300  SH     OTHER    01,06           0           0         300
NOBLE CORPORATION              COM   G65422100       2,881      91,691  SH     DEFINED  01,08      86,231       5,460           0
NOBLE CORPORATION              COM   G65422100          13         400  SH     OTHER       10         400           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      4
________

SEAGATE TECHNOLOGY             COM   G7945J104         151      14,600  SH     DEFINED     01      14,600           0           0
SEAGATE TECHNOLOGY             COM   G7945J104         839      81,300  SH     DEFINED  01,08      30,200      51,100           0

STEWART W P & CO LTD           COM   G84922106         265      15,550  SH     OTHER       01           0           0      15,550

UTI WORLDWIDE INC              COM   G87210103       1,897      67,750  SH     DEFINED     01      59,500       3,300       4,950

TRANSOCEAN INC                 COM   G90078109      57,186   2,796,376  SH     DEFINED     01   1,663,858   1,005,296     127,222
TRANSOCEAN INC                 COM   G90078109       3,050     149,150  SH     OTHER       01      59,173      74,928      15,049
TRANSOCEAN INC                 COM   G90078109         899      43,957  SH     DEFINED     02      36,575       7,382           0
TRANSOCEAN INC                 COM   G90078109         203       9,924  SH     OTHER       02       7,369       2,545          10
TRANSOCEAN INC                 COM   G90078109         522      25,528  SH     DEFINED     03      11,194      13,432         902
TRANSOCEAN INC                 COM   G90078109         132       6,462  SH     OTHER       03       1,212       3,300       1,950
TRANSOCEAN INC                 COM   G90078109       4,461     218,143  SH     DEFINED     04     212,928           0       5,215
TRANSOCEAN INC                 COM   G90078109       1,761      86,100  SH     OTHER       04      78,948           0       7,152
TRANSOCEAN INC                 COM   G90078109       2,403     117,513  SH     DEFINED     05      89,208      22,547       5,758
TRANSOCEAN INC                 COM   G90078109         295      14,435  SH     OTHER       05       7,256       6,589         590
TRANSOCEAN INC                 COM   G90078109          16         800  SH     OTHER    01,06           0           0         800
TRANSOCEAN INC                 COM   G90078109       4,422     216,258  SH     DEFINED  01,08     203,335      12,923           0
TRANSOCEAN INC                 COM   G90078109         461      22,519  SH     DEFINED     10      17,701       2,318       2,500
TRANSOCEAN INC                 COM   G90078109         125       6,120  SH     OTHER       10       3,967       2,153           0

WEATHERFORD INTERNATIONAL LT   COM   G95089101      10,584     280,210  SH     DEFINED     01      83,436     196,374         400
WEATHERFORD INTERNATIONAL LT   COM   G95089101         471      12,483  SH     OTHER       01           0      12,483           0
WEATHERFORD INTERNATIONAL LT   COM   G95089101           1          24  SH     DEFINED     02          24           0           0
WEATHERFORD INTERNATIONAL LT   COM   G95089101          64       1,700  SH     DEFINED     03           0           0       1,700
WEATHERFORD INTERNATIONAL LT   COM   G95089101          51       1,340  SH     DEFINED     04       1,340           0           0
WEATHERFORD INTERNATIONAL LT   COM   G95089101       3,741      99,046  SH     DEFINED  01,08      24,484      74,562           0
WEATHERFORD INTERNATIONAL LT   COM   G95089101           4         112  SH     DEFINED     10         112           0           0

WHITE MTNS INS GROUP LTD       COM   G9618E107         547       1,608  SH     DEFINED     01       1,608           0           0
WHITE MTNS INS GROUP LTD       COM   G9618E107          48         140  SH     DEFINED     02           0         140           0
WHITE MTNS INS GROUP LTD       COM   G9618E107          17          50  SH     DEFINED     03          50           0           0
WHITE MTNS INS GROUP LTD       COM   G9618E107       2,032       5,977  SH     DEFINED  01,08       1,177       4,800           0

XOMA LTD                       COM   G9825R107         270      68,100  SH     DEFINED     01      13,400      54,700           0
XOMA LTD                       COM   G9825R107           6       1,500  SH     OTHER       01           0       1,500           0
XOMA LTD                       COM   G9825R107           0         100  SH     OTHER       04         100           0           0
XOMA LTD                       COM   G9825R107         455     114,847  SH     DEFINED  01,08      30,631      84,216           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      5
________

XL CAP LTD                     COM   G98255105      43,040     608,084  SH     DEFINED     01     288,908     313,251       5,925
XL CAP LTD                     COM   G98255105         292       4,125  SH     OTHER       01       2,000       2,000         125
XL CAP LTD                     COM   G98255105         131       1,850  SH     DEFINED     03       1,800           0          50
XL CAP LTD                     COM   G98255105          85       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          25         350  SH     OTHER    01,06           0           0         350
XL CAP LTD                     COM   G98255105       6,644      93,867  SH     DEFINED  01,08      86,567       7,300           0

ALCON INC                      COM   H01301102      15,303     373,058  SH     DEFINED     01     262,073      88,523      22,462
ALCON INC                      COM   H01301102       2,296      55,983  SH     OTHER       01      30,129      20,374       5,480
ALCON INC                      COM   H01301102         467      11,374  SH     DEFINED     02       8,625       2,449         300
ALCON INC                      COM   H01301102         115       2,800  SH     OTHER       02       1,300       1,500           0
ALCON INC                      COM   H01301102       1,663      40,550  SH     DEFINED     03      22,165      15,825       2,560
ALCON INC                      COM   H01301102         473      11,535  SH     OTHER       03       7,630       2,640       1,265
ALCON INC                      COM   H01301102       2,125      51,800  SH     DEFINED     04      51,700           0         100
ALCON INC                      COM   H01301102         472      11,500  SH     OTHER       04      11,500           0           0
ALCON INC                      COM   H01301102       1,990      48,515  SH     DEFINED     05      40,030       4,840       3,645
ALCON INC                      COM   H01301102         122       2,965  SH     OTHER       05       1,515       1,450           0
ALCON INC                      COM   H01301102         984      23,980  SH     DEFINED     10      19,565       4,200         215
ALCON INC                      COM   H01301102          37         895  SH     OTHER       10          95         800           0

UBS AG                         COM   H8920M855          51       1,193  SH     DEFINED     01         210          33         950
UBS AG                         COM   H8920M855          31         730  SH     OTHER       01           0         730           0
UBS AG                         COM   H8920M855          19         440  SH     DEFINED     02         440           0           0
UBS AG                         COM   H8920M855           3          60  SH     OTHER       02          60           0           0
UBS AG                         COM   H8920M855          29         684  SH     OTHER       03         684           0           0
UBS AG                         COM   H8920M855          74       1,725  SH     DEFINED     04       1,725           0           0
UBS AG                         COM   H8920M855         130       3,038  SH     OTHER       04       3,038           0           0
UBS AG                         COM   H8920M855          38         900  SH     OTHER       05           0           0         900
UBS AG                         COM   H8920M855           1          12  SH     DEFINED     10          12           0           0

CLICKSOFTWARE TECHNOLOGIES L   COM   M25082104          11      56,586  SH     DEFINED     01      56,586           0           0

TARO PHARMACEUTICAL INDS LTD   COM   M8737E108       1,849      48,300  SH     DEFINED     01      48,300           0           0
TARO PHARMACEUTICAL INDS LTD   COM   M8737E108          57       1,500  SH     DEFINED     03       1,500           0           0

VERISITY LTD                   COM   M97385112         247      26,700  SH     DEFINED  01,08       8,400      18,300           0

CNH GLOBAL N V                 COM   N20935107         101      64,776  SH     DEFINED     01           0      64,776           0

CORE LABORATORIES N V          COM   N22717107         216      20,800  SH     OTHER       01           0      20,800           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      6
________

ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103       2,006     133,450  SH     DEFINED     01      70,000      52,250      11,200
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103          34       2,250  SH     OTHER       01           0       2,250           0
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103          46       3,075  SH     DEFINED     02       3,075           0           0
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103         540      35,925  SH     DEFINED     03      18,100       9,750       8,075
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103          17       1,150  SH     OTHER       03       1,150           0           0
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103       3,047     202,731  SH     DEFINED     04     195,981           0       6,750
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103         429      28,545  SH     OTHER       04      28,545           0           0
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103         540      35,925  SH     DEFINED     05      32,925       1,400       1,600
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103      13,128     873,465  SH     DEFINED  01,08      26,722     811,013      35,730
ROYAL CARIBBEAN CRUISES LTD    COM   V7780T103         469      31,225  SH     DEFINED     10      29,025       2,200           0

FLEXTRONICS INTL LTD           COM   Y2573F102       9,002   1,032,307  SH     DEFINED     01     960,609      62,700       8,998
FLEXTRONICS INTL LTD           COM   Y2573F102       2,130     244,217  SH     OTHER       01     112,626       4,500     127,091
FLEXTRONICS INTL LTD           COM   Y2573F102       1,979     226,995  SH     DEFINED     02     187,795      31,200       8,000
FLEXTRONICS INTL LTD           COM   Y2573F102         390      44,750  SH     OTHER       02      40,400       4,350           0
FLEXTRONICS INTL LTD           COM   Y2573F102       1,095     125,535  SH     DEFINED     03      77,315      26,840      21,380
FLEXTRONICS INTL LTD           COM   Y2573F102         174      19,900  SH     OTHER       03      11,900       8,000           0
FLEXTRONICS INTL LTD           COM   Y2573F102       7,502     860,275  SH     DEFINED     04     842,300           0      17,975
FLEXTRONICS INTL LTD           COM   Y2573F102       2,318     265,845  SH     OTHER       04     252,680           0      13,165
FLEXTRONICS INTL LTD           COM   Y2573F102         911     104,500  SH     DEFINED     05      79,360      13,015      12,125
FLEXTRONICS INTL LTD           COM   Y2573F102          66       7,625  SH     OTHER       05       4,025       3,600           0
FLEXTRONICS INTL LTD           COM   Y2573F102         238      27,245  SH     DEFINED     10      27,245           0           0
FLEXTRONICS INTL LTD           COM   Y2573F102          64       7,300  SH     OTHER       10       7,300           0           0

GENERAL MARITIME CORP          COM   Y2692M103         440      51,800  SH     DEFINED     01      31,400      20,400           0
GENERAL MARITIME CORP          COM   Y2692M103         134      15,800  SH     DEFINED  01,08      15,800           0           0

OMI CORP NEW                   COM   Y6476W104       1,034     220,000  SH     DEFINED     01     163,300      56,700           0
OMI CORP NEW                   COM   Y6476W104         524     111,518  SH     DEFINED  01,08      30,672      80,846           0

AAON INC                       COM   000360206         559      44,050  SH     DEFINED     01      16,722      27,328           0
AAON INC                       COM   000360206         361      28,444  SH     DEFINED  01,08       6,569      21,875           0

AAR CORP                       COM   000361105         420     111,088  SH     DEFINED     01      64,626      43,862       2,600
AAR CORP                       COM   000361105           2         600  SH     OTHER    01,06           0           0         600
AAR CORP                       COM   000361105         769     203,496  SH     DEFINED  01,08      27,808     175,688           0

ABC BANCORP                    COM   000400101         629      45,952  SH     DEFINED     01      33,402      12,000         550
ABC BANCORP                    COM   000400101         328      23,986  SH     DEFINED  01,08       5,700      18,286           0

A C MOORE ARTS & CRAFTS INC    COM   00086T103         646      46,726  SH     DEFINED     01      22,228      23,948         550
A C MOORE ARTS & CRAFTS INC    COM   00086T103         694      50,210  SH     DEFINED  01,08       9,736      40,474           0

ACTV INC                       COM   00088E104          33      61,800  SH     DEFINED     01      10,600      51,200           0
ACTV INC                       COM   00088E104          45      83,247  SH     DEFINED  01,08      25,147      58,100           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      7
________

A D A M INC                    COM   00088U108           5       5,800  SH     DEFINED     01         600       5,200           0
A D A M INC                    COM   00088U108           9      11,259  SH     DEFINED  01,08       1,559       9,700           0

A CONSULTING TEAM INC          COM   000881102           3       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       9,263   4,496,716  SH     DEFINED     01   2,355,650   2,078,091      62,975
A D C TELECOMMUNICATIONS       COM   000886101          20       9,850  SH     OTHER       01           0       9,100         750
A D C TELECOMMUNICATIONS       COM   000886101           1         300  SH     DEFINED     03           0           0         300
A D C TELECOMMUNICATIONS       COM   000886101           0         200  SH     DEFINED     04         200           0           0
A D C TELECOMMUNICATIONS       COM   000886101           4       2,000  SH     OTHER    01,06           0           0       2,000
A D C TELECOMMUNICATIONS       COM   000886101       4,917   2,387,016  SH     DEFINED  01,08     546,345   1,840,671           0
A D C TELECOMMUNICATIONS       COM   000886101           2       1,100  SH     DEFINED     10       1,100           0           0
A D C TELECOMMUNICATIONS       COM   000886101           8       4,000  SH     OTHER       10           0       4,000           0

ADE CORP MASS                  COM   00089C107         313      52,529  SH     DEFINED     01      35,356      16,973         200
ADE CORP MASS                  COM   00089C107         172      28,852  SH     DEFINED  01,08       7,202      21,650           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           0       5,325         OTHER       03           0           0       5,325
ACM INCOME FUND INC            UNDEF 000912105         158      18,004         DEFINED     04      18,004           0           0
ACM INCOME FUND INC            UNDEF 000912105          75       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          85      17,851  SH     OTHER       04      17,851           0           0

ABN AMRO HLDG NV               COM   000937102         440      30,000  SH     DEFINED     01      30,000           0           0
ABN AMRO HLDG NV               COM   000937102           9         588  SH     DEFINED     02           0           0         588

ABM INDS INC                   COM   000957100       2,005     152,560  SH     DEFINED     01      76,207      73,803       2,550
ABM INDS INC                   COM   000957100         105       8,000  SH     OTHER       01       8,000           0           0
ABM INDS INC                   COM   000957100          10         730  SH     DEFINED     02           0           0         730
ABM INDS INC                   COM   000957100          13       1,000  SH     OTHER    01,06           0           0       1,000
ABM INDS INC                   COM   000957100       2,574     195,919  SH     DEFINED  01,08      41,681     154,238           0

AEP INDS INC                   COM   001031103         161      18,573  SH     DEFINED     01       7,425      11,048         100
AEP INDS INC                   COM   001031103         170      19,690  SH     DEFINED  01,08       4,049      15,641           0

AFC ENTERPRISES INC            COM   00104Q107         794      59,019  SH     DEFINED     01      26,609      31,710         700
AFC ENTERPRISES INC            COM   00104Q107           9         650  SH     OTHER    01,06           0           0         650
AFC ENTERPRISES INC            COM   00104Q107       1,059      78,645  SH     DEFINED  01,08      14,700      63,945           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      8
________

AFLAC INC                      COM   001055102     144,768   4,516,956  SH     DEFINED     01   2,761,961   1,656,917      98,078
AFLAC INC                      COM   001055102       3,525     109,985  SH     OTHER       01      34,579      61,795      13,611
AFLAC INC                      COM   001055102       4,247     132,515  SH     DEFINED     02     106,110      20,275       6,130
AFLAC INC                      COM   001055102       2,010      62,700  SH     OTHER       02      49,120      13,580           0
AFLAC INC                      COM   001055102       8,769     273,589  SH     DEFINED     03     115,338     100,358      57,893
AFLAC INC                      COM   001055102       1,446      45,119  SH     OTHER       03      28,639       5,810      10,670
AFLAC INC                      COM   001055102      27,442     856,231  SH     DEFINED     04     835,606           0      20,625
AFLAC INC                      COM   001055102      15,494     483,429  SH     OTHER       04     475,764           0       7,665
AFLAC INC                      COM   001055102       1,785      55,705  SH     DEFINED     05      46,905       3,400       5,400
AFLAC INC                      COM   001055102         337      10,500  SH     OTHER       05       8,500       2,000           0
AFLAC INC                      COM   001055102          42       1,300  SH     OTHER    01,06           0           0       1,300
AFLAC INC                      COM   001055102      49,956   1,558,698  SH     DEFINED  01,08     391,798   1,166,900           0
AFLAC INC                      COM   001055102       1,015      31,661  SH     DEFINED     10      27,311       3,300       1,050
AFLAC INC                      COM   001055102         115       3,599  SH     OTHER       10         100       3,499           0

AGCO CORP                      COM   001084102       5,281     328,042  SH     DEFINED     01     175,802     148,054       4,186
AGCO CORP                      COM   001084102          88       5,465  SH     DEFINED     04       5,465           0           0
AGCO CORP                      COM   001084102       2,763     171,589  SH     DEFINED  01,08      23,154     148,435           0

AGL RES INC                    COM   001204106       6,958     294,455  SH     DEFINED     01     156,515     134,140       3,800
AGL RES INC                    COM   001204106         124       5,250  SH     DEFINED     04       5,250           0           0
AGL RES INC                    COM   001204106         135       5,693  SH     OTHER       04       5,693           0           0
AGL RES INC                    COM   001204106       4,057     171,684  SH     DEFINED  01,08      19,198     152,486           0

AG SVCS AMER INC               COM   001250109          35       5,400  SH     DEFINED     01       1,100       4,300           0
AG SVCS AMER INC               COM   001250109          61       9,373  SH     DEFINED  01,08       2,389       6,984           0

AHL SVCS INC                   COM   001296102          30      22,871  SH     DEFINED     01       3,071      19,800           0
AHL SVCS INC                   COM   001296102          30      23,246  SH     DEFINED  01,08       4,300      18,946           0

AES CORP                       COM   00130H105      10,605   2,929,501  SH     DEFINED     01   1,502,184   1,380,121      47,196
AES CORP                       COM   00130H105           6       1,521  SH     OTHER       01       1,021           0         500
AES CORP                       COM   00130H105           2         450  SH     DEFINED     02         450           0           0
AES CORP                       COM   00130H105           1         150  SH     OTHER       02         150           0           0
AES CORP                       COM   00130H105           2         600  SH     DEFINED     03         400           0         200
AES CORP                       COM   00130H105           9       2,491  SH     DEFINED     04       2,491           0           0
AES CORP                       COM   00130H105           9       2,350  SH     OTHER       04       1,900           0         450
AES CORP                       COM   00130H105          13       3,600  SH     DEFINED     05       1,600           0       2,000
AES CORP                       COM   00130H105           5       1,400  SH     OTHER    01,06           0           0       1,400
AES CORP                       COM   00130H105       5,163   1,426,191  SH     DEFINED  01,08     405,110   1,021,081           0
AES CORP                       COM   00130H105          11       3,116  SH     DEFINED     10         716       2,400           0

AK STL HLDG CORP               COM   001547108       1,152     354,336  SH     DEFINED     01     129,435     221,104       3,797
AK STL HLDG CORP               COM   001547108           0           1  SH     OTHER       05           0           1           0
AK STL HLDG CORP               COM   001547108         849     261,268  SH     DEFINED  01,08      31,647     229,621           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE      9
________

AMB PROPERTY CORP              COM   00163T109       7,570     267,966  SH     DEFINED     01      98,310     165,810       3,846
AMB PROPERTY CORP              COM   00163T109       5,207     184,332  SH     DEFINED  01,08      25,932     158,400           0

AMC ENTMT INC                  COM   001669100       1,134     130,797  SH     DEFINED     01      65,094      64,053       1,650
AMC ENTMT INC                  COM   001669100         775      89,440  SH     DEFINED  01,08      18,683      70,757           0

AMLI RESIDENTIAL PPTYS TR      COM   001735109       1,102      52,368  SH     DEFINED     01      29,284      22,384         700
AMLI RESIDENTIAL PPTYS TR      COM   001735109          13         600  SH     OTHER       02         600           0           0
AMLI RESIDENTIAL PPTYS TR      COM   001735109          80       3,808  SH     DEFINED     04       3,808           0           0
AMLI RESIDENTIAL PPTYS TR      COM   001735109       1,127      53,554  SH     DEFINED  01,08       9,024      44,530           0

AMN HEALTHCARE SERVICES INC    COM   001744101         625      56,918  SH     DEFINED     01      16,118      40,400         400
AMN HEALTHCARE SERVICES INC    COM   001744101         881      80,207  SH     DEFINED  01,08      19,525      60,682           0

AMR CORP                       COM   001765106         354     168,671  SH     DEFINED     01     117,931      45,640       5,100
AMR CORP                       COM   001765106           0         150  SH     OTHER       01           0           0         150
AMR CORP                       COM   001765106           0         200  SH     DEFINED     03         100           0         100
AMR CORP                       COM   001765106           4       2,120  SH     DEFINED     04       2,120           0           0
AMR CORP                       COM   001765106           1         400  SH     OTHER       04         400           0           0
AMR CORP                       COM   001765106         420     200,000  SH     DEFINED     05     200,000           0           0
AMR CORP                       COM   001765106         334     159,075  SH     DEFINED  01,08      19,798     139,277           0
AMR CORP                       COM   001765106           1         524  SH     DEFINED     10          24         500           0
AMR CORP                       COM   001765106           1         600  SH     OTHER       10           0           0         600

AMX CORP NEW                   COM   00180C105          27      13,900  SH     DEFINED     01       1,800      12,100           0
AMX CORP NEW                   COM   00180C105          35      18,225  SH     DEFINED  01,08       4,549      13,676           0

AOL TIME WARNER INC            COM   00184A105     271,436  24,994,117  SH     DEFINED     01  13,074,039  11,593,078     327,000
AOL TIME WARNER INC            COM   00184A105       3,458     318,372  SH     OTHER       01      10,152      13,329     294,891
AOL TIME WARNER INC            COM   00184A105         107       9,810  SH     DEFINED     02       2,510       5,100       2,200
AOL TIME WARNER INC            COM   00184A105          78       7,147  SH     OTHER       02       5,200         950         997
AOL TIME WARNER INC            COM   00184A105         147      13,581  SH     DEFINED     03      10,945         662       1,974
AOL TIME WARNER INC            COM   00184A105         246      22,614  SH     OTHER       03       7,164       2,600      12,850
AOL TIME WARNER INC            COM   00184A105         485      44,684  SH     DEFINED     04      29,934           0      14,750
AOL TIME WARNER INC            COM   00184A105       1,197     110,220  SH     OTHER       04     104,645           0       5,575
AOL TIME WARNER INC            COM   00184A105           4         400  SH     DEFINED     05         400           0           0
AOL TIME WARNER INC            COM   00184A105          22       2,000  SH     OTHER       05           0       2,000           0
AOL TIME WARNER INC            COM   00184A105         111      10,200  SH     OTHER    01,06           0           0      10,200
AOL TIME WARNER INC            COM   00184A105     146,775  13,515,165  SH     DEFINED  01,08   3,333,045  10,182,120           0
AOL TIME WARNER INC            COM   00184A105          32       2,960  SH     DEFINED     10       1,360       1,200         400

APAC CUSTOMER SERVICES INC     COM   00185E106         261     112,451  SH     DEFINED     01      48,809      63,082         560
APAC CUSTOMER SERVICES INC     COM   00185E106         224      96,602  SH     DEFINED  01,08      24,517      72,085           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     10
________

APA OPTICS INC                 COM   001853100           3       2,300  SH     DEFINED     01       2,300           0           0
APA OPTICS INC                 COM   001853100          23      17,487  SH     DEFINED  01,08       3,070      14,417           0

AT&T CORP                      COM   001957505      70,286   4,338,664  SH     DEFINED     01   2,274,793   2,000,871      63,000
AT&T CORP                      COM   001957505         103       6,377  SH     OTHER       01       4,887         541         949
AT&T CORP                      COM   001957505          11         655  SH     DEFINED     02          94          73         488
AT&T CORP                      COM   001957505          62       3,844  SH     OTHER       02       2,529       1,315           0
AT&T CORP                      COM   001957505          12         746  SH     DEFINED     03         115         493         138
AT&T CORP                      COM   001957505          11         660  SH     OTHER       03         660           0           0
AT&T CORP                      COM   001957505           4         249  SH     DEFINED     05         249           0           0
AT&T CORP                      COM   001957505           0           5  SH     OTHER       05           5           0           0
AT&T CORP                      COM   001957505          26       1,620  SH     OTHER    01,06           0           0       1,620
AT&T CORP                      COM   001957505      38,516   2,377,510  SH     DEFINED  01,08     601,481   1,776,029           0
AT&T CORP                      COM   001957505          28       1,745  SH     DEFINED     10       1,665          80           0
AT&T CORP                      COM   001957505          14         880  SH     OTHER       10           0         880           0

A S V INC                      COM   001963107         122      11,600  SH     DEFINED     01       1,800       9,800           0
A S V INC                      COM   001963107         174      16,500  SH     DEFINED  01,08       4,400      12,100           0

AP PHARMA INC                  COM   00202J104          29      27,500  SH     DEFINED     01       4,200      23,300           0
AP PHARMA INC                  COM   00202J104          36      34,641  SH     DEFINED  01,08       5,078      29,563           0

ARV ASSISTED LIVING INC        COM   00204C107          58      15,000  SH     DEFINED     01       2,200      12,800           0
ARV ASSISTED LIVING INC        COM   00204C107          45      11,764  SH     DEFINED  01,08       7,564       4,200           0

ATMI INC                       COM   00207R101       1,874      97,325  SH     DEFINED     01      47,322      47,503       2,500
ATMI INC                       COM   00207R101          19       1,000  SH     DEFINED     04           0           0       1,000
ATMI INC                       COM   00207R101          12         600  SH     OTHER    01,06           0           0         600
ATMI INC                       COM   00207R101       1,922      99,802  SH     DEFINED  01,08      16,856      82,946           0

ATP OIL & GAS CORP             COM   00208J108          64      16,900  SH     DEFINED     01       2,100      14,800           0
ATP OIL & GAS CORP             COM   00208J108         133      34,800  SH     DEFINED  01,08       8,900      25,900           0

ATS MED INC                    COM   002083103          42      23,200  SH     DEFINED     01       4,500      18,700           0
ATS MED INC                    COM   002083103           2       1,000  SH     DEFINED     04       1,000           0           0
ATS MED INC                    COM   002083103           2       1,000  SH     OTHER       04       1,000           0           0
ATS MED INC                    COM   002083103          59      32,687  SH     DEFINED  01,08       5,183      27,504           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     11
________

AT&T WIRELESS SVCS INC         COM   00209A106      98,631  14,944,028  SH     DEFINED     01   7,745,300   6,971,586     227,142
AT&T WIRELESS SVCS INC         COM   00209A106         503      76,181  SH     OTHER       01      48,377      17,637      10,167
AT&T WIRELESS SVCS INC         COM   00209A106         219      33,131  SH     DEFINED     02      22,732       6,698       3,701
AT&T WIRELESS SVCS INC         COM   00209A106         164      24,850  SH     OTHER       02      10,497      12,504       1,849
AT&T WIRELESS SVCS INC         COM   00209A106         187      28,386  SH     DEFINED     03       8,294      12,223       7,869
AT&T WIRELESS SVCS INC         COM   00209A106          59       8,867  SH     OTHER       03       7,250       1,265         352
AT&T WIRELESS SVCS INC         COM   00209A106         564      85,475  SH     DEFINED     04      80,413           0       5,062
AT&T WIRELESS SVCS INC         COM   00209A106         416      63,038  SH     OTHER       04      54,139           0       8,899
AT&T WIRELESS SVCS INC         COM   00209A106         785     118,902  SH     DEFINED     05      78,071      37,452       3,379
AT&T WIRELESS SVCS INC         COM   00209A106         216      32,739  SH     OTHER       05      21,560      11,179           0
AT&T WIRELESS SVCS INC         COM   00209A106          46       6,900  SH     OTHER    01,06           0           0       6,900
AT&T WIRELESS SVCS INC         COM   00209A106      51,008   7,728,460  SH     DEFINED  01,08   2,082,373   5,646,087           0
AT&T WIRELESS SVCS INC         COM   00209A106          79      11,968  SH     DEFINED     10      10,668       1,300           0
AT&T WIRELESS SVCS INC         COM   00209A106          58       8,730  SH     OTHER       10       2,491       6,239           0

ATC HEALTHCARE INC             COM   00209C102           5       6,600  SH     DEFINED     01       4,700       1,900           0
ATC HEALTHCARE INC             COM   00209C102          27      34,460  SH     DEFINED  01,08       5,134      29,326           0

ATA HOLDINGS CORP              COM   00209H101          64      17,195  SH     DEFINED     01       4,746      12,249         200
ATA HOLDINGS CORP              COM   00209H101          84      22,419  SH     DEFINED  01,08       5,814      16,605           0

AVI BIOPHARMA INC              COM   002346104          86      25,000  SH     DEFINED     01       4,300      20,700           0
AVI BIOPHARMA INC              COM   002346104         155      44,874  SH     DEFINED  01,08      11,374      33,500           0

AVX CORP NEW                   COM   002444107       1,001     111,228  SH     DEFINED     01      69,025      39,753       2,450
AVX CORP NEW                   COM   002444107           4         400  SH     DEFINED     04         400           0           0
AVX CORP NEW                   COM   002444107       1,482     164,709  SH     DEFINED  01,08      30,867     133,842           0

AXS-ONE INC                    COM   002458107           2       3,200  SH     DEFINED     01       3,200           0           0
AXS-ONE INC                    COM   002458107          13      20,200  SH     DEFINED  01,08       5,200      15,000           0

AXT INC                        COM   00246W103          53      79,064  SH     DEFINED     01      43,900      34,714         450
AXT INC                        COM   00246W103           0         500  SH     DEFINED     04         500           0           0
AXT INC                        COM   00246W103          53      78,843  SH     DEFINED  01,08       8,047      70,796           0

AZZ INC                        COM   002474104          72       8,600  SH     DEFINED     01       3,900       4,700           0
AZZ INC                        COM   002474104         117      13,872  SH     DEFINED  01,08       2,338      11,534           0

AAIPHARMA INC                  COM   00252W104         555      64,407  SH     DEFINED     01      31,366      32,816         225
AAIPHARMA INC                  COM   00252W104         956     110,904  SH     DEFINED  01,08      14,167      96,737           0

AASTROM BIOSCIENCES INC        COM   00253U107          11      33,900  SH     DEFINED     01       6,800      27,100           0
AASTROM BIOSCIENCES INC        COM   00253U107           2       6,165  SH     DEFINED  01,08       6,165           0           0
AASTROM BIOSCIENCES INC        COM   00253U107           2       6,901  SH     DEFINED     10       6,901           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     12
________

AARON RENTS INC                COM   002535201         673      33,012  SH     DEFINED     01      22,219       9,583       1,210
AARON RENTS INC                COM   002535201           8         400  SH     OTHER    01,06           0           0         400
AARON RENTS INC                COM   002535201         607      29,803  SH     DEFINED  01,08       9,324      20,479           0

AARON RENTS INC                COM   002535300         304      15,100  SH     DEFINED     01       4,100      11,000           0
AARON RENTS INC                COM   002535300         628      31,168  SH     DEFINED  01,08       9,257      21,911           0

ABAXIS INC                     COM   002567105          80      21,000  SH     DEFINED     01       3,900      17,100           0
ABAXIS INC                     COM   002567105         109      28,490  SH     DEFINED  01,08       7,096      21,394           0

ABBOTT LABS                    COM   002824100     451,583  12,006,980  SH     DEFINED     01   6,865,270   4,766,572     375,138
ABBOTT LABS                    COM   002824100      98,280   2,613,124  SH     OTHER       01     882,661   1,414,667     315,796
ABBOTT LABS                    COM   002824100      12,159     323,301  SH     DEFINED     02     220,892      93,496       8,913
ABBOTT LABS                    COM   002824100      54,112   1,438,769  SH     OTHER       02   1,402,629      34,830       1,310
ABBOTT LABS                    COM   002824100      14,251     378,919  SH     DEFINED     03     226,351     122,963      29,605
ABBOTT LABS                    COM   002824100       5,709     151,805  SH     OTHER       03     121,020      27,285       3,500
ABBOTT LABS                    COM   002824100      40,697   1,082,071  SH     DEFINED     04   1,018,241           0      63,830
ABBOTT LABS                    COM   002824100      48,984   1,302,417  SH     OTHER       04   1,210,012           0      92,405
ABBOTT LABS                    COM   002824100       4,944     131,454  SH     DEFINED     05     116,414       9,025       6,015
ABBOTT LABS                    COM   002824100       1,954      51,944  SH     OTHER       05      20,084      15,710      16,150
ABBOTT LABS                    COM   002824100         139       3,700  SH     OTHER    01,06           0           0       3,700
ABBOTT LABS                    COM   002824100     198,566   5,279,609  SH     DEFINED  01,08   1,086,715   4,131,151      61,743
ABBOTT LABS                    COM   002824100      11,520     306,292  SH     DEFINED     10     161,292     102,776      42,224
ABBOTT LABS                    COM   002824100     174,853   4,649,112  SH     OTHER       10     144,585   4,500,727       3,800

ABERCROMBIE & FITCH CO         COM   002896207       8,921     297,069  SH     DEFINED     01     108,651     183,668       4,750
ABERCROMBIE & FITCH CO         COM   002896207          61       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         139       4,616  SH     DEFINED     05           0       4,616           0
ABERCROMBIE & FITCH CO         COM   002896207       6,664     221,914  SH     DEFINED  01,08      29,990     191,924           0

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       6,305         DEFINED     02       2,725       3,580           0
ABERDEEN ASIA PACIFIC INCOM    UNDEF 003009107           0       1,988         OTHER       02       1,988           0           0
ABERDEEN ASIA PACIFIC INCOM    UNDEF 003009107           0       2,000         DEFINED     03       2,000           0           0
ABERDEEN ASIA PACIFIC INCOM    UNDEF 003009107          72      14,532         DEFINED     04      14,532           0           0
ABERDEEN ASIA PACIFIC INCOM    UNDEF 003009107          60      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       2,847     327,286  SH     DEFINED     01     210,315     113,171       3,800
ABGENIX INC                    COM   00339B107          10       1,200  SH     OTHER       01           0       1,200           0
ABGENIX INC                    COM   00339B107       1,472     169,237  SH     DEFINED  01,08      45,900     123,337           0


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

ABINGTON BANCORP INC NEW       COM   00350P100          82       4,000  SH     DEFINED     01           0       4,000           0
ABINGTON BANCORP INC NEW       COM   00350P100         223      10,802  SH     DEFINED  01,08       1,356       9,446           0

ABIOMED INC                    COM   003654100         233      59,632  SH     DEFINED     01      33,912      25,420         300
ABIOMED INC                    COM   003654100          26       6,575  SH     DEFINED     04       6,575           0           0
ABIOMED INC                    COM   003654100         257      65,957  SH     DEFINED  01,08      10,958      54,999           0

ABLE LABORATORIES INC          COM   00371N407         561      39,680  SH     DEFINED     01      35,680       4,000           0
ABLE LABORATORIES INC          COM   00371N407          88       6,220  SH     DEFINED  01,08       4,683       1,537           0

ABLEST INC                     COM   00371W100           9       1,900  SH     DEFINED     01         400       1,500           0
ABLEST INC                     COM   00371W100          46       9,430  SH     DEFINED  01,08       1,234       8,196           0

ABRAMS INDS INC                COM   003788106          13       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           4       5,200  SH     DEFINED     01       5,200           0           0
ABRAXAS PETE CORP              COM   003830106          22      32,500  SH     DEFINED  01,08       7,000      25,500           0

ACACIA RESH CORP               COM   003881208          87      46,354  SH     DEFINED     01      30,635      15,469         250
ACACIA RESH CORP               COM   003881208          46      24,203  SH     DEFINED  01,08       1,657      22,546           0

ACACIA RESH CORP               COM   003881307          75      61,692  SH     DEFINED     01      33,311      27,931         450
ACACIA RESH CORP               COM   003881307          52      42,827  SH     DEFINED  01,08       2,972      39,855           0

ACADIA RLTY TR                 COM   004239109         502      62,565  SH     DEFINED     01      43,935      17,930         700
ACADIA RLTY TR                 COM   004239109         588      73,268  SH     DEFINED  01,08      33,022      40,246           0

ACCLAIM ENTMT INC              COM   004325205          99     254,447  SH     DEFINED     01     129,585     123,312       1,550
ACCLAIM ENTMT INC              COM   004325205         126     324,019  SH     DEFINED  01,08      48,306     275,713           0

ACCREDITED HOME LENDRS HLDG    COM   00437P107         164      18,400  SH     DEFINED  01,08       6,800      11,600           0

ACCREDO HEALTH INC             COM   00437V104       1,498      61,565  SH     DEFINED     01      31,869      26,426       3,270
ACCREDO HEALTH INC             COM   00437V104           2          73  SH     OTHER       04          73           0           0
ACCREDO HEALTH INC             COM   00437V104          49       2,000  SH     DEFINED     05       2,000           0           0
ACCREDO HEALTH INC             COM   00437V104          23         950  SH     OTHER    01,06           0           0         950
ACCREDO HEALTH INC             COM   00437V104       2,827     116,151  SH     DEFINED  01,08      11,815     104,336           0

ACE CASH EXPRESS INC           COM   004403101          31       3,400  SH     DEFINED     01         800       2,600           0
ACE CASH EXPRESS INC           COM   004403101         161      17,450  SH     DEFINED  01,08       4,412      13,038           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


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     14
________

ACETO CORP                     COM   004446100         169      13,200  SH     DEFINED     01       1,950      11,250           0
ACETO CORP                     COM   004446100         331      25,830  SH     DEFINED  01,08       4,204      21,626           0

ACLARA BIOSCIENCES INC         COM   00461P106          70      35,100  SH     DEFINED     01       7,000      28,100           0
ACLARA BIOSCIENCES INC         COM   00461P106         124      62,070  SH     DEFINED  01,08      15,870      46,200           0

ACMAT CORP                     COM   004616207          47       5,700  SH     DEFINED     01           0       5,700           0
ACMAT CORP                     COM   004616207          66       7,997  SH     DEFINED  01,08       1,821       6,176           0

ACME COMMUNICATION INC         COM   004631107         201      31,145  SH     DEFINED     01      12,556      18,389         200
ACME COMMUNICATION INC         COM   004631107         183      28,427  SH     DEFINED  01,08       8,422      20,005           0

ACME UTD CORP                  COM   004816104           4       1,400  SH     DEFINED     01           0       1,400           0
ACME UTD CORP                  COM   004816104          39      12,377  SH     DEFINED  01,08       1,434      10,943           0

ACTIVISION INC NEW             COM   004930202       2,814     194,730  SH     DEFINED     01      69,307     123,023       2,400
ACTIVISION INC NEW             COM   004930202       2,139     148,025  SH     DEFINED  01,08      19,825     128,200           0

ACTION PERFORMANCE COS INC     COM   004933107       1,321      62,444  SH     DEFINED     01      27,726      33,193       1,525
ACTION PERFORMANCE COS INC     COM   004933107           7         350  SH     OTHER    01,06           0           0         350
ACTION PERFORMANCE COS INC     COM   004933107       1,729      81,758  SH     DEFINED  01,08      15,986      65,772           0

ACTEL CORP                     COM   004934105       1,423      83,401  SH     DEFINED     01      37,730      43,771       1,900
ACTEL CORP                     COM   004934105           6         352  SH     DEFINED     02           0           0         352
ACTEL CORP                     COM   004934105           9         500  SH     OTHER    01,06           0           0         500
ACTEL CORP                     COM   004934105       2,127     124,679  SH     DEFINED  01,08      21,366     103,313           0

ACRES GAMING INC               COM   004936100          71       9,400  SH     DEFINED     01       1,800       7,600           0
ACRES GAMING INC               COM   004936100         125      16,500  SH     DEFINED  01,08       4,065      12,435           0

ACTIVE POWER INC               COM   00504W100         166     149,237  SH     DEFINED     01      88,038      61,199           0
ACTIVE POWER INC               COM   00504W100         134     120,849  SH     DEFINED  01,08      20,600     100,249           0

ACTIVCARD CORP                 COM   00506J107         198      20,100  SH     DEFINED  01,08      14,200       5,900           0

ACTUATE CORP                   COM   00508B102         236     169,724  SH     DEFINED     01      81,826      86,898       1,000
ACTUATE CORP                   COM   00508B102           4       3,000  SH     DEFINED     02           0           0       3,000
ACTUATE CORP                   COM   00508B102         286     206,184  SH     DEFINED  01,08      31,706     174,478           0

ACTUANT CORP                   COM   00508X203       1,400      39,824  SH     DEFINED     01      18,883      15,791       5,150
ACTUANT CORP                   COM   00508X203          11         300  SH     DEFINED     04         300           0           0
ACTUANT CORP                   COM   00508X203       1,368      38,925  SH     DEFINED  01,08       6,033      32,892           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     15
________

ACUITY BRANDS INC              COM   00508Y102       1,542     114,646  SH     DEFINED     01      84,425      28,821       1,400
ACUITY BRANDS INC              COM   00508Y102          11         800  SH     OTHER    01,06           0           0         800
ACUITY BRANDS INC              COM   00508Y102       1,979     147,115  SH     DEFINED  01,08      37,060     110,055           0
ACUITY BRANDS INC              COM   00508Y102           0           7  SH     DEFINED     10           7           0           0

ACXIOM CORP                    COM   005125109       5,066     300,996  SH     DEFINED     01      98,951     179,999      22,046
ACXIOM CORP                    COM   005125109       3,861     229,389  SH     DEFINED  01,08      27,388     202,001           0

ADAMS EXPRESS CO               COM   006212104         112      11,043  SH     DEFINED     01       9,613           0       1,430
ADAMS EXPRESS CO               COM   006212104          23       2,272  SH     OTHER       01       2,263           0           9
ADAMS EXPRESS CO               COM   006212104          74       7,250  SH     OTHER       03           0       7,250           0
ADAMS EXPRESS CO               COM   006212104          89       8,732  SH     DEFINED     04       8,732           0           0
ADAMS EXPRESS CO               COM   006212104          56       5,549  SH     OTHER       04       5,549           0           0
ADAMS EXPRESS CO               COM   006212104          78       7,658  SH     DEFINED     10           0       7,658           0

ADAMS RES & ENERGY INC         COM   006351308          23       4,100  SH     DEFINED     01         800       3,300           0
ADAMS RES & ENERGY INC         COM   006351308          65      11,774  SH     DEFINED  01,08       1,859       9,915           0

ADAPTEC INC                    COM   00651F108       1,361     225,653  SH     DEFINED     01      83,294     133,957       8,402
ADAPTEC INC                    COM   00651F108          13       2,100  SH     OTHER    01,06           0           0       2,100
ADAPTEC INC                    COM   00651F108       2,330     386,416  SH     DEFINED  01,08      94,870     291,546           0
ADAPTEC INC                    COM   00651F108           0          17  SH     DEFINED     10          17           0           0

ADEPT TECHNOLOGY INC           COM   006854103           3      11,900  SH     DEFINED     01       2,700       9,200           0
ADEPT TECHNOLOGY INC           COM   006854103           0       1,000  SH     OTHER       01           0           0       1,000
ADEPT TECHNOLOGY INC           COM   006854103           5      17,775  SH     DEFINED  01,08       3,419      14,356           0

ADMINISTAFF INC                COM   007094105         501      80,121  SH     DEFINED     01      36,417      41,654       2,050
ADMINISTAFF INC                COM   007094105          60       9,646  SH     DEFINED     05           0       9,646           0
ADMINISTAFF INC                COM   007094105           3         525  SH     OTHER    01,06           0           0         525
ADMINISTAFF INC                COM   007094105         545      87,231  SH     DEFINED  01,08      23,862      63,369           0

ADOBE SYS INC                  COM   00724F101      47,485   1,540,205  SH     DEFINED     01     885,136     623,236      31,833
ADOBE SYS INC                  COM   00724F101          37       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          45       1,470  SH     OTHER       02           0       1,470           0
ADOBE SYS INC                  COM   00724F101           3         100  SH     DEFINED     03           0           0         100
ADOBE SYS INC                  COM   00724F101         362      11,744  SH     DEFINED     04       7,944           0       3,800
ADOBE SYS INC                  COM   00724F101         100       3,250  SH     OTHER       04       1,250           0       2,000
ADOBE SYS INC                  COM   00724F101          18         600  SH     OTHER       05           0         600           0
ADOBE SYS INC                  COM   00724F101          18         600  SH     OTHER    01,06           0           0         600
ADOBE SYS INC                  COM   00724F101      22,412     726,968  SH     DEFINED  01,08     173,642     553,326           0
ADOBE SYS INC                  COM   00724F101         272       8,820  SH     DEFINED     10         820       8,000           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     16
________

ADOLOR CORP                    COM   00724X102       1,028     103,752  SH     DEFINED     01      54,988      47,264       1,500
ADOLOR CORP                    COM   00724X102           9         920  SH     DEFINED     02         920           0           0
ADOLOR CORP                    COM   00724X102       1,186     119,725  SH     DEFINED  01,08      17,553     102,172           0

ADTRAN INC                     COM   00738A106       9,124     254,074  SH     DEFINED     01     168,870      79,004       6,200
ADTRAN INC                     COM   00738A106          54       1,500  SH     OTHER       04       1,500           0           0
ADTRAN INC                     COM   00738A106       2,958      82,373  SH     DEFINED  01,08       9,768      72,605           0

ADVANCED AUTO PARTS INC        COM   00751Y106         972      21,012  SH     DEFINED     01      14,137       6,350         525
ADVANCED AUTO PARTS INC        COM   00751Y106       2,505      54,161  SH     DEFINED  01,08      16,146      38,015           0

ADVANCED DIGITAL INFORMATION   COM   007525108       1,477     214,317  SH     DEFINED     01     122,396      88,621       3,300
ADVANCED DIGITAL INFORMATION   COM   007525108       1,280     185,734  SH     DEFINED  01,08      35,393     150,341           0

ADVANCED MAGNETICS INC         COM   00753P103          24       5,900  SH     DEFINED     01       1,400       4,500           0
ADVANCED MAGNETICS INC         COM   00753P103          74      17,865  SH     DEFINED  01,08       2,842      15,023           0

ADVANCED MARKETING SVCS INC    COM   00753T105         735      65,726  SH     DEFINED     01      26,698      37,628       1,400
ADVANCED MARKETING SVCS INC    COM   00753T105           4         400  SH     OTHER    01,06           0           0         400
ADVANCED MARKETING SVCS INC    COM   00753T105         746      66,705  SH     DEFINED  01,08       9,889      56,816           0

ADVANCED FIBRE COMMUNICATION   COM   00754A105       4,793     316,592  SH     DEFINED     01     149,981     164,911       1,700
ADVANCED FIBRE COMMUNICATION   COM   00754A105          45       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       2,810     185,631  SH     DEFINED  01,08      26,656     158,975           0

ADVANCED PHOTONIX INC          COM   00754E107           7       7,300  SH     DEFINED     01       1,500       5,800           0
ADVANCED PHOTONIX INC          COM   00754E107          25      26,150  SH     DEFINED  01,08       1,883      24,267           0

ADVANCED NEUROMODULATION SYS   COM   00757T101       3,390      79,012  SH     DEFINED     01      62,356      16,256         400
ADVANCED NEUROMODULATION SYS   COM   00757T101       2,153      50,187  SH     DEFINED  01,08       6,140      44,047           0

ADVO INC                       COM   007585102       2,392      72,475  SH     DEFINED     01      34,825      35,750       1,900
ADVO INC                       COM   007585102          13         400  SH     OTHER       01         400           0           0
ADVO INC                       COM   007585102          66       2,000  SH     DEFINED     04       2,000           0           0
ADVO INC                       COM   007585102          13         400  SH     OTHER    01,06           0           0         400
ADVO INC                       COM   007585102       3,055      92,565  SH     DEFINED  01,08      11,157      81,408           0

AEHR TEST SYSTEMS              COM   00760J108          23       9,800  SH     DEFINED     01       1,000       8,800           0
AEHR TEST SYSTEMS              COM   00760J108          19       8,156  SH     DEFINED  01,08       2,756       5,400           0

ADVANCED POWER TECHNOLOGY IN   COM   00761E108          34      11,208  SH     DEFINED     01       8,444       2,764           0
ADVANCED POWER TECHNOLOGY IN   COM   00761E108          64      20,992  SH     DEFINED  01,08       5,300      15,692           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     17
________

ADVISORY BRD CO                COM   00762W107         530      15,171  SH     DEFINED     01      10,797       4,074         300
ADVISORY BRD CO                COM   00762W107       1,611      46,088  SH     DEFINED  01,08       6,809      39,279           0

ADVANCED MEDICAL OPTICS INC    COM   00763M108         809      60,134  SH     DEFINED     01      31,655      26,607       1,872
ADVANCED MEDICAL OPTICS INC    COM   00763M108          15       1,137  SH     OTHER       01       1,137           0           0
ADVANCED MEDICAL OPTICS INC    COM   00763M108           1          40  SH     DEFINED     03           0          40           0
ADVANCED MEDICAL OPTICS INC    COM   00763M108           4         271  SH     OTHER       03         267           4           0
ADVANCED MEDICAL OPTICS INC    COM   00763M108           6         414  SH     DEFINED     04         414           0           0
ADVANCED MEDICAL OPTICS INC    COM   00763M108           3         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          12         888  SH     OTHER       05           0           0         888
ADVANCED MEDICAL OPTICS INC    COM   00763M108           9         662  SH     OTHER    01,06           0           0         662
ADVANCED MEDICAL OPTICS INC    COM   00763M108       1,534     114,089  SH     DEFINED  01,08      16,231      97,858           0
ADVANCED MEDICAL OPTICS INC    COM   00763M108           0           4  SH     DEFINED     10           4           0           0

AEROFLEX INC                   COM   007768104       1,156     204,312  SH     DEFINED     01     105,406      94,831       4,075
AEROFLEX INC                   COM   007768104           7       1,200  SH     OTHER    01,06           0           0       1,200
AEROFLEX INC                   COM   007768104       1,360     240,217  SH     DEFINED  01,08      53,278     186,939           0

AEROGEN INC                    COM   007779101           1       3,900  SH     DEFINED     01       3,900           0           0
AEROGEN INC                    COM   007779101           5      27,400  SH     DEFINED  01,08       5,900      21,500           0

AEROPOSTALE                    COM   007865108         439      33,136  SH     DEFINED     01      26,799       5,937         400
AEROPOSTALE                    COM   007865108         910      68,682  SH     DEFINED  01,08      16,462      52,220           0

ADVANCEPCS                     COM   00790K109       7,620     268,869  SH     DEFINED     01      96,189     167,580       5,100
ADVANCEPCS                     COM   00790K109          28       1,000  SH     DEFINED     03       1,000           0           0
ADVANCEPCS                     COM   00790K109          67       2,365  SH     DEFINED     04       2,365           0           0
ADVANCEPCS                     COM   00790K109       5,683     200,527  SH     DEFINED  01,08      26,527     174,000           0

ADVANCED MICRO DEVICES INC     COM   007903107      12,040   1,948,203  SH     DEFINED     01   1,010,975     906,544      30,684
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           0         150
ADVANCED MICRO DEVICES INC     COM   007903107          93      15,010  SH     DEFINED     04      15,010           0           0
ADVANCED MICRO DEVICES INC     COM   007903107           4         700  SH     DEFINED     05         700           0           0
ADVANCED MICRO DEVICES INC     COM   007903107           6         900  SH     OTHER    01,06           0           0         900
ADVANCED MICRO DEVICES INC     COM   007903107       6,588   1,065,953  SH     DEFINED  01,08     262,427     803,526           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     18
________

AEGON N V                      COM   007924103         449      59,520  SH     DEFINED     01      36,416      22,010       1,094
AEGON N V                      COM   007924103         323      42,727  SH     OTHER       01      30,921      10,806       1,000
AEGON N V                      COM   007924103           2         304  SH     DEFINED     02           0         304           0
AEGON N V                      COM   007924103          23       3,053  SH     OTHER       02       3,053           0           0
AEGON N V                      COM   007924103          65       8,551  SH     DEFINED     03       5,820       1,112       1,619
AEGON N V                      COM   007924103          50       6,684  SH     OTHER       03       4,490       2,194           0
AEGON N V                      COM   007924103          72       9,571  SH     DEFINED     04       7,821           0       1,750
AEGON N V                      COM   007924103         103      13,660  SH     OTHER       04      13,660           0           0
AEGON N V                      COM   007924103          30       4,000  SH     OTHER       05           0       4,000           0
AEGON N V                      COM   007924103          11       1,456  SH     OTHER       10       1,456           0           0

ADVANTA CORP                   COM   007942105         197      28,900  SH     DEFINED     01       5,600      23,300           0
ADVANTA CORP                   COM   007942105         350      51,211  SH     DEFINED  01,08      12,348      38,863           0

ADVANTA CORP                   COM   007942204         425      56,079  SH     DEFINED     01      46,679       8,700         700
ADVANTA CORP                   COM   007942204           1         100  SH     DEFINED     04         100           0           0
ADVANTA CORP                   COM   007942204          98      12,863  SH     DEFINED  01,08       1,927      10,936           0

ADVANCED ENVIRON RECYCLING T   COM   007947104           3       2,500  SH     DEFINED     01         300       2,200           0
ADVANCED ENVIRON RECYCLING T   COM   007947104          13      11,539  SH     DEFINED  01,08      11,339         200           0

ADVANCED ENERGY INDS           COM   007973100         490      56,997  SH     DEFINED     01      31,765      24,582         650
ADVANCED ENERGY INDS           COM   007973100           5         625  SH     OTHER    01,06           0           0         625
ADVANCED ENERGY INDS           COM   007973100         916     106,681  SH     DEFINED  01,08      16,303      90,378           0

ADVENT SOFTWARE INC            COM   007974108       1,243     102,126  SH     DEFINED     01      37,864      63,512         750
ADVENT SOFTWARE INC            COM   007974108           1          45  SH     DEFINED     04          45           0           0
ADVENT SOFTWARE INC            COM   007974108         852      69,978  SH     DEFINED  01,08      10,678      59,300           0

AEROSONIC CORP DEL             COM   008015307          57       5,800  SH     DEFINED     01         600       5,200           0
AEROSONIC CORP DEL             COM   008015307          95       9,686  SH     DEFINED  01,08       1,759       7,927           0

AETHER SYS INC                 COM   00808V105         428     135,877  SH     DEFINED     01      79,565      54,512       1,800
AETHER SYS INC                 COM   00808V105         687     218,167  SH     DEFINED  01,08      23,400     194,767           0

AETRIUM INC                    COM   00817R103           9      10,100  SH     DEFINED     01       2,000       8,100           0
AETRIUM INC                    COM   00817R103          19      20,886  SH     DEFINED  01,08       2,523      18,363           0
AETRIUM INC                    COM   00817R103           0         200  SH     DEFINED     10         200           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     19
________

AETNA INC NEW                  COM   00817Y108      42,051     852,967  SH     DEFINED     01     438,094     402,073      12,800
AETNA INC NEW                  COM   00817Y108         251       5,100  SH     OTHER       01       1,000       3,500         600
AETNA INC NEW                  COM   00817Y108           2          40  SH     DEFINED     02           0           0          40
AETNA INC NEW                  COM   00817Y108           2          50  SH     DEFINED     03           0           0          50
AETNA INC NEW                  COM   00817Y108          10         200  SH     OTHER       03           0         200           0
AETNA INC NEW                  COM   00817Y108         229       4,654  SH     DEFINED     04       2,254           0       2,400
AETNA INC NEW                  COM   00817Y108          86       1,750  SH     OTHER       04       1,750           0           0
AETNA INC NEW                  COM   00817Y108          20         400  SH     OTHER    01,06           0           0         400
AETNA INC NEW                  COM   00817Y108      22,123     448,740  SH     DEFINED  01,08     118,555     330,185           0
AETNA INC NEW                  COM   00817Y108          25         510  SH     DEFINED     10         510           0           0
AETNA INC NEW                  COM   00817Y108         370       7,500  SH     OTHER       10           0       7,500           0

AFFILIATED COMPUTER SERVICES   COM   008190100      37,407     845,154  SH     DEFINED     01     548,635     277,944      18,575
AFFILIATED COMPUTER SERVICES   COM   008190100         426       9,625  SH     OTHER       01       2,525       1,500       5,600
AFFILIATED COMPUTER SERVICES   COM   008190100          94       2,126  SH     DEFINED     02       2,100           0          26
AFFILIATED COMPUTER SERVICES   COM   008190100          27         600  SH     OTHER       02         600           0           0
AFFILIATED COMPUTER SERVICES   COM   008190100       2,389      53,977  SH     DEFINED     03      27,183      23,981       2,813
AFFILIATED COMPUTER SERVICES   COM   008190100         334       7,554  SH     OTHER       03       5,209       1,710         635
AFFILIATED COMPUTER SERVICES   COM   008190100       2,377      53,716  SH     DEFINED     04      53,116           0         600
AFFILIATED COMPUTER SERVICES   COM   008190100         631      14,250  SH     OTHER       04      14,250           0           0
AFFILIATED COMPUTER SERVICES   COM   008190100          15         350  SH     DEFINED     05         350           0           0
AFFILIATED COMPUTER SERVICES   COM   008190100          27         600  SH     OTHER       05         600           0           0
AFFILIATED COMPUTER SERVICES   COM   008190100      13,902     314,093  SH     DEFINED  01,08      71,483     242,610           0
AFFILIATED COMPUTER SERVICES   COM   008190100          61       1,375  SH     DEFINED     10       1,375           0           0
AFFILIATED COMPUTER SERVICES   COM   008190100          71       1,600  SH     OTHER       10       1,600           0           0

AFFILIATED MANAGERS GROUP      COM   008252108       2,003      48,185  SH     DEFINED     01      17,119      30,866         200
AFFILIATED MANAGERS GROUP      COM   008252108         187       4,500  SH     DEFINED     05           0       4,500           0
AFFILIATED MANAGERS GROUP      COM   008252108       2,484      59,746  SH     DEFINED  01,08      12,052      47,694           0

AFFYMETRIX INC                 COM   00826T108       1,681      64,655  SH     DEFINED     01      38,016      24,139       2,500
AFFYMETRIX INC                 COM   00826T108           0           4  SH     OTHER       04           4           0           0
AFFYMETRIX INC                 COM   00826T108       2,346      90,216  SH     DEFINED  01,08      14,986      75,230           0

AFTERMARKET TECHNOLOGY CORP    COM   008318107         395      34,942  SH     DEFINED     01      16,300      18,392         250
AFTERMARKET TECHNOLOGY CORP    COM   008318107         439      38,856  SH     DEFINED  01,08      11,348      27,508           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     20
________

AGERE SYS INC                  COM   00845V100         540     337,693  SH     DEFINED     01     337,689           2           2
AGERE SYS INC                  COM   00845V100           0         296  SH     OTHER       01         201          95           0
AGERE SYS INC                  COM   00845V100           2       1,027  SH     DEFINED     02       1,024           3           0
AGERE SYS INC                  COM   00845V100           0         133  SH     OTHER       02          84          49           0
AGERE SYS INC                  COM   00845V100           0         236  SH     DEFINED     03         234           0           2
AGERE SYS INC                  COM   00845V100           0          42  SH     OTHER       03          10          32           0
AGERE SYS INC                  COM   00845V100          20      12,383  SH     DEFINED     04      12,381           0           2
AGERE SYS INC                  COM   00845V100           8       5,166  SH     OTHER       04       5,163           0           3
AGERE SYS INC                  COM   00845V100          10       6,502  SH     DEFINED     05       6,502           0           0
AGERE SYS INC                  COM   00845V100           0          13  SH     OTHER       05          13           0           0
AGERE SYS INC                  COM   00845V100       1,902   1,188,490  SH     DEFINED  01,08     229,400     959,090           0
AGERE SYS INC                  COM   00845V100           8       5,082  SH     DEFINED     10          44          26       5,012

AGERE SYS INC                  COM   00845V209       2,512   1,674,933  SH     DEFINED     01     872,568     741,173      61,192
AGERE SYS INC                  COM   00845V209          11       7,625  SH     OTHER       01       5,199       2,426           0
AGERE SYS INC                  COM   00845V209           1         982  SH     DEFINED     02         901          81           0
AGERE SYS INC                  COM   00845V209           5       3,408  SH     OTHER       02       2,168       1,240           0
AGERE SYS INC                  COM   00845V209           9       5,858  SH     DEFINED     03       5,788           0          70
AGERE SYS INC                  COM   00845V209           2       1,156  SH     OTHER       03         268         888           0
AGERE SYS INC                  COM   00845V209           4       2,589  SH     DEFINED     04       2,519           0          70
AGERE SYS INC                  COM   00845V209           7       4,714  SH     OTHER       04       4,418           0         296
AGERE SYS INC                  COM   00845V209           0         149  SH     DEFINED     05         149           0           0
AGERE SYS INC                  COM   00845V209           1         366  SH     OTHER       05         366           0           0
AGERE SYS INC                  COM   00845V209       2,345   1,563,295  SH     DEFINED  01,08     163,122   1,400,173           0
AGERE SYS INC                  COM   00845V209          10       6,752  SH     DEFINED     10       1,091         661       5,000

AGILENT TECHNOLOGIES INC       COM   00846U101      37,389   2,843,279  SH     DEFINED     01   1,559,749   1,248,563      34,967
AGILENT TECHNOLOGIES INC       COM   00846U101         375      28,491  SH     OTHER       01       7,865      18,030       2,596
AGILENT TECHNOLOGIES INC       COM   00846U101          35       2,655  SH     DEFINED     02         891         724       1,040
AGILENT TECHNOLOGIES INC       COM   00846U101          46       3,502  SH     OTHER       02       2,284       1,218           0
AGILENT TECHNOLOGIES INC       COM   00846U101          16       1,216  SH     DEFINED     03         788         228         200
AGILENT TECHNOLOGIES INC       COM   00846U101          23       1,723  SH     OTHER       03       1,067         656           0
AGILENT TECHNOLOGIES INC       COM   00846U101         162      12,300  SH     DEFINED     04      11,843           0         457
AGILENT TECHNOLOGIES INC       COM   00846U101         196      14,893  SH     OTHER       04      11,668           0       3,225
AGILENT TECHNOLOGIES INC       COM   00846U101           0          38  SH     DEFINED     05          38           0           0
AGILENT TECHNOLOGIES INC       COM   00846U101          35       2,681  SH     OTHER       05          90       1,219       1,372
AGILENT TECHNOLOGIES INC       COM   00846U101           9         700  SH     OTHER    01,06           0           0         700
AGILENT TECHNOLOGIES INC       COM   00846U101      18,199   1,383,922  SH     DEFINED  01,08     341,680   1,042,242           0
AGILENT TECHNOLOGIES INC       COM   00846U101         219      16,624  SH     DEFINED     10       1,269      15,355           0
AGILENT TECHNOLOGIES INC       COM   00846U101          43       3,296  SH     OTHER       10       2,066       1,230           0

AGILE SOFTWARE CORP DEL        COM   00846X105       1,470     228,957  SH     DEFINED     01     164,529      63,578         850
AGILE SOFTWARE CORP DEL        COM   00846X105          35       5,464  SH     OTHER       01           0           0       5,464
AGILE SOFTWARE CORP DEL        COM   00846X105         703     109,567  SH     DEFINED  01,08      25,094      84,473           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     21
________

AGREE REALTY CORP              COM   008492100          57       2,900  SH     DEFINED     01       2,900           0           0
AGREE REALTY CORP              COM   008492100         150       7,700  SH     DEFINED  01,08       2,000       5,700           0

AIR METHODS CORP               COM   009128307          50       8,300  SH     DEFINED     01       1,200       7,100           0
AIR METHODS CORP               COM   009128307          98      16,289  SH     DEFINED  01,08       4,189      12,100           0

AIR PRODS & CHEMS INC          COM   009158106      64,801   1,564,109  SH     DEFINED     01     889,134     631,743      43,232
AIR PRODS & CHEMS INC          COM   009158106       5,660     136,612  SH     OTHER       01      72,683      60,729       3,200
AIR PRODS & CHEMS INC          COM   009158106       1,664      40,161  SH     DEFINED     02      34,423       4,303       1,435
AIR PRODS & CHEMS INC          COM   009158106         763      18,410  SH     OTHER       02      11,160       6,550         700
AIR PRODS & CHEMS INC          COM   009158106         812      19,600  SH     DEFINED     03      11,230       5,795       2,575
AIR PRODS & CHEMS INC          COM   009158106         483      11,668  SH     OTHER       03       1,000      10,668           0
AIR PRODS & CHEMS INC          COM   009158106       1,245      30,059  SH     DEFINED     04      29,959           0         100
AIR PRODS & CHEMS INC          COM   009158106       1,680      40,544  SH     OTHER       04      40,544           0           0
AIR PRODS & CHEMS INC          COM   009158106         257       6,212  SH     DEFINED     05       6,212           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      29,456     710,972  SH     DEFINED  01,08     186,416     524,556           0
AIR PRODS & CHEMS INC          COM   009158106       1,631      39,364  SH     DEFINED     10       2,393      36,371         600
AIR PRODS & CHEMS INC          COM   009158106       1,267      30,577  SH     OTHER       10      25,177       5,400           0

AIRBORNE INC                   CONDB 009269AB7       2,165   2,000,000  PRN    DEFINED     01   2,000,000           0           0

AIRBORNE INC                   COM   009269101       4,599     234,518  SH     DEFINED     01     124,386     107,032       3,100
AIRBORNE INC                   COM   009269101          36       1,860  SH     DEFINED     04         160           0       1,700
AIRBORNE INC                   COM   009269101           2         100  SH     OTHER       04         100           0           0
AIRBORNE INC                   COM   009269101       2,109     107,546  SH     DEFINED  01,08      15,827      91,719           0

AIRGAS INC                     COM   009363102       6,058     327,274  SH     DEFINED     01     140,184     183,890       3,200
AIRGAS INC                     COM   009363102           2          90  SH     DEFINED     04          90           0           0
AIRGAS INC                     COM   009363102       3,159     170,691  SH     DEFINED  01,08      21,251     149,440           0

AIRGATE PCS INC                COM   009367103          16      65,475  SH     DEFINED     01      42,292      23,183           0
AIRGATE PCS INC                COM   009367103           4      15,000  SH     OTHER       01      15,000           0           0
AIRGATE PCS INC                COM   009367103          13      53,163  SH     DEFINED  01,08       7,355      45,808           0

AIRNET COMMUNICATIONS CORP     COM   00941P106           2       5,000  SH     DEFINED     01       5,000           0           0
AIRNET COMMUNICATIONS CORP     COM   00941P106          15      33,893  SH     DEFINED  01,08       5,793      28,100           0

AIRNET SYS INC                 COM   009417106          38      16,400  SH     DEFINED     01       1,600      14,800           0
AIRNET SYS INC                 COM   009417106          40      17,400  SH     DEFINED  01,08       4,400      13,000           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     22
________

AIRTRAN HLDGS INC              COM   00949P108       1,583     235,253  SH     DEFINED     01     112,072     119,781       3,400
AIRTRAN HLDGS INC              COM   00949P108          13       2,000  SH     OTHER       01           0       2,000           0
AIRTRAN HLDGS INC              COM   00949P108         135      20,000  SH     DEFINED     04      20,000           0           0
AIRTRAN HLDGS INC              COM   00949P108       1,222     181,600  SH     DEFINED  01,08      39,140     142,460           0

AKAMAI TECHNOLOGIES INC        COM   00971T101         393     279,061  SH     DEFINED     01     118,601     155,560       4,900
AKAMAI TECHNOLOGIES INC        COM   00971T101           1         700  SH     DEFINED     03           0         700           0
AKAMAI TECHNOLOGIES INC        COM   00971T101          14      10,000  SH     DEFINED     04      10,000           0           0
AKAMAI TECHNOLOGIES INC        COM   00971T101           3       2,000  SH     OTHER       04       2,000           0           0
AKAMAI TECHNOLOGIES INC        COM   00971T101         573     406,276  SH     DEFINED  01,08      63,025     343,251           0

AKSYS LTD                      COM   010196103         590      84,323  SH     DEFINED     01      44,536      39,187         600
AKSYS LTD                      COM   010196103         408      58,323  SH     DEFINED  01,08      14,383      43,940           0

AKZO NOBEL NV                  COM   010199305         233      11,600  SH     OTHER       01       5,600           0       6,000
AKZO NOBEL NV                  COM   010199305           8         410  SH     DEFINED     02         410           0           0
AKZO NOBEL NV                  COM   010199305          48       2,400  SH     DEFINED     03           0       2,400           0
AKZO NOBEL NV                  COM   010199305          15         743  SH     DEFINED     04         428           0         315

ALABAMA NATL BANCORP DELA      COM   010317105       1,661      40,505  SH     DEFINED     01      23,412      16,493         600
ALABAMA NATL BANCORP DELA      COM   010317105       1,150      28,054  SH     DEFINED  01,08       6,633      21,421           0

ALAMO GROUP INC                COM   011311107         465      39,880  SH     DEFINED     01      28,030      11,700         150
ALAMO GROUP INC                COM   011311107         229      19,670  SH     DEFINED  01,08       5,148      14,522           0

ALAMOSA HLDGS INC              COM   011589108          81     224,468  SH     DEFINED     01     133,964      86,854       3,650
ALAMOSA HLDGS INC              COM   011589108          65     181,209  SH     DEFINED  01,08      27,806     153,403           0

ALARIS MED INC                 COM   011637105       1,771     171,302  SH     DEFINED     01     116,192      54,810         300
ALARIS MED INC                 COM   011637105       1,052     101,712  SH     DEFINED  01,08      27,502      74,210           0

ALASKA AIR GROUP INC           COM   011659109       1,917     122,402  SH     DEFINED     01      63,742      57,610       1,050
ALASKA AIR GROUP INC           COM   011659109       1,133      72,339  SH     DEFINED  01,08       8,246      64,093           0
ALASKA AIR GROUP INC           COM   011659109           5         300  SH     DEFINED     10         300           0           0

ALASKA COMMUNICATIONS SYS GR   COM   01167P101          72      35,849  SH     DEFINED     01      22,005      13,694         150
ALASKA COMMUNICATIONS SYS GR   COM   01167P101          60      30,000  SH     DEFINED     04      30,000           0           0
ALASKA COMMUNICATIONS SYS GR   COM   01167P101         108      53,906  SH     DEFINED  01,08      10,544      43,362           0

ALBANY INTL CORP               COM   012348108       1,411      61,570  SH     DEFINED     01      43,460      17,110       1,000
ALBANY INTL CORP               COM   012348108          15         650  SH     OTHER    01,06           0           0         650
ALBANY INTL CORP               COM   012348108       1,532      66,890  SH     DEFINED  01,08      27,560      39,330           0

ALBANY MOLECULAR RESH INC      COM   012423109       1,214      81,391  SH     DEFINED     01      39,071      41,270       1,050
ALBANY MOLECULAR RESH INC      COM   012423109       1,494     100,208  SH     DEFINED  01,08      16,772      83,436           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     23
________

ALBEMARLE CORP                 COM   012653101       3,314     136,112  SH     DEFINED     01      49,675      84,887       1,550
ALBEMARLE CORP                 COM   012653101       2,132      87,565  SH     DEFINED  01,08      11,085      76,480           0
ALBEMARLE CORP                 COM   012653101          37       1,500  SH     DEFINED     10       1,500           0           0

ALBERTO CULVER CO              COM   013068101      15,696     318,509  SH     DEFINED     01     165,926     148,433       4,150
ALBERTO CULVER CO              COM   013068101           2          50  SH     DEFINED     03           0           0          50
ALBERTO CULVER CO              COM   013068101          20         400  SH     DEFINED     04         400           0           0
ALBERTO CULVER CO              COM   013068101          17         340  SH     OTHER       04         340           0           0
ALBERTO CULVER CO              COM   013068101           7         150  SH     OTHER    01,06           0           0         150
ALBERTO CULVER CO              COM   013068101       6,160     125,000  SH     DEFINED  01,08      40,520      84,480           0
ALBERTO CULVER CO              COM   013068101          28         559  SH     DEFINED     10         559           0           0

ALBERTO CULVER CO              COM   013068200         365       7,611  SH     DEFINED     01       7,611           0           0
ALBERTO CULVER CO              COM   013068200         427       8,900  SH     OTHER       01           0           0       8,900
ALBERTO CULVER CO              COM   013068200           4          93  SH     DEFINED     02           0           0          93

ALBERTSONS INC                 COM   013104104      42,057   2,231,149  SH     DEFINED     01   1,166,605   1,028,203      36,341
ALBERTSONS INC                 COM   013104104         647      34,335  SH     OTHER       01      16,960      16,400         975
ALBERTSONS INC                 COM   013104104         212      11,264  SH     DEFINED     02       9,914         250       1,100
ALBERTSONS INC                 COM   013104104          93       4,945  SH     OTHER       02       1,445       3,500           0
ALBERTSONS INC                 COM   013104104          56       2,981  SH     DEFINED     03       1,160       1,167         654
ALBERTSONS INC                 COM   013104104         366      19,415  SH     OTHER       03       1,595      17,820           0
ALBERTSONS INC                 COM   013104104       1,399      74,221  SH     DEFINED     04      73,621           0         600
ALBERTSONS INC                 COM   013104104         218      11,588  SH     OTHER       04      11,588           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      21,801   1,156,532  SH     DEFINED  01,08     306,028     850,504           0
ALBERTSONS INC                 COM   013104104         632      33,523  SH     DEFINED     10      33,523           0           0
ALBERTSONS INC                 COM   013104104           6         300  SH     OTHER       10           0           0         300

ALCAN INC                      COM   013716105           8         303  SH     DEFINED     01         225          78           0
ALCAN INC                      COM   013716105         167       6,002  SH     OTHER       01         252       5,750           0
ALCAN INC                      COM   013716105          32       1,150  SH     DEFINED     04       1,150           0           0
ALCAN INC                      COM   013716105          53       1,894  SH     OTHER       04       1,894           0           0
ALCAN INC                      COM   013716105          40       1,436  SH     DEFINED     10       1,336           0         100


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     24
________

ALCOA INC                      COM   013817101     124,865   6,442,972  SH     DEFINED     01   3,692,638   2,502,691     247,643
ALCOA INC                      COM   013817101       5,251     270,938  SH     OTHER       01     147,535      73,573      49,830
ALCOA INC                      COM   013817101       2,828     145,931  SH     DEFINED     02     108,606      26,525      10,800
ALCOA INC                      COM   013817101         637      32,849  SH     OTHER       02      16,935       8,373       7,541
ALCOA INC                      COM   013817101       3,692     190,506  SH     DEFINED     03      80,476      79,974      30,056
ALCOA INC                      COM   013817101         952      49,126  SH     OTHER       03      36,236       6,415       6,475
ALCOA INC                      COM   013817101      22,974   1,185,424  SH     DEFINED     04   1,145,831           0      39,593
ALCOA INC                      COM   013817101       8,389     432,854  SH     OTHER       04     419,270           0      13,584
ALCOA INC                      COM   013817101       3,781     195,079  SH     DEFINED     05     159,984      23,225      11,870
ALCOA INC                      COM   013817101         355      18,325  SH     OTHER       05      12,000       5,965         360
ALCOA INC                      COM   013817101          41       2,100  SH     OTHER    01,06           0           0       2,100
ALCOA INC                      COM   013817101      51,655   2,665,376  SH     DEFINED  01,08     716,596   1,948,780           0
ALCOA INC                      COM   013817101       2,316     119,519  SH     DEFINED     10     105,769      11,250       2,500
ALCOA INC                      COM   013817101       1,538      79,335  SH     OTHER       10      67,950      11,010         375

ALCATEL                        COM   013904305          11       1,540  SH     DEFINED     02           0           0       1,540
ALCATEL                        COM   013904305           3         421  SH     DEFINED     03         421           0           0
ALCATEL                        COM   013904305          33       4,823  SH     OTHER       03           0           0       4,823
ALCATEL                        COM   013904305          46       6,715  SH     DEFINED     04       4,700           0       2,015
ALCATEL                        COM   013904305           2         240  SH     OTHER       05          40           0         200
ALCATEL                        COM   013904305          13       1,947  SH     DEFINED     10       1,947           0           0

ALDERWOODS GROUP INC           COM   014383103         368     105,059  SH     DEFINED     01      85,159      19,900           0
ALDERWOODS GROUP INC           COM   014383103          99      28,172  SH     DEFINED  01,08       5,500      22,672           0

ALEXANDER & BALDWIN INC        COM   014482103       7,010     281,986  SH     DEFINED     01     191,430      88,056       2,500
ALEXANDER & BALDWIN INC        COM   014482103       5,532     222,531  SH     OTHER       04     222,531           0           0
ALEXANDER & BALDWIN INC        COM   014482103       3,021     121,532  SH     DEFINED  01,08      13,355     108,177           0
ALEXANDER & BALDWIN INC        COM   014482103          12         500  SH     DEFINED     10         500           0           0

ALEXANDERS INC                 COM   014752109         661      10,356  SH     DEFINED     01       3,768       6,438         150
ALEXANDERS INC                 COM   014752109       1,140      17,858  SH     DEFINED  01,08       2,412      15,446           0

ALEXANDRIA REAL ESTATE EQ IN   COM   015271109       2,518      59,885  SH     DEFINED     01      31,083      28,002         800
ALEXANDRIA REAL ESTATE EQ IN   COM   015271109          21         500  SH     OTHER       03         500           0           0
ALEXANDRIA REAL ESTATE EQ IN   COM   015271109       2,134      50,756  SH     DEFINED  01,08      10,192      40,564           0

ALEXION PHARMACEUTICALS INC    COM   015351109         824      67,740  SH     DEFINED     01      40,998      25,742       1,000
ALEXION PHARMACEUTICALS INC    COM   015351109         867      71,260  SH     DEFINED  01,08      10,358      60,902           0

ALFA CORP                      COM   015385107       2,485     214,005  SH     DEFINED     01     112,148     100,057       1,800
ALFA CORP                      COM   015385107       2,510     216,188  SH     DEFINED  01,08      37,380     178,808           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     25
________

ALICO INC                      COM   016230104         389      16,048  SH     DEFINED     01       7,521       8,427         100
ALICO INC                      COM   016230104         279      11,500  SH     DEFINED     04      11,500           0           0
ALICO INC                      COM   016230104         431      17,790  SH     DEFINED  01,08       3,704      14,086           0

ALIGN TECHNOLOGY INC           COM   016255101         808     133,581  SH     DEFINED     01      80,404      52,427         750
ALIGN TECHNOLOGY INC           COM   016255101         621     102,632  SH     DEFINED  01,08      25,300      77,332           0

ALKERMES INC                   COM   01642T108       1,735     191,326  SH     DEFINED     01      98,549      89,827       2,950
ALKERMES INC                   COM   01642T108           0          48  SH     DEFINED     02          48           0           0
ALKERMES INC                   COM   01642T108          15       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       1,799     198,377  SH     DEFINED  01,08      34,184     164,193           0

ALL AMERICAN SEMICONDUCTOR I   COM   016557407          11       5,960  SH     DEFINED     01         860       5,100           0
ALL AMERICAN SEMICONDUCTOR I   COM   016557407          13       7,040  SH     DEFINED  01,08       1,886       5,154           0

ALLEGHANY CORP DEL             COM   017175100       1,170       7,148  SH     DEFINED     01       4,596       2,552           0
ALLEGHANY CORP DEL             COM   017175100       2,395      14,627  SH     DEFINED  01,08       1,639      12,988           0

ALLEGHENY ENERGY INC           COM   017361106       4,440     714,986  SH     DEFINED     01     373,054     331,581      10,351
ALLEGHENY ENERGY INC           COM   017361106           6       1,000  SH     DEFINED     02           0           0       1,000
ALLEGHENY ENERGY INC           COM   017361106          19       3,000  SH     OTHER       02           0       3,000           0
ALLEGHENY ENERGY INC           COM   017361106          19       3,050  SH     DEFINED     03       3,000           0          50
ALLEGHENY ENERGY INC           COM   017361106           4         700  SH     OTHER       03         700           0           0
ALLEGHENY ENERGY INC           COM   017361106          27       4,336  SH     DEFINED     04       4,336           0           0
ALLEGHENY ENERGY INC           COM   017361106           3         435  SH     OTHER       04         435           0           0
ALLEGHENY ENERGY INC           COM   017361106       2,443     393,357  SH     DEFINED  01,08      91,499     301,858           0
ALLEGHENY ENERGY INC           COM   017361106          19       3,049  SH     DEFINED     10       2,422         627           0

ALLEGHENY TECHNOLOGIES INC     COM   01741R102       1,292     445,414  SH     DEFINED     01     231,441     209,398       4,575
ALLEGHENY TECHNOLOGIES INC     COM   01741R102          14       4,899  SH     DEFINED     03           0       4,899           0
ALLEGHENY TECHNOLOGIES INC     COM   01741R102           8       2,853  SH     DEFINED     04         928           0       1,925
ALLEGHENY TECHNOLOGIES INC     COM   01741R102         663     228,614  SH     DEFINED  01,08      57,140     171,474           0
ALLEGHENY TECHNOLOGIES INC     COM   01741R102           0          16  SH     DEFINED     10          16           0           0

ALLEGIANCE TELECOM INC         COM   01747T102          41     142,074  SH     DEFINED     01      74,690      67,384           0
ALLEGIANCE TELECOM INC         COM   01747T102           0         500  SH     DEFINED     04         500           0           0
ALLEGIANCE TELECOM INC         COM   01747T102         104     358,404  SH     DEFINED  01,08      40,687     317,717           0

ALLEGIANT BANCORP INC          COM   017476102         536      31,709  SH     DEFINED     01      26,118       4,891         700
ALLEGIANT BANCORP INC          COM   017476102         497      29,406  SH     DEFINED  01,08       8,357      21,049           0

ALLEN TELECOM INC              COM   018091108       1,436     147,326  SH     DEFINED     01      99,059      45,817       2,450
ALLEN TELECOM INC              COM   018091108           6         600  SH     OTHER    01,06           0           0         600
ALLEN TELECOM INC              COM   018091108       1,503     154,104  SH     DEFINED  01,08      26,855     127,249           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     26
________

ALLERGAN INC                   CONDB 018490AE2       1,863   2,000,000  PRN    DEFINED     01   2,000,000           0           0

ALLERGAN INC                   COM   018490102      64,575     946,715  SH     DEFINED     01     580,848     345,398      20,469
ALLERGAN INC                   COM   018490102         363       5,329  SH     OTHER       01       5,129           0         200
ALLERGAN INC                   COM   018490102          12         180  SH     DEFINED     03           0         180           0
ALLERGAN INC                   COM   018490102         285       4,179  SH     OTHER       03       1,204       2,975           0
ALLERGAN INC                   COM   018490102         563       8,261  SH     DEFINED     04       8,261           0           0
ALLERGAN INC                   COM   018490102         138       2,020  SH     OTHER       04       1,520           0         500
ALLERGAN INC                   COM   018490102           7         100  SH     DEFINED     05         100           0           0
ALLERGAN INC                   COM   018490102         273       4,000  SH     OTHER       05           0           0       4,000
ALLERGAN INC                   COM   018490102          20         300  SH     OTHER    01,06           0           0         300
ALLERGAN INC                   COM   018490102      25,630     375,747  SH     DEFINED  01,08      92,612     283,135           0
ALLERGAN INC                   COM   018490102           2          22  SH     DEFINED     10          22           0           0

ALLETE INC                     COM   018522102       5,613     270,381  SH     DEFINED     01      99,225     166,606       4,550
ALLETE INC                     COM   018522102         176       8,457  SH     OTHER       01           0       8,457           0
ALLETE INC                     COM   018522102           2          80  SH     OTHER       02          80           0           0
ALLETE INC                     COM   018522102         163       7,860  SH     DEFINED     04       7,860           0           0
ALLETE INC                     COM   018522102          23       1,100  SH     OTHER       04         200           0         900
ALLETE INC                     COM   018522102       3,548     170,922  SH     DEFINED  01,08      25,673     145,249           0
ALLETE INC                     COM   018522102          25       1,187  SH     DEFINED     10       1,187           0           0

ALLIANCE CAP MGMT HLDG L P     COM   01855A101         723      25,100  SH     DEFINED     01      17,100       8,000           0
ALLIANCE CAP MGMT HLDG L P     COM   01855A101         144       5,000  SH     OTHER       01       5,000           0           0
ALLIANCE CAP MGMT HLDG L P     COM   01855A101          58       2,000  SH     DEFINED     03       2,000           0           0
ALLIANCE CAP MGMT HLDG L P     COM   01855A101           6         200  SH     OTHER       03         200           0           0
ALLIANCE CAP MGMT HLDG L P     COM   01855A101          19         675  SH     DEFINED     04         675           0           0
ALLIANCE CAP MGMT HLDG L P     COM   01855A101         481      16,700  SH     OTHER       04      16,700           0           0
ALLIANCE CAP MGMT HLDG L P     COM   01855A101          35       1,200  SH     DEFINED     10       1,200           0           0
ALLIANCE CAP MGMT HLDG L P     COM   01855A101          58       2,000  SH     OTHER       10       2,000           0           0

ALLIANCE DATA SYSTEMS CORP     COM   018581108       1,143      67,255  SH     DEFINED     01      34,605      29,500       3,150
ALLIANCE DATA SYSTEMS CORP     COM   018581108         928      54,600  SH     DEFINED  01,08      13,700      40,900           0

ALLIANCE GAMING CORP           COM   01859P609       2,299     153,280  SH     DEFINED     01      76,880      74,400       2,000
ALLIANCE GAMING CORP           COM   01859P609       2,330     155,319  SH     DEFINED  01,08      25,919     129,400           0

ALLIANCE IMAGING INC           COM   018606202         122      38,926  SH     DEFINED     01      29,726       9,200           0
ALLIANCE IMAGING INC           COM   018606202         288      91,859  SH     DEFINED  01,08      21,700      70,159           0

ALLIANCE NATL MUN INCOME FD    UNDEF 01864U106         198      14,458         DEFINED     04      14,458           0           0
ALLIANCE NATL MUN INCOME FD    UNDEF 01864U106          41       3,000         OTHER       04       3,000           0           0

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


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     27
________

ALLIANCE SEMICONDUCTOR CORP    COM   01877H100         330     103,155  SH     DEFINED     01      49,948      51,517       1,690
ALLIANCE SEMICONDUCTOR CORP    COM   01877H100           2         700  SH     OTHER    01,06           0           0         700
ALLIANCE SEMICONDUCTOR CORP    COM   01877H100         422     131,754  SH     DEFINED  01,08      31,345     100,409           0

ALLIANT ENERGY CORP            COM   018802108       4,719     293,632  SH     DEFINED     01     111,965     177,167       4,500
ALLIANT ENERGY CORP            COM   018802108          27       1,658  SH     OTHER       01         508       1,150           0
ALLIANT ENERGY CORP            COM   018802108           8         510  SH     DEFINED     02           0         400         110
ALLIANT ENERGY CORP            COM   018802108          25       1,552  SH     OTHER       02           0       1,552           0
ALLIANT ENERGY CORP            COM   018802108          15         912  SH     DEFINED     04         912           0           0
ALLIANT ENERGY CORP            COM   018802108          46       2,883  SH     OTHER       04       2,883           0           0
ALLIANT ENERGY CORP            COM   018802108       3,293     204,909  SH     DEFINED  01,08      28,414     176,495           0
ALLIANT ENERGY CORP            COM   018802108           8         500  SH     OTHER       10           0         500           0

ALLIANT TECHSYSTEMS INC        COM   018804104       2,252      41,695  SH     DEFINED     01      24,185      14,918       2,592
ALLIANT TECHSYSTEMS INC        COM   018804104          18         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           4          75  SH     OTHER       02          75           0           0
ALLIANT TECHSYSTEMS INC        COM   018804104          40         737  SH     OTHER    01,06           0           0         737
ALLIANT TECHSYSTEMS INC        COM   018804104       4,922      91,133  SH     DEFINED  01,08       8,031      83,102           0

ALLIED CAP CORP NEW            COM   01903Q108       2,406     120,415  SH     DEFINED     01      73,065      46,650         700
ALLIED CAP CORP NEW            COM   01903Q108         352      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         190       9,500  SH     DEFINED     03       4,000           0       5,500
ALLIED CAP CORP NEW            COM   01903Q108          86       4,300  SH     DEFINED     04       4,300           0           0
ALLIED CAP CORP NEW            COM   01903Q108         121       6,065  SH     OTHER       04       6,065           0           0
ALLIED CAP CORP NEW            COM   01903Q108       3,681     184,219  SH     DEFINED  01,08      27,769     156,450           0
ALLIED CAP CORP NEW            COM   01903Q108         113       5,679  SH     DEFINED     10           0       5,679           0

ALLIED DEFENSE GROUP INC       COM   019118108         100       6,300  SH     DEFINED     01         700       5,600           0
ALLIED DEFENSE GROUP INC       COM   019118108         190      11,920  SH     DEFINED  01,08       2,377       9,543           0

ALLIED HEALTHCARE PRODS INC    COM   019222108           4       1,600  SH     DEFINED     01       1,600           0           0
ALLIED HEALTHCARE PRODS INC    COM   019222108          37      13,383  SH     DEFINED  01,08       3,424       9,959           0

ALLIED HLDGS INC               COM   019223106          24       7,600  SH     DEFINED     01       1,100       6,500           0
ALLIED HLDGS INC               COM   019223106          45      14,500  SH     DEFINED  01,08       3,716      10,784           0

ALLIED IRISH BKS P L C         COM   019228402           5         170  SH     DEFINED     01         170           0           0
ALLIED IRISH BKS P L C         COM   019228402          51       1,860  SH     OTHER       01           0       1,860           0
ALLIED IRISH BKS P L C         COM   019228402          33       1,210  SH     DEFINED     02       1,210           0           0
ALLIED IRISH BKS P L C         COM   019228402          82       3,000  SH     DEFINED     04       3,000           0           0
ALLIED IRISH BKS P L C         COM   019228402         254       9,226  SH     OTHER       04       9,226           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     28
________

ALLIED HEALTHCARE INTL INC     COM   01923A109          84      21,100  SH     DEFINED     01       3,100      18,000           0
ALLIED HEALTHCARE INTL INC     COM   01923A109         139      34,802  SH     DEFINED  01,08       8,418      26,384           0

ALLIED MOTION TECHNOLOGIES I   COM   019330109          10       5,200  SH     DEFINED     01           0       5,200           0
ALLIED MOTION TECHNOLOGIES I   COM   019330109          20      10,498  SH     DEFINED  01,08       2,539       7,959           0

ALLIED WASTE INDS INC          COM   019589308       8,258   1,033,496  SH     DEFINED     01     526,252     493,753      13,491
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           0         100
ALLIED WASTE INDS INC          COM   019589308         249      31,159  SH     DEFINED     05           0           0      31,159
ALLIED WASTE INDS INC          COM   019589308           2         300  SH     OTHER    01,06           0           0         300
ALLIED WASTE INDS INC          COM   019589308       4,396     550,213  SH     DEFINED  01,08     139,654     410,559           0
ALLIED WASTE INDS INC          COM   019589308           0          29  SH     DEFINED     10          29           0           0

ALLMERICA FINL CORP            COM   019754100       2,407     171,555  SH     DEFINED     01      63,844     104,561       3,150
ALLMERICA FINL CORP            COM   019754100           3         228  SH     DEFINED     02         228           0           0
ALLMERICA FINL CORP            COM   019754100           8         537  SH     DEFINED     03         214           0         323
ALLMERICA FINL CORP            COM   019754100         141      10,073  SH     DEFINED     04      10,073           0           0
ALLMERICA FINL CORP            COM   019754100          15       1,091  SH     OTHER       04       1,091           0           0
ALLMERICA FINL CORP            COM   019754100       1,636     116,612  SH     DEFINED  01,08      17,544      99,068           0

ALLOS THERAPEUTICS INC         COM   019777101         308      77,004  SH     DEFINED     01      43,354      33,150         500
ALLOS THERAPEUTICS INC         COM   019777101         255      63,747  SH     DEFINED  01,08      13,284      50,463           0

ALLOU HEALTHCARE INC           COM   019782101          14       8,400  SH     DEFINED     01         800       7,600           0
ALLOU HEALTHCARE INC           COM   019782101          32      19,350  SH     DEFINED  01,08       3,097      16,253           0

ALLOY INC                      COM   019855105         501      99,969  SH     DEFINED     01      56,510      41,759       1,700
ALLOY INC                      COM   019855105         466      93,105  SH     DEFINED  01,08      21,232      71,873           0

ALLSCRIPTS HEALTHCARE SOLUTI   COM   01988P108         271      98,724  SH     DEFINED     01      52,332      45,892         500
ALLSCRIPTS HEALTHCARE SOLUTI   COM   01988P108         219      79,494  SH     DEFINED  01,08      19,042      60,452           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     29
________

ALLSTATE CORP                  COM   020002101     138,852   4,186,059  SH     DEFINED     01   2,213,696   1,900,193      72,170
ALLSTATE CORP                  COM   020002101       2,073      62,492  SH     OTHER       01      26,980      35,012         500
ALLSTATE CORP                  COM   020002101         313       9,448  SH     DEFINED     02       6,380       2,668         400
ALLSTATE CORP                  COM   020002101         415      12,509  SH     OTHER       02       8,753       3,756           0
ALLSTATE CORP                  COM   020002101         980      29,530  SH     DEFINED     03      17,023       5,812       6,695
ALLSTATE CORP                  COM   020002101         330       9,942  SH     OTHER       03       8,392       1,550           0
ALLSTATE CORP                  COM   020002101       4,928     148,557  SH     DEFINED     04     136,267           0      12,290
ALLSTATE CORP                  COM   020002101       2,188      65,951  SH     OTHER       04      65,951           0           0
ALLSTATE CORP                  COM   020002101         661      19,939  SH     DEFINED     05      18,964         650         325
ALLSTATE CORP                  COM   020002101          25         756  SH     OTHER       05         756           0           0
ALLSTATE CORP                  COM   020002101          60       1,800  SH     OTHER    01,06           0           0       1,800
ALLSTATE CORP                  COM   020002101      93,136   2,807,838  SH     DEFINED  01,08     555,321   2,181,940      70,577
ALLSTATE CORP                  COM   020002101       1,061      31,990  SH     DEFINED     10      28,665       1,325       2,000
ALLSTATE CORP                  COM   020002101         585      17,642  SH     OTHER       10      11,200       5,517         925

ALLTEL CORP                    COM   020039103      80,486   1,798,175  SH     DEFINED     01     927,302     836,914      33,959
ALLTEL CORP                    COM   020039103       3,383      75,588  SH     OTHER       01       9,602      10,466      55,520
ALLTEL CORP                    COM   020039103          50       1,120  SH     DEFINED     02       1,050           0          70
ALLTEL CORP                    COM   020039103          45       1,000  SH     OTHER       02           0       1,000           0
ALLTEL CORP                    COM   020039103         826      18,444  SH     DEFINED     03       5,728      10,146       2,570
ALLTEL CORP                    COM   020039103         153       3,410  SH     OTHER       03       3,083         327           0
ALLTEL CORP                    COM   020039103       4,058      90,668  SH     DEFINED     04      81,814           0       8,854
ALLTEL CORP                    COM   020039103       1,043      23,298  SH     OTHER       04      15,598           0       7,700
ALLTEL CORP                    COM   020039103         511      11,419  SH     DEFINED     05       8,141         390       2,888
ALLTEL CORP                    COM   020039103         134       3,000  SH     OTHER       05           0       3,000           0
ALLTEL CORP                    COM   020039103          36         800  SH     OTHER    01,06           0           0         800
ALLTEL CORP                    COM   020039103      62,896   1,405,173  SH     DEFINED  01,08     241,210   1,120,786      43,177
ALLTEL CORP                    COM   020039103       1,062      23,722  SH     DEFINED     10      23,097         625           0
ALLTEL CORP                    COM   020039103         948      21,183  SH     OTHER       10      21,183           0           0

ALLTEL CORP                    CONPF 020039822       3,526      75,000         DEFINED     01      75,000           0           0

ALMOST FAMILY INC              COM   020409108          19       4,300  SH     DEFINED     01         600       3,700           0
ALMOST FAMILY INC              COM   020409108          29       6,760  SH     DEFINED  01,08       1,137       5,623           0

ALPHA TECHNOLOGIES GROUP INC   COM   020781100          11      11,100  SH     DEFINED     01       1,400       9,700           0
ALPHA TECHNOLOGIES GROUP INC   COM   020781100          12      11,351  SH     DEFINED  01,08       2,242       9,109           0

ALPHARMA INC                   COM   020813101       2,237     124,758  SH     DEFINED     01      65,058      57,350       2,350
ALPHARMA INC                   COM   020813101           5         300  SH     DEFINED     02           0           0         300
ALPHARMA INC                   COM   020813101          18       1,000  SH     OTHER    01,06           0           0       1,000
ALPHARMA INC                   COM   020813101       3,059     170,625  SH     DEFINED  01,08      43,108     127,517           0

ALTEON INC                     COM   02144G107         125      31,900  SH     DEFINED     01       4,600      27,300           0
ALTEON INC                     COM   02144G107         212      53,900  SH     DEFINED  01,08      13,221      40,679           0


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

ALTERA CORP                    COM   021441100      29,601   2,186,169  SH     DEFINED     01   1,135,980   1,002,614      47,575
ALTERA CORP                    COM   021441100          71       5,270  SH     OTHER       01       1,700       2,920         650
ALTERA CORP                    COM   021441100         110       8,140  SH     DEFINED     02       5,240       2,500         400
ALTERA CORP                    COM   021441100          17       1,250  SH     OTHER       02           0       1,250           0
ALTERA CORP                    COM   021441100         624      46,083  SH     DEFINED     03      35,227       8,070       2,786
ALTERA CORP                    COM   021441100          60       4,400  SH     OTHER       03       2,550           0       1,850
ALTERA CORP                    COM   021441100         192      14,202  SH     DEFINED     04      14,202           0           0
ALTERA CORP                    COM   021441100         158      11,705  SH     OTHER       04      11,705           0           0
ALTERA CORP                    COM   021441100         149      10,980  SH     DEFINED     05      10,340           0         640
ALTERA CORP                    COM   021441100          14       1,000  SH     OTHER    01,06           0           0       1,000
ALTERA CORP                    COM   021441100      16,093   1,188,567  SH     DEFINED  01,08     298,230     890,337           0
ALTERA CORP                    COM   021441100           2         150  SH     DEFINED     10           0           0         150
ALTERA CORP                    COM   021441100          12         850  SH     OTHER       10         850           0           0

ALTIRIS INC                    COM   02148M100         169      13,510  SH     DEFINED     01      10,004       3,106         400
ALTIRIS INC                    COM   02148M100         477      38,226  SH     DEFINED  01,08       9,246      28,980           0

ALTRIA GROUP INC               COM   02209S103     378,566  12,635,725  SH     DEFINED     01   7,015,006   5,376,982     243,737
ALTRIA GROUP INC               COM   02209S103      11,025     367,987  SH     OTHER       01     182,369     136,602      49,016
ALTRIA GROUP INC               COM   02209S103       7,354     245,453  SH     DEFINED     02     220,618      18,220       6,615
ALTRIA GROUP INC               COM   02209S103       1,529      51,030  SH     OTHER       02      35,675       8,445       6,910
ALTRIA GROUP INC               COM   02209S103       4,131     137,871  SH     DEFINED     03      89,422      37,320      11,129
ALTRIA GROUP INC               COM   02209S103       3,473     115,934  SH     OTHER       03     106,984       7,450       1,500
ALTRIA GROUP INC               COM   02209S103       1,895      63,259  SH     DEFINED     05      40,243      18,441       4,575
ALTRIA GROUP INC               COM   02209S103         761      25,391  SH     OTHER       05       9,241      16,150           0
ALTRIA GROUP INC               COM   02209S103         160       5,350  SH     OTHER    01,06           0           0       5,350
ALTRIA GROUP INC               COM   02209S103     165,023   5,508,106  SH     DEFINED  01,08     869,317   4,638,789           0
ALTRIA GROUP INC               COM   02209S103       3,473     115,911  SH     DEFINED     10      92,498       5,950      17,463
ALTRIA GROUP INC               COM   02209S103       2,213      73,877  SH     OTHER       10      34,484      34,793       4,600

AMAZON COM INC                 CONDB 023135AF3       2,509   3,000,000  PRN    DEFINED     01   3,000,000           0           0

AMAZON COM INC                 COM   023135106      26,157   1,004,894  SH     DEFINED     01     688,286     112,211     204,397
AMAZON COM INC                 COM   023135106         500      19,200  SH     OTHER       01           0      19,200           0
AMAZON COM INC                 COM   023135106           9         340  SH     DEFINED     02           0          25         315
AMAZON COM INC                 COM   023135106           3         100  SH     OTHER       02           0         100           0
AMAZON COM INC                 COM   023135106          10         385  SH     DEFINED     03         385           0           0
AMAZON COM INC                 COM   023135106          99       3,800  SH     DEFINED     04       3,800           0           0
AMAZON COM INC                 COM   023135106          22         855  SH     OTHER       04         100           0         755
AMAZON COM INC                 COM   023135106      13,176     506,200  SH     DEFINED  01,08      78,090     428,110           0
AMAZON COM INC                 COM   023135106          51       1,960  SH     DEFINED     10       1,960           0           0
AMAZON COM INC                 COM   023135106           5         200  SH     OTHER       10         200           0           0


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

AMBAC FINL GROUP INC           COM   023139108      29,782     589,512  SH     DEFINED     01     310,757     270,550       8,205
AMBAC FINL GROUP INC           COM   023139108         330       6,540  SH     OTHER       01       2,635       1,125       2,780
AMBAC FINL GROUP INC           COM   023139108         247       4,894  SH     DEFINED     02       3,784         625         485
AMBAC FINL GROUP INC           COM   023139108         236       4,667  SH     OTHER       02       2,217       2,450           0
AMBAC FINL GROUP INC           COM   023139108       1,396      27,630  SH     DEFINED     03      13,950      11,925       1,755
AMBAC FINL GROUP INC           COM   023139108         196       3,875  SH     OTHER       03       2,875       1,000           0
AMBAC FINL GROUP INC           COM   023139108         380       7,520  SH     DEFINED     04       7,520           0           0
AMBAC FINL GROUP INC           COM   023139108          46         920  SH     OTHER       04         620           0         300
AMBAC FINL GROUP INC           COM   023139108         173       3,415  SH     DEFINED     05       2,990         425           0
AMBAC FINL GROUP INC           COM   023139108          19         375  SH     OTHER       05           0         375           0
AMBAC FINL GROUP INC           COM   023139108          13         250  SH     OTHER    01,06           0           0         250
AMBAC FINL GROUP INC           COM   023139108      14,389     284,814  SH     DEFINED  01,08      77,196     207,618           0
AMBAC FINL GROUP INC           COM   023139108       1,090      21,575  SH     DEFINED     10      20,125         400       1,050
AMBAC FINL GROUP INC           COM   023139108          69       1,375  SH     OTHER       10       1,000         375           0

AMBASSADORS GROUP INC          COM   023177108         368      30,422  SH     DEFINED     01       9,447      20,875         100
AMBASSADORS GROUP INC          COM   023177108         237      19,578  SH     DEFINED  01,08       5,100      14,478           0

AMBASSADORS INTL INC           COM   023178106         193      20,100  SH     DEFINED     01       2,100      18,000           0
AMBASSADORS INTL INC           COM   023178106         164      17,100  SH     DEFINED  01,08       4,500      12,600           0

AMCAST INDL CORP               COM   023395106          12      13,000  SH     DEFINED     01       1,900      11,100           0
AMCAST INDL CORP               COM   023395106          19      20,156  SH     DEFINED  01,08       4,170      15,986           0

AMCOL INTL CORP                COM   02341W103         621     109,410  SH     DEFINED     01      67,750      40,710         950
AMCOL INTL CORP                COM   02341W103         343      60,429  SH     DEFINED  01,08      15,122      45,307           0

AMERADA HESS CORP              COM   023551104      21,278     480,741  SH     DEFINED     01     247,837     227,290       5,614
AMERADA HESS CORP              COM   023551104          44       1,000  SH     OTHER       01       1,000           0           0
AMERADA HESS CORP              COM   023551104          17         375  SH     OTHER       02         375           0           0
AMERADA HESS CORP              COM   023551104           3          70  SH     DEFINED     03          20           0          50
AMERADA HESS CORP              COM   023551104         282       6,367  SH     DEFINED     04       1,300           0       5,067
AMERADA HESS CORP              COM   023551104          16         360  SH     OTHER       04         160           0         200
AMERADA HESS CORP              COM   023551104           4         100  SH     OTHER    01,06           0           0         100
AMERADA HESS CORP              COM   023551104      10,744     242,740  SH     DEFINED  01,08      66,643     176,097           0
AMERADA HESS CORP              COM   023551104           1          15  SH     DEFINED     10          15           0           0

AMERCO                         COM   023586100         306      75,619  SH     DEFINED     01      52,891      22,228         500
AMERCO                         COM   023586100         187      46,358  SH     DEFINED  01,08       9,873      36,485           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     32
________

AMEREN CORP                    COM   023608102      33,757     864,449  SH     DEFINED     01     453,255     401,943       9,251
AMEREN CORP                    COM   023608102         380       9,738  SH     OTHER       01       4,200       5,182         356
AMEREN CORP                    COM   023608102         101       2,574  SH     DEFINED     02         364       2,210           0
AMEREN CORP                    COM   023608102         109       2,791  SH     OTHER       02         875       1,916           0
AMEREN CORP                    COM   023608102          62       1,592  SH     DEFINED     03           0       1,592           0
AMEREN CORP                    COM   023608102           8         200  SH     OTHER       03         200           0           0
AMEREN CORP                    COM   023608102         221       5,654  SH     DEFINED     04       5,654           0           0
AMEREN CORP                    COM   023608102         279       7,147  SH     OTHER       04       4,635           0       2,512
AMEREN CORP                    COM   023608102          18         468  SH     DEFINED     05         468           0           0
AMEREN CORP                    COM   023608102          65       1,666  SH     OTHER       05       1,666           0           0
AMEREN CORP                    COM   023608102          16         400  SH     OTHER    01,06           0           0         400
AMEREN CORP                    COM   023608102      19,492     499,150  SH     DEFINED  01,08     118,383     380,767           0
AMEREN CORP                    COM   023608102         176       4,502  SH     DEFINED     10       3,860         642           0
AMEREN CORP                    COM   023608102         380       9,733  SH     OTHER       10       2,955       6,778           0

AMERIANA BANCORP               COM   023613102          55       4,400  SH     DEFINED     01           0       4,400           0
AMERIANA BANCORP               COM   023613102          12         933  SH     DEFINED     02         933           0           0
AMERIANA BANCORP               COM   023613102          69       5,492  SH     DEFINED  01,08       1,438       4,054           0

AMERICA SVC GROUP INC          COM   02364L109          81       6,200  SH     DEFINED     01       1,100       5,100           0
AMERICA SVC GROUP INC          COM   02364L109         124       9,500  SH     DEFINED  01,08       2,433       7,067           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         386      55,250  SH     DEFINED     04      55,250           0           0

AMERICA MOVIL S A DE C V       COM   02364W105         323      24,162  SH     DEFINED     01      24,162           0           0
AMERICA MOVIL S A DE C V       COM   02364W105          17       1,240  SH     OTHER       01         240       1,000           0
AMERICA MOVIL S A DE C V       COM   02364W105          11         840  SH     DEFINED     02         400           0         440
AMERICA MOVIL S A DE C V       COM   02364W105          33       2,450  SH     DEFINED     03       1,850           0         600
AMERICA MOVIL S A DE C V       COM   02364W105          70       5,205  SH     DEFINED     04       4,600           0         605
AMERICA MOVIL S A DE C V       COM   02364W105          35       2,600  SH     OTHER       04       2,600           0           0

AMERICA ONLINE LATIN AMERICA   COM   02365B100          10      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          41     101,078  SH     DEFINED  01,08      32,480      68,598           0

AMERICA WEST HLDG CORP         COM   023657208          92      45,116  SH     DEFINED     01       8,716      36,400           0
AMERICA WEST HLDG CORP         COM   023657208           2       1,000  SH     DEFINED     02           0       1,000           0
AMERICA WEST HLDG CORP         COM   023657208         128      62,567  SH     DEFINED  01,08       9,846      52,721           0

AMCORE FINL INC                COM   023912108       2,103      96,589  SH     DEFINED     01      56,808      38,381       1,400
AMCORE FINL INC                COM   023912108         176       8,101  SH     DEFINED     04       8,101           0           0
AMCORE FINL INC                COM   023912108       1,590      73,039  SH     DEFINED  01,08      13,992      59,047           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     33
________

AMERICAN AXLE & MFG HLDGS IN   COM   024061103       1,395      66,316  SH     DEFINED     01      24,033      42,183         100
AMERICAN AXLE & MFG HLDGS IN   COM   024061103         918      43,633  SH     DEFINED  01,08      10,265      33,368           0

AMERICAN BILTRITE INC          COM   024591109          27       3,600  SH     DEFINED     01           0       3,600           0
AMERICAN BILTRITE INC          COM   024591109          73       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       6,841  SH     DEFINED  01,08       2,541       4,300           0

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

AMERICAN CAPITAL STRATEGIES    COM   024937104       5,729     255,765  SH     DEFINED     01     189,410      64,205       2,150
AMERICAN CAPITAL STRATEGIES    COM   024937104          90       4,000  SH     OTHER       04       4,000           0           0
AMERICAN CAPITAL STRATEGIES    COM   024937104       3,209     143,237  SH     DEFINED  01,08      26,169     117,068           0

AMERICAN CLAIMS EVALUATION I   COM   025144106           6       3,900  SH     DEFINED     01           0       3,900           0
AMERICAN CLAIMS EVALUATION I   COM   025144106          27      16,600  SH     DEFINED  01,08       3,615      12,985           0

AMERICAN DENTAL PARTNERS       COM   025353103          64       6,300  SH     DEFINED     01         500       5,800           0
AMERICAN DENTAL PARTNERS       COM   025353103          81       7,959  SH     DEFINED  01,08       3,159       4,800           0

AMERICAN EAGLE OUTFITTERS NE   COM   02553E106       2,986     205,652  SH     DEFINED     01      74,435     129,767       1,450
AMERICAN EAGLE OUTFITTERS NE   COM   02553E106         978      67,365  SH     DEFINED  01,08      19,331      48,034           0

AMERICAN ECOLOGY CORP          COM   025533407          46      15,900  SH     DEFINED     01         200      15,700           0
AMERICAN ECOLOGY CORP          COM   025533407          68      23,320  SH     DEFINED  01,08       6,155      17,165           0

AMERICAN ELEC PWR INC          COM   025537101      47,146   2,063,276  SH     DEFINED     01   1,047,898     993,805      21,573
AMERICAN ELEC PWR INC          COM   025537101         565      24,711  SH     OTHER       01      17,038       6,473       1,200
AMERICAN ELEC PWR INC          COM   025537101           3         140  SH     DEFINED     02         140           0           0
AMERICAN ELEC PWR INC          COM   025537101          34       1,507  SH     OTHER       02         240         300         967
AMERICAN ELEC PWR INC          COM   025537101          93       4,087  SH     DEFINED     03       1,780       1,580         727
AMERICAN ELEC PWR INC          COM   025537101          35       1,520  SH     OTHER       03           0       1,020         500
AMERICAN ELEC PWR INC          COM   025537101         486      21,275  SH     DEFINED     04      21,109           0         166
AMERICAN ELEC PWR INC          COM   025537101         343      14,995  SH     OTHER       04      13,961           0       1,034
AMERICAN ELEC PWR INC          COM   025537101           5         200  SH     OTHER    01,06           0           0         200
AMERICAN ELEC PWR INC          COM   025537101      25,366   1,110,105  SH     DEFINED  01,08     302,657     807,448           0
AMERICAN ELEC PWR INC          COM   025537101          63       2,750  SH     DEFINED     10       2,525         225           0
AMERICAN ELEC PWR INC          COM   025537101          79       3,438  SH     OTHER       10       2,628         810           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     34
________

AMERICAN EXPRESS CO            COM   025816109     313,178   9,424,568  SH     DEFINED     01   5,464,259   3,706,279     254,030
AMERICAN EXPRESS CO            COM   025816109      22,448     675,527  SH     OTHER       01     294,876     307,201      73,450
AMERICAN EXPRESS CO            COM   025816109       4,907     147,675  SH     DEFINED     02      98,559      40,548       8,568
AMERICAN EXPRESS CO            COM   025816109       1,775      53,428  SH     OTHER       02      44,165       5,313       3,950
AMERICAN EXPRESS CO            COM   025816109       8,700     261,817  SH     DEFINED     03     133,625      94,546      33,646
AMERICAN EXPRESS CO            COM   025816109       3,444     103,643  SH     OTHER       03      71,849      26,119       5,675
AMERICAN EXPRESS CO            COM   025816109      16,914     508,986  SH     DEFINED     04     498,561           0      10,425
AMERICAN EXPRESS CO            COM   025816109       8,309     250,051  SH     OTHER       04     212,911           0      37,140
AMERICAN EXPRESS CO            COM   025816109       5,514     165,921  SH     DEFINED     05     151,331       7,885       6,705
AMERICAN EXPRESS CO            COM   025816109       1,199      36,085  SH     OTHER       05      22,220       4,765       9,100
AMERICAN EXPRESS CO            COM   025816109         113       3,400  SH     OTHER    01,06           0           0       3,400
AMERICAN EXPRESS CO            COM   025816109     123,434   3,714,550  SH     DEFINED  01,08     896,955   2,817,595           0
AMERICAN EXPRESS CO            COM   025816109       3,339     100,468  SH     DEFINED     10      76,022      21,396       3,050
AMERICAN EXPRESS CO            COM   025816109       2,710      81,540  SH     OTHER       10      49,640      29,650       2,250

AMERICAN FINL GROUP INC OHIO   COM   025932104       3,535     178,083  SH     DEFINED     01      61,026     115,707       1,350
AMERICAN FINL GROUP INC OHIO   COM   025932104       2,433     122,590  SH     DEFINED  01,08      16,636     105,954           0

AMERICAN GREETINGS CORP        CONDB 026375AJ4       1,963   1,500,000  PRN    DEFINED     01   1,500,000           0           0

AMERICAN GREETINGS CORP        COM   026375105       5,241     400,077  SH     DEFINED     01     199,932     194,759       5,386
AMERICAN GREETINGS CORP        COM   026375105          37       2,850  SH     OTHER       01       2,800           0          50
AMERICAN GREETINGS CORP        COM   026375105           3         225  SH     DEFINED     02           0           0         225
AMERICAN GREETINGS CORP        COM   026375105           3         200  SH     OTHER    01,06           0           0         200
AMERICAN GREETINGS CORP        COM   026375105       2,611     199,304  SH     DEFINED  01,08      48,767     150,537           0
AMERICAN GREETINGS CORP        COM   026375105         136      10,379  SH     DEFINED     10      10,379           0           0

AMERICAN HEALTHWAYS INC        COM   02649V104         827      43,516  SH     DEFINED     01      19,896      23,320         300
AMERICAN HEALTHWAYS INC        COM   02649V104       1,355      71,308  SH     DEFINED  01,08       7,620      63,688           0

AMERICAN HOME MTG HLDGS INC    COM   02660M108         315      31,484  SH     DEFINED     01      13,787      17,097         600
AMERICAN HOME MTG HLDGS INC    COM   02660M108         306      30,588  SH     DEFINED  01,08       7,972      22,616           0

AMERICAN INDEPENDENCE CORP     COM   026760405          70       8,665  SH     DEFINED     01       1,833       6,832           0
AMERICAN INDEPENDENCE CORP     COM   026760405          61       7,598  SH     DEFINED  01,08       3,440       4,158           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     35
________

AMERICAN INTL GROUP INC        COM   026874107     880,724  17,810,397  SH     DEFINED     01   9,900,690   7,465,428     444,279
AMERICAN INTL GROUP INC        COM   026874107      51,881   1,049,164  SH     OTHER       01     459,822     507,747      81,595
AMERICAN INTL GROUP INC        COM   026874107      18,275     369,574  SH     DEFINED     02     258,898      93,385      17,291
AMERICAN INTL GROUP INC        COM   026874107       5,745     116,174  SH     OTHER       02      77,938      34,955       3,281
AMERICAN INTL GROUP INC        COM   026874107      30,301     612,765  SH     DEFINED     03     328,045     229,188      55,532
AMERICAN INTL GROUP INC        COM   026874107       7,473     151,119  SH     OTHER       03     109,743      30,898      10,478
AMERICAN INTL GROUP INC        COM   026874107     123,987   2,507,324  SH     DEFINED     04   2,412,933           0      94,391
AMERICAN INTL GROUP INC        COM   026874107      47,682     964,239  SH     OTHER       04     913,207           0      51,032
AMERICAN INTL GROUP INC        COM   026874107      13,130     265,526  SH     DEFINED     05     216,384      36,661      12,481
AMERICAN INTL GROUP INC        COM   026874107       3,182      64,355  SH     OTHER       05      26,476      28,908       8,971
AMERICAN INTL GROUP INC        COM   026874107         331       6,699  SH     OTHER    01,06           0           0       6,699
AMERICAN INTL GROUP INC        COM   026874107     382,316   7,731,357  SH     DEFINED  01,08   2,005,330   5,726,027           0
AMERICAN INTL GROUP INC        COM   026874107      21,073     426,142  SH     DEFINED     10     294,562      97,823      33,757
AMERICAN INTL GROUP INC        COM   026874107       6,866     138,841  SH     OTHER       10      81,132      55,307       2,402

AMERICAN ITALIAN PASTA CO      COM   027070101       4,570     105,668  SH     DEFINED     01      67,668      33,100       4,900
AMERICAN ITALIAN PASTA CO      COM   027070101          15         350  SH     OTHER    01,06           0           0         350
AMERICAN ITALIAN PASTA CO      COM   027070101       2,370      54,788  SH     DEFINED  01,08       9,871      44,917           0

AMERICAN LD LEASE INC          COM   027118108         340      22,852  SH     DEFINED     01      17,983       4,869           0
AMERICAN LD LEASE INC          COM   027118108          15       1,000  SH     OTHER       04       1,000           0           0
AMERICAN LD LEASE INC          COM   027118108         176      11,824  SH     DEFINED  01,08       3,024       8,800           0

AMERICAN MGMT SYS INC          COM   027352103       1,717     142,124  SH     DEFINED     01      76,939      63,485       1,700
AMERICAN MGMT SYS INC          COM   027352103          10         800  SH     OTHER    01,06           0           0         800
AMERICAN MGMT SYS INC          COM   027352103       2,576     213,212  SH     DEFINED  01,08      37,291     175,921           0

AMERICAN MED SYS HLDGS INC     COM   02744M108       1,106      76,550  SH     DEFINED     01      37,059      39,091         400
AMERICAN MED SYS HLDGS INC     COM   02744M108           9         650  SH     OTHER    01,06           0           0         650
AMERICAN MED SYS HLDGS INC     COM   02744M108       1,326      91,759  SH     DEFINED  01,08      16,411      75,348           0

AMERICAN MED SEC GROUP INC     COM   02744P101         834      63,025  SH     DEFINED     01      40,525      22,500           0
AMERICAN MED SEC GROUP INC     COM   02744P101         744      56,165  SH     DEFINED  01,08       6,362      49,803           0

AMERICAN NATL BANKSHARES INC   COM   027745108         394      16,015  SH     DEFINED     01       7,896       8,019         100
AMERICAN NATL BANKSHARES INC   COM   027745108         267      10,831  SH     DEFINED  01,08       3,300       7,531           0

AMERICAN MED ALERT CORP        COM   027904101          12       6,400  SH     DEFINED     01         800       5,600           0
AMERICAN MED ALERT CORP        COM   027904101          29      14,946  SH     DEFINED  01,08       2,161      12,785           0

AMERICAN NATL INS CO           COM   028591105       1,244      15,965  SH     DEFINED     01      10,992       4,523         450
AMERICAN NATL INS CO           COM   028591105          39         500  SH     OTHER       01           0         500           0
AMERICAN NATL INS CO           COM   028591105       2,435      31,243  SH     DEFINED  01,08       5,043      26,200           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     36
________

AMERICAN PAC CORP              COM   028740108          88      11,000  SH     DEFINED     01       1,100       9,900           0
AMERICAN PAC CORP              COM   028740108          99      12,262  SH     DEFINED  01,08       3,362       8,900           0
AMERICAN PAC CORP              COM   028740108           5         680  SH     DEFINED     10         680           0           0

AMERICAN PHARMACEUTICALS PTN   COM   02886P109         485      25,314  SH     DEFINED     01      15,142       9,572         600
AMERICAN PHARMACEUTICALS PTN   COM   02886P109         903      47,144  SH     DEFINED  01,08       5,100      42,044           0

AMERICAN PHYSICIANS SVC GROU   COM   028882108          13       3,500  SH     DEFINED     01         600       2,900           0
AMERICAN PHYSICIANS SVC GROU   COM   028882108          49      13,018  SH     DEFINED  01,08       1,022      11,996           0

AMERICAN PHYSICIANS CAPITAL    COM   028884104         749      35,312  SH     DEFINED     01      21,222      13,590         500
AMERICAN PHYSICIANS CAPITAL    COM   028884104         890      42,003  SH     DEFINED  01,08       5,200      36,803           0

AMERICAN RETIREMENT CORP       COM   028913101         240     129,881  SH     DEFINED     01     116,381      13,500           0
AMERICAN RETIREMENT CORP       COM   028913101          50      27,193  SH     DEFINED  01,08       5,093      22,100           0

AMERICAN PWR CONVERSION CORP   COM   029066107      15,419   1,082,761  SH     DEFINED     01     553,073     509,263      20,425
AMERICAN PWR CONVERSION CORP   COM   029066107           1         100  SH     OTHER       01           0           0         100
AMERICAN PWR CONVERSION CORP   COM   029066107         172      12,050  SH     DEFINED     02      12,050           0           0
AMERICAN PWR CONVERSION CORP   COM   029066107         134       9,385  SH     OTHER       02           0       9,385           0
AMERICAN PWR CONVERSION CORP   COM   029066107           1         100  SH     DEFINED     03           0           0         100
AMERICAN PWR CONVERSION CORP   COM   029066107           6         400  SH     DEFINED     04         400           0           0
AMERICAN PWR CONVERSION CORP   COM   029066107          68       4,800  SH     OTHER       04       4,800           0           0
AMERICAN PWR CONVERSION CORP   COM   029066107           7         500  SH     OTHER    01,06           0           0         500
AMERICAN PWR CONVERSION CORP   COM   029066107       8,597     603,702  SH     DEFINED  01,08     148,193     455,509           0

AMERICAN REAL ESTATE PARTNR    COM   029169109         103       9,997  SH     DEFINED     01       9,997           0           0
AMERICAN REAL ESTATE PARTNR    COM   029169109           1         111  SH     OTHER       01         111           0           0

AMERICAN RLTY INVS INC         COM   029174109          41       4,965  SH     DEFINED     01       1,565       3,400           0
AMERICAN RLTY INVS INC         COM   029174109         113      13,600  SH     DEFINED  01,08       4,900       8,700           0

AMERICAN SCIENCE & ENGR INC    COM   029429107          66       8,300  SH     DEFINED     01       1,000       7,300           0
AMERICAN SCIENCE & ENGR INC    COM   029429107           5         600  SH     OTHER       01           0         600           0
AMERICAN SCIENCE & ENGR INC    COM   029429107         123      15,409  SH     DEFINED  01,08       2,842      12,567           0

AMERICAN SHARED HOSPITAL SVC   COM   029595105          13       3,700  SH     DEFINED     01         800       2,900           0
AMERICAN SHARED HOSPITAL SVC   COM   029595105          37      10,388  SH     DEFINED  01,08       1,603       8,785           0

AMERICAN SOFTWARE INC          COM   029683109         109      35,300  SH     DEFINED     01       4,600      30,700           0
AMERICAN SOFTWARE INC          COM   029683109         165      53,309  SH     DEFINED  01,08       9,772      43,537           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     37
________

AMERICAN STD COS INC DEL       COM   029712106      26,602     386,826  SH     DEFINED     01     200,109     180,742       5,975
AMERICAN STD COS INC DEL       COM   029712106           3          50  SH     OTHER       01           0           0          50
AMERICAN STD COS INC DEL       COM   029712106          21         308  SH     DEFINED     03         308           0           0
AMERICAN STD COS INC DEL       COM   029712106          45         650  SH     DEFINED     04         650           0           0
AMERICAN STD COS INC DEL       COM   029712106          14         200  SH     OTHER    01,06           0           0         200
AMERICAN STD COS INC DEL       COM   029712106      13,613     197,953  SH     DEFINED  01,08      46,633     151,320           0
AMERICAN STD COS INC DEL       COM   029712106          20         297  SH     DEFINED     10         297           0           0

AMERICAN STS WTR CO            COM   029899101       1,657      69,349  SH     DEFINED     01      45,116      23,333         900
AMERICAN STS WTR CO            COM   029899101          13         550  SH     DEFINED     02           0           0         550
AMERICAN STS WTR CO            COM   029899101          54       2,250  SH     DEFINED     03       2,250           0           0
AMERICAN STS WTR CO            COM   029899101          29       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          36       1,500  SH     OTHER       04       1,500           0           0
AMERICAN STS WTR CO            COM   029899101           7         300  SH     OTHER    01,06           0           0         300
AMERICAN STS WTR CO            COM   029899101       1,175      49,179  SH     DEFINED  01,08      13,508      35,671           0

AMERICAN TOWER CORP            COM   029912201       3,214     582,268  SH     DEFINED     01     327,867     246,251       8,150
AMERICAN TOWER CORP            COM   029912201          14       2,455  SH     OTHER       03       2,455           0           0
AMERICAN TOWER CORP            COM   029912201          23       4,100  SH     DEFINED     04       4,100           0           0
AMERICAN TOWER CORP            COM   029912201          88      16,000  SH     OTHER       04      16,000           0           0
AMERICAN TOWER CORP            COM   029912201         138      25,000  SH     OTHER       05           0           0      25,000
AMERICAN TOWER CORP            COM   029912201       3,273     592,972  SH     DEFINED  01,08     100,064     492,908           0

AMERICAN SUPERCONDUCTOR CORP   COM   030111108         259      71,887  SH     DEFINED     01      39,388      31,449       1,050
AMERICAN SUPERCONDUCTOR CORP   COM   030111108          11       3,000  SH     OTHER       01           0       3,000           0
AMERICAN SUPERCONDUCTOR CORP   COM   030111108         264      73,465  SH     DEFINED  01,08      11,698      61,767           0
AMERICAN SUPERCONDUCTOR CORP   COM   030111108           6       1,750  SH     OTHER       10       1,750           0           0

AMERICAN TECHNICNAL CERAMICS   COM   030137103         105      27,900  SH     DEFINED     01       1,500      26,400           0
AMERICAN TECHNICNAL CERAMICS   COM   030137103          82      21,680  SH     DEFINED  01,08       3,565      18,115           0

AMERICAN TECHNOLOGY CORP       COM   030145205          77      22,169  SH     DEFINED  01,08       6,269      15,900           0

AMERICAN VANTAGE COS           COM   03037B106          20      14,300  SH     DEFINED     01           0      14,300           0
AMERICAN VANTAGE COS           COM   03037B106           2       1,433  SH     DEFINED  01,08       1,333         100           0

AMERICAN WOODMARK CORP         COM   030506109         973      22,063  SH     DEFINED     01       8,862      13,101         100
AMERICAN WOODMARK CORP         COM   030506109       1,040      23,586  SH     DEFINED  01,08       4,047      19,539           0

AMERICANWEST BANCORPORATION    COM   03058P109         441      27,183  SH     DEFINED     01      16,854      10,329           0
AMERICANWEST BANCORPORATION    COM   03058P109         322      19,866  SH     DEFINED  01,08       4,173      15,693           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     38
________

AMERICREDIT CORP               COM   03060R101       1,578     478,069  SH     DEFINED     01     171,743     298,826       7,500
AMERICREDIT CORP               COM   03060R101           3       1,000  SH     DEFINED     03           0       1,000           0
AMERICREDIT CORP               COM   03060R101       1,306     395,692  SH     DEFINED  01,08      49,859     345,833           0

AMERICAS CAR MART INC          COM   03062T105          40       3,300  SH     DEFINED     01       1,400       1,900           0
AMERICAS CAR MART INC          COM   03062T105         141      11,500  SH     DEFINED  01,08       3,000       8,500           0

AMERIGON INC                   COM   03070L300          18       9,300  SH     DEFINED     01         900       8,400           0
AMERIGON INC                   COM   03070L300          20      10,120  SH     DEFINED  01,08       1,043       9,077           0

AMERISTAR CASINOS INC          COM   03070Q101         357      33,342  SH     DEFINED     01      19,414      13,378         550
AMERISTAR CASINOS INC          COM   03070Q101         470      43,798  SH     DEFINED  01,08      12,699      31,099           0

AMERIVEST PPTYS INC DEL        COM   03071L101          94      15,000  SH     DEFINED     01      15,000           0           0
AMERIVEST PPTYS INC DEL        COM   03071L101          64      10,100  SH     DEFINED  01,08       4,700       5,400           0

AMERON INTL INC                COM   030710107       1,460      24,422  SH     DEFINED     01      18,693       5,529         200
AMERON INTL INC                COM   030710107         751      12,555  SH     DEFINED  01,08       2,315      10,240           0

AMERUS GROUP CO                COM   03072M108       3,305     134,674  SH     DEFINED     01      55,661      77,813       1,200
AMERUS GROUP CO                COM   03072M108          12         503  SH     OTHER       02         503           0           0
AMERUS GROUP CO                COM   03072M108         352      14,347  SH     DEFINED     04       9,347           0       5,000
AMERUS GROUP CO                COM   03072M108       2,284      93,064  SH     DEFINED  01,08      12,464      80,600           0

AMERISOURCEBERGEN CORP         COM   03073E105      52,422     998,513  SH     DEFINED     01     590,818     346,080      61,615
AMERISOURCEBERGEN CORP         COM   03073E105         918      17,495  SH     OTHER       01       1,220      13,625       2,650
AMERISOURCEBERGEN CORP         COM   03073E105          42         792  SH     DEFINED     02         792           0           0
AMERISOURCEBERGEN CORP         COM   03073E105         834      15,892  SH     DEFINED     03       8,360       7,107         425
AMERISOURCEBERGEN CORP         COM   03073E105         262       4,990  SH     OTHER       03       3,270         800         920
AMERISOURCEBERGEN CORP         COM   03073E105       1,323      25,195  SH     DEFINED     04      24,495           0         700
AMERISOURCEBERGEN CORP         COM   03073E105         197       3,756  SH     OTHER       04       3,056           0         700
AMERISOURCEBERGEN CORP         COM   03073E105          11         200  SH     DEFINED     05         200           0           0
AMERISOURCEBERGEN CORP         COM   03073E105          16         300  SH     OTHER    01,06           0           0         300
AMERISOURCEBERGEN CORP         COM   03073E105       6,384     121,604  SH     DEFINED  01,08     102,735      18,869           0
AMERISOURCEBERGEN CORP         COM   03073E105          29         550  SH     DEFINED     10         550           0           0

AMERIGROUP CORP                COM   03073T102       1,313      44,867  SH     DEFINED     01      18,871      25,396         600
AMERIGROUP CORP                COM   03073T102          12         400  SH     OTHER    01,06           0           0         400
AMERIGROUP CORP                COM   03073T102       2,475      84,571  SH     DEFINED  01,08       9,764      74,807           0

AMERISERV FINL INC             COM   03074A102          61      17,400  SH     DEFINED     01       2,800      14,600           0
AMERISERV FINL INC             COM   03074A102          87      24,986  SH     DEFINED  01,08       6,234      18,752           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     39
________

AMERITRADE HLDG CORP NEW       COM   03074K100       2,832     570,954  SH     DEFINED     01     370,861     191,947       8,146
AMERITRADE HLDG CORP NEW       COM   03074K100          12       2,500  SH     OTHER       02       2,500           0           0
AMERITRADE HLDG CORP NEW       COM   03074K100       2,469     497,830  SH     DEFINED  01,08      84,824     413,006           0

AMERIGAS PARTNERS L P          COM   030975106         216       9,000  SH     DEFINED     01       9,000           0           0
AMERIGAS PARTNERS L P          COM   030975106           5         200  SH     OTHER       01           0           0         200
AMERIGAS PARTNERS L P          COM   030975106         300      12,500  SH     DEFINED     04      12,500           0           0
AMERIGAS PARTNERS L P          COM   030975106          48       2,000  SH     OTHER       04       2,000           0           0
AMERIGAS PARTNERS L P          COM   030975106         132       5,500  SH     DEFINED     10           0       5,500           0

AMETEK INC NEW                 COM   031100100       5,023     152,164  SH     DEFINED     01      74,047      75,917       2,200
AMETEK INC NEW                 COM   031100100         231       7,000  SH     DEFINED     04       7,000           0           0
AMETEK INC NEW                 COM   031100100          40       1,200  SH     DEFINED     05         400           0         800
AMETEK INC NEW                 COM   031100100       3,288      99,596  SH     DEFINED  01,08      10,580      89,016           0

AMGEN INC                      COM   031162100     511,970   8,896,086  SH     DEFINED     01   5,080,405   3,635,212     180,469
AMGEN INC                      COM   031162100      19,737     342,953  SH     OTHER       01     126,871     171,247      44,835
AMGEN INC                      COM   031162100       9,112     158,326  SH     DEFINED     02     100,970      53,576       3,780
AMGEN INC                      COM   031162100       1,484      25,782  SH     OTHER       02      14,165      10,300       1,317
AMGEN INC                      COM   031162100      23,575     409,651  SH     DEFINED     03     175,908     175,312      58,431
AMGEN INC                      COM   031162100       4,784      83,123  SH     OTHER       03      54,346      16,580      12,197
AMGEN INC                      COM   031162100      93,799   1,629,873  SH     DEFINED     04   1,585,668           0      44,205
AMGEN INC                      COM   031162100      30,671     532,947  SH     OTHER       04     491,012           0      41,935
AMGEN INC                      COM   031162100       8,285     143,954  SH     DEFINED     05     120,789      15,640       7,525
AMGEN INC                      COM   031162100       1,650      28,675  SH     OTHER       05      12,075       5,575      11,025
AMGEN INC                      COM   031162100         192       3,340  SH     OTHER    01,06           0           0       3,340
AMGEN INC                      COM   031162100     214,785   3,732,142  SH     DEFINED  01,08     902,608   2,829,534           0
AMGEN INC                      COM   031162100       9,872     171,537  SH     DEFINED     10     132,157      35,475       3,905
AMGEN INC                      COM   031162100       2,262      39,313  SH     OTHER       10      21,800      17,088         425

AMISTAR CORP                   COM   031535107           2       1,800  SH     DEFINED     01           0       1,800           0
AMISTAR CORP                   COM   031535107          14      15,772  SH     DEFINED  01,08       1,920      13,852           0

AMKOR TECHNOLOGY INC           COM   031652100         639     123,653  SH     DEFINED     01      79,994      39,759       3,900
AMKOR TECHNOLOGY INC           COM   031652100           1         200  SH     DEFINED     04         200           0           0
AMKOR TECHNOLOGY INC           COM   031652100       1,268     245,323  SH     DEFINED  01,08      34,234     211,089           0

AMPAL AMERN ISRAEL CORP        COM   032015109          30      13,900  SH     DEFINED     01       1,600      12,300           0
AMPAL AMERN ISRAEL CORP        COM   032015109          96      44,377  SH     DEFINED  01,08       8,458      35,919           0

AMPCO-PITTSBURGH CORP          COM   032037103         145      11,200  SH     DEFINED     01       2,000       9,200           0
AMPCO-PITTSBURGH CORP          COM   032037103         314      24,212  SH     DEFINED  01,08       4,313      19,899           0

AMPEX CORP DEL                 COM   032092108           6      68,900  SH     DEFINED     01      10,900      58,000           0
AMPEX CORP DEL                 COM   032092108           6      61,916  SH     DEFINED  01,08      10,338      51,578           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     40
________

AMPHENOL CORP NEW              COM   032095101       1,121      27,498  SH     DEFINED     01      17,740       8,908         850
AMPHENOL CORP NEW              COM   032095101       2,239      54,936  SH     DEFINED  01,08       8,536      46,400           0

AMREP CORP NEW                 COM   032159105          59       6,800  SH     DEFINED     01       1,000       5,800           0
AMREP CORP NEW                 COM   032159105         156      17,977  SH     DEFINED  01,08       2,908      15,069           0

AMSOUTH BANCORPORATION         COM   032165102      39,698   1,996,871  SH     DEFINED     01   1,039,135     927,891      29,845
AMSOUTH BANCORPORATION         COM   032165102          23       1,150  SH     OTHER       01         800           0         350
AMSOUTH BANCORPORATION         COM   032165102          48       2,400  SH     DEFINED     02       2,400           0           0
AMSOUTH BANCORPORATION         COM   032165102           3         150  SH     DEFINED     03           0           0         150
AMSOUTH BANCORPORATION         COM   032165102       3,459     174,002  SH     DEFINED     04     172,787           0       1,215
AMSOUTH BANCORPORATION         COM   032165102          97       4,900  SH     OTHER       04       4,900           0           0
AMSOUTH BANCORPORATION         COM   032165102          18         900  SH     OTHER    01,06           0           0         900
AMSOUTH BANCORPORATION         COM   032165102      22,364   1,124,936  SH     DEFINED  01,08     269,831     855,105           0
AMSOUTH BANCORPORATION         COM   032165102           1          63  SH     DEFINED     10          63           0           0

AMSURG CORP                    COM   03232P405       1,891      75,028  SH     DEFINED     01      36,003      33,775       5,250
AMSURG CORP                    COM   03232P405          57       2,250  SH     DEFINED     04       2,250           0           0
AMSURG CORP                    COM   03232P405          10         400  SH     OTHER    01,06           0           0         400
AMSURG CORP                    COM   03232P405       2,658     105,489  SH     DEFINED  01,08      11,544      93,945           0

AMTECH SYS INC                 COM   032332504           6       2,200  SH     DEFINED     01           0       2,000         200
AMTECH SYS INC                 COM   032332504         177      60,000  SH     DEFINED     04      60,000           0           0
AMTECH SYS INC                 COM   032332504          12       4,100  SH     DEFINED  01,08       1,000       3,100           0

AMYLIN PHARMACEUTICALS INC     COM   032346108       3,955     244,119  SH     DEFINED     01     131,400     109,619       3,100
AMYLIN PHARMACEUTICALS INC     COM   032346108          32       2,000  SH     DEFINED     03       2,000           0           0
AMYLIN PHARMACEUTICALS INC     COM   032346108          16       1,000  SH     OTHER       04       1,000           0           0
AMYLIN PHARMACEUTICALS INC     COM   032346108       4,086     252,216  SH     DEFINED  01,08      47,141     205,075           0

ANADARKO PETE CORP             CONDB 032511AP2       2,938   5,000,000  PRN    DEFINED     01   5,000,000           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     41
________

ANADARKO PETE CORP             COM   032511107      72,578   1,595,125  SH     DEFINED     01     854,946     705,022      35,157
ANADARKO PETE CORP             COM   032511107       1,815      39,895  SH     OTHER       01      26,073       6,085       7,737
ANADARKO PETE CORP             COM   032511107       1,357      29,834  SH     DEFINED     02      24,252       3,707       1,875
ANADARKO PETE CORP             COM   032511107         486      10,680  SH     OTHER       02       8,654       2,026           0
ANADARKO PETE CORP             COM   032511107       2,396      52,662  SH     DEFINED     03      22,764      21,643       8,255
ANADARKO PETE CORP             COM   032511107         529      11,620  SH     OTHER       03       5,363       5,592         665
ANADARKO PETE CORP             COM   032511107       8,211     180,465  SH     DEFINED     04     175,040           0       5,425
ANADARKO PETE CORP             COM   032511107       2,664      58,552  SH     OTHER       04      55,207           0       3,345
ANADARKO PETE CORP             COM   032511107       1,381      30,343  SH     DEFINED     05      23,624       4,019       2,700
ANADARKO PETE CORP             COM   032511107         470      10,320  SH     OTHER       05       6,040       4,150         130
ANADARKO PETE CORP             COM   032511107          31         673  SH     OTHER    01,06           0           0         673
ANADARKO PETE CORP             COM   032511107      35,385     777,697  SH     DEFINED  01,08     197,979     579,718           0
ANADARKO PETE CORP             COM   032511107       1,027      22,581  SH     DEFINED     10      20,308       2,173         100
ANADARKO PETE CORP             COM   032511107         282       6,195  SH     OTHER       10       2,060       4,135           0

ANADIGICS INC                  COM   032515108         249     117,368  SH     DEFINED     01      70,102      46,566         700
ANADIGICS INC                  COM   032515108           3       1,300  SH     DEFINED     02           0           0       1,300
ANADIGICS INC                  COM   032515108         264     124,692  SH     DEFINED  01,08      17,433     107,259           0

ANALOG DEVICES INC             COM   032654105      65,876   2,395,497  SH     DEFINED     01   1,332,464   1,016,678      46,355
ANALOG DEVICES INC             COM   032654105       1,583      57,574  SH     OTHER       01      26,999      28,225       2,350
ANALOG DEVICES INC             COM   032654105         103       3,735  SH     DEFINED     02       3,335         350          50
ANALOG DEVICES INC             COM   032654105         198       7,210  SH     OTHER       02           0       7,210           0
ANALOG DEVICES INC             COM   032654105         191       6,930  SH     DEFINED     03       1,775       4,915         240
ANALOG DEVICES INC             COM   032654105          78       2,850  SH     OTHER       03         250       1,400       1,200
ANALOG DEVICES INC             COM   032654105       4,690     170,528  SH     DEFINED     04     166,853           0       3,675
ANALOG DEVICES INC             COM   032654105         710      25,831  SH     OTHER       04      25,421           0         410
ANALOG DEVICES INC             COM   032654105       1,635      59,455  SH     DEFINED     05      46,260      10,275       2,920
ANALOG DEVICES INC             COM   032654105         314      11,425  SH     OTHER       05       7,625       3,600         200
ANALOG DEVICES INC             COM   032654105          25         900  SH     OTHER    01,06           0           0         900
ANALOG DEVICES INC             COM   032654105      30,058   1,093,031  SH     DEFINED  01,08     270,969     822,062           0
ANALOG DEVICES INC             COM   032654105         206       7,498  SH     DEFINED     10       7,173         250          75
ANALOG DEVICES INC             COM   032654105           8         300  SH     OTHER       10         150         150           0

ANALOGIC CORP                  COM   032657207       1,401      30,734  SH     DEFINED     01      14,746      15,188         800
ANALOGIC CORP                  COM   032657207          11         250  SH     OTHER    01,06           0           0         250
ANALOGIC CORP                  COM   032657207       2,998      65,792  SH     DEFINED  01,08      10,822      54,970           0

ANALYSTS INTL CORP             COM   032681108          43      28,534  SH     DEFINED     01       4,734      23,800           0
ANALYSTS INTL CORP             COM   032681108          86      57,534  SH     DEFINED  01,08       6,712      50,822           0

ANAREN INC                     COM   032744104         856      99,010  SH     DEFINED     01      62,773      34,937       1,300
ANAREN INC                     COM   032744104         644      74,417  SH     DEFINED  01,08      12,824      61,593           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     42
________

ANCHOR BANCORP WIS INC         COM   032839102       1,955      89,070  SH     DEFINED     01      38,778      48,507       1,785
ANCHOR BANCORP WIS INC         COM   032839102          11         500  SH     OTHER    01,06           0           0         500
ANCHOR BANCORP WIS INC         COM   032839102       2,146      97,759  SH     DEFINED  01,08      21,559      76,200           0

ANDERSONS INC                  COM   034164103         142      11,100  SH     DEFINED     01       1,600       9,500           0
ANDERSONS INC                  COM   034164103         161      12,575  SH     DEFINED  01,08       3,275       9,300           0

ANDREA ELECTRONICS CORP        COM   034393108           3      16,400  SH     DEFINED     01       3,000      13,400           0
ANDREA ELECTRONICS CORP        COM   034393108           5      23,176  SH     DEFINED  01,08       3,623      19,553           0

ANDREW CORP                    COM   034425108       3,698     672,391  SH     DEFINED     01     388,242     280,874       3,275
ANDREW CORP                    COM   034425108          10       1,900  SH     OTHER       01       1,800           0         100
ANDREW CORP                    COM   034425108           0          50  SH     DEFINED     03           0           0          50
ANDREW CORP                    COM   034425108           2         450  SH     OTHER       03         450           0           0
ANDREW CORP                    COM   034425108           2         400  SH     OTHER    01,06           0           0         400
ANDREW CORP                    COM   034425108       1,537     279,483  SH     DEFINED  01,08      71,488     207,995           0
ANDREW CORP                    COM   034425108           0          13  SH     DEFINED     10          13           0           0

ANDRX CORP DEL                 COM   034553107         902      76,400  SH     DEFINED     01      46,475      29,175         750
ANDRX CORP DEL                 COM   034553107           4         360  SH     DEFINED     02           0           0         360
ANDRX CORP DEL                 COM   034553107       1,544     130,840  SH     DEFINED     04     126,715           0       4,125
ANDRX CORP DEL                 COM   034553107           7         600  SH     OTHER       04         600           0           0
ANDRX CORP DEL                 COM   034553107       1,532     129,862  SH     DEFINED  01,08      15,037     114,825           0
ANDRX CORP DEL                 COM   034553107           6         500  SH     DEFINED     10         500           0           0

ANGELICA CORP                  COM   034663104       1,052      61,722  SH     DEFINED     01      20,322      41,100         300
ANGELICA CORP                  COM   034663104         147       8,596  SH     DEFINED     04       8,596           0           0
ANGELICA CORP                  COM   034663104           3         200  SH     OTHER    01,06           0           0         200
ANGELICA CORP                  COM   034663104         722      42,369  SH     DEFINED  01,08      17,410      24,959           0

ANGIOTECH PHARMACEUTICALS IN   COM   034918102          61       3,038  SH     DEFINED     01         420       2,618           0
ANGIOTECH PHARMACEUTICALS IN   COM   034918102         142       7,122  SH     DEFINED  01,08       1,236       5,886           0

ANGLOGOLD LTD                  COM   035128206          36       1,200  SH     DEFINED     01           0       1,200           0
ANGLOGOLD LTD                  COM   035128206         115       3,800  SH     OTHER       01           0       3,800           0
ANGLOGOLD LTD                  COM   035128206          42       1,388  SH     OTHER       02         463           0         925
ANGLOGOLD LTD                  COM   035128206           9         309  SH     DEFINED     04         309           0           0
ANGLOGOLD LTD                  COM   035128206           7         218  SH     OTHER       04         218           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     43
________

ANHEUSER BUSCH COS INC         COM   035229103     240,179   5,152,953  SH     DEFINED     01   2,763,840   2,279,321     109,792
ANHEUSER BUSCH COS INC         COM   035229103       5,693     122,134  SH     OTHER       01      60,326      54,220       7,588
ANHEUSER BUSCH COS INC         COM   035229103       1,929      41,391  SH     DEFINED     02      27,021      11,661       2,709
ANHEUSER BUSCH COS INC         COM   035229103       1,293      27,750  SH     OTHER       02      11,050      16,600         100
ANHEUSER BUSCH COS INC         COM   035229103       4,411      94,643  SH     DEFINED     03      51,134      31,820      11,689
ANHEUSER BUSCH COS INC         COM   035229103       2,189      46,966  SH     OTHER       03      27,603      17,885       1,478
ANHEUSER BUSCH COS INC         COM   035229103      27,751     595,388  SH     DEFINED     04     581,703           0      13,685
ANHEUSER BUSCH COS INC         COM   035229103      13,213     283,480  SH     OTHER       04     274,455           0       9,025
ANHEUSER BUSCH COS INC         COM   035229103      11,518     247,107  SH     DEFINED     05     224,789      16,138       6,180
ANHEUSER BUSCH COS INC         COM   035229103         448       9,607  SH     OTHER       05       1,507       8,100           0
ANHEUSER BUSCH COS INC         COM   035229103         105       2,250  SH     OTHER    01,06           0           0       2,250
ANHEUSER BUSCH COS INC         COM   035229103     106,621   2,287,514  SH     DEFINED  01,08     397,688   1,889,826           0
ANHEUSER BUSCH COS INC         COM   035229103       9,519     204,223  SH     DEFINED     10      80,813      55,350      68,060
ANHEUSER BUSCH COS INC         COM   035229103      47,740   1,024,252  SH     OTHER       10      34,662     989,290         300

ANIKA THERAPEUTICS INC         COM   035255108          22      14,000  SH     DEFINED     01       1,400      12,600           0
ANIKA THERAPEUTICS INC         COM   035255108          24      14,900  SH     DEFINED  01,08       4,691      10,209           0

ANIXTER INTL INC               COM   035290105       3,846     169,657  SH     DEFINED     01     114,096      52,061       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       3,684     162,495  SH     DEFINED  01,08      32,299     130,196           0

ANNALY MTG MGMT INC            COM   035710409       3,727     213,365  SH     DEFINED     01     173,186      36,579       3,600
ANNALY MTG MGMT INC            COM   035710409          17       1,000  SH     OTHER       03       1,000           0           0
ANNALY MTG MGMT INC            COM   035710409          83       4,775  SH     DEFINED     04       4,775           0           0
ANNALY MTG MGMT INC            COM   035710409          35       2,000  SH     OTHER       04           0           0       2,000
ANNALY MTG MGMT INC            COM   035710409       2,366     135,425  SH     DEFINED  01,08      21,775     113,650           0

ANNTAYLOR STORES CORP          COM   036115103       3,286     160,081  SH     DEFINED     01      89,017      66,964       4,100
ANNTAYLOR STORES CORP          COM   036115103          18         900  SH     OTHER    01,06           0           0         900
ANNTAYLOR STORES CORP          COM   036115103       3,714     180,920  SH     DEFINED  01,08      38,978     141,942           0

ANSOFT CORP                    COM   036384105          90      11,900  SH     DEFINED     01       2,400       9,500           0
ANSOFT CORP                    COM   036384105         151      20,000  SH     OTHER       01           0           0      20,000
ANSOFT CORP                    COM   036384105          24       3,232  SH     DEFINED     02       3,232           0           0
ANSOFT CORP                    COM   036384105         155      20,534  SH     DEFINED  01,08       5,277      15,257           0

ANSYS INC                      COM   03662Q105       1,194      49,865  SH     DEFINED     01      26,569      22,446         850
ANSYS INC                      COM   03662Q105           1          60  SH     DEFINED     02           0           0          60
ANSYS INC                      COM   03662Q105           6         250  SH     OTHER    01,06           0           0         250
ANSYS INC                      COM   03662Q105       1,418      59,225  SH     DEFINED  01,08       8,314      50,911           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     44
________

ANTHEM INC                     COM   03674B104      53,692     810,452  SH     DEFINED     01     414,976     379,770      15,706
ANTHEM INC                     COM   03674B104           2          25  SH     OTHER       01           0           0          25
ANTHEM INC                     COM   03674B104           2          32  SH     DEFINED     02           0           0          32
ANTHEM INC                     COM   03674B104         249       3,753  SH     DEFINED     04         453           0       3,300
ANTHEM INC                     COM   03674B104          21         323  SH     OTHER       04         323           0           0
ANTHEM INC                     COM   03674B104          23         350  SH     OTHER    01,06           0           0         350
ANTHEM INC                     COM   03674B104      28,203     425,708  SH     DEFINED  01,08     108,533     317,175           0
ANTHEM INC                     COM   03674B104          39         584  SH     OTHER       10         584           0           0

ANTEON INTL CORP               COM   03674E108       1,679      74,807  SH     DEFINED     01      36,517      37,540         750
ANTEON INTL CORP               COM   03674E108         969      43,182  SH     DEFINED  01,08      16,335      26,847           0

ANTHONY & SYLVAN POOLS CORP    COM   036762102          18       7,611  SH     DEFINED     01         794       6,817           0
ANTHONY & SYLVAN POOLS CORP    COM   036762102          36      15,122  SH     DEFINED  01,08       2,387      12,735           0

ANSWERTHINK INC                COM   036916104         377     171,398  SH     DEFINED     01     105,768      64,580       1,050
ANSWERTHINK INC                COM   036916104          18       8,000  SH     DEFINED     04       8,000           0           0
ANSWERTHINK INC                COM   036916104         278     126,302  SH     DEFINED  01,08      26,199     100,103           0
ANSWERTHINK INC                COM   036916104           1         500  SH     DEFINED     10           0           0         500

ANTHRACITE CAP INC             COM   037023108       2,062     180,252  SH     DEFINED     01     123,729      54,103       2,420
ANTHRACITE CAP INC             COM   037023108         114      10,000  SH     DEFINED     04       8,200           0       1,800
ANTHRACITE CAP INC             COM   037023108           6         500  SH     OTHER       04         500           0           0
ANTHRACITE CAP INC             COM   037023108       1,579     138,047  SH     DEFINED  01,08      26,189     111,858           0

ANTIGENICS INC DEL             COM   037032109         707      85,316  SH     DEFINED     01      41,273      42,843       1,200
ANTIGENICS INC DEL             COM   037032109       1,033     124,560  SH     DEFINED  01,08      17,685     106,875           0

ANWORTH MORTGAGE ASSET CP      COM   037347101         849      65,005  SH     DEFINED     01      48,805      15,100       1,100
ANWORTH MORTGAGE ASSET CP      COM   037347101         131      10,000  SH     DEFINED     04      10,000           0           0
ANWORTH MORTGAGE ASSET CP      COM   037347101       2,249     172,223  SH     DEFINED  01,08      13,374     158,849           0

AON CORP                       COM   037389103      39,012   1,886,455  SH     DEFINED     01     953,745     902,620      30,090
AON CORP                       COM   037389103       1,996      96,537  SH     OTHER       01      28,164      68,073         300
AON CORP                       COM   037389103         111       5,345  SH     DEFINED     02       3,245       1,750         350
AON CORP                       COM   037389103          59       2,870  SH     OTHER       02       2,351         519           0
AON CORP                       COM   037389103         118       5,700  SH     DEFINED     03       5,600           0         100
AON CORP                       COM   037389103          79       3,800  SH     OTHER       03       3,800           0           0
AON CORP                       COM   037389103       1,474      71,284  SH     DEFINED     04      71,284           0           0
AON CORP                       COM   037389103         948      45,824  SH     OTHER       04      42,449           0       3,375
AON CORP                       COM   037389103          17         800  SH     OTHER    01,06           0           0         800
AON CORP                       COM   037389103      17,849     863,108  SH     DEFINED  01,08     229,328     633,780           0
AON CORP                       COM   037389103         353      17,079  SH     DEFINED     10      17,079           0           0
AON CORP                       COM   037389103         202       9,750  SH     OTHER       10       9,750           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     45
________

APACHE CORP                    COM   037411105     119,530   1,936,027  SH     DEFINED     01   1,216,493     630,743      88,791
APACHE CORP                    COM   037411105       7,508     121,600  SH     OTHER       01      59,434      52,963       9,203
APACHE CORP                    COM   037411105       3,724      60,310  SH     DEFINED     02      46,281      12,284       1,745
APACHE CORP                    COM   037411105         742      12,018  SH     OTHER       02       4,636       7,382           0
APACHE CORP                    COM   037411105      11,223     181,776  SH     DEFINED     03      77,479      68,842      35,455
APACHE CORP                    COM   037411105       1,303      21,098  SH     OTHER       03      12,468       5,815       2,815
APACHE CORP                    COM   037411105      38,123     617,482  SH     DEFINED     04     601,333           0      16,149
APACHE CORP                    COM   037411105      10,737     173,902  SH     OTHER       04     163,726           0      10,176
APACHE CORP                    COM   037411105       3,694      59,833  SH     DEFINED     05      56,865       2,048         920
APACHE CORP                    COM   037411105         101       1,642  SH     OTHER       05         667         500         475
APACHE CORP                    COM   037411105          26         420  SH     OTHER    01,06           0           0         420
APACHE CORP                    COM   037411105      28,803     466,525  SH     DEFINED  01,08     133,811     332,714           0
APACHE CORP                    COM   037411105       3,216      52,091  SH     DEFINED     10      46,121       4,570       1,400
APACHE CORP                    COM   037411105       1,149      18,615  SH     OTHER       10      13,190       5,225         200

APARTMENT INVT & MGMT CO       COM   03748R101      18,775     514,676  SH     DEFINED     01     271,668     238,558       4,450
APARTMENT INVT & MGMT CO       COM   03748R101          29         805  SH     DEFINED     02         805           0           0
APARTMENT INVT & MGMT CO       COM   03748R101         146       4,010  SH     DEFINED     04       4,010           0           0
APARTMENT INVT & MGMT CO       COM   03748R101      10,019     274,651  SH     DEFINED  01,08      69,698     204,953           0
APARTMENT INVT & MGMT CO       COM   03748R101          67       1,830  SH     DEFINED     10       1,830           0           0
APARTMENT INVT & MGMT CO       COM   03748R101          15         400  SH     OTHER       10         400           0           0

APEX MORTGAGE CAPITAL          COM   037564101         567      94,358  SH     DEFINED     01      70,696      22,012       1,650
APEX MORTGAGE CAPITAL          COM   037564101         415      69,070  SH     DEFINED  01,08      16,732      52,338           0

APHTON CORP                    COM   03759P101         175      70,028  SH     DEFINED     01      37,643      32,335          50
APHTON CORP                    COM   03759P101         129      51,719  SH     DEFINED  01,08      11,734      39,985           0

APOGEE ENTERPRISES INC         COM   037598109         819      99,681  SH     DEFINED     01      50,872      47,459       1,350
APOGEE ENTERPRISES INC         COM   037598109           4         535  SH     OTHER    01,06           0           0         535
APOGEE ENTERPRISES INC         COM   037598109       1,033     125,679  SH     DEFINED  01,08      25,314     100,365           0

APOGENT TECHNOLOGIES INC       COM   03760A101       4,835     331,588  SH     DEFINED     01     124,885     201,503       5,200
APOGENT TECHNOLOGIES INC       COM   03760A101           6         400  SH     OTHER       01           0         400           0
APOGENT TECHNOLOGIES INC       COM   03760A101           3         200  SH     DEFINED     04         200           0           0
APOGENT TECHNOLOGIES INC       COM   03760A101       3,392     232,628  SH     DEFINED  01,08      33,199     199,429           0
APOGENT TECHNOLOGIES INC       COM   03760A101           4         300  SH     DEFINED     10           0           0         300


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     46
________

APOLLO GROUP INC               COM   037604105      61,266   1,227,778  SH     DEFINED     01     736,276     477,074      14,428
APOLLO GROUP INC               COM   037604105       2,331      46,705  SH     OTHER       01      21,780      19,450       5,475
APOLLO GROUP INC               COM   037604105         964      19,319  SH     DEFINED     02      14,569       4,000         750
APOLLO GROUP INC               COM   037604105         150       3,000  SH     OTHER       02       2,600         400           0
APOLLO GROUP INC               COM   037604105       4,921      98,625  SH     DEFINED     03      42,943      36,352      19,330
APOLLO GROUP INC               COM   037604105         633      12,682  SH     OTHER       03       5,290       6,245       1,147
APOLLO GROUP INC               COM   037604105       1,040      20,837  SH     DEFINED     04      20,437           0         400
APOLLO GROUP INC               COM   037604105          95       1,900  SH     OTHER       04       1,750           0         150
APOLLO GROUP INC               COM   037604105          12         250  SH     DEFINED     05         250           0           0
APOLLO GROUP INC               COM   037604105          22         450  SH     OTHER    01,06           0           0         450
APOLLO GROUP INC               COM   037604105      22,301     446,911  SH     DEFINED  01,08     110,367     336,544           0
APOLLO GROUP INC               COM   037604105         167       3,346  SH     DEFINED     10       2,346           0       1,000
APOLLO GROUP INC               COM   037604105          60       1,200  SH     OTHER       10       1,200           0           0

APOLLO GROUP INC               COM   037604204         710      16,639  SH     DEFINED     01       8,655       7,451         533
APOLLO GROUP INC               COM   037604204       1,853      43,451  SH     DEFINED  01,08       9,253      34,198           0

APPLE COMPUTER INC             COM   037833100      37,308   2,638,451  SH     DEFINED     01   1,666,335     939,241      32,875
APPLE COMPUTER INC             COM   037833100         101       7,121  SH     OTHER       01       2,300       1,712       3,109
APPLE COMPUTER INC             COM   037833100          79       5,560  SH     DEFINED     02       5,400         160           0
APPLE COMPUTER INC             COM   037833100          60       4,250  SH     DEFINED     03           0           0       4,250
APPLE COMPUTER INC             COM   037833100          11         800  SH     OTHER       03         800           0           0
APPLE COMPUTER INC             COM   037833100          27       1,900  SH     DEFINED     04       1,700           0         200
APPLE COMPUTER INC             COM   037833100          91       6,450  SH     OTHER       04       6,450           0           0
APPLE COMPUTER INC             COM   037833100          13         900  SH     OTHER    01,06           0           0         900
APPLE COMPUTER INC             COM   037833100      15,562   1,100,556  SH     DEFINED  01,08     295,204     805,352           0
APPLE COMPUTER INC             COM   037833100           6         452  SH     DEFINED     10         452           0           0
APPLE COMPUTER INC             COM   037833100          17       1,200  SH     OTHER       10         400           0         800

APPLEBEES INTL INC             COM   037899101       6,265     223,437  SH     DEFINED     01      89,782     114,255      19,400
APPLEBEES INTL INC             COM   037899101          17         600  SH     DEFINED     03         600           0           0
APPLEBEES INTL INC             COM   037899101           4         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       3,672     130,954  SH     DEFINED  01,08      14,722     116,232           0

APPLIED INNOVATION INC         COM   037916103          64      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          88      25,890  SH     DEFINED  01,08       6,247      19,643           0

APRIA HEALTHCARE GROUP INC     COM   037933108       4,988     213,533  SH     DEFINED     01      99,216     113,417         900
APRIA HEALTHCARE GROUP INC     COM   037933108       3,294     141,031  SH     DEFINED  01,08      15,877     125,154           0

APPLIED GRAPHICS TECHNOLOGIE   COM   037937208           6      12,279  SH     DEFINED     01       1,879      10,400           0
APPLIED GRAPHICS TECHNOLOGIE   COM   037937208           6      12,133  SH     DEFINED  01,08       2,253       9,880           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     47
________

APPLERA CORP                   COM   038020103      20,179   1,274,741  SH     DEFINED     01     722,541     540,100      12,100
APPLERA CORP                   COM   038020103         561      35,432  SH     OTHER       01      22,458       2,687      10,287
APPLERA CORP                   COM   038020103          34       2,125  SH     DEFINED     02       1,500         375         250
APPLERA CORP                   COM   038020103           9         550  SH     OTHER       02           0         550           0
APPLERA CORP                   COM   038020103          72       4,528  SH     DEFINED     03         700       2,328       1,500
APPLERA CORP                   COM   038020103           2         125  SH     OTHER       03         100          25           0
APPLERA CORP                   COM   038020103          71       4,460  SH     DEFINED     04       4,460           0           0
APPLERA CORP                   COM   038020103          75       4,768  SH     OTHER       04       4,618           0         150
APPLERA CORP                   COM   038020103         272      17,200  SH     DEFINED     05      13,650       2,100       1,450
APPLERA CORP                   COM   038020103           8         500  SH     OTHER    01,06           0           0         500
APPLERA CORP                   COM   038020103       9,545     602,970  SH     DEFINED  01,08     142,854     460,116           0
APPLERA CORP                   COM   038020103           1          34  SH     DEFINED     10          34           0           0
APPLERA CORP                   COM   038020103           2         150  SH     OTHER       10         150           0           0

APPLERA CORP                   COM   038020202       2,011     233,289  SH     DEFINED     01     134,782      94,857       3,650
APPLERA CORP                   COM   038020202          34       3,905  SH     OTHER       01       1,404           2       2,499
APPLERA CORP                   COM   038020202           4         500  SH     DEFINED     02           0         500           0
APPLERA CORP                   COM   038020202           5         525  SH     DEFINED     04         525           0           0
APPLERA CORP                   COM   038020202           9       1,004  SH     OTHER       04       1,004           0           0
APPLERA CORP                   COM   038020202       1,770     205,384  SH     DEFINED  01,08      39,194     166,190           0

APPLICA INC                    COM   03815A106         376      76,899  SH     DEFINED     01      40,382      34,817       1,700
APPLICA INC                    COM   03815A106         238      48,742  SH     DEFINED     04      48,742           0           0
APPLICA INC                    COM   03815A106           2         500  SH     OTHER    01,06           0           0         500
APPLICA INC                    COM   03815A106         523     107,032  SH     DEFINED  01,08      20,223      86,809           0

APPLIED DIGITAL SOLUTIONS      COM   038188108          92     167,500  SH     DEFINED     01     155,000      12,500           0
APPLIED DIGITAL SOLUTIONS      COM   038188108          11      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          88     160,177  SH     DEFINED  01,08      86,627      73,550           0

APPLIED EXTRUSION TECHNOLOGI   COM   038196101          33      17,000  SH     DEFINED     01       2,400      14,600           0
APPLIED EXTRUSION TECHNOLOGI   COM   038196101          43      22,342  SH     DEFINED  01,08       5,924      16,418           0

APPLIED FILMS CORP             COM   038197109         487      30,159  SH     DEFINED     01      22,760       6,849         550
APPLIED FILMS CORP             COM   038197109         619      38,337  SH     DEFINED  01,08       6,461      31,876           0

APPLIED INDL TECHNOLOGIES IN   COM   03820C105       2,017     120,689  SH     DEFINED     01      89,483      29,056       2,150
APPLIED INDL TECHNOLOGIES IN   COM   03820C105           7         400  SH     OTHER    01,06           0           0         400
APPLIED INDL TECHNOLOGIES IN   COM   03820C105       1,648      98,641  SH     DEFINED  01,08      17,070      81,571           0

APPLIED IMAGING CORP           COM   03820G106           3       2,800  SH     DEFINED     01       2,800           0           0
APPLIED IMAGING CORP           COM   03820G106           8       8,300  SH     DEFINED  01,08       3,800       4,500           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     48
________

APPLIED MICRO CIRCUITS CORP    COM   03822W109       5,473   1,678,901  SH     DEFINED     01     866,869     789,532      22,500
APPLIED MICRO CIRCUITS CORP    COM   03822W109           1         300  SH     OTHER       01           0           0         300
APPLIED MICRO CIRCUITS CORP    COM   03822W109           0         150  SH     DEFINED     03           0           0         150
APPLIED MICRO CIRCUITS CORP    COM   03822W109           1         308  SH     DEFINED     04         308           0           0
APPLIED MICRO CIRCUITS CORP    COM   03822W109           3         800  SH     OTHER    01,06           0           0         800
APPLIED MICRO CIRCUITS CORP    COM   03822W109       2,977     913,230  SH     DEFINED  01,08     227,379     685,851           0

APPLIED MATLS INC              COM   038222105     139,875  11,118,850  SH     DEFINED     01   6,191,584   4,632,079     295,187
APPLIED MATLS INC              COM   038222105       6,761     537,443  SH     OTHER       01     212,344     293,326      31,773
APPLIED MATLS INC              COM   038222105       4,364     346,911  SH     DEFINED     02     250,591      85,590      10,730
APPLIED MATLS INC              COM   038222105         915      72,745  SH     OTHER       02      60,370      11,775         600
APPLIED MATLS INC              COM   038222105       3,054     242,784  SH     DEFINED     03     106,075     105,639      31,070
APPLIED MATLS INC              COM   038222105         774      61,515  SH     OTHER       03      19,535      32,480       9,500
APPLIED MATLS INC              COM   038222105      10,245     814,425  SH     DEFINED     04     794,225           0      20,200
APPLIED MATLS INC              COM   038222105       3,861     306,936  SH     OTHER       04     300,486           0       6,450
APPLIED MATLS INC              COM   038222105         301      23,920  SH     DEFINED     05      21,770         600       1,550
APPLIED MATLS INC              COM   038222105         203      16,150  SH     OTHER       05           0       8,000       8,150
APPLIED MATLS INC              COM   038222105          53       4,200  SH     OTHER    01,06           0           0       4,200
APPLIED MATLS INC              COM   038222105      62,019   4,929,952  SH     DEFINED  01,08   1,183,898   3,746,054           0
APPLIED MATLS INC              COM   038222105       3,459     274,981  SH     DEFINED     10     228,581      42,300       4,100
APPLIED MATLS INC              COM   038222105         485      38,525  SH     OTHER       10      24,390      13,535         600

APPLIED MOLECULAR EVOLUTION    COM   03823E108         193      69,516  SH     DEFINED     01      40,972      28,244         300
APPLIED MOLECULAR EVOLUTION    COM   03823E108           4       1,500  SH     OTHER       01           0       1,500           0
APPLIED MOLECULAR EVOLUTION    COM   03823E108         128      46,043  SH     DEFINED  01,08      12,300      33,743           0

APPLIED SIGNAL TECHNOLOGY IN   COM   038237103         183      13,000  SH     DEFINED     01       1,800      11,200           0
APPLIED SIGNAL TECHNOLOGY IN   COM   038237103         210      14,892  SH     DEFINED  01,08       4,091      10,801           0

APPLIX INC                     COM   038316105          25      16,500  SH     DEFINED     01       2,200      14,300           0
APPLIX INC                     COM   038316105          28      18,736  SH     DEFINED  01,08       2,942      15,794           0

APROPOS TECHNOLOGY INC         COM   038334108           6       2,950  SH     DEFINED     01       2,950           0           0
APROPOS TECHNOLOGY INC         COM   038334108          17       8,720  SH     DEFINED  01,08       5,020       3,700           0

APTARGROUP INC                 COM   038336103       2,941      90,908  SH     DEFINED     01      33,737      54,085       3,086
APTARGROUP INC                 COM   038336103           7         222  SH     DEFINED     02           0           0         222
APTARGROUP INC                 COM   038336103          39       1,200  SH     DEFINED     04           0           0       1,200
APTARGROUP INC                 COM   038336103          22         690  SH     OTHER    01,06           0           0         690
APTARGROUP INC                 COM   038336103       3,916     121,040  SH     DEFINED  01,08      31,211      89,829           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     49
________

AQUILA INC                     COM   03840P102       1,536     738,587  SH     DEFINED     01     381,455     348,132       9,000
AQUILA INC                     COM   03840P102           1         470  SH     DEFINED     02           0         300         170
AQUILA INC                     COM   03840P102           5       2,250  SH     DEFINED     04       2,250           0           0
AQUILA INC                     COM   03840P102           1         469  SH     DEFINED     05         469           0           0
AQUILA INC                     COM   03840P102         978     470,085  SH     DEFINED  01,08      58,291     411,794           0
AQUILA INC                     COM   03840P102           1         513  SH     OTHER       10         513           0           0

ARADIGM CORP                   COM   038505103          30      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          60      48,077  SH     DEFINED  01,08       8,326      39,751           0

ARAMARK CORP                   COM   038521100       3,647     159,238  SH     DEFINED     01     133,038      23,200       3,000
ARAMARK CORP                   COM   038521100       2,403     104,925  SH     DEFINED  01,08      37,325      67,600           0
ARAMARK CORP                   COM   038521100          21         925  SH     DEFINED     10         925           0           0

ARBITRON INC                   COM   03875Q108       3,215     101,423  SH     DEFINED     01      56,694      42,554       2,175
ARBITRON INC                   COM   03875Q108          15         469  SH     OTHER       02         469           0           0
ARBITRON INC                   COM   03875Q108          19         600  SH     OTHER    01,06           0           0         600
ARBITRON INC                   COM   03875Q108       3,635     114,681  SH     DEFINED  01,08      16,389      98,292           0
ARBITRON INC                   COM   03875Q108           0           4  SH     DEFINED     10           4           0           0

ARCH CHEMICALS INC             COM   03937R102       2,721     145,515  SH     DEFINED     01     109,477      34,988       1,050
ARCH CHEMICALS INC             COM   03937R102           3         150  SH     OTHER       01         150           0           0
ARCH CHEMICALS INC             COM   03937R102         272      14,528  SH     DEFINED     04      14,528           0           0
ARCH CHEMICALS INC             COM   03937R102           8         450  SH     OTHER    01,06           0           0         450
ARCH CHEMICALS INC             COM   03937R102       1,600      85,568  SH     DEFINED  01,08      19,697      65,871           0
ARCH CHEMICALS INC             COM   03937R102       1,767      94,498  SH     OTHER       10           0      94,498           0

ARCH COAL INC                  COM   039380100       4,380     230,412  SH     DEFINED     01     112,229     114,983       3,200
ARCH COAL INC                  COM   039380100          31       1,624  SH     OTHER       01           0       1,624           0
ARCH COAL INC                  COM   039380100          25       1,300  SH     DEFINED     04       1,300           0           0
ARCH COAL INC                  COM   039380100       2,361     124,224  SH     DEFINED  01,08      15,896     108,328           0
ARCH COAL INC                  COM   039380100           0           2  SH     DEFINED     10           2           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     50
________

ARCHER DANIELS MIDLAND CO      COM   039483102      39,812   3,686,322  SH     DEFINED     01   1,961,350   1,668,709      56,263
ARCHER DANIELS MIDLAND CO      COM   039483102          79       7,297  SH     OTHER       01       6,697           0         600
ARCHER DANIELS MIDLAND CO      COM   039483102          49       4,573  SH     DEFINED     02         147       4,425           1
ARCHER DANIELS MIDLAND CO      COM   039483102          14       1,260  SH     OTHER       02           0       1,260           0
ARCHER DANIELS MIDLAND CO      COM   039483102           1         100  SH     DEFINED     03           0           0         100
ARCHER DANIELS MIDLAND CO      COM   039483102          71       6,615  SH     OTHER       03           0       6,615           0
ARCHER DANIELS MIDLAND CO      COM   039483102         671      62,120  SH     DEFINED     04      62,119           0           1
ARCHER DANIELS MIDLAND CO      COM   039483102          36       3,340  SH     OTHER       04       3,340           0           0
ARCHER DANIELS MIDLAND CO      COM   039483102          18       1,655  SH     OTHER    01,06           0           0       1,655
ARCHER DANIELS MIDLAND CO      COM   039483102      19,617   1,816,353  SH     DEFINED  01,08     492,065   1,324,288           0
ARCHER DANIELS MIDLAND CO      COM   039483102           1         106  SH     DEFINED     10         106           0           0
ARCHER DANIELS MIDLAND CO      COM   039483102          84       7,769  SH     OTHER       10       7,069           0         700

ARCHSTONE SMITH TR             COM   039583109       5,131     233,641  SH     DEFINED     01     143,199      79,755      10,687
ARCHSTONE SMITH TR             COM   039583109       2,547     115,976  SH     OTHER       01      30,924       7,000      78,052
ARCHSTONE SMITH TR             COM   039583109           8         385  SH     OTHER       02           0         385           0
ARCHSTONE SMITH TR             COM   039583109          24       1,100  SH     DEFINED     04       1,100           0           0
ARCHSTONE SMITH TR             COM   039583109       6,438     293,183  SH     DEFINED  01,08      47,198     245,985           0

ARCTIC CAT INC                 COM   039670104       1,036      66,361  SH     DEFINED     01      33,915      30,146       2,300
ARCTIC CAT INC                 COM   039670104           6         400  SH     OTHER    01,06           0           0         400
ARCTIC CAT INC                 COM   039670104       2,008     128,651  SH     DEFINED  01,08      18,844     109,807           0

ARDEN GROUP INC                COM   039762109         376       7,099  SH     DEFINED     01       2,749       4,300          50
ARDEN GROUP INC                COM   039762109         508       9,585  SH     DEFINED  01,08       1,733       7,852           0

ARDEN RLTY INC                 COM   039793104       1,957      86,283  SH     DEFINED     01      58,259      25,374       2,650
ARDEN RLTY INC                 COM   039793104       2,482     109,415  SH     DEFINED  01,08      16,065      93,350           0

ARENA PHARMACEUTICALS INC      COM   040047102         534      81,173  SH     DEFINED     01      46,690      33,333       1,150
ARENA PHARMACEUTICALS INC      COM   040047102         445      67,600  SH     DEFINED  01,08      14,775      52,825           0

ARGONAUT GROUP INC             COM   040157109         672      78,573  SH     DEFINED     01      45,338      33,085         150
ARGONAUT GROUP INC             COM   040157109         767      89,732  SH     DEFINED  01,08      37,688      52,044           0

ARGONAUT TECHNOLOGIES INC      COM   040175101           4       3,900  SH     DEFINED     01       3,900           0           0
ARGONAUT TECHNOLOGIES INC      COM   040175101          20      21,000  SH     DEFINED  01,08       4,300      16,700           0

ARGOSY GAMING CO               COM   040228108       1,774      88,783  SH     DEFINED     01      46,379      40,854       1,550
ARGOSY GAMING CO               COM   040228108          12         600  SH     OTHER    01,06           0           0         600
ARGOSY GAMING CO               COM   040228108       1,809      90,553  SH     DEFINED  01,08      15,909      74,644           0

ARIAD PHARMACEUTICALS INC      COM   04033A100         211     166,639  SH     DEFINED     01      51,854     114,685         100
ARIAD PHARMACEUTICALS INC      COM   04033A100         179     141,318  SH     DEFINED  01,08      17,623     123,695           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     51
________

ARIBA INC                      COM   04033V104       2,538     900,018  SH     DEFINED     01     512,879     376,443      10,696
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         200  SH     OTHER       04         200           0           0
ARIBA INC                      COM   04033V104       1,419     503,138  SH     DEFINED  01,08     147,256     355,882           0

ARISTOTLE CORP                 COM   040448201          13       3,400  SH     DEFINED     01         400       3,000           0
ARISTOTLE CORP                 COM   040448201          52      13,760  SH     DEFINED  01,08       6,138       7,622           0

ARK RESTAURANTS CORP           COM   040712101          30       4,300  SH     DEFINED     01         500       3,800           0
ARK RESTAURANTS CORP           COM   040712101          63       9,071  SH     DEFINED  01,08       1,357       7,714           0

ARKANSAS BEST CORP DEL         COM   040790107       2,464      96,933  SH     DEFINED     01      61,866      32,907       2,160
ARKANSAS BEST CORP DEL         COM   040790107          13         500  SH     OTHER    01,06           0           0         500
ARKANSAS BEST CORP DEL         COM   040790107       1,903      74,874  SH     DEFINED  01,08      13,235      61,639           0

ARM HLDGS PLC                  COM   042068106          24      10,000  SH     DEFINED     04      10,000           0           0
ARM HLDGS PLC                  COM   042068106           1         455  SH     OTHER       04         455           0           0

ARMOR HOLDINGS INC             COM   042260109         598      59,780  SH     DEFINED     01      42,828      16,252         700
ARMOR HOLDINGS INC             COM   042260109           4         350  SH     OTHER       01           0         350           0
ARMOR HOLDINGS INC             COM   042260109          70       7,000  SH     OTHER       04           0           0       7,000
ARMOR HOLDINGS INC             COM   042260109           6         600  SH     OTHER    01,06           0           0         600
ARMOR HOLDINGS INC             COM   042260109         863      86,277  SH     DEFINED  01,08      25,312      60,965           0

ARQULE INC                     COM   04269E107         235      97,319  SH     DEFINED     01      60,605      29,599       7,115
ARQULE INC                     COM   04269E107         114      47,334  SH     OTHER       01           0           0      47,334
ARQULE INC                     COM   04269E107           1         400  SH     OTHER    01,06           0           0         400
ARQULE INC                     COM   04269E107         133      55,394  SH     DEFINED  01,08      17,891      37,503           0

ARRIS GROUP INC                COM   04269Q100         925     250,105  SH     DEFINED     01     142,882     105,773       1,450
ARRIS GROUP INC                COM   04269Q100           3         800  SH     DEFINED     02           0           0         800
ARRIS GROUP INC                COM   04269Q100         923     249,589  SH     DEFINED  01,08      44,100     205,489           0

ARRAY BIOPHARMA INC            COM   04269X105         296      69,268  SH     DEFINED     01      33,946      34,172       1,150
ARRAY BIOPHARMA INC            COM   04269X105         218      51,073  SH     DEFINED  01,08      13,600      37,473           0

ARRHYTHMIA RESH TECHNOLOGY I   COM   042698308           4       1,600  SH     DEFINED     01         700         900           0
ARRHYTHMIA RESH TECHNOLOGY I   COM   042698308          29      10,200  SH     DEFINED  01,08       1,932       8,268           0

ARROW ELECTRS INC              COM   042735100       4,797     326,327  SH     DEFINED     01     120,657     199,620       6,050
ARROW ELECTRS INC              COM   042735100          35       2,350  SH     DEFINED     04       2,350           0           0
ARROW ELECTRS INC              COM   042735100       3,610     245,581  SH     DEFINED  01,08      31,803     213,778           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     52
________

ARROW FINL CORP                COM   042744102         698      24,368  SH     DEFINED     01      12,365      11,693         310
ARROW FINL CORP                COM   042744102         470      16,418  SH     DEFINED  01,08       4,003      12,415           0

ARROW INTL INC                 COM   042764100       2,684      65,986  SH     DEFINED     01      39,286      26,200         500
ARROW INTL INC                 COM   042764100       2,406      59,161  SH     DEFINED  01,08      10,427      48,734           0

ART TECHNOLOGY GROUP INC       COM   04289L107          46      56,600  SH     DEFINED     01      13,700      42,900           0
ART TECHNOLOGY GROUP INC       COM   04289L107          89     109,700  SH     DEFINED  01,08      19,700      90,000           0

ARTISAN COMPONENTS INC         COM   042923102       1,035      64,064  SH     DEFINED     01      26,660      36,654         750
ARTISAN COMPONENTS INC         COM   042923102         854      52,852  SH     DEFINED  01,08       9,375      43,477           0

ARTESYN TECHNOLOGIES INC       COM   043127109         400     128,939  SH     DEFINED     01      72,030      53,909       3,000
ARTESYN TECHNOLOGIES INC       COM   043127109           2         800  SH     OTHER    01,06           0           0         800
ARTESYN TECHNOLOGIES INC       COM   043127109         503     162,375  SH     DEFINED  01,08      32,582     129,793           0
ARTESYN TECHNOLOGIES INC       COM   043127109           0         100  SH     DEFINED     10           0         100           0

ARTHROCARE CORP                COM   043136100         928      74,383  SH     DEFINED     01      39,610      33,773       1,000
ARTHROCARE CORP                COM   043136100           8         675  SH     DEFINED     03           0           0         675
ARTHROCARE CORP                COM   043136100           5         400  SH     OTHER    01,06           0           0         400
ARTHROCARE CORP                COM   043136100       1,069      85,705  SH     DEFINED  01,08      11,616      74,089           0

ARTISOFT INC                   COM   04314L106           6      15,400  SH     DEFINED     01       3,100      12,300           0
ARTISOFT INC                   COM   04314L106          11      29,956  SH     DEFINED  01,08       4,352      25,604           0

ARVINMERITOR INC               COM   043353101       3,062     218,871  SH     DEFINED     01      86,596     131,375         900
ARVINMERITOR INC               COM   043353101          45       3,243  SH     DEFINED     04       3,243           0           0
ARVINMERITOR INC               COM   043353101       2,304     164,695  SH     DEFINED  01,08      21,348     143,347           0

ASBURY AUTOMOTIVE GROUP INC    COM   043436104         237      29,649  SH     DEFINED     01      19,049      10,200         400
ASBURY AUTOMOTIVE GROUP INC    COM   043436104         526      65,719  SH     DEFINED  01,08      15,730      49,989           0

ASCENTIAL SOFTWARE CORP        COM   04362P108       4,437   1,584,762  SH     DEFINED     01     968,766     599,596      16,400
ASCENTIAL SOFTWARE CORP        COM   04362P108           6       2,000  SH     OTHER       01           0       2,000           0
ASCENTIAL SOFTWARE CORP        COM   04362P108       1,807     645,337  SH     DEFINED  01,08      78,468     566,869           0

ASCENT MEDIA GROUP INC         COM   043634104          15      12,977  SH     DEFINED     01       3,449       9,378         150
ASCENT MEDIA GROUP INC         COM   043634104          15      12,927  SH     DEFINED  01,08       2,478      10,449           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     53
________

ASHLAND INC                    COM   044204105      11,497     387,485  SH     DEFINED     01     198,303     182,457       6,725
ASHLAND INC                    COM   044204105         243       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          27         900  SH     OTHER       02         600         300           0
ASHLAND INC                    COM   044204105           1          50  SH     DEFINED     03           0           0          50
ASHLAND INC                    COM   044204105         113       3,824  SH     DEFINED     04       3,824           0           0
ASHLAND INC                    COM   044204105         102       3,450  SH     OTHER       04       3,450           0           0
ASHLAND INC                    COM   044204105           6         200  SH     OTHER    01,06           0           0         200
ASHLAND INC                    COM   044204105       5,252     177,005  SH     DEFINED  01,08      52,841     124,164           0
ASHLAND INC                    COM   044204105           0          12  SH     DEFINED     10          12           0           0

ASHWORTH INC                   COM   04516H101          83      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         209      32,964  SH     DEFINED  01,08      10,029      22,935           0

ASK JEEVES INC                 COM   045174109          88      12,400  SH     DEFINED     01       7,200       5,200           0
ASK JEEVES INC                 COM   045174109         332      46,913  SH     DEFINED     03      46,913           0           0
ASK JEEVES INC                 COM   045174109         499      70,483  SH     DEFINED  01,08      17,423      53,060           0

ASIAINFO HLDGS INC             COM   04518A104         313      77,599  SH     DEFINED     01      45,230      32,369           0
ASIAINFO HLDGS INC             COM   04518A104          82      20,289  SH     DEFINED  01,08       4,000      16,289           0

ASPECT COMMUNICATIONS CORP     COM   04523Q102         437     141,748  SH     DEFINED     01     107,917      31,231       2,600
ASPECT COMMUNICATIONS CORP     COM   04523Q102         524     170,176  SH     DEFINED  01,08      29,017     141,159           0

ASPECT MED SYS INC             COM   045235108          73      20,000  SH     DEFINED     01       3,600      16,400           0
ASPECT MED SYS INC             COM   045235108         121      33,070  SH     DEFINED  01,08       8,370      24,700           0

ASPEN TECHNOLOGY INC           COM   045327103         451     187,973  SH     DEFINED     01     126,512      59,311       2,150
ASPEN TECHNOLOGY INC           COM   045327103         272     113,311  SH     DEFINED  01,08      20,597      92,714           0

ASSOCIATED BANC CORP           COM   045487105       8,005     247,608  SH     DEFINED     01      96,024     147,389       4,195
ASSOCIATED BANC CORP           COM   045487105       1,054      32,596  SH     OTHER       01      31,606         990           0
ASSOCIATED BANC CORP           COM   045487105         469      14,501  SH     DEFINED     04      14,501           0           0
ASSOCIATED BANC CORP           COM   045487105       1,748      54,065  SH     OTHER       04      54,065           0           0
ASSOCIATED BANC CORP           COM   045487105       6,738     208,405  SH     DEFINED  01,08      46,625     161,780           0

ASSOCIATED ESTATES RLTY CORP   COM   045604105         337      61,277  SH     DEFINED     01      34,720      25,707         850
ASSOCIATED ESTATES RLTY CORP   COM   045604105         232      42,217  SH     DEFINED  01,08      10,800      31,417           0

ASTEA INTL INC                 COM   04622E109          16      28,100  SH     DEFINED     01       1,900      26,200           0
ASTEA INTL INC                 COM   04622E109          12      20,600  SH     DEFINED  01,08       6,165      14,435           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     54
________

ASTEC INDS INC                 COM   046224101         442      76,082  SH     DEFINED     01      40,507      35,475         100
ASTEC INDS INC                 COM   046224101           2         400  SH     OTHER    01,06           0           0         400
ASTEC INDS INC                 COM   046224101         416      71,646  SH     DEFINED  01,08      16,775      54,871           0

ASTORIA FINL CORP              COM   046265104       6,591     283,709  SH     DEFINED     01     108,609     170,550       4,550
ASTORIA FINL CORP              COM   046265104          93       4,000  SH     OTHER       01       4,000           0           0
ASTORIA FINL CORP              COM   046265104       5,516     237,444  SH     DEFINED  01,08      47,926     189,518           0

ASTRAZENECA PLC                COM   046353108         101       2,932  SH     DEFINED     01       1,432       1,500           0
ASTRAZENECA PLC                COM   046353108           6         188  SH     OTHER       01         188           0           0
ASTRAZENECA PLC                COM   046353108          65       1,903  SH     DEFINED     02       1,903           0           0
ASTRAZENECA PLC                COM   046353108          16         478  SH     OTHER       02         125         353           0
ASTRAZENECA PLC                COM   046353108         274       7,998  SH     OTHER       03       7,998           0           0
ASTRAZENECA PLC                COM   046353108         124       3,623  SH     DEFINED     04       3,623           0           0
ASTRAZENECA PLC                COM   046353108         405      11,793  SH     OTHER       04      11,793           0           0
ASTRAZENECA PLC                COM   046353108          41       1,209  SH     DEFINED     10         998         211           0

ASTRONICS CORP                 COM   046433108          25       6,800  SH     DEFINED     01         400       6,400           0
ASTRONICS CORP                 COM   046433108          65      17,858  SH     DEFINED  01,08       3,486      14,372           0

ASTROPOWER INC                 COM   04644A101         277      66,173  SH     DEFINED     01      33,903      31,570         700
ASTROPOWER INC                 COM   04644A101           2         425  SH     OTHER    01,06           0           0         425
ASTROPOWER INC                 COM   04644A101         446     106,677  SH     DEFINED  01,08      19,164      87,513           0

AT RD INC                      COM   04648K105         761     112,500  SH     DEFINED     01      43,690      68,410         400
AT RD INC                      COM   04648K105         641      94,850  SH     DEFINED  01,08      23,200      71,650           0

ASYST TECHNOLOGY CORP          COM   04648X107         721     132,949  SH     DEFINED     01      67,415      57,984       7,550
ASYST TECHNOLOGY CORP          COM   04648X107          43       8,000  SH     OTHER       01       8,000           0           0
ASYST TECHNOLOGY CORP          COM   04648X107         788     145,434  SH     DEFINED  01,08      21,426     124,008           0

ATALANTA SOSNOFF CAP CORP      COM   046499109          74       6,300  SH     DEFINED     01       1,900       4,400           0
ATALANTA SOSNOFF CAP CORP      COM   046499109         272      23,165  SH     DEFINED  01,08       3,787      19,378           0

ATHEROGENICS INC               COM   047439104         865      92,413  SH     DEFINED     01      47,124      44,689         600
ATHEROGENICS INC               COM   047439104         582      62,212  SH     DEFINED  01,08      18,700      43,512           0

ATLANTIC AMERN CORP            COM   048209100          30      24,900  SH     DEFINED     01         300      24,600           0
ATLANTIC AMERN CORP            COM   048209100          55      45,375  SH     DEFINED  01,08       6,392      38,983           0

ATLANTIC COAST AIRLINES HLDG   COM   048396105         887     142,874  SH     DEFINED     01      71,369      68,505       3,000
ATLANTIC COAST AIRLINES HLDG   COM   048396105           6         900  SH     OTHER    01,06           0           0         900
ATLANTIC COAST AIRLINES HLDG   COM   048396105       1,108     178,439  SH     DEFINED  01,08      38,068     140,371           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     55
________

ATLANTIC DATA SERVICES         COM   048523104          27      10,600  SH     DEFINED     01       2,700       7,900           0
ATLANTIC DATA SERVICES         COM   048523104          50      19,742  SH     DEFINED  01,08       5,642      14,100           0

ATLANTIC PREM BRANDS LTD       COM   04878P105          20      10,200  SH     DEFINED     01           0      10,200           0
ATLANTIC PREM BRANDS LTD       COM   04878P105          14       6,756  SH     DEFINED  01,08       2,806       3,950           0

ATLANTIS PLASTICS INC          COM   049156102           3         600  SH     DEFINED     01         600           0           0
ATLANTIS PLASTICS INC          COM   049156102         382      82,291  SH     DEFINED     04      82,291           0           0
ATLANTIS PLASTICS INC          COM   049156102          26       5,600  SH     DEFINED  01,08       2,133       3,467           0

ATLAS AIR WORLDWIDE HLDGS IN   COM   049164106          71      88,320  SH     DEFINED     01      45,897      42,423           0
ATLAS AIR WORLDWIDE HLDGS IN   COM   049164106           1       1,096  SH     DEFINED     02       1,096           0           0
ATLAS AIR WORLDWIDE HLDGS IN   COM   049164106          21      25,887  SH     DEFINED  01,08      10,500      15,387           0

ATMEL CORP                     COM   049513104       2,271   1,419,370  SH     DEFINED     01     509,967     876,243      33,160
ATMEL CORP                     COM   049513104           1         400  SH     OTHER       01         400           0           0
ATMEL CORP                     COM   049513104           6       4,000  SH     DEFINED     02           0       4,000           0
ATMEL CORP                     COM   049513104          13       8,000  SH     OTHER       05           0           0       8,000
ATMEL CORP                     COM   049513104       1,629   1,018,226  SH     DEFINED  01,08     131,774     886,452           0

ATMOS ENERGY CORP              COM   049560105       5,348     251,532  SH     DEFINED     01     186,561      61,571       3,400
ATMOS ENERGY CORP              COM   049560105       1,519      71,436  SH     OTHER       01           0           0      71,436
ATMOS ENERGY CORP              COM   049560105          11         500  SH     OTHER       02           0         500           0
ATMOS ENERGY CORP              COM   049560105           9         404  SH     OTHER       04           0           0         404
ATMOS ENERGY CORP              COM   049560105          20         920  SH     OTHER    01,06           0           0         920
ATMOS ENERGY CORP              COM   049560105       3,605     169,570  SH     DEFINED  01,08      39,712     129,858           0

ATRIX LABS INC                 COM   04962L101         952      67,788  SH     DEFINED     01      36,503      30,235       1,050
ATRIX LABS INC                 COM   04962L101          35       2,500  SH     OTHER       01           0       2,500           0
ATRIX LABS INC                 COM   04962L101           3         209  SH     DEFINED     04         209           0           0
ATRIX LABS INC                 COM   04962L101          46       3,308  SH     OTHER       04       1,308           0       2,000
ATRIX LABS INC                 COM   04962L101         693      49,296  SH     DEFINED  01,08      11,547      37,749           0

ATWOOD OCEANICS INC            COM   050095108         914      36,197  SH     DEFINED     01      16,750      19,297         150
ATWOOD OCEANICS INC            COM   050095108           6         250  SH     OTHER    01,06           0           0         250
ATWOOD OCEANICS INC            COM   050095108       1,816      71,961  SH     DEFINED  01,08      11,712      60,249           0

AUDIOVOX CORP                  COM   050757103         699      94,880  SH     DEFINED     01      41,159      53,521         200
AUDIOVOX CORP                  COM   050757103           4         500  SH     OTHER       04         500           0           0
AUDIOVOX CORP                  COM   050757103           3         425  SH     OTHER    01,06           0           0         425
AUDIOVOX CORP                  COM   050757103         719      97,564  SH     DEFINED  01,08      19,612      77,952           0

AUGUST TECHNOLOGY CORP         COM   05106U105         117      30,804  SH     DEFINED     01      16,242      14,412         150
AUGUST TECHNOLOGY CORP         COM   05106U105         100      26,157  SH     DEFINED  01,08       6,300      19,857           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     56
________

AULT INC                       COM   051503100          10       5,500  SH     DEFINED     01         600       4,900           0
AULT INC                       COM   051503100          15       8,401  SH     DEFINED  01,08       2,234       6,167           0

AURORA FOODS INC               COM   05164B106          67     177,350  SH     DEFINED     01      75,463     101,742         145
AURORA FOODS INC               COM   05164B106           0       1,047  SH     DEFINED     04       1,047           0           0
AURORA FOODS INC               COM   05164B106          54     142,383  SH     DEFINED  01,08      23,511     118,872           0

AUSPEX SYS INC                 COM   052116100           9      54,200  SH     DEFINED     01       9,100      45,100           0
AUSPEX SYS INC                 COM   052116100          10      59,755  SH     DEFINED  01,08       8,833      50,922           0

AUTHENTIDATE HLDG CORP         COM   052666104          33      18,600  SH     DEFINED     01       3,300      15,300           0
AUTHENTIDATE HLDG CORP         COM   052666104           2       1,000  SH     DEFINED     04       1,000           0           0
AUTHENTIDATE HLDG CORP         COM   052666104          61      34,000  SH     DEFINED  01,08       8,542      25,458           0

AUTOBYTEL INC                  COM   05275N106         144      36,146  SH     DEFINED     01       5,818      30,328           0
AUTOBYTEL INC                  COM   05275N106         188      47,126  SH     DEFINED  01,08      13,729      33,397           0

AUTODESK INC                   COM   052769106       9,724     637,230  SH     DEFINED     01     328,234     299,296       9,700
AUTODESK INC                   COM   052769106           2         100  SH     OTHER       01           0           0         100
AUTODESK INC                   COM   052769106           1          50  SH     DEFINED     03           0           0          50
AUTODESK INC                   COM   052769106          18       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       5,473     358,629  SH     DEFINED  01,08      87,961     270,668           0
AUTODESK INC                   COM   052769106           0          20  SH     DEFINED     10          20           0           0

AUTOIMMUNE INC                 COM   052776101          16      22,600  SH     DEFINED     01       3,400      19,200           0
AUTOIMMUNE INC                 COM   052776101          16      22,874  SH     DEFINED  01,08       4,130      18,744           0

AUTOLIV INC                    COM   052800109       2,091     104,723  SH     DEFINED     01      57,087      43,594       4,042
AUTOLIV INC                    COM   052800109          18         902  SH     OTHER       01         902           0           0
AUTOLIV INC                    COM   052800109          37       1,854  SH     OTHER       02           0       1,600         254
AUTOLIV INC                    COM   052800109          73       3,664  SH     DEFINED     04       3,664           0           0
AUTOLIV INC                    COM   052800109          72       3,608  SH     OTHER       04       3,608           0           0
AUTOLIV INC                    COM   052800109       2,261     113,230  SH     DEFINED  01,08      12,530     100,700           0
AUTOLIV INC                    COM   052800109          20       1,023  SH     OTHER       10       1,023           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     57
________

AUTOMATIC DATA PROCESSING IN   COM   053015103     133,415   4,333,073  SH     DEFINED     01   2,443,247   1,788,331     101,495
AUTOMATIC DATA PROCESSING IN   COM   053015103      22,479     730,067  SH     OTHER       01     266,909     410,820      52,338
AUTOMATIC DATA PROCESSING IN   COM   053015103       2,506      81,395  SH     DEFINED     02      53,555      26,040       1,800
AUTOMATIC DATA PROCESSING IN   COM   053015103       2,269      73,705  SH     OTHER       02      39,985      33,150         570
AUTOMATIC DATA PROCESSING IN   COM   053015103       4,370     141,914  SH     DEFINED     03      74,390      55,754      11,770
AUTOMATIC DATA PROCESSING IN   COM   053015103       1,373      44,598  SH     OTHER       03      26,450      13,498       4,650
AUTOMATIC DATA PROCESSING IN   COM   053015103      16,720     543,025  SH     DEFINED     04     526,253           0      16,772
AUTOMATIC DATA PROCESSING IN   COM   053015103      14,097     457,830  SH     OTHER       04     433,270           0      24,560
AUTOMATIC DATA PROCESSING IN   COM   053015103       1,134      36,839  SH     DEFINED     05      30,084       5,800         955
AUTOMATIC DATA PROCESSING IN   COM   053015103         268       8,720  SH     OTHER       05       1,500       6,040       1,180
AUTOMATIC DATA PROCESSING IN   COM   053015103          49       1,600  SH     OTHER    01,06           0           0       1,600
AUTOMATIC DATA PROCESSING IN   COM   053015103          84       2,714  SH     OTHER    04,07           0           0       2,714
AUTOMATIC DATA PROCESSING IN   COM   053015103      56,361   1,830,503  SH     DEFINED  01,08     419,640   1,410,863           0
AUTOMATIC DATA PROCESSING IN   COM   053015103      10,382     337,187  SH     DEFINED     10     180,762     135,825      20,600
AUTOMATIC DATA PROCESSING IN   COM   053015103       1,612      52,367  SH     OTHER       10      24,599      26,968         800

AUTONATION INC                 COM   05329W102      20,430   1,602,336  SH     DEFINED     01     846,833     733,803      21,700
AUTONATION INC                 COM   05329W102           4         275  SH     OTHER       01           0           0         275
AUTONATION INC                 COM   05329W102           1         100  SH     DEFINED     03           0           0         100
AUTONATION INC                 COM   05329W102       5,535     434,085  SH     DEFINED     04     434,085           0           0
AUTONATION INC                 COM   05329W102         733      57,500  SH     OTHER       04      57,500           0           0
AUTONATION INC                 COM   05329W102           9         700  SH     OTHER    01,06           0           0         700
AUTONATION INC                 COM   05329W102      10,612     832,343  SH     DEFINED  01,08     225,579     606,764           0
AUTONATION INC                 COM   05329W102       1,531     120,090  SH     DEFINED     10     120,090           0           0
AUTONATION INC                 COM   05329W102       5,415     424,691  SH     OTHER       10           0     424,691           0

AUTOZONE INC                   COM   053332102      48,037     699,123  SH     DEFINED     01     421,170     268,778       9,175
AUTOZONE INC                   COM   053332102           7         100  SH     OTHER       01           0           0         100
AUTOZONE INC                   COM   053332102          21         300  SH     DEFINED     02         300           0           0
AUTOZONE INC                   COM   053332102       1,678      24,420  SH     DEFINED     03      13,825       9,250       1,345
AUTOZONE INC                   COM   053332102         496       7,220  SH     OTHER       03       4,385         290       2,545
AUTOZONE INC                   COM   053332102       1,687      24,548  SH     DEFINED     04      24,348           0         200
AUTOZONE INC                   COM   053332102          82       1,200  SH     OTHER       04       1,200           0           0
AUTOZONE INC                   COM   053332102          94       1,375  SH     DEFINED     05       1,075           0         300
AUTOZONE INC                   COM   053332102          21         300  SH     OTHER    01,06           0           0         300
AUTOZONE INC                   COM   053332102      18,318     266,599  SH     DEFINED  01,08      78,073     188,526           0
AUTOZONE INC                   COM   053332102          76       1,100  SH     DEFINED     10       1,100           0           0
AUTOZONE INC                   COM   053332102          55         800  SH     OTHER       10         800           0           0

AVALON DIGITAL MARKETING SYS   COM   05343V106          11      20,300  SH     DEFINED  01,08      15,000       5,300           0

AVANIR PHARMACEUTICALS         COM   05348P104         122     115,403  SH     DEFINED     01      40,595      73,508       1,300
AVANIR PHARMACEUTICALS         COM   05348P104         122     115,045  SH     DEFINED  01,08      29,700      85,345           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     58
________

AVANEX CORP                    COM   05348W109         178     228,578  SH     DEFINED     01     136,100      92,478           0
AVANEX CORP                    COM   05348W109           4       4,600  SH     OTHER       01           0       4,600           0
AVANEX CORP                    COM   05348W109         148     190,054  SH     DEFINED  01,08      37,500     152,554           0

AVALONBAY CMNTYS INC           COM   053484101       6,443     174,608  SH     DEFINED     01     120,857      47,776       5,975
AVALONBAY CMNTYS INC           COM   053484101       1,082      29,326  SH     OTHER       01      16,975       9,801       2,550
AVALONBAY CMNTYS INC           COM   053484101         328       8,900  SH     DEFINED     02       6,550       2,150         200
AVALONBAY CMNTYS INC           COM   053484101          82       2,210  SH     OTHER       02       1,110         600         500
AVALONBAY CMNTYS INC           COM   053484101       1,302      35,280  SH     DEFINED     03      14,955      10,500       9,825
AVALONBAY CMNTYS INC           COM   053484101         101       2,725  SH     OTHER       03       2,275         450           0
AVALONBAY CMNTYS INC           COM   053484101         469      12,702  SH     DEFINED     04      12,052           0         650
AVALONBAY CMNTYS INC           COM   053484101         103       2,803  SH     OTHER       04       1,803           0       1,000
AVALONBAY CMNTYS INC           COM   053484101         308       8,340  SH     DEFINED     05       6,595         750         995
AVALONBAY CMNTYS INC           COM   053484101          20         541  SH     OTHER       05         541           0           0
AVALONBAY CMNTYS INC           COM   053484101       4,608     124,886  SH     DEFINED  01,08      17,170     107,716           0
AVALONBAY CMNTYS INC           COM   053484101         245       6,628  SH     DEFINED     10       5,428       1,200           0
AVALONBAY CMNTYS INC           COM   053484101          20         550  SH     OTHER       10         200         350           0

AVANT IMMUNOTHERAPEUTICS INC   COM   053491106          73      66,000  SH     DEFINED     01      12,200      53,800           0
AVANT IMMUNOTHERAPEUTICS INC   COM   053491106         113     101,897  SH     DEFINED  01,08      24,745      77,152           0

AVATAR HLDGS INC               COM   053494100         510      19,958  SH     DEFINED     01       9,933       9,825         200
AVATAR HLDGS INC               COM   053494100         543      21,253  SH     DEFINED  01,08       4,412      16,841           0

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

AVAYA INC                      COM   053499109       3,868   1,896,270  SH     DEFINED     01     940,429     924,784      31,057
AVAYA INC                      COM   053499109           8       3,877  SH     OTHER       01       1,551         443       1,883
AVAYA INC                      COM   053499109           5       2,552  SH     DEFINED     02         288         149       2,115
AVAYA INC                      COM   053499109           2       1,090  SH     OTHER       02         832         258           0
AVAYA INC                      COM   053499109           1         326  SH     DEFINED     03         154           0         172
AVAYA INC                      COM   053499109           0          86  SH     OTHER       03          43          43           0
AVAYA INC                      COM   053499109          25      12,026  SH     DEFINED     04      11,929           0          97
AVAYA INC                      COM   053499109           3       1,246  SH     OTHER       04       1,121           0         125
AVAYA INC                      COM   053499109           0          22  SH     DEFINED     05          22           0           0
AVAYA INC                      COM   053499109           2         900  SH     OTHER    01,06           0           0         900
AVAYA INC                      COM   053499109       1,571     770,232  SH     DEFINED  01,08     238,377     531,855           0
AVAYA INC                      COM   053499109           0         176  SH     DEFINED     10         176           0           0
AVAYA INC                      COM   053499109           0          54  SH     OTHER       10           0          54           0

AVENUE A INC                   COM   053566105         392      87,988  SH     DEFINED     01      87,988           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     59
________

AVERY DENNISON CORP            COM   053611109      44,727     762,350  SH     DEFINED     01     423,225     319,265      19,860
AVERY DENNISON CORP            COM   053611109       2,416      41,174  SH     OTHER       01      20,685      18,689       1,800
AVERY DENNISON CORP            COM   053611109       3,579      61,000  SH     DEFINED     02      47,215      11,660       2,125
AVERY DENNISON CORP            COM   053611109         587      10,003  SH     OTHER       02       5,336       4,667           0
AVERY DENNISON CORP            COM   053611109       7,796     132,881  SH     DEFINED     03      59,868      51,113      21,900
AVERY DENNISON CORP            COM   053611109       1,928      32,860  SH     OTHER       03      23,145       7,065       2,650
AVERY DENNISON CORP            COM   053611109      16,952     288,938  SH     DEFINED     04     284,018           0       4,920
AVERY DENNISON CORP            COM   053611109       5,197      88,575  SH     OTHER       04      84,210           0       4,365
AVERY DENNISON CORP            COM   053611109       2,858      48,707  SH     DEFINED     05      40,882       3,500       4,325
AVERY DENNISON CORP            COM   053611109         345       5,880  SH     OTHER       05       4,255       1,550          75
AVERY DENNISON CORP            COM   053611109          15         250  SH     OTHER    01,06           0           0         250
AVERY DENNISON CORP            COM   053611109      40,585     691,755  SH     DEFINED  01,08      71,706     584,064      35,985
AVERY DENNISON CORP            COM   053611109       2,659      45,320  SH     DEFINED     10      39,907       3,833       1,580
AVERY DENNISON CORP            COM   053611109         823      14,030  SH     OTHER       10       1,765      11,665         600

AVIALL INC NEW                 COM   05366B102         636      82,206  SH     DEFINED     01      44,594      37,552          60
AVIALL INC NEW                 COM   05366B102         359      46,426  SH     DEFINED  01,08      10,407      36,019           0

AVICI SYS INC                  COM   05367L802          28       8,025  SH     DEFINED     01       2,425       5,600           0
AVICI SYS INC                  COM   05367L802          75      21,500  SH     DEFINED  01,08       5,400      16,100           0

AVID TECHNOLOGY INC            COM   05367P100       1,987      89,524  SH     DEFINED     01      45,978      41,946       1,600
AVID TECHNOLOGY INC            COM   05367P100          11         500  SH     OTHER    01,06           0           0         500
AVID TECHNOLOGY INC            COM   05367P100       2,378     107,146  SH     DEFINED  01,08      14,363      92,783           0

AVIGEN INC                     COM   053690103         266      91,094  SH     DEFINED     01      56,750      34,044         300
AVIGEN INC                     COM   053690103         147      50,213  SH     DEFINED  01,08      10,641      39,572           0

AVIRON                         CONDB 053762AD2       4,140   4,000,000  PRN    DEFINED     01   4,000,000           0           0

AVISTA CORP                    COM   05379B107       1,877     177,237  SH     DEFINED     01      99,354      75,333       2,550
AVISTA CORP                    COM   05379B107          11       1,050  SH     OTHER    01,06           0           0       1,050
AVISTA CORP                    COM   05379B107       2,098     198,102  SH     DEFINED  01,08      63,856     134,246           0
AVISTA CORP                    COM   05379B107          16       1,500  SH     DEFINED     10       1,500           0           0

AVISTAR COMMUNICATIONS CORP    COM   05379X208           4       5,100  SH     DEFINED     01       5,100           0           0
AVISTAR COMMUNICATIONS CORP    COM   05379X208          13      16,500  SH     DEFINED  01,08       6,100      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 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     60
________

AVNET INC                      COM   053807103       3,957     377,561  SH     DEFINED     01     141,225     228,186       8,150
AVNET INC                      COM   053807103         285      27,200  SH     OTHER       01       4,000       6,000      17,200
AVNET INC                      COM   053807103          21       2,030  SH     DEFINED     02       2,030           0           0
AVNET INC                      COM   053807103          21       1,975  SH     DEFINED     04       1,975           0           0
AVNET INC                      COM   053807103           2         200  SH     OTHER       04         200           0           0
AVNET INC                      COM   053807103       2,865     273,394  SH     DEFINED  01,08      33,390     240,004           0

AVOCENT CORP                   COM   053893103       6,802     291,448  SH     DEFINED     01     139,163     146,335       5,950
AVOCENT CORP                   COM   053893103       2,909     124,625  SH     DEFINED  01,08      14,194     110,431           0

AVON PRODS INC                 CONDB 054303AP7       2,170   4,000,000  PRN    DEFINED     01   4,000,000           0           0

AVON PRODS INC                 COM   054303102     133,696   2,343,496  SH     DEFINED     01   1,587,345     716,312      39,839
AVON PRODS INC                 COM   054303102       7,189     126,019  SH     OTHER       01      77,469      38,525      10,025
AVON PRODS INC                 COM   054303102       2,186      38,315  SH     DEFINED     02      27,465      10,025         825
AVON PRODS INC                 COM   054303102         727      12,745  SH     OTHER       02       7,635       1,800       3,310
AVON PRODS INC                 COM   054303102      15,251     267,329  SH     DEFINED     03     126,769      93,350      47,210
AVON PRODS INC                 COM   054303102       2,601      45,584  SH     OTHER       03      30,207      12,557       2,820
AVON PRODS INC                 COM   054303102      26,748     468,850  SH     DEFINED     04     456,000           0      12,850
AVON PRODS INC                 COM   054303102       6,888     120,734  SH     OTHER       04     118,484           0       2,250
AVON PRODS INC                 COM   054303102       3,748      65,693  SH     DEFINED     05      52,128       8,765       4,800
AVON PRODS INC                 COM   054303102         381       6,680  SH     OTHER       05       2,720       3,960           0
AVON PRODS INC                 COM   054303102          34         600  SH     OTHER    01,06           0           0         600
AVON PRODS INC                 COM   054303102      62,604   1,097,358  SH     DEFINED  01,08     168,027     879,758      49,573
AVON PRODS INC                 COM   054303102       3,869      67,820  SH     DEFINED     10      60,505       3,595       3,720
AVON PRODS INC                 COM   054303102       1,012      17,735  SH     OTHER       10      14,140       3,595           0

AWARE INC MASS                 COM   05453N100          48      26,400  SH     DEFINED     01       4,400      21,200         800
AWARE INC MASS                 COM   05453N100           1         400  SH     OTHER    01,06           0           0         400
AWARE INC MASS                 COM   05453N100          71      39,206  SH     DEFINED  01,08      10,213      28,993           0

AXA                            COM   054536107           8         703  SH     DEFINED     01         703           0           0
AXA                            COM   054536107          39       3,345  SH     OTHER       01           0       3,345           0
AXA                            COM   054536107           4         353  SH     DEFINED     02          58         236          59
AXA                            COM   054536107           4         354  SH     OTHER       02         354           0           0
AXA                            COM   054536107           0          12  SH     DEFINED     03           0           0          12
AXA                            COM   054536107          40       3,360  SH     DEFINED     04       2,830           0         530
AXA                            COM   054536107         162      13,720  SH     OTHER       04      13,720           0           0
AXA                            COM   054536107          14       1,200  SH     OTHER       05           0           0       1,200
AXA                            COM   054536107           7         590  SH     DEFINED  01,08         590           0           0
AXA                            COM   054536107           1          50  SH     OTHER       10           0          50           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     61
________

AXCELIS TECHNOLOGIES INC       COM   054540109       1,534     324,314  SH     DEFINED     01     172,520     146,277       5,517
AXCELIS TECHNOLOGIES INC       COM   054540109          16       3,353  SH     OTHER       01           0       3,353           0
AXCELIS TECHNOLOGIES INC       COM   054540109          11       2,277  SH     OTHER       02       2,277           0           0
AXCELIS TECHNOLOGIES INC       COM   054540109          10       2,122  SH     DEFINED     03       2,122           0           0
AXCELIS TECHNOLOGIES INC       COM   054540109          22       4,598  SH     OTHER       03       4,598           0           0
AXCELIS TECHNOLOGIES INC       COM   054540109          10       2,100  SH     DEFINED     04       2,100           0           0
AXCELIS TECHNOLOGIES INC       COM   054540109          24       5,058  SH     OTHER       04           0           0       5,058
AXCELIS TECHNOLOGIES INC       COM   054540109           9       1,900  SH     OTHER    01,06           0           0       1,900
AXCELIS TECHNOLOGIES INC       COM   054540109       2,011     425,170  SH     DEFINED  01,08      88,029     337,141           0
AXCELIS TECHNOLOGIES INC       COM   054540109           0          14  SH     DEFINED     10          14           0           0
AXCELIS TECHNOLOGIES INC       COM   054540109           3         707  SH     OTHER       10           0         707           0

AXONYX INC                     COM   05461R101           3       3,100  SH     DEFINED     01       3,100           0           0
AXONYX INC                     COM   05461R101          13      14,067  SH     DEFINED  01,08       3,567      10,500           0

AXSYS TECHNOLOGIES INC         COM   054615109          45       6,100  SH     DEFINED     01         900       5,200           0
AXSYS TECHNOLOGIES INC         COM   054615109          58       7,900  SH     DEFINED  01,08       2,033       5,867           0

AZTAR CORP                     COM   054802103       3,112     231,725  SH     DEFINED     01     161,509      66,116       4,100
AZTAR CORP                     COM   054802103          13       1,000  SH     DEFINED     02           0       1,000           0
AZTAR CORP                     COM   054802103          10         760  SH     OTHER    01,06           0           0         760
AZTAR CORP                     COM   054802103       2,068     154,012  SH     DEFINED  01,08      32,762     121,250           0
AZTAR CORP                     COM   054802103           9         700  SH     DEFINED     10         700           0           0

BB&T CORP                      COM   054937107      83,626   2,660,716  SH     DEFINED     01   1,377,431   1,244,355      38,930
BB&T CORP                      COM   054937107         103       3,291  SH     OTHER       01       2,866           0         425
BB&T CORP                      COM   054937107         536      17,061  SH     DEFINED     02       9,648       7,113         300
BB&T CORP                      COM   054937107          22         700  SH     OTHER       02         400         300           0
BB&T CORP                      COM   054937107         828      26,355  SH     DEFINED     03       4,475       6,270      15,610
BB&T CORP                      COM   054937107           5         150  SH     OTHER       03         150           0           0
BB&T CORP                      COM   054937107       4,938     157,107  SH     DEFINED     04     156,032           0       1,075
BB&T CORP                      COM   054937107       2,244      71,404  SH     OTHER       04      65,854           0       5,550
BB&T CORP                      COM   054937107         357      11,357  SH     OTHER       05      11,357           0           0
BB&T CORP                      COM   054937107          38       1,200  SH     OTHER    01,06           0           0       1,200
BB&T CORP                      COM   054937107      45,701   1,454,053  SH     DEFINED  01,08     389,230   1,064,823           0
BB&T CORP                      COM   054937107         138       4,384  SH     DEFINED     10       3,834         450         100
BB&T CORP                      COM   054937107          50       1,575  SH     OTHER       10         915         460         200

BCSB BANKCORP INC              COM   054948104          73       5,500  SH     DEFINED     01         900       4,600           0
BCSB BANKCORP INC              COM   054948104         134      10,139  SH     DEFINED  01,08       2,639       7,500           0

AXEDA SYSTEMS INC              COM   054959101           1       3,100  SH     DEFINED     01       3,100           0           0
AXEDA SYSTEMS INC              COM   054959101           5      11,749  SH     DEFINED  01,08       3,949       7,800           0
AXEDA SYSTEMS INC              COM   054959101           0         718  SH     DEFINED     10         718           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     62
________

BEI TECHNOLOGIES INC           COM   05538P104         501      51,604  SH     DEFINED     01      19,920      30,984         700
BEI TECHNOLOGIES INC           COM   05538P104           3         300  SH     OTHER    01,06           0           0         300
BEI TECHNOLOGIES INC           COM   05538P104         810      83,504  SH     DEFINED  01,08       7,573      75,931           0

BF ENTERPRISES INC             COM   055387104          21       2,500  SH     DEFINED     01           0       2,500           0
BF ENTERPRISES INC             COM   055387104          95      11,302  SH     DEFINED  01,08       1,612       9,690           0

BHA GROUP HLDGS INC            COM   055446108         229      10,400  SH     DEFINED     01       4,400       6,000           0
BHA GROUP HLDGS INC            COM   055446108         293      13,303  SH     DEFINED  01,08       2,647      10,656           0

BISYS GROUP INC                COM   055472104       6,075     372,250  SH     DEFINED     01     133,930     228,520       9,800
BISYS GROUP INC                COM   055472104          27       1,650  SH     DEFINED     03       1,650           0           0
BISYS GROUP INC                COM   055472104       4,820     295,326  SH     DEFINED  01,08      51,714     243,612           0

BKF CAP GROUP INC              COM   05548G102         254      15,627  SH     DEFINED     01      11,470       4,007         150
BKF CAP GROUP INC              COM   05548G102          22       1,380  SH     OTHER       01           0       1,380           0
BKF CAP GROUP INC              COM   05548G102          24       1,500  SH     OTHER       04           0           0       1,500
BKF CAP GROUP INC              COM   05548G102          59       3,627  SH     DEFINED  01,08         800       2,827           0

BJS WHOLESALE CLUB INC         COM   05548J106       2,507     221,855  SH     DEFINED     01      81,034     137,471       3,350
BJS WHOLESALE CLUB INC         COM   05548J106           2         150  SH     DEFINED     04         150           0           0
BJS WHOLESALE CLUB INC         COM   05548J106       1,856     164,265  SH     DEFINED  01,08      18,892     145,373           0

BJ SVCS CO                     COM   055482103      41,459   1,205,551  SH     DEFINED     01     767,533     420,255      17,763
BJ SVCS CO                     COM   055482103         864      25,125  SH     OTHER       01           0      25,000         125
BJ SVCS CO                     COM   055482103          58       1,675  SH     DEFINED     03       1,625           0          50
BJ SVCS CO                     COM   055482103          38       1,092  SH     DEFINED     04       1,092           0           0
BJ SVCS CO                     COM   055482103          14         400  SH     OTHER    01,06           0           0         400
BJ SVCS CO                     COM   055482103      15,511     451,027  SH     DEFINED  01,08     114,051     336,976           0
BJ SVCS CO                     COM   055482103          83       2,425  SH     DEFINED     10       2,425           0           0

BMC INDS INC MINN              COM   055607105          52      39,400  SH     DEFINED     01      13,100      26,300           0
BMC INDS INC MINN              COM   055607105           1         500  SH     DEFINED     04         500           0           0
BMC INDS INC MINN              COM   055607105           1       1,000  SH     OTHER       04       1,000           0           0
BMC INDS INC MINN              COM   055607105          83      63,273  SH     DEFINED  01,08       7,684      55,589           0

BOK FINL CORP                  COM   05561Q201         778      23,819  SH     DEFINED     01      17,273       6,046         500
BOK FINL CORP                  COM   05561Q201       1,586      48,539  SH     DEFINED  01,08       9,291      39,248           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     63
________

BP PLC                         COM   055622104      99,802   2,586,213  SH     DEFINED     01   1,838,882     530,194     217,137
BP PLC                         COM   055622104      53,345   1,382,344  SH     OTHER       01     561,021     749,695      71,628
BP PLC                         COM   055622104      10,285     266,516  SH     DEFINED     02     183,714      72,565      10,237
BP PLC                         COM   055622104       6,164     159,724  SH     OTHER       02      85,281      60,433      14,010
BP PLC                         COM   055622104      16,132     418,041  SH     DEFINED     03     256,998     127,191      33,852
BP PLC                         COM   055622104       8,118     210,360  SH     OTHER       03     152,803      45,102      12,455
BP PLC                         COM   055622104      43,671   1,131,663  SH     DEFINED     04   1,036,570           0      95,093
BP PLC                         COM   055622104      40,001   1,036,573  SH     OTHER       04     949,111           0      87,462
BP PLC                         COM   055622104       4,362     113,031  SH     DEFINED     05      94,857      10,029       8,145
BP PLC                         COM   055622104         844      21,873  SH     OTHER       05       9,861      10,390       1,622
BP PLC                         COM   055622104       9,545     247,337  SH     DEFINED  01,08           0     211,659      35,678
BP PLC                         COM   055622104      12,627     327,219  SH     DEFINED     10     219,194      57,044      50,981
BP PLC                         COM   055622104       8,227     213,182  SH     OTHER       10     112,617      86,190      14,375

BP PRUDHOE BAY RTY TR          COM   055630107          67       4,500  SH     DEFINED     01       4,500           0           0
BP PRUDHOE BAY RTY TR          COM   055630107           6         400  SH     DEFINED     02           0         400           0
BP PRUDHOE BAY RTY TR          COM   055630107           4         300  SH     DEFINED     03         300           0           0
BP PRUDHOE BAY RTY TR          COM   055630107         147       9,800  SH     DEFINED  01,08       9,300         500           0

BRE PROPERTIES INC             COM   05564E106       1,630      55,363  SH     DEFINED     01      32,336      22,227         800
BRE PROPERTIES INC             COM   05564E106           9         300  SH     OTHER       01           0         300           0
BRE PROPERTIES INC             COM   05564E106           6         200  SH     DEFINED     02           0         200           0
BRE PROPERTIES INC             COM   05564E106          47       1,600  SH     OTHER       02           0       1,600           0
BRE PROPERTIES INC             COM   05564E106         247       8,400  SH     DEFINED     03       5,750       2,650           0
BRE PROPERTIES INC             COM   05564E106          28         934  SH     OTHER       03         934           0           0
BRE PROPERTIES INC             COM   05564E106          24         800  SH     OTHER       04         800           0           0
BRE PROPERTIES INC             COM   05564E106       1,319      44,792  SH     DEFINED  01,08      11,858      32,934           0
BRE PROPERTIES INC             COM   05564E106          33       1,122  SH     DEFINED     10       1,122           0           0

BNP RESIDENTIAL PPTYS INC      COM   05564T103           8         800  SH     DEFINED     01         800           0           0
BNP RESIDENTIAL PPTYS INC      COM   05564T103          97      10,000  SH     DEFINED  01,08       2,600       7,400           0

BSB BANCORP                    COM   055652101         994      45,907  SH     DEFINED     01      30,998      14,309         600
BSB BANCORP                    COM   055652101         669      30,892  SH     DEFINED  01,08       5,308      25,584           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     64
________

BMC SOFTWARE INC               COM   055921100      22,284   1,476,716  SH     DEFINED     01     835,280     620,786      20,650
BMC SOFTWARE INC               COM   055921100         221      14,625  SH     OTHER       01      14,400           0         225
BMC SOFTWARE INC               COM   055921100         107       7,100  SH     DEFINED     02       7,100           0           0
BMC SOFTWARE INC               COM   055921100          71       4,675  SH     OTHER       02       1,675       3,000           0
BMC SOFTWARE INC               COM   055921100           2         100  SH     DEFINED     03           0           0         100
BMC SOFTWARE INC               COM   055921100         279      18,500  SH     DEFINED     04      18,500           0           0
BMC SOFTWARE INC               COM   055921100          54       3,560  SH     DEFINED     05         660       2,900           0
BMC SOFTWARE INC               COM   055921100          89       5,900  SH     OTHER       05       4,400       1,500           0
BMC SOFTWARE INC               COM   055921100           9         600  SH     OTHER    01,06           0           0         600
BMC SOFTWARE INC               COM   055921100      10,899     722,270  SH     DEFINED  01,08     185,155     537,115           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          20      11,228  SH     DEFINED  01,08       2,260       8,968           0

BWC FINANCIAL CORP             COM   056042104          81       4,634  SH     DEFINED     01         242       4,392           0
BWC FINANCIAL CORP             COM   056042104         102       5,812  SH     DEFINED  01,08       1,329       4,483           0

BACK YD BURGERS INC            COM   05635W101          46      10,000  SH     DEFINED     01           0      10,000           0
BACK YD BURGERS INC            COM   05635W101          42       9,300  SH     DEFINED  01,08       2,049       7,251           0

BADGER METER INC               COM   056525108         114       3,700  SH     DEFINED     01         700       3,000           0
BADGER METER INC               COM   056525108         497      16,182  SH     DEFINED  01,08       1,367      14,815           0

BAIRNCO CORP                   COM   057097107          56      10,900  SH     DEFINED     01       1,700       9,200           0
BAIRNCO CORP                   COM   057097107         122      23,970  SH     DEFINED  01,08       3,228      20,742           0

BAKER MICHAEL CORP             COM   057149106         114      13,280  SH     DEFINED     01       3,625       9,555         100
BAKER MICHAEL CORP             COM   057149106         174      20,217  SH     DEFINED  01,08       3,990      16,227           0

BAKER HUGHES INC               COM   057224107      84,284   2,816,050  SH     DEFINED     01   1,525,026   1,178,793     112,231
BAKER HUGHES INC               COM   057224107       4,102     137,058  SH     OTHER       01      58,933      69,825       8,300
BAKER HUGHES INC               COM   057224107       1,823      60,925  SH     DEFINED     02      47,275      12,250       1,400
BAKER HUGHES INC               COM   057224107         126       4,225  SH     OTHER       02       1,800       2,425           0
BAKER HUGHES INC               COM   057224107       4,714     157,485  SH     DEFINED     03      70,450      63,803      23,232
BAKER HUGHES INC               COM   057224107         780      26,075  SH     OTHER       03      19,205       6,870           0
BAKER HUGHES INC               COM   057224107       4,046     135,176  SH     DEFINED     04     128,551           0       6,625
BAKER HUGHES INC               COM   057224107         920      30,745  SH     OTHER       04      28,745           0       2,000
BAKER HUGHES INC               COM   057224107       3,436     114,803  SH     DEFINED     05     100,118       8,020       6,665
BAKER HUGHES INC               COM   057224107         275       9,203  SH     OTHER       05       6,890       2,313           0
BAKER HUGHES INC               COM   057224107          27         900  SH     OTHER    01,06           0           0         900
BAKER HUGHES INC               COM   057224107      32,189   1,075,460  SH     DEFINED  01,08     268,764     806,696           0
BAKER HUGHES INC               COM   057224107       1,908      63,748  SH     DEFINED     10      55,853       4,330       3,565
BAKER HUGHES INC               COM   057224107         661      22,095  SH     OTHER       10      15,460       6,410         225


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     65
________

BALCHEM CORP                   COM   057665200          92       5,400  SH     DEFINED     01       1,000       4,400           0
BALCHEM CORP                   COM   057665200         109       6,411  SH     DEFINED  01,08       2,111       4,300           0

BALDOR ELEC CO                 COM   057741100       2,506     117,123  SH     DEFINED     01      55,670      58,393       3,060
BALDOR ELEC CO                 COM   057741100          14         655  SH     OTHER    01,06           0           0         655
BALDOR ELEC CO                 COM   057741100       2,738     127,956  SH     DEFINED  01,08      18,798     109,158           0
BALDOR ELEC CO                 COM   057741100          69       3,240  SH     DEFINED     10       3,240           0           0

BALDWIN & LYONS INC            COM   057755209         865      43,564  SH     DEFINED     01      20,409      22,780         375
BALDWIN & LYONS INC            COM   057755209       1,078      54,314  SH     DEFINED  01,08       7,252      47,062           0

BALDWIN TECHNOLOGY INC         COM   058264102           9      30,000  SH     DEFINED     01       2,100      27,900           0
BALDWIN TECHNOLOGY INC         COM   058264102           2       8,000  SH     DEFINED     04       8,000           0           0
BALDWIN TECHNOLOGY INC         COM   058264102          16      55,853  SH     DEFINED  01,08       6,146      49,707           0

BALL CORP                      COM   058498106      18,281     328,204  SH     DEFINED     01     175,189     147,398       5,617
BALL CORP                      COM   058498106           3          50  SH     OTHER       01           0           0          50
BALL CORP                      COM   058498106          89       1,600  SH     DEFINED     03       1,600           0           0
BALL CORP                      COM   058498106         106       1,906  SH     DEFINED     04       1,906           0           0
BALL CORP                      COM   058498106          84       1,500  SH     OTHER       04           0           0       1,500
BALL CORP                      COM   058498106           6         100  SH     OTHER    01,06           0           0         100
BALL CORP                      COM   058498106       8,678     155,794  SH     DEFINED  01,08      37,346     118,448           0
BALL CORP                      COM   058498106           1          10  SH     DEFINED     10          10           0           0

BALLARD PWR SYS INC            COM   05858H104         146      15,500  SH     DEFINED     01      15,500           0           0
BALLARD PWR SYS INC            COM   05858H104          17       1,800  SH     OTHER       01           0       1,800           0
BALLARD PWR SYS INC            COM   05858H104           4         400  SH     DEFINED     02           0         400           0
BALLARD PWR SYS INC            COM   05858H104           4         450  SH     DEFINED     04         450           0           0
BALLARD PWR SYS INC            COM   05858H104          85       9,100  SH     OTHER       04       9,100           0           0
BALLARD PWR SYS INC            COM   05858H104           7         700  SH     DEFINED     10         700           0           0

BALLY TOTAL FITNESS HLDG COR   COM   05873K108         923     182,108  SH     DEFINED     01     127,354      53,954         800
BALLY TOTAL FITNESS HLDG COR   COM   05873K108           1         250  SH     OTHER       01         250           0           0
BALLY TOTAL FITNESS HLDG COR   COM   05873K108           3         625  SH     OTHER    01,06           0           0         625
BALLY TOTAL FITNESS HLDG COR   COM   05873K108         665     131,140  SH     DEFINED  01,08      27,890     103,250           0

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

BANC CORP                      COM   05944B103         157      31,782  SH     DEFINED     01      26,682       5,100           0
BANC CORP                      COM   05944B103         167      33,933  SH     DEFINED  01,08       8,730      25,203           0

BANCFIRST CORP                 COM   05945F103       1,144      25,933  SH     DEFINED     01      15,897       9,936         100
BANCFIRST CORP                 COM   05945F103         533      12,083  SH     DEFINED  01,08       4,076       8,007           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     66
________

BANCO SANTANDER CENT HISPANO   COM   05964H105         127      19,985  SH     DEFINED     01      19,985           0           0
BANCO SANTANDER CENT HISPANO   COM   05964H105         549      86,292  SH     OTHER       01      49,572      12,240      24,480
BANCO SANTANDER CENT HISPANO   COM   05964H105          40       6,260  SH     DEFINED     02       3,130           0       3,130
BANCO SANTANDER CENT HISPANO   COM   05964H105          13       2,000  SH     OTHER       03           0       2,000           0
BANCO SANTANDER CENT HISPANO   COM   05964H105          56       8,800  SH     DEFINED     04       8,800           0           0
BANCO SANTANDER CENT HISPANO   COM   05964H105          16       2,500  SH     OTHER       05           0           0       2,500

BANCORPSOUTH INC               COM   059692103       1,888     102,629  SH     DEFINED     01      63,361      35,680       3,588
BANCORPSOUTH INC               COM   059692103       1,984     107,842  SH     DEFINED  01,08      20,658      87,184           0

BANCTRUST FINANCIAL GP         COM   05978R107          16       1,100  SH     DEFINED     01         800         300           0
BANCTRUST FINANCIAL GP         COM   05978R107         215      14,947  SH     DEFINED  01,08       3,759      11,188           0

BANDAG INC                     COM   059815100       3,480     109,127  SH     DEFINED     01      72,506      35,771         850
BANDAG INC                     COM   059815100          10         300  SH     OTHER       02         300           0           0
BANDAG INC                     COM   059815100       1,695      53,159  SH     DEFINED  01,08      14,737      38,422           0

BANK OF AMERICA CORPORATION    COM   060505104     583,265   8,726,289  SH     DEFINED     01   4,583,367   3,998,852     144,070
BANK OF AMERICA CORPORATION    COM   060505104       6,246      93,454  SH     OTHER       01      42,794      46,863       3,797
BANK OF AMERICA CORPORATION    COM   060505104       3,379      50,556  SH     DEFINED     02      33,852      15,315       1,389
BANK OF AMERICA CORPORATION    COM   060505104       2,436      36,441  SH     OTHER       02      20,136      13,305       3,000
BANK OF AMERICA CORPORATION    COM   060505104       7,063     105,666  SH     DEFINED     03      59,268      35,663      10,735
BANK OF AMERICA CORPORATION    COM   060505104       5,341      79,900  SH     OTHER       03      37,755      37,569       4,576
BANK OF AMERICA CORPORATION    COM   060505104      43,077     644,481  SH     DEFINED     04     616,999           0      27,482
BANK OF AMERICA CORPORATION    COM   060505104      92,700   1,386,890  SH     OTHER       04   1,346,912           0      39,978
BANK OF AMERICA CORPORATION    COM   060505104       1,017      15,220  SH     DEFINED     05      11,782       3,138         300
BANK OF AMERICA CORPORATION    COM   060505104         297       4,440  SH     OTHER       05         840       3,200         400
BANK OF AMERICA CORPORATION    COM   060505104         257       3,850  SH     OTHER    01,06           0           0       3,850
BANK OF AMERICA CORPORATION    COM   060505104     310,648   4,647,629  SH     DEFINED  01,08   1,171,004   3,476,625           0
BANK OF AMERICA CORPORATION    COM   060505104       4,196      62,777  SH     DEFINED     10      36,806      14,274      11,697
BANK OF AMERICA CORPORATION    COM   060505104       4,042      60,479  SH     OTHER       10      15,878      44,201         400

BANK OF GRANITE CORP           COM   062401104         814      48,986  SH     DEFINED     01      29,232      19,404         350
BANK OF GRANITE CORP           COM   062401104         683      41,097  SH     DEFINED  01,08       7,561      33,536           0

BANK HAWAII CORP               COM   062540109       6,278     203,823  SH     DEFINED     01      80,160     119,890       3,773
BANK HAWAII CORP               COM   062540109           2          65  SH     OTHER       02          65           0           0
BANK HAWAII CORP               COM   062540109       2,532      82,198  SH     DEFINED     03       2,500           0      79,698
BANK HAWAII CORP               COM   062540109       4,886     158,631  SH     DEFINED  01,08      19,779     138,852           0
BANK HAWAII CORP               COM   062540109          15         494  SH     DEFINED     10         494           0           0

BANK MUT CORP                  COM   063748107       1,608      63,630  SH     DEFINED     01      40,511      22,619         500
BANK MUT CORP                  COM   063748107       1,139      45,091  SH     DEFINED  01,08      10,827      34,264           0
BANK MUT CORP                  COM   063748107           4         140  SH     DEFINED     10         140           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     67
________

BANK OF THE OZARKS INC         COM   063904106         463      16,616  SH     DEFINED     01       5,625      10,791         200
BANK OF THE OZARKS INC         COM   063904106         436      15,665  SH     DEFINED  01,08       3,881      11,784           0

BANK NEW YORK INC              COM   064057102      86,410   4,215,127  SH     DEFINED     01   2,187,385   1,988,074      39,668
BANK NEW YORK INC              COM   064057102         600      29,254  SH     OTHER       01      12,134      15,420       1,700
BANK NEW YORK INC              COM   064057102         374      18,247  SH     DEFINED     02      14,551       2,071       1,625
BANK NEW YORK INC              COM   064057102         146       7,100  SH     OTHER       02       1,100       6,000           0
BANK NEW YORK INC              COM   064057102         465      22,670  SH     DEFINED     03      20,320           0       2,350
BANK NEW YORK INC              COM   064057102         111       5,421  SH     OTHER       03       1,225       4,196           0
BANK NEW YORK INC              COM   064057102       2,231     108,811  SH     DEFINED     04     104,811           0       4,000
BANK NEW YORK INC              COM   064057102       2,269     110,697  SH     OTHER       04     109,203           0       1,494
BANK NEW YORK INC              COM   064057102         479      23,380  SH     DEFINED     05      15,255       8,125           0
BANK NEW YORK INC              COM   064057102          14         675  SH     OTHER       05         500           0         175
BANK NEW YORK INC              COM   064057102          35       1,700  SH     OTHER    01,06           0           0       1,700
BANK NEW YORK INC              COM   064057102      46,602   2,273,244  SH     DEFINED  01,08     589,002   1,684,242           0
BANK NEW YORK INC              COM   064057102          54       2,633  SH     DEFINED     10       2,633           0           0
BANK NEW YORK INC              COM   064057102         171       8,359  SH     OTHER       10       1,460       4,349       2,550

BANK ONE CORP                  COM   06423A103     247,346   7,144,593  SH     DEFINED     01   3,938,456   3,109,372      96,765
BANK ONE CORP                  COM   06423A103      12,663     365,773  SH     OTHER       01     163,912     132,016      69,845
BANK ONE CORP                  COM   06423A103       3,792     109,536  SH     DEFINED     02      58,070      48,606       2,860
BANK ONE CORP                  COM   06423A103       3,954     114,216  SH     OTHER       02      40,376      62,590      11,250
BANK ONE CORP                  COM   06423A103       4,176     120,615  SH     DEFINED     03      72,725      41,511       6,379
BANK ONE CORP                  COM   06423A103         908      26,225  SH     OTHER       03      18,606       4,631       2,988
BANK ONE CORP                  COM   06423A103      10,564     305,138  SH     DEFINED     04     262,283           0      42,855
BANK ONE CORP                  COM   06423A103       9,256     267,367  SH     OTHER       04     247,818           0      19,549
BANK ONE CORP                  COM   06423A103         772      22,309  SH     DEFINED     05      16,881       3,450       1,978
BANK ONE CORP                  COM   06423A103         621      17,928  SH     OTHER       05       8,046       9,882           0
BANK ONE CORP                  COM   06423A103         104       3,000  SH     OTHER    01,06           0           0       3,000
BANK ONE CORP                  COM   06423A103     122,556   3,540,033  SH     DEFINED  01,08     910,721   2,629,312           0
BANK ONE CORP                  COM   06423A103       7,591     219,252  SH     DEFINED     10     200,924      17,128       1,200
BANK ONE CORP                  COM   06423A103       3,484     100,644  SH     OTHER       10      39,844      59,325       1,475

BANK UTD CORP LITIGATN CONT    COM   065416117           6      50,254  SH     DEFINED     01      20,154      30,100           0
BANK UTD CORP LITIGATN CONT    COM   065416117           6      47,947  SH     DEFINED  01,08       9,679      38,268           0

BANKATLANTIC BANCORP           COM   065908501       1,398     142,763  SH     DEFINED     01      91,015      49,428       2,320
BANKATLANTIC BANCORP           COM   065908501       1,188     121,304  SH     DEFINED  01,08      28,690      92,614           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     68
________

BANKNORTH GROUP INC NEW        COM   06646R107      12,157     557,386  SH     DEFINED     01     226,029     321,745       9,612
BANKNORTH GROUP INC NEW        COM   06646R107         109       5,000  SH     OTHER       01       5,000           0           0
BANKNORTH GROUP INC NEW        COM   06646R107          12         572  SH     DEFINED     02         395           0         177
BANKNORTH GROUP INC NEW        COM   06646R107          11         500  SH     OTHER       02           0         500           0
BANKNORTH GROUP INC NEW        COM   06646R107         304      13,920  SH     DEFINED     04      13,920           0           0
BANKNORTH GROUP INC NEW        COM   06646R107          11         488  SH     OTHER    01,06           0           0         488
BANKNORTH GROUP INC NEW        COM   06646R107      10,178     466,649  SH     DEFINED  01,08      77,572     389,077           0

BANKRATE INC                   COM   06646V108         127      27,600  SH     DEFINED     01           0      27,600           0
BANKRATE INC                   COM   06646V108          31       6,810  SH     DEFINED  01,08       4,910       1,900           0

BANKUNITED FINL CORP           COM   06652B103       1,472      83,391  SH     DEFINED     01      44,521      37,670       1,200
BANKUNITED FINL CORP           COM   06652B103       1,542      87,364  SH     DEFINED     04      87,364           0           0
BANKUNITED FINL CORP           COM   06652B103         461      26,102  SH     OTHER       04      26,102           0           0
BANKUNITED FINL CORP           COM   06652B103           9         500  SH     OTHER    01,06           0           0         500
BANKUNITED FINL CORP           COM   06652B103       1,476      83,643  SH     DEFINED  01,08      21,708      61,935           0

BANNER CORP                    COM   06652V109       1,131      71,067  SH     DEFINED     01      54,156      16,361         550
BANNER CORP                    COM   06652V109         413      25,935  SH     DEFINED  01,08       6,448      19,487           0

BANTA CORP                     COM   066821109       4,042     137,102  SH     DEFINED     01      62,908      72,794       1,400
BANTA CORP                     COM   066821109          20         675  SH     OTHER       02         675           0           0
BANTA CORP                     COM   066821109       2,798      94,919  SH     DEFINED  01,08      19,669      75,250           0

BARD C R INC                   COM   067383109      19,081     302,583  SH     DEFINED     01     162,392     135,229       4,962
BARD C R INC                   COM   067383109          14         220  SH     DEFINED     02         220           0           0
BARD C R INC                   COM   067383109         246       3,900  SH     DEFINED     04       1,800           0       2,100
BARD C R INC                   COM   067383109          60         945  SH     OTHER       04           0           0         945
BARD C R INC                   COM   067383109         252       3,996  SH     DEFINED     05           0       3,996           0
BARD C R INC                   COM   067383109           6         100  SH     OTHER    01,06           0           0         100
BARD C R INC                   COM   067383109       9,301     147,495  SH     DEFINED  01,08      40,179     107,316           0
BARD C R INC                   COM   067383109          82       1,308  SH     DEFINED     10       1,308           0           0

BARNES & NOBLE INC             CONDB 067774AD1       2,944   3,000,000  PRN    DEFINED     01   3,000,000           0           0

BARNES & NOBLE INC             COM   067774109       3,534     186,080  SH     DEFINED     01      67,850     115,480       2,750
BARNES & NOBLE INC             COM   067774109          38       2,000  SH     OTHER       01       2,000           0           0
BARNES & NOBLE INC             COM   067774109          81       4,250  SH     DEFINED     04       4,250           0           0
BARNES & NOBLE INC             COM   067774109           2         100  SH     OTHER       04         100           0           0
BARNES & NOBLE INC             COM   067774109       2,330     122,719  SH     DEFINED  01,08      18,000     104,719           0

BARNES GROUP INC               COM   067806109       1,167      55,131  SH     DEFINED     01      25,436      28,445       1,250
BARNES GROUP INC               COM   067806109           8         400  SH     OTHER    01,06           0           0         400
BARNES GROUP INC               COM   067806109       1,450      68,512  SH     DEFINED  01,08      15,906      52,606           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     69
________

BARNESANDNOBLE COM INC         COM   067846105          70      47,861  SH     DEFINED     01       7,739      40,122           0
BARNESANDNOBLE COM INC         COM   067846105           0         200  SH     DEFINED     04         200           0           0
BARNESANDNOBLE COM INC         COM   067846105         113      76,641  SH     DEFINED  01,08      18,891      57,750           0

BARRICK GOLD CORP              COM   067901108       5,252     337,560  SH     DEFINED     01     267,734      49,326      20,500
BARRICK GOLD CORP              COM   067901108         262      16,833  SH     OTHER       01       9,291       7,342         200
BARRICK GOLD CORP              COM   067901108         262      16,817  SH     DEFINED     02      16,600           0         217
BARRICK GOLD CORP              COM   067901108          96       6,185  SH     OTHER       02       2,360       1,550       2,275
BARRICK GOLD CORP              COM   067901108          54       3,490  SH     DEFINED     03         625       2,865           0
BARRICK GOLD CORP              COM   067901108          78       5,022  SH     OTHER       03       4,771         250           1
BARRICK GOLD CORP              COM   067901108         148       9,525  SH     DEFINED     04       9,275           0         250
BARRICK GOLD CORP              COM   067901108         110       7,093  SH     OTHER       04       6,493           0         600
BARRICK GOLD CORP              COM   067901108          70       4,517  SH     DEFINED     10       1,019       3,498           0
BARRICK GOLD CORP              COM   067901108          62       4,000  SH     OTHER       10       4,000           0           0

BARR LABS INC                  COM   068306109      11,140     195,443  SH     DEFINED     01      63,641     121,232      10,570
BARR LABS INC                  COM   068306109          13         225  SH     OTHER       01           0           0         225
BARR LABS INC                  COM   068306109          86       1,500  SH     DEFINED     02           0       1,500           0
BARR LABS INC                  COM   068306109          43         750  SH     OTHER       04         750           0           0
BARR LABS INC                  COM   068306109       7,350     128,940  SH     DEFINED  01,08      18,261     110,679           0
BARR LABS INC                  COM   068306109          43         750  SH     DEFINED     10         750           0           0

BARRA INC                      COM   068313105       1,786      60,164  SH     DEFINED     01      27,672      30,642       1,850
BARRA INC                      COM   068313105          10         350  SH     OTHER    01,06           0           0         350
BARRA INC                      COM   068313105       2,476      83,408  SH     DEFINED  01,08      10,089      73,319           0

BARRETT BUSINESS SERVICES IN   COM   068463108          41      12,600  SH     DEFINED     01       1,100      11,500           0
BARRETT BUSINESS SERVICES IN   COM   068463108          36      10,900  SH     DEFINED  01,08       2,791       8,109           0

BARRY R G CORP OHIO            COM   068798107          19       8,100  SH     DEFINED     01       1,400       6,700           0
BARRY R G CORP OHIO            COM   068798107          58      25,346  SH     DEFINED  01,08       4,148      21,198           0

BASSETT FURNITURE INDS INC     COM   070203104         396      37,741  SH     DEFINED     01      19,349      18,042         350
BASSETT FURNITURE INDS INC     COM   070203104           3         325  SH     OTHER    01,06           0           0         325
BASSETT FURNITURE INDS INC     COM   070203104         381      36,271  SH     DEFINED  01,08      10,270      26,001           0

BAUSCH & LOMB INC              COM   071707103       9,875     300,234  SH     DEFINED     01     158,123     138,413       3,698
BAUSCH & LOMB INC              COM   071707103          86       2,600  SH     OTHER       03       2,600           0           0
BAUSCH & LOMB INC              COM   071707103          17         530  SH     DEFINED     04         530           0           0
BAUSCH & LOMB INC              COM   071707103           3         100  SH     OTHER    01,06           0           0         100
BAUSCH & LOMB INC              COM   071707103       4,889     148,637  SH     DEFINED  01,08      39,179     109,458           0
BAUSCH & LOMB INC              COM   071707103           0          10  SH     DEFINED     10          10           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     70
________

BAXTER INTL INC                COM   071813109      75,284   4,038,826  SH     DEFINED     01   2,183,974   1,785,469      69,383
BAXTER INTL INC                COM   071813109       5,227     280,401  SH     OTHER       01     131,541     121,662      27,198
BAXTER INTL INC                COM   071813109       2,016     108,148  SH     DEFINED     02      71,536      34,612       2,000
BAXTER INTL INC                COM   071813109         660      35,405  SH     OTHER       02      20,620      13,985         800
BAXTER INTL INC                COM   071813109       5,422     290,857  SH     DEFINED     03     209,199      63,828      17,830
BAXTER INTL INC                COM   071813109         543      29,152  SH     OTHER       03      25,102       3,650         400
BAXTER INTL INC                COM   071813109      12,614     676,699  SH     DEFINED     04     653,624           0      23,075
BAXTER INTL INC                COM   071813109       5,374     288,297  SH     OTHER       04     261,549           0      26,748
BAXTER INTL INC                COM   071813109       1,655      88,811  SH     DEFINED     05      76,541       9,350       2,920
BAXTER INTL INC                COM   071813109          86       4,624  SH     OTHER       05       1,074       3,550           0
BAXTER INTL INC                COM   071813109          28       1,500  SH     OTHER    01,06           0           0       1,500
BAXTER INTL INC                COM   071813109      48,944   2,625,732  SH     DEFINED  01,08     415,641   2,129,920      80,171
BAXTER INTL INC                COM   071813109       1,253      67,246  SH     DEFINED     10      60,046       5,100       2,100
BAXTER INTL INC                COM   071813109         252      13,513  SH     OTHER       10       1,900       7,663       3,950

BAY ST BANCORP INC             COM   072611106          30       1,200  SH     DEFINED     01       1,200           0           0
BAY ST BANCORP INC             COM   072611106         218       8,738  SH     DEFINED  01,08       2,138       6,600           0

BAY VIEW CAP CORP DEL          COM   07262L101       1,906     349,714  SH     DEFINED     01     278,550      67,764       3,400
BAY VIEW CAP CORP DEL          COM   07262L101           2         284  SH     DEFINED     04         284           0           0
BAY VIEW CAP CORP DEL          COM   07262L101         969     177,772  SH     DEFINED  01,08      35,612     142,160           0

BE AEROSPACE INC               COM   073302101         236     124,232  SH     DEFINED     01      76,067      46,965       1,200
BE AEROSPACE INC               COM   073302101           1         700  SH     OTHER    01,06           0           0         700
BE AEROSPACE INC               COM   073302101         227     119,569  SH     DEFINED  01,08      29,825      89,744           0

BEA SYS INC                    COM   073325102       5,216     514,405  SH     DEFINED     01     305,844     171,661      36,900
BEA SYS INC                    COM   073325102          62       6,100  SH     DEFINED     04       6,100           0           0
BEA SYS INC                    COM   073325102           6         600  SH     OTHER       04         600           0           0
BEA SYS INC                    COM   073325102       7,784     767,619  SH     DEFINED  01,08     105,408     662,211           0

BEACON POWER CORP              COM   073677106          10      56,445  SH     DEFINED     01       8,525      47,920           0
BEACON POWER CORP              COM   073677106           9      51,863  SH     DEFINED  01,08       8,180      43,683           0

BEAR STEARNS COS INC           COM   073902108      36,432     555,365  SH     DEFINED     01     288,243     255,509      11,613
BEAR STEARNS COS INC           COM   073902108          77       1,174  SH     OTHER       01         700           0         474
BEAR STEARNS COS INC           COM   073902108          88       1,337  SH     DEFINED     02       1,337           0           0
BEAR STEARNS COS INC           COM   073902108           3          50  SH     DEFINED     03           0           0          50
BEAR STEARNS COS INC           COM   073902108          15         230  SH     OTHER    01,06           0           0         230
BEAR STEARNS COS INC           COM   073902108      18,670     284,609  SH     DEFINED  01,08      75,171     209,438           0
BEAR STEARNS COS INC           COM   073902108          71       1,084  SH     DEFINED     10       1,084           0           0

BEARINGPOINT INC               COM   074002106       1,334     209,351  SH     DEFINED     01     128,365      78,586       2,400
BEARINGPOINT INC               COM   074002106          46       7,182  SH     DEFINED     02       7,182           0           0
BEARINGPOINT INC               COM   074002106       1,937     304,147  SH     DEFINED  01,08      40,990     263,157           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     71
________

BEASLEY BROADCAST GROUP INC    COM   074014101         183      18,894  SH     DEFINED     01      11,135       7,609         150
BEASLEY BROADCAST GROUP INC    COM   074014101         155      15,926  SH     DEFINED  01,08       4,000      11,926           0

BEAZER HOMES USA INC           COM   07556Q105       2,567      43,642  SH     DEFINED     01      25,237      17,670         735
BEAZER HOMES USA INC           COM   07556Q105       2,553      43,405  SH     DEFINED  01,08       7,090      36,315           0

BEBE STORES INC                COM   075571109         217      18,372  SH     DEFINED     01      12,065       6,307           0
BEBE STORES INC                COM   075571109         595      50,418  SH     DEFINED  01,08      11,700      38,718           0

BECKMAN COULTER INC            COM   075811109       6,529     191,855  SH     DEFINED     01      71,111     117,444       3,300
BECKMAN COULTER INC            COM   075811109          34       1,000  SH     DEFINED     02       1,000           0           0
BECKMAN COULTER INC            COM   075811109          15         440  SH     OTHER       03         440           0           0
BECKMAN COULTER INC            COM   075811109         190       5,582  SH     DEFINED     04       5,582           0           0
BECKMAN COULTER INC            COM   075811109           8         228  SH     OTHER       04         228           0           0
BECKMAN COULTER INC            COM   075811109          30         880  SH     OTHER       05           0           0         880
BECKMAN COULTER INC            COM   075811109       4,816     141,512  SH     DEFINED  01,08      19,554     121,958           0
BECKMAN COULTER INC            COM   075811109          10         300  SH     OTHER       10         300           0           0

BECTON DICKINSON & CO          COM   075887109      55,166   1,601,787  SH     DEFINED     01     903,054     675,752      22,981
BECTON DICKINSON & CO          COM   075887109          34         995  SH     OTHER       01         745           0         250
BECTON DICKINSON & CO          COM   075887109         125       3,630  SH     DEFINED     02           0       3,600          30
BECTON DICKINSON & CO          COM   075887109          97       2,807  SH     DEFINED     03         600         400       1,807
BECTON DICKINSON & CO          COM   075887109         618      17,938  SH     DEFINED     04      17,938           0           0
BECTON DICKINSON & CO          COM   075887109         255       7,400  SH     OTHER       04       5,900           0       1,500
BECTON DICKINSON & CO          COM   075887109          24         700  SH     OTHER    01,06           0           0         700
BECTON DICKINSON & CO          COM   075887109      26,150     759,290  SH     DEFINED  01,08     192,051     567,239           0
BECTON DICKINSON & CO          COM   075887109          29         841  SH     DEFINED     10         841           0           0
BECTON DICKINSON & CO          COM   075887109          29         840  SH     OTHER       10           0         840           0

BED BATH & BEYOND INC          COM   075896100      64,571   1,869,458  SH     DEFINED     01   1,039,951     791,184      38,323
BED BATH & BEYOND INC          COM   075896100       1,040      30,115  SH     OTHER       01       3,280      22,460       4,375
BED BATH & BEYOND INC          COM   075896100          11         317  SH     DEFINED     02         125         100          92
BED BATH & BEYOND INC          COM   075896100           3         100  SH     OTHER       02         100           0           0
BED BATH & BEYOND INC          COM   075896100       1,598      46,259  SH     DEFINED     03      18,074      12,215      15,970
BED BATH & BEYOND INC          COM   075896100         249       7,200  SH     OTHER       03       3,540         310       3,350
BED BATH & BEYOND INC          COM   075896100         705      20,401  SH     DEFINED     04      16,701           0       3,700
BED BATH & BEYOND INC          COM   075896100         330       9,555  SH     OTHER       04       9,255           0         300
BED BATH & BEYOND INC          COM   075896100          10         300  SH     OTHER       05         300           0           0
BED BATH & BEYOND INC          COM   075896100          26         750  SH     OTHER    01,06           0           0         750
BED BATH & BEYOND INC          COM   075896100      31,333     907,137  SH     DEFINED  01,08     211,243     695,894           0
BED BATH & BEYOND INC          COM   075896100         621      17,978  SH     DEFINED     10       6,278      11,300         400
BED BATH & BEYOND INC          COM   075896100          12         350  SH     OTHER       10         150         200           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     72
________

BEDFORD PPTY INVS INC          COM   076446301       1,693      64,751  SH     DEFINED     01      39,586      24,415         750
BEDFORD PPTY INVS INC          COM   076446301          26       1,000  SH     DEFINED     03           0       1,000           0
BEDFORD PPTY INVS INC          COM   076446301         388      14,852  SH     OTHER       04      14,852           0           0
BEDFORD PPTY INVS INC          COM   076446301         972      37,188  SH     DEFINED  01,08       9,108      28,080           0

BEL FUSE INC                   COM   077347201         206      11,600  SH     DEFINED     01       1,400      10,200           0
BEL FUSE INC                   COM   077347201         306      17,207  SH     DEFINED  01,08       4,735      12,472           0

BEL FUSE INC                   COM   077347300         448      22,288  SH     DEFINED     01      14,744       7,244         300
BEL FUSE INC                   COM   077347300           5         250  SH     OTHER    01,06           0           0         250
BEL FUSE INC                   COM   077347300         590      29,371  SH     DEFINED  01,08       5,051      24,320           0

BELDEN INC                     COM   077459105         939      87,386  SH     DEFINED     01      48,660      37,476       1,250
BELDEN INC                     COM   077459105           1          70  SH     OTHER       02          70           0           0
BELDEN INC                     COM   077459105           5         500  SH     OTHER    01,06           0           0         500
BELDEN INC                     COM   077459105       1,376     128,028  SH     DEFINED  01,08      21,989     106,039           0

BELL INDS INC                  COM   078107109          19      11,400  SH     DEFINED     01       1,300      10,100           0
BELL INDS INC                  COM   078107109          45      26,926  SH     DEFINED  01,08       2,477      24,449           0

BELL MICROPRODUCTS INC         COM   078137106         344      67,408  SH     DEFINED     01      38,606      27,402       1,400
BELL MICROPRODUCTS INC         COM   078137106           2         400  SH     OTHER    01,06           0           0         400
BELL MICROPRODUCTS INC         COM   078137106         316      61,795  SH     DEFINED  01,08      17,411      44,384           0

BELLSOUTH CORP                 COM   079860102     240,828  11,113,431  SH     DEFINED     01   5,986,627   4,904,453     222,351
BELLSOUTH CORP                 COM   079860102      11,311     521,959  SH     OTHER       01     234,597     265,431      21,931
BELLSOUTH CORP                 COM   079860102       3,130     144,458  SH     DEFINED     02     101,625      36,878       5,955
BELLSOUTH CORP                 COM   079860102      23,053   1,063,838  SH     OTHER       02   1,009,008      43,137      11,693
BELLSOUTH CORP                 COM   079860102       5,110     235,820  SH     DEFINED     03     189,706      29,768      16,346
BELLSOUTH CORP                 COM   079860102       1,476      68,123  SH     OTHER       03      47,287      20,836           0
BELLSOUTH CORP                 COM   079860102      17,460     805,743  SH     DEFINED     04     791,666           0      14,077
BELLSOUTH CORP                 COM   079860102      20,354     939,276  SH     OTHER       04     895,623           0      43,653
BELLSOUTH CORP                 COM   079860102       1,069      49,342  SH     DEFINED     05      46,782         875       1,685
BELLSOUTH CORP                 COM   079860102         279      12,891  SH     OTHER       05       4,040       7,676       1,175
BELLSOUTH CORP                 COM   079860102          91       4,200  SH     OTHER    01,06           0           0       4,200
BELLSOUTH CORP                 COM   079860102          95       4,400  SH     OTHER    04,07           0           0       4,400
BELLSOUTH CORP                 COM   079860102     141,955   6,550,778  SH     DEFINED  01,08   1,420,299   5,052,778      77,701
BELLSOUTH CORP                 COM   079860102       1,938      89,455  SH     DEFINED     10      67,737      10,118      11,600
BELLSOUTH CORP                 COM   079860102       1,330      61,384  SH     OTHER       10      21,169      38,740       1,475

BELMONT BANCORP                COM   080162100           9       1,700  SH     DEFINED     01         700       1,000           0
BELMONT BANCORP                COM   080162100          91      17,460  SH     DEFINED  01,08       4,900      12,560           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     73
________

BELO CORP                      COM   080555105       8,673     428,075  SH     DEFINED     01     216,100     207,179       4,796
BELO CORP                      COM   080555105       1,888      93,200  SH     DEFINED     02      91,000       2,200           0
BELO CORP                      COM   080555105       4,678     230,922  SH     DEFINED  01,08      32,071     198,851           0

BEMA GOLD CORP                 COM   08135F107          29      25,028  SH     DEFINED  01,08           0      25,028           0

BEMIS INC                      COM   081437105      12,633     300,365  SH     DEFINED     01     155,305     139,062       5,998
BEMIS INC                      COM   081437105         668      15,875  SH     OTHER       01       3,300       1,525      11,050
BEMIS INC                      COM   081437105         223       5,300  SH     DEFINED     02       4,500         300         500
BEMIS INC                      COM   081437105          26         630  SH     OTHER       02         630           0           0
BEMIS INC                      COM   081437105         193       4,580  SH     DEFINED     03       2,115       2,015         450
BEMIS INC                      COM   081437105          86       2,050  SH     OTHER       03       1,050       1,000           0
BEMIS INC                      COM   081437105          17         400  SH     OTHER       04         400           0           0
BEMIS INC                      COM   081437105           2          50  SH     DEFINED     05          50           0           0
BEMIS INC                      COM   081437105           4         100  SH     OTHER    01,06           0           0         100
BEMIS INC                      COM   081437105       6,592     156,726  SH     DEFINED  01,08      49,076     107,650           0
BEMIS INC                      COM   081437105          13         309  SH     DEFINED     10         309           0           0

BENCHMARK ELECTRS INC          COM   08160H101       5,150     181,773  SH     DEFINED     01     141,801      35,072       4,900
BENCHMARK ELECTRS INC          COM   08160H101          54       1,900  SH     DEFINED     04       1,900           0           0
BENCHMARK ELECTRS INC          COM   08160H101          14         500  SH     OTHER    01,06           0           0         500
BENCHMARK ELECTRS INC          COM   08160H101       2,424      85,563  SH     DEFINED  01,08      21,442      64,121           0

BENIHANA INC                   COM   082047200         203      19,753  SH     DEFINED     01       6,309      13,444           0
BENIHANA INC                   COM   082047200         157      15,210  SH     DEFINED  01,08       3,829      11,381           0

BENTLEY PHARMACEUTICALS INC    COM   082657107         257      32,025  SH     DEFINED     01      20,528      11,247         250
BENTLEY PHARMACEUTICALS INC    COM   082657107         283      35,313  SH     DEFINED  01,08       9,140      26,173           0

BERKLEY W R CORP               COM   084423102       2,477      57,805  SH     DEFINED     01      35,979      19,701       2,125
BERKLEY W R CORP               COM   084423102           1          35  SH     DEFINED     04          35           0           0
BERKLEY W R CORP               COM   084423102       4,389     102,438  SH     DEFINED  01,08      12,737      89,701           0

BERKSHIRE BANCORP INC DEL      COM   084597103         277       8,589  SH     DEFINED     01       5,380       3,209           0
BERKSHIRE BANCORP INC DEL      COM   084597103           1          25  SH     OTHER       04          25           0           0
BERKSHIRE BANCORP INC DEL      COM   084597103         237       7,335  SH     DEFINED  01,08       1,014       6,321           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     74
________

BERKSHIRE HATHAWAY INC DEL     COM   084670108       1,277         336  SH     DEFINED     01         310          26           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108          53          14  SH     OTHER       01           9           5           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108          15           4  SH     DEFINED     02           4           0           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108          19           5  SH     OTHER       02           0           5           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108          27           7  SH     DEFINED     03           2           2           3
BERKSHIRE HATHAWAY INC DEL     COM   084670108           8           2  SH     OTHER       03           2           0           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108           0          68  SH     DEFINED     04          63           0           5
BERKSHIRE HATHAWAY INC DEL     COM   084670108           0         324  SH     OTHER       04         281           0          43
BERKSHIRE HATHAWAY INC DEL     COM   084670108          49          13  SH     DEFINED     05          13           0           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108          61          16  SH     OTHER       05          16           0           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108       3,937       1,036  SH     DEFINED  01,08         202         834           0
BERKSHIRE HATHAWAY INC DEL     COM   084670108         213          56  SH     DEFINED     10          47           5           4

BERKSHIRE HATHAWAY INC DEL     COM   084670207       3,210       1,502  SH     DEFINED     01       1,166         284          52
BERKSHIRE HATHAWAY INC DEL     COM   084670207         361         169  SH     OTHER       01          60         109           0
BERKSHIRE HATHAWAY INC DEL     COM   084670207         583         273  SH     DEFINED     02         120         136          17
BERKSHIRE HATHAWAY INC DEL     COM   084670207         137          64  SH     OTHER       02          41          23           0
BERKSHIRE HATHAWAY INC DEL     COM   084670207         908         425  SH     DEFINED     03         228         166          31
BERKSHIRE HATHAWAY INC DEL     COM   084670207         263         123  SH     OTHER       03          30          93           0
BERKSHIRE HATHAWAY INC DEL     COM   084670207       4,979       2,330  SH     DEFINED     04       2,189           0         141
BERKSHIRE HATHAWAY INC DEL     COM   084670207       3,911       1,830  SH     OTHER       04       1,735           0          95
BERKSHIRE HATHAWAY INC DEL     COM   084670207          81          38  SH     DEFINED     05          38           0           0
BERKSHIRE HATHAWAY INC DEL     COM   084670207          32          15  SH     OTHER       05          15           0           0
BERKSHIRE HATHAWAY INC DEL     COM   084670207       1,319         617  SH     DEFINED     10         616           1           0
BERKSHIRE HATHAWAY INC DEL     COM   084670207         323         151  SH     OTHER       10         138           7           6

BERKSHIRE HILLS BANCORP INC    COM   084680107         300      13,037  SH     DEFINED     01      10,337       2,400         300
BERKSHIRE HILLS BANCORP INC    COM   084680107         223       9,685  SH     DEFINED  01,08       3,530       6,155           0

BERRY PETE CO                  COM   085789105         938      62,545  SH     DEFINED     01      29,894      32,251         400
BERRY PETE CO                  COM   085789105         809      53,903  SH     DEFINED  01,08      11,196      42,707           0

BEST BUY INC                   CONDB 086516AF8       2,700   3,000,000  PRN    DEFINED     01   3,000,000           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     75
________

BEST BUY INC                   COM   086516101      64,468   2,390,376  SH     DEFINED     01   1,387,288     947,480      55,608
BEST BUY INC                   COM   086516101       2,697     100,010  SH     OTHER       01      45,297      47,848       6,865
BEST BUY INC                   COM   086516101         626      23,227  SH     DEFINED     02      11,127       9,175       2,925
BEST BUY INC                   COM   086516101         190       7,027  SH     OTHER       02       2,852       3,275         900
BEST BUY INC                   COM   086516101       2,150      79,716  SH     DEFINED     03      31,377      29,187      19,152
BEST BUY INC                   COM   086516101         350      12,995  SH     OTHER       03       4,060       1,960       6,975
BEST BUY INC                   COM   086516101      11,876     440,357  SH     DEFINED     04     428,028           0      12,329
BEST BUY INC                   COM   086516101       2,713     100,600  SH     OTHER       04      96,129           0       4,471
BEST BUY INC                   COM   086516101       1,371      50,840  SH     DEFINED     05      46,850       3,015         975
BEST BUY INC                   COM   086516101         167       6,202  SH     OTHER       05       2,887       3,125         190
BEST BUY INC                   COM   086516101          24         875  SH     OTHER    01,06           0           0         875
BEST BUY INC                   COM   086516101      23,142     858,066  SH     DEFINED  01,08     210,583     647,483           0
BEST BUY INC                   COM   086516101         735      27,255  SH     DEFINED     10      26,405         400         450
BEST BUY INC                   COM   086516101         125       4,625  SH     OTHER       10       4,000         325         300

BEVERLY ENTERPRISES INC        COM   087851309         680     336,669  SH     DEFINED     01     189,322     142,247       5,100
BEVERLY ENTERPRISES INC        COM   087851309          26      12,626  SH     OTHER       01      12,626           0           0
BEVERLY ENTERPRISES INC        COM   087851309         602     298,099  SH     DEFINED  01,08      58,200     239,899           0

BHP BILLITON LTD               COM   088606108          16       1,431  SH     DEFINED     01       1,431           0           0
BHP BILLITON LTD               COM   088606108         176      15,839  SH     OTHER       01           0      15,839           0
BHP BILLITON LTD               COM   088606108          25       2,240  SH     DEFINED     02       2,240           0           0

BIG DOG HLDGS INC              COM   089128102          26      13,200  SH     DEFINED     01       2,500      10,700           0
BIG DOG HLDGS INC              COM   089128102          31      15,800  SH     DEFINED  01,08       3,200      12,600           0

BIG 5 SPORTING GOODS CORP      COM   08915P101         397      36,021  SH     DEFINED     01      36,021           0           0
BIG 5 SPORTING GOODS CORP      COM   08915P101         340      30,859  SH     DEFINED  01,08       9,859      21,000           0

BIG LOTS INC                   COM   089302103       7,318     650,522  SH     DEFINED     01     339,197     304,283       7,042
BIG LOTS INC                   COM   089302103           2         150  SH     OTHER       01           0         150           0
BIG LOTS INC                   COM   089302103           3         300  SH     OTHER    01,06           0           0         300
BIG LOTS INC                   COM   089302103       3,542     314,860  SH     DEFINED  01,08      89,150     225,710           0
BIG LOTS INC                   COM   089302103           0          18  SH     DEFINED     10          18           0           0

BINDVIEW DEV CORP              COM   090327107          71      54,574  SH     DEFINED     01      10,474      44,100           0
BINDVIEW DEV CORP              COM   090327107          96      74,217  SH     DEFINED  01,08      20,003      54,214           0

BIO-REFERENCE LABS INC         COM   09057G602          77      18,336  SH     DEFINED     01      12,351       5,985           0
BIO-REFERENCE LABS INC         COM   09057G602          17       4,056  SH     DEFINED  01,08         900       3,156           0

BIO RAD LABS INC               COM   090572108         548      15,652  SH     DEFINED  01,08           0      15,652           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     76
________

BIO RAD LABS INC               COM   090572207       2,353      65,828  SH     DEFINED     01      31,517      34,011         300
BIO RAD LABS INC               COM   090572207          11         300  SH     DEFINED     02           0           0         300
BIO RAD LABS INC               COM   090572207       2,479      69,341  SH     DEFINED  01,08      19,434      49,907           0

BIO TECHNOLOGY GEN CORP        COM   090578105         585     216,841  SH     DEFINED     01     124,087      88,954       3,800
BIO TECHNOLOGY GEN CORP        COM   090578105           3       1,200  SH     OTHER    01,06           0           0       1,200
BIO TECHNOLOGY GEN CORP        COM   090578105         740     274,241  SH     DEFINED  01,08      52,536     221,705           0

BIOCRYST PHARMACEUTICALS       COM   09058V103          31      20,200  SH     DEFINED     01       3,500      16,700           0
BIOCRYST PHARMACEUTICALS       COM   09058V103           2       1,000  SH     DEFINED     04       1,000           0           0
BIOCRYST PHARMACEUTICALS       COM   09058V103          40      26,071  SH     DEFINED  01,08       4,504      21,567           0

BIOJECT MED TECH INC           COM   09059T206           0          80  SH     DEFINED     01          80           0           0
BIOJECT MED TECH INC           COM   09059T206          69      18,060  SH     DEFINED  01,08       4,495      13,565           0

BIOGEN INC                     COM   090597105      27,121     905,247  SH     DEFINED     01     503,659     389,413      12,175
BIOGEN INC                     COM   090597105         549      18,325  SH     OTHER       01       5,700      10,575       2,050
BIOGEN INC                     COM   090597105         641      21,390  SH     DEFINED     02      13,340       6,550       1,500
BIOGEN INC                     COM   090597105         132       4,400  SH     OTHER       02       1,650       2,750           0
BIOGEN INC                     COM   090597105       1,304      43,515  SH     DEFINED     03      35,521       5,014       2,980
BIOGEN INC                     COM   090597105         339      11,310  SH     OTHER       03      10,210         300         800
BIOGEN INC                     COM   090597105         393      13,130  SH     DEFINED     04      11,780           0       1,350
BIOGEN INC                     COM   090597105         449      14,988  SH     OTHER       04       7,788           0       7,200
BIOGEN INC                     COM   090597105         185       6,190  SH     DEFINED     05       3,180       3,010           0
BIOGEN INC                     COM   090597105          55       1,825  SH     OTHER       05         825           0       1,000
BIOGEN INC                     COM   090597105          12         400  SH     OTHER    01,06           0           0         400
BIOGEN INC                     COM   090597105      13,485     450,086  SH     DEFINED  01,08     110,442     339,644           0
BIOGEN INC                     COM   090597105          33       1,095  SH     DEFINED     10       1,095           0           0
BIOGEN INC                     COM   090597105          66       2,200  SH     OTHER       10       1,800         400           0

BIOMARIN PHARMACEUTICAL INC    COM   09061G101       3,356     295,721  SH     DEFINED     01     218,295      75,576       1,850
BIOMARIN PHARMACEUTICAL INC    COM   09061G101       1,892     166,705  SH     DEFINED  01,08      30,684     136,021           0

BIOMET INC                     COM   090613100      45,584   1,487,253  SH     DEFINED     01     782,037     680,468      24,748
BIOMET INC                     COM   090613100       2,812      91,750  SH     OTHER       01      81,400           0      10,350
BIOMET INC                     COM   090613100       1,648      53,760  SH     DEFINED     02      41,620       9,140       3,000
BIOMET INC                     COM   090613100       1,223      39,900  SH     OTHER       02       8,550      31,350           0
BIOMET INC                     COM   090613100         150       4,887  SH     DEFINED     03         169       4,500         218
BIOMET INC                     COM   090613100       1,168      38,111  SH     DEFINED     04      20,493           0      17,618
BIOMET INC                     COM   090613100       1,519      49,560  SH     OTHER       04      49,460           0         100
BIOMET INC                     COM   090613100          21         675  SH     OTHER    01,06           0           0         675
BIOMET INC                     COM   090613100      25,283     824,897  SH     DEFINED  01,08     185,913     638,984           0
BIOMET INC                     COM   090613100       1,031      33,629  SH     DEFINED     10      30,054       1,675       1,900
BIOMET INC                     COM   090613100         243       7,925  SH     OTHER       10       6,800       1,125           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     77
________

BIOPURE CORP                   COM   09065H105         244      72,935  SH     DEFINED     01      36,236      36,249         450
BIOPURE CORP                   COM   09065H105           2         500  SH     OTHER       01           0         500           0
BIOPURE CORP                   COM   09065H105          14       4,075  SH     DEFINED     04       4,075           0           0
BIOPURE CORP                   COM   09065H105         315      94,168  SH     DEFINED  01,08      15,358      78,810           0

BIOSOURCE INTL INC             COM   09066H104          76      12,600  SH     DEFINED     01       2,100      10,500           0
BIOSOURCE INTL INC             COM   09066H104         100      16,687  SH     DEFINED  01,08       4,387      12,300           0

BIOTIME INC                    COM   09066L105          18      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           5       3,100  SH     OTHER       02           0       3,100           0
BIOTIME INC                    COM   09066L105          25      16,042  SH     DEFINED  01,08       2,167      13,875           0

BIOSPHERE MEDICAL INC          COM   09066V103          50      10,700  SH     DEFINED     01         600      10,100           0
BIOSPHERE MEDICAL INC          COM   09066V103         104      22,142  SH     DEFINED  01,08       5,482      16,660           0

BIOTECH HOLDERS TR             COM   09067D201       7,662      82,162  SH     DEFINED     01      71,852      10,110         200
BIOTECH HOLDERS TR             COM   09067D201         872       9,350  SH     OTHER       01       7,325       1,825         200
BIOTECH HOLDERS TR             COM   09067D201         388       4,160  SH     DEFINED     02       2,000       1,230         930
BIOTECH HOLDERS TR             COM   09067D201         173       1,850  SH     OTHER       02         650       1,100         100
BIOTECH HOLDERS TR             COM   09067D201       1,860      19,950  SH     DEFINED     04      18,650           0       1,300
BIOTECH HOLDERS TR             COM   09067D201         401       4,300  SH     OTHER       04       4,100           0         200
BIOTECH HOLDERS TR             COM   09067D201         378       4,050  SH     DEFINED     10       3,950         100           0

BIOVAIL CORP                   COM   09067J109       9,430     236,525  SH     DEFINED     01     217,925      10,825       7,775
BIOVAIL CORP                   COM   09067J109         127       3,180  SH     DEFINED     04       3,180           0           0
BIOVAIL CORP                   COM   09067J109         295       7,400  SH     DEFINED  01,08       7,400           0           0

BIO LOGIC SYS CORP             COM   090909102          14       3,000  SH     DEFINED     01         900       2,100           0
BIO LOGIC SYS CORP             COM   090909102          64      13,699  SH     DEFINED  01,08       1,851      11,848           0

BIOLASE TECHNOLOGY INC         COM   090911108         168      20,500  SH     DEFINED     01       3,900      16,400         200
BIOLASE TECHNOLOGY INC         COM   090911108         157      19,106  SH     DEFINED  01,08       8,714      10,392           0

BIOSPECIFICS TECHNOLOGIES CO   COM   090931106           8       6,000  SH     DEFINED     01         700       5,300           0
BIOSPECIFICS TECHNOLOGIES CO   COM   090931106          10       7,800  SH     DEFINED  01,08       1,332       6,468           0

BIOSITE INC                    COM   090945106       3,135      81,623  SH     DEFINED     01      53,909      27,114         600
BIOSITE INC                    COM   090945106         543      14,143  SH     OTHER       01           0       7,000       7,143
BIOSITE INC                    COM   090945106          12         300  SH     OTHER    01,06           0           0         300
BIOSITE INC                    COM   090945106       2,215      57,656  SH     DEFINED  01,08       7,826      49,830           0

BIORELIANCE CORP               COM   090951104         335      17,330  SH     DEFINED     01       6,498      10,832           0
BIORELIANCE CORP               COM   090951104         284      14,707  SH     DEFINED  01,08       4,037      10,670           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     78
________

BITSTREAM INC                  COM   091736108           2       1,000  SH     DEFINED     01       1,000           0           0
BITSTREAM INC                  COM   091736108           1         400  SH     DEFINED     04         400           0           0
BITSTREAM INC                  COM   091736108          29      16,969  SH     DEFINED  01,08       2,069      14,900           0

BLACK & DECKER CORP            COM   091797100      22,374     641,820  SH     DEFINED     01     344,334     274,861      22,625
BLACK & DECKER CORP            COM   091797100       1,057      30,335  SH     OTHER       01       7,175      22,850         310
BLACK & DECKER CORP            COM   091797100         669      19,200  SH     DEFINED     02      14,975       4,225           0
BLACK & DECKER CORP            COM   091797100         106       3,050  SH     OTHER       02         900       2,150           0
BLACK & DECKER CORP            COM   091797100         392      11,236  SH     DEFINED     03       2,446       8,690         100
BLACK & DECKER CORP            COM   091797100         348       9,970  SH     OTHER       03       4,170       3,600       2,200
BLACK & DECKER CORP            COM   091797100       3,395      97,385  SH     DEFINED     04      96,060           0       1,325
BLACK & DECKER CORP            COM   091797100         803      23,040  SH     OTHER       04      23,040           0           0
BLACK & DECKER CORP            COM   091797100         961      27,580  SH     DEFINED     05      23,275       3,000       1,305
BLACK & DECKER CORP            COM   091797100          31         900  SH     OTHER       05         500         400           0
BLACK & DECKER CORP            COM   091797100           9         250  SH     OTHER    01,06           0           0         250
BLACK & DECKER CORP            COM   091797100       8,522     244,450  SH     DEFINED  01,08      61,712     182,738           0
BLACK & DECKER CORP            COM   091797100          60       1,714  SH     DEFINED     10       1,714           0           0
BLACK & DECKER CORP            COM   091797100          37       1,050  SH     OTHER       10         175         875           0

BLACK BOX CORP DEL             COM   091826107       2,240      75,614  SH     DEFINED     01      40,298      35,216         100
BLACK BOX CORP DEL             COM   091826107         276       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          14         475  SH     DEFINED     04         475           0           0
BLACK BOX CORP DEL             COM   091826107          12         400  SH     OTHER    01,06           0           0         400
BLACK BOX CORP DEL             COM   091826107       2,580      87,074  SH     DEFINED  01,08      17,289      69,785           0

BLACK HILLS CORP               COM   092113109       3,811     138,639  SH     DEFINED     01      79,383      57,556       1,700
BLACK HILLS CORP               COM   092113109          49       1,800  SH     OTHER       01           0       1,800           0
BLACK HILLS CORP               COM   092113109          10         351  SH     DEFINED     02         351           0           0
BLACK HILLS CORP               COM   092113109          34       1,250  SH     OTHER       02       1,250           0           0
BLACK HILLS CORP               COM   092113109         216       7,849  SH     DEFINED     04       7,849           0           0
BLACK HILLS CORP               COM   092113109          27         975  SH     OTHER       04         975           0           0
BLACK HILLS CORP               COM   092113109       2,432      88,485  SH     DEFINED  01,08      31,114      57,371           0
BLACK HILLS CORP               COM   092113109          62       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         178      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


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     79
________

BLACKROCK FL INSD MUN 2008 T   COM   09247H106         595      37,465  SH     DEFINED     04      35,465           0       2,000
BLACKROCK FL INSD MUN 2008 T   COM   09247H106         192      12,109  SH     OTHER       04      12,109           0           0

BLACKROCK INSD MUN 2008 TRM    UNDEF 09247K109           3      17,266         DEFINED     01       7,266      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       1,600         OTHER       02       1,600           0           0
BLACKROCK INSD MUN 2008 TRM    UNDEF 09247K109          34       2,000         DEFINED     04       2,000           0           0
BLACKROCK INSD MUN 2008 TRM    UNDEF 09247K109          27       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           0          99         DEFINED     02          99           0           0
BLACKROCK MUN TARGET TERM TR   UNDEF 09247M105         161      14,747         DEFINED     04      14,747           0           0
BLACKROCK MUN TARGET TERM TR   UNDEF 09247M105          59       5,447         OTHER       04       5,447           0           0
BLACKROCK MUN TARGET TERM TR   UNDEF 09247M105           0       2,175         OTHER       10           0       2,175           0

BLACKROCK INC                  COM   09247X101       1,251      28,732  SH     DEFINED     01      12,739      15,293         700
BLACKROCK INC                  COM   09247X101       1,792      41,159  SH     DEFINED  01,08       9,659      31,500           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         204      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          23       2,100         DEFINED     04       2,100           0           0
BLACKROCK INCOME OPP TRUST I   UNDEF 092475102          81       7,466         OTHER       04       7,466           0           0

BLACKROCK FLA MUN INCOME TR    UNDEF 09248H105         342      24,700         OTHER       04      24,700           0           0

BLAIR CORP                     COM   092828102       1,032      43,904  SH     DEFINED     01      33,704       9,800         400
BLAIR CORP                     COM   092828102         486      20,673  SH     DEFINED  01,08       4,642      16,031           0

BLOCK H & R INC                COM   093671105      48,685   1,140,440  SH     DEFINED     01     591,321     480,003      69,116
BLOCK H & R INC                COM   093671105       2,327      54,498  SH     OTHER       01      26,558      25,090       2,850
BLOCK H & R INC                COM   093671105         342       8,000  SH     DEFINED     02       8,000           0           0
BLOCK H & R INC                COM   093671105         495      11,600  SH     OTHER       02       9,200       2,400           0
BLOCK H & R INC                COM   093671105         187       4,375  SH     DEFINED     03         850         650       2,875
BLOCK H & R INC                COM   093671105          26         600  SH     OTHER       03         600           0           0
BLOCK H & R INC                COM   093671105         264       6,191  SH     DEFINED     04       6,191           0           0
BLOCK H & R INC                COM   093671105       4,828     113,100  SH     OTHER       04     113,100           0           0
BLOCK H & R INC                COM   093671105       1,063      24,897  SH     DEFINED     05      18,440       6,457           0
BLOCK H & R INC                COM   093671105          21         500  SH     OTHER    01,06           0           0         500
BLOCK H & R INC                COM   093671105      22,832     534,826  SH     DEFINED  01,08     127,861     406,965           0
BLOCK H & R INC                COM   093671105         100       2,338  SH     DEFINED     10       1,738           0         600


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     80
________

BLOCKBUSTER INC                COM   093679108         686      40,126  SH     DEFINED     01      24,656      14,120       1,350
BLOCKBUSTER INC                COM   093679108          43       2,500  SH     DEFINED     04       2,500           0           0
BLOCKBUSTER INC                COM   093679108       1,991     116,415  SH     DEFINED  01,08      19,066      97,349           0

BLONDER TONGUE LABS INC        COM   093698108          14       9,700  SH     DEFINED     01       1,200       8,500           0
BLONDER TONGUE LABS INC        COM   093698108          16      11,173  SH     DEFINED  01,08       1,473       9,700           0

BLOUNT INTL INC NEW            COM   095180105         228      35,386  SH     DEFINED     01      25,374      10,012           0
BLOUNT INTL INC NEW            COM   095180105         280      43,612  SH     DEFINED  01,08      13,678      29,934           0

BLUE COAT SYSTEMS INC          COM   09534T508          30       5,060  SH     DEFINED     01       1,760       3,300           0
BLUE COAT SYSTEMS INC          COM   09534T508          88      15,072  SH     DEFINED  01,08       3,812      11,260           0

BLUE MARTINI SOFTWARE INC      COM   095698502          25       9,256  SH     DEFINED     01       1,985       7,271           0
BLUE MARTINI SOFTWARE INC      COM   095698502          41      15,256  SH     DEFINED  01,08       2,142      13,114           0

BLUE RHINO CORP                COM   095811105         167      16,400  SH     DEFINED     01       1,700      14,700           0
BLUE RHINO CORP                COM   095811105         244      23,898  SH     DEFINED  01,08       5,898      18,000           0

BLUEGREEN CORP                 COM   096231105         136      38,400  SH     DEFINED     01      19,400      19,000           0
BLUEGREEN CORP                 COM   096231105         230      64,766  SH     DEFINED  01,08      11,658      53,108           0

BLYTH INC                      COM   09643P108       4,527     178,008  SH     DEFINED     01      88,248      88,060       1,700
BLYTH INC                      COM   09643P108         254      10,000  SH     DEFINED     02      10,000           0           0
BLYTH INC                      COM   09643P108          16         637  SH     DEFINED     03           0         637           0
BLYTH INC                      COM   09643P108       3,013     118,488  SH     DEFINED  01,08      13,046     105,442           0

BOB EVANS FARMS INC            COM   096761101       4,410     183,046  SH     DEFINED     01      90,015      90,531       2,500
BOB EVANS FARMS INC            COM   096761101          71       2,938  SH     DEFINED     04           0           0       2,938
BOB EVANS FARMS INC            COM   096761101          12         500  SH     OTHER       04         500           0           0
BOB EVANS FARMS INC            COM   096761101       2,686     111,492  SH     DEFINED  01,08      11,432     100,060           0

BOCA RESORTS INC               COM   09688T106       1,572     142,741  SH     DEFINED     01      93,153      47,928       1,660
BOCA RESORTS INC               COM   09688T106         440      40,000  SH     DEFINED     04      40,000           0           0
BOCA RESORTS INC               COM   09688T106         852      77,419  SH     DEFINED  01,08      20,731      56,688           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     81
________

BOEING CO                      COM   097023105     121,619   4,853,116  SH     DEFINED     01   2,534,041   2,218,278     100,797
BOEING CO                      COM   097023105       1,787      71,328  SH     OTHER       01      24,070      38,286       8,972
BOEING CO                      COM   097023105         717      28,624  SH     DEFINED     02      18,507       7,427       2,690
BOEING CO                      COM   097023105         633      25,266  SH     OTHER       02       8,604      16,662           0
BOEING CO                      COM   097023105         600      23,941  SH     DEFINED     03      13,870       9,069       1,002
BOEING CO                      COM   097023105         207       8,280  SH     OTHER       03       5,990       2,290           0
BOEING CO                      COM   097023105       1,939      77,379  SH     DEFINED     04      51,443           0      25,936
BOEING CO                      COM   097023105       1,140      45,497  SH     OTHER       04      36,087           0       9,410
BOEING CO                      COM   097023105          45       1,780  SH     DEFINED     05       1,000         780           0
BOEING CO                      COM   097023105         129       5,150  SH     OTHER       05         150       5,000           0
BOEING CO                      COM   097023105          48       1,900  SH     OTHER    01,06           0           0       1,900
BOEING CO                      COM   097023105      52,143   2,080,743  SH     DEFINED  01,08     495,092   1,585,651           0
BOEING CO                      COM   097023105         387      15,439  SH     DEFINED     10      15,039           0         400
BOEING CO                      COM   097023105         421      16,810  SH     OTHER       10      15,810       1,000           0

BOISE CASCADE CORP             COM   097383103       6,954     318,248  SH     DEFINED     01     164,806     149,259       4,183
BOISE CASCADE CORP             COM   097383103           1          50  SH     OTHER       01           0           0          50
BOISE CASCADE CORP             COM   097383103         115       5,286  SH     DEFINED     02       5,000         286           0
BOISE CASCADE CORP             COM   097383103           1          50  SH     DEFINED     03           0           0          50
BOISE CASCADE CORP             COM   097383103          22       1,000  SH     DEFINED     04       1,000           0           0
BOISE CASCADE CORP             COM   097383103          76       3,500  SH     OTHER       05           0       3,500           0
BOISE CASCADE CORP             COM   097383103           4         200  SH     OTHER    01,06           0           0         200
BOISE CASCADE CORP             COM   097383103       3,116     142,622  SH     DEFINED  01,08      42,155     100,467           0
BOISE CASCADE CORP             COM   097383103           0           9  SH     DEFINED     10           9           0           0

BON-TON STORES INC             COM   09776J101          57      13,700  SH     DEFINED     01       1,600      12,100           0
BON-TON STORES INC             COM   09776J101          87      21,084  SH     DEFINED  01,08       5,299      15,785           0

BOMBAY CO INC                  COM   097924104         849     155,723  SH     DEFINED     01     105,323      48,800       1,600
BOMBAY CO INC                  COM   097924104          27       5,000  SH     OTHER       04       5,000           0           0
BOMBAY CO INC                  COM   097924104         497      91,106  SH     DEFINED  01,08      18,825      72,281           0

BONE CARE INTL INC             COM   098072101         273      38,388  SH     DEFINED     01      16,750      21,138         500
BONE CARE INTL INC             COM   098072101         215      30,189  SH     DEFINED  01,08       7,342      22,847           0

BOOKS-A-MILLION INC            COM   098570104          36      16,300  SH     DEFINED     01       3,600      12,700           0
BOOKS-A-MILLION INC            COM   098570104          79      35,213  SH     DEFINED  01,08       8,434      26,779           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     82
________

BORDERS GROUP INC              COM   099709107       3,772     256,597  SH     DEFINED     01      99,277     153,570       3,750
BORDERS GROUP INC              COM   099709107          15       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          31       2,113  SH     DEFINED     04       2,113           0           0
BORDERS GROUP INC              COM   099709107           5         353  SH     OTHER       04         353           0           0
BORDERS GROUP INC              COM   099709107       2,688     182,857  SH     DEFINED  01,08      24,918     157,939           0
BORDERS GROUP INC              COM   099709107           2         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       5,201     108,707  SH     DEFINED     01      51,497      55,710       1,500
BORG WARNER INC                COM   099724106       6,458     135,000  SH     OTHER       01           0     135,000           0
BORG WARNER INC                COM   099724106          10         200  SH     DEFINED     04         200           0           0
BORG WARNER INC                COM   099724106       3,072      64,220  SH     DEFINED  01,08       8,510      55,710           0

BORLAND SOFTWARE CORP          COM   099849101       1,938     210,686  SH     DEFINED     01     108,370      99,416       2,900
BORLAND SOFTWARE CORP          COM   099849101       2,288     248,673  SH     DEFINED  01,08      37,993     210,680           0

BOSTON ACOUSTICS INC           COM   100534106          54       5,700  SH     DEFINED     01       1,000       4,700           0
BOSTON ACOUSTICS INC           COM   100534106         121      12,891  SH     DEFINED  01,08       2,024      10,867           0

BOSTON BEER INC                COM   100557107         562      44,759  SH     DEFINED     01      18,115      26,444         200
BOSTON BEER INC                COM   100557107         308      24,540  SH     DEFINED  01,08       6,338      18,202           0

BOSTON BIOMEDICA INC           COM   100560101           3       1,300  SH     DEFINED     01       1,300           0           0
BOSTON BIOMEDICA INC           COM   100560101          19       9,209  SH     DEFINED  01,08       2,509       6,700           0

BOSTON COMMUNICATIONS GROUP    COM   100582105       1,031      65,817  SH     DEFINED     01      32,286      32,821         710
BOSTON COMMUNICATIONS GROUP    COM   100582105           7         425  SH     OTHER    01,06           0           0         425
BOSTON COMMUNICATIONS GROUP    COM   100582105         744      47,505  SH     DEFINED  01,08       9,159      38,346           0

BOSTON LIFE SCIENCES INC       COM   100843408          17      17,400  SH     DEFINED     01       4,200      13,200           0
BOSTON LIFE SCIENCES INC       COM   100843408           2       2,100  SH     DEFINED     04       2,100           0           0
BOSTON LIFE SCIENCES INC       COM   100843408          35      34,543  SH     DEFINED  01,08       5,928      28,615           0

BOSTON PRIVATE FINL HLDGS IN   COM   101119105         979      65,456  SH     DEFINED     01      34,025      31,231         200
BOSTON PRIVATE FINL HLDGS IN   COM   101119105         124       8,307  SH     DEFINED     04       8,307           0           0
BOSTON PRIVATE FINL HLDGS IN   COM   101119105           7         450  SH     OTHER    01,06           0           0         450
BOSTON PRIVATE FINL HLDGS IN   COM   101119105         990      66,174  SH     DEFINED  01,08      12,075      54,099           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     83
________

BOSTON PROPERTIES INC          COM   101121101       3,759      99,192  SH     DEFINED     01      65,805      30,289       3,098
BOSTON PROPERTIES INC          COM   101121101           4         100  SH     DEFINED     02         100           0           0
BOSTON PROPERTIES INC          COM   101121101          11         300  SH     OTHER       02         300           0           0
BOSTON PROPERTIES INC          COM   101121101          19         500  SH     DEFINED     03           0         500           0
BOSTON PROPERTIES INC          COM   101121101         322       8,507  SH     DEFINED     04       8,507           0           0
BOSTON PROPERTIES INC          COM   101121101          22         585  SH     OTHER       04         185           0         400
BOSTON PROPERTIES INC          COM   101121101       5,988     157,982  SH     DEFINED  01,08      21,512     136,470           0
BOSTON PROPERTIES INC          COM   101121101          61       1,606  SH     DEFINED     10       1,606           0           0

BOSTON SCIENTIFIC CORP         COM   101137107      91,265   2,239,074  SH     DEFINED     01   1,169,546   1,040,328      29,200
BOSTON SCIENTIFIC CORP         COM   101137107          39         950  SH     OTHER       01         600           0         350
BOSTON SCIENTIFIC CORP         COM   101137107           5         119  SH     DEFINED     03          19           0         100
BOSTON SCIENTIFIC CORP         COM   101137107          22         550  SH     OTHER       04         550           0           0
BOSTON SCIENTIFIC CORP         COM   101137107          43       1,050  SH     OTHER    01,06           0           0       1,050
BOSTON SCIENTIFIC CORP         COM   101137107      44,498   1,091,718  SH     DEFINED  01,08     272,052     819,666           0
BOSTON SCIENTIFIC CORP         COM   101137107           3          68  SH     DEFINED     10          68           0           0

BOSTONFED BANCORP INC          COM   101178101         498      21,768  SH     DEFINED     01      13,768       8,000           0
BOSTONFED BANCORP INC          COM   101178101          69       3,000  SH     OTHER       01       3,000           0           0
BOSTONFED BANCORP INC          COM   101178101         232      10,165  SH     DEFINED  01,08       2,587       7,578           0

BOTTOMLINE TECH DEL INC        COM   101388106          81      14,700  SH     DEFINED     01       2,600      12,100           0
BOTTOMLINE TECH DEL INC        COM   101388106         147      26,639  SH     DEFINED  01,08       6,739      19,900           0

BOULDER TOTAL RETURN FD INC    COM   101541100         300      25,000  SH     OTHER       04      25,000           0           0

BOWATER INC                    COM   102183100       6,401     172,302  SH     DEFINED     01      64,407     105,045       2,850
BOWATER INC                    COM   102183100          41       1,100  SH     DEFINED     04       1,100           0           0
BOWATER INC                    COM   102183100       4,607     124,007  SH     DEFINED  01,08      16,845     107,162           0

BOWL AMER INC                  COM   102565108         124      10,804  SH     DEFINED     01         882       9,922           0
BOWL AMER INC                  COM   102565108         129      11,254  SH     DEFINED  01,08       2,304       8,950           0

BOWNE & CO INC                 COM   103043105       2,288     228,839  SH     DEFINED     01     157,628      69,361       1,850
BOWNE & CO INC                 COM   103043105           2         200  SH     DEFINED     04         200           0           0
BOWNE & CO INC                 COM   103043105           6         640  SH     OTHER    01,06           0           0         640
BOWNE & CO INC                 COM   103043105       1,610     160,973  SH     DEFINED  01,08      29,760     131,213           0

BOYD GAMING CORP               COM   103304101       1,820     142,742  SH     DEFINED     01      68,503      73,679         560
BOYD GAMING CORP               COM   103304101       1,774     139,129  SH     DEFINED  01,08      31,000     108,129           0

BOYDS COLLECTION LTD           COM   103354106         710     131,498  SH     DEFINED     01      42,129      89,009         360
BOYDS COLLECTION LTD           COM   103354106         607     112,359  SH     DEFINED  01,08      27,725      84,634           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     84
________

BOYKIN LODGING CO              COM   103430104         504      68,323  SH     DEFINED     01      44,349      23,824         150
BOYKIN LODGING CO              COM   103430104         373      50,669  SH     DEFINED  01,08       9,800      40,869           0
BOYKIN LODGING CO              COM   103430104           9       1,200  SH     OTHER       10           0       1,200           0

BRADLEY PHARMACEUTICALS INC    COM   104576103         425      31,268  SH     DEFINED     01      14,979      15,889         400
BRADLEY PHARMACEUTICALS INC    COM   104576103         236      17,400  SH     DEFINED  01,08       5,568      11,832           0

BRADY CORP                     COM   104674106       2,073      73,296  SH     DEFINED     01      33,443      38,553       1,300
BRADY CORP                     COM   104674106         968      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          28       1,000  SH     DEFINED     04       1,000           0           0
BRADY CORP                     COM   104674106          17         600  SH     OTHER       04         600           0           0
BRADY CORP                     COM   104674106          13         450  SH     OTHER    01,06           0           0         450
BRADY CORP                     COM   104674106       2,178      77,015  SH     DEFINED  01,08      12,118      64,897           0
BRADY CORP                     COM   104674106         141       5,000  SH     DEFINED     10       5,000           0           0
BRADY CORP                     COM   104674106          40       1,400  SH     OTHER       10           0       1,400           0

BRANDYWINE RLTY TR             COM   105368203       2,780     126,375  SH     DEFINED     01      79,732      45,243       1,400
BRANDYWINE RLTY TR             COM   105368203          31       1,390  SH     DEFINED     04       1,390           0           0
BRANDYWINE RLTY TR             COM   105368203       1,931      87,790  SH     DEFINED  01,08      18,179      69,611           0

BRASS EAGLE INC                COM   10553F106          48       6,300  SH     DEFINED     01       1,000       5,300           0
BRASS EAGLE INC                COM   10553F106          92      11,963  SH     DEFINED  01,08       2,663       9,300           0

BRAUN CONSULTING INC           COM   105651103           3       2,500  SH     DEFINED     01       2,500           0           0
BRAUN CONSULTING INC           COM   105651103          29      27,557  SH     DEFINED  01,08       4,657      22,900           0

BRIDGFORD FOODS CORP           COM   108763103         136      15,531  SH     DEFINED     01       2,360      13,171           0
BRIDGFORD FOODS CORP           COM   108763103         263      30,132  SH     DEFINED  01,08       4,834      25,298           0

BRIGGS & STRATTON CORP         CONDB 109043AE9       1,605   1,500,000  PRN    DEFINED     01   1,500,000           0           0

BRIGGS & STRATTON CORP         COM   109043109       3,037      78,184  SH     DEFINED     01      45,917      30,517       1,750
BRIGGS & STRATTON CORP         COM   109043109         462      11,900  SH     OTHER       01      11,900           0           0
BRIGGS & STRATTON CORP         COM   109043109          27         700  SH     OTHER       02         700           0           0
BRIGGS & STRATTON CORP         COM   109043109          16         400  SH     DEFINED     04         400           0           0
BRIGGS & STRATTON CORP         COM   109043109          47       1,200  SH     OTHER       04       1,200           0           0
BRIGGS & STRATTON CORP         COM   109043109          17         450  SH     OTHER    01,06           0           0         450
BRIGGS & STRATTON CORP         COM   109043109       3,410      87,784  SH     DEFINED  01,08      19,283      68,501           0
BRIGGS & STRATTON CORP         COM   109043109          16         404  SH     DEFINED     10           4         400           0
BRIGGS & STRATTON CORP         COM   109043109           8         200  SH     OTHER       10         200           0           0

BRIGHAM EXPLORATION CO         COM   109178103          24       5,000  SH     DEFINED     01       3,200       1,800           0
BRIGHAM EXPLORATION CO         COM   109178103         107      22,600  SH     DEFINED  01,08       7,000      15,600           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     85
________

BRIGHT HORIZON FAMILY SOLUTI   COM   109195107       1,188      42,381  SH     DEFINED     01      18,312      23,519         550
BRIGHT HORIZON FAMILY SOLUTI   COM   109195107          22         788  SH     DEFINED     04         788           0           0
BRIGHT HORIZON FAMILY SOLUTI   COM   109195107         621      22,165  SH     DEFINED  01,08       6,688      15,477           0

BRIGHTPOINT INC                COM   109473405         163       9,964  SH     DEFINED     01       1,593       8,371           0
BRIGHTPOINT INC                COM   109473405          12         714  SH     DEFINED     04         714           0           0
BRIGHTPOINT INC                COM   109473405         222      13,548  SH     DEFINED  01,08       3,326      10,222           0

BRILLIANT DIGITAL ENTERTAINM   COM   109502104           0       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           3      16,185  SH     DEFINED  01,08       2,085      14,100           0

BRINKER INTL INC               COM   109641100      38,515   1,262,771  SH     DEFINED     01     646,232     569,873      46,666
BRINKER INTL INC               COM   109641100       3,322     108,915  SH     OTHER       01      38,595      57,525      12,795
BRINKER INTL INC               COM   109641100       3,856     126,415  SH     DEFINED     02      86,115      34,250       6,050
BRINKER INTL INC               COM   109641100         819      26,852  SH     OTHER       02      17,052       9,300         500
BRINKER INTL INC               COM   109641100       7,780     255,079  SH     DEFINED     03     109,343      85,561      60,175
BRINKER INTL INC               COM   109641100       1,107      36,310  SH     OTHER       03      20,255      13,660       2,395
BRINKER INTL INC               COM   109641100       7,396     242,505  SH     DEFINED     04     237,180           0       5,325
BRINKER INTL INC               COM   109641100       1,761      57,740  SH     OTHER       04      56,940           0         800
BRINKER INTL INC               COM   109641100       4,295     140,824  SH     DEFINED     05     124,969       7,490       8,365
BRINKER INTL INC               COM   109641100         177       5,800  SH     OTHER       05       4,075       1,725           0
BRINKER INTL INC               COM   109641100       7,320     240,000  SH     DEFINED  01,08      25,935     214,065           0
BRINKER INTL INC               COM   109641100       1,938      63,555  SH     DEFINED     10      54,450       5,710       3,395
BRINKER INTL INC               COM   109641100         249       8,160  SH     OTHER       10       5,460       2,450         250

BRIO SOFTWARE INC              COM   109704106          51      35,200  SH     DEFINED     01       6,100      29,100           0
BRIO SOFTWARE INC              COM   109704106           7       4,659  SH     OTHER       01           0           0       4,659
BRIO SOFTWARE INC              COM   109704106          90      62,204  SH     DEFINED  01,08      17,004      45,200           0

BRISTOL MYERS SQUIBB CO        COM   110122108     238,437  11,284,303  SH     DEFINED     01   6,009,266   5,051,729     223,308
BRISTOL MYERS SQUIBB CO        COM   110122108       9,700     459,075  SH     OTHER       01     220,194     187,462      51,419
BRISTOL MYERS SQUIBB CO        COM   110122108       3,053     144,473  SH     DEFINED     02     109,961      30,836       3,676
BRISTOL MYERS SQUIBB CO        COM   110122108       3,513     166,272  SH     OTHER       02     107,854      44,738      13,680
BRISTOL MYERS SQUIBB CO        COM   110122108       2,830     133,937  SH     DEFINED     03      67,709      42,068      24,160
BRISTOL MYERS SQUIBB CO        COM   110122108       1,369      64,785  SH     OTHER       03      47,301      17,484           0
BRISTOL MYERS SQUIBB CO        COM   110122108      18,550     877,876  SH     DEFINED     04     798,683           0      79,193
BRISTOL MYERS SQUIBB CO        COM   110122108      16,516     781,643  SH     OTHER       04     756,946           0      24,697
BRISTOL MYERS SQUIBB CO        COM   110122108         354      16,763  SH     DEFINED     05      14,163       2,150         450
BRISTOL MYERS SQUIBB CO        COM   110122108         164       7,750  SH     OTHER       05       7,300         300         150
BRISTOL MYERS SQUIBB CO        COM   110122108         106       5,000  SH     OTHER    01,06           0           0       5,000
BRISTOL MYERS SQUIBB CO        COM   110122108     118,675   5,616,404  SH     DEFINED  01,08   1,297,124   4,319,280           0
BRISTOL MYERS SQUIBB CO        COM   110122108       5,114     242,035  SH     DEFINED     10     172,928      39,607      29,500
BRISTOL MYERS SQUIBB CO        COM   110122108      36,186   1,712,539  SH     OTHER       10     135,576   1,573,359       3,604


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     86
________

BRITISH AMERN TOB PLC          COM   110448107          28       1,525  SH     DEFINED     03       1,525           0           0
BRITISH AMERN TOB PLC          COM   110448107          56       3,000  SH     OTHER       03       3,000           0           0
BRITISH AMERN TOB PLC          COM   110448107          12         660  SH     DEFINED     04           0           0         660
BRITISH AMERN TOB PLC          COM   110448107         587      31,565  SH     OTHER       04      31,565           0           0

BROADCOM CORP                  COM   111320107      22,077   1,787,617  SH     DEFINED     01   1,071,192     696,725      19,700
BROADCOM CORP                  COM   111320107          48       3,850  SH     OTHER       01           0           0       3,850
BROADCOM CORP                  COM   111320107           2         150  SH     DEFINED     02           0         150           0
BROADCOM CORP                  COM   111320107          20       1,600  SH     DEFINED     03           0       1,500         100
BROADCOM CORP                  COM   111320107          85       6,870  SH     DEFINED     04       5,670           0       1,200
BROADCOM CORP                  COM   111320107           5         400  SH     OTHER       04         200           0         200
BROADCOM CORP                  COM   111320107           9         700  SH     OTHER    01,06           0           0         700
BROADCOM CORP                  COM   111320107       9,366     758,373  SH     DEFINED  01,08     198,871     559,502           0
BROADCOM CORP                  COM   111320107           1         100  SH     DEFINED     10         100           0           0

BROADVISION INC                COM   111412607          47      12,350  SH     DEFINED     01       6,140       6,210           0
BROADVISION INC                COM   111412607         207      54,598  SH     DEFINED  01,08      13,754      40,844           0

BROADWING INC                  COM   111620100       3,796     948,995  SH     DEFINED     01     506,716     428,879      13,400
BROADWING INC                  COM   111620100          28       7,000  SH     OTHER       01           0       5,000       2,000
BROADWING INC                  COM   111620100           2         419  SH     DEFINED     04         419           0           0
BROADWING INC                  COM   111620100       2,273     568,232  SH     DEFINED  01,08      67,502     500,730           0

BROCADE COMMUNICATIONS SYS I   COM   111621108       1,422     291,488  SH     DEFINED     01     166,933     115,405       9,150
BROCADE COMMUNICATIONS SYS I   COM   111621108           1         275  SH     DEFINED     04         275           0           0
BROCADE COMMUNICATIONS SYS I   COM   111621108           2         460  SH     OTHER       04         460           0           0
BROCADE COMMUNICATIONS SYS I   COM   111621108       2,551     522,721  SH     DEFINED  01,08      68,503     454,218           0
BROCADE COMMUNICATIONS SYS I   COM   111621108           2         500  SH     DEFINED     10         100         400           0

BROOKFIELD HOMES CORP          COM   112723101          86       6,500  SH     DEFINED     01       6,500           0           0
BROOKFIELD HOMES CORP          COM   112723101         184      13,900  SH     DEFINED  01,08      13,600         300           0

BROOKLINE BANCORP INC DEL      COM   11373M107       3,361     268,438  SH     DEFINED     01     171,714      95,487       1,237
BROOKLINE BANCORP INC DEL      COM   11373M107       2,600     207,638  SH     DEFINED  01,08      32,762     174,876           0

BROOKS AUTOMATION INC          COM   114340102       1,191     123,175  SH     DEFINED     01      70,651      49,848       2,676
BROOKS AUTOMATION INC          COM   114340102           7         700  SH     OTHER    01,06           0           0         700
BROOKS AUTOMATION INC          COM   114340102       1,495     154,632  SH     DEFINED  01,08      31,804     122,828           0

BROOKSTONE INC                 COM   114537103         755      46,342  SH     DEFINED     01      35,142      10,800         400
BROOKSTONE INC                 COM   114537103         301      18,457  SH     DEFINED  01,08       4,763      13,694           0

BROOKTROUT INC                 COM   114580103          79      16,500  SH     DEFINED     01       2,300      13,800         400
BROOKTROUT INC                 COM   114580103           1         200  SH     OTHER    01,06           0           0         200
BROOKTROUT INC                 COM   114580103         143      29,689  SH     DEFINED  01,08       9,246      20,443           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     87
________

BROWN & BROWN INC              COM   115236101       6,114     195,264  SH     DEFINED     01      67,842     124,732       2,690
BROWN & BROWN INC              COM   115236101          30         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          63       2,000  SH     OTHER       04       2,000           0           0
BROWN & BROWN INC              COM   115236101       4,006     127,944  SH     DEFINED  01,08      19,418     108,526           0

BROWN FORMAN CORP              COM   115637100         199       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      25,364     329,825  SH     DEFINED     01     176,543     148,199       5,083
BROWN FORMAN CORP              COM   115637209       1,493      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          15         200  SH     OTHER    01,06           0           0         200
BROWN FORMAN CORP              COM   115637209       9,553     124,229  SH     DEFINED  01,08      26,064      98,165           0
BROWN FORMAN CORP              COM   115637209       2,769      36,011  SH     DEFINED     10      36,011           0           0

BROWN TOM INC                  COM   115660201       2,964     122,475  SH     DEFINED     01      70,492      50,258       1,725
BROWN TOM INC                  COM   115660201          18         750  SH     OTHER    01,06           0           0         750
BROWN TOM INC                  COM   115660201       4,055     167,545  SH     DEFINED  01,08      33,739     133,806           0

BROWN SHOE INC NEW             COM   115736100       3,429     126,669  SH     DEFINED     01      97,299      28,570         800
BROWN SHOE INC NEW             COM   115736100           9         350  SH     OTHER    01,06           0           0         350
BROWN SHOE INC NEW             COM   115736100       2,455      90,686  SH     DEFINED  01,08      15,595      75,091           0

BRUKER AXS INC                 COM   11679P101          36      26,823  SH     DEFINED     01      15,602      11,021         200
BRUKER AXS INC                 COM   11679P101          60      45,039  SH     DEFINED  01,08      25,000      20,039           0

BRUKER DALTONICS INC           COM   116795105         239      79,842  SH     DEFINED     01      28,685      51,157           0
BRUKER DALTONICS INC           COM   116795105         290      97,030  SH     DEFINED  01,08      25,200      71,830           0

BRUNSWICK CORP                 COM   117043109       9,689     509,923  SH     DEFINED     01     264,863     236,914       8,146
BRUNSWICK CORP                 COM   117043109          48       2,550  SH     OTHER       01       2,500           0          50
BRUNSWICK CORP                 COM   117043109         431      22,700  SH     DEFINED     02           0      22,700           0
BRUNSWICK CORP                 COM   117043109          34       1,790  SH     DEFINED     03       1,740           0          50
BRUNSWICK CORP                 COM   117043109          10         500  SH     DEFINED     04         500           0           0
BRUNSWICK CORP                 COM   117043109           4         200  SH     OTHER    01,06           0           0         200
BRUNSWICK CORP                 COM   117043109       5,176     272,410  SH     DEFINED  01,08      66,912     205,498           0
BRUNSWICK CORP                 COM   117043109           0          15  SH     DEFINED     10          15           0           0

BRUSH ENGINEERED MATLS INC     COM   117421107         311      61,301  SH     DEFINED     01      35,125      25,176       1,000
BRUSH ENGINEERED MATLS INC     COM   117421107           2         300  SH     OTHER    01,06           0           0         300
BRUSH ENGINEERED MATLS INC     COM   117421107         336      66,303  SH     DEFINED  01,08      14,999      51,304           0

BRYN MAWR BK CORP              COM   117665109         282       7,883  SH     DEFINED     01       5,863       1,920         100
BRYN MAWR BK CORP              COM   117665109         320       8,924  SH     DEFINED  01,08       2,539       6,385           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     88
________

BSQUARE CORP                   COM   11776U102          35      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          63      63,596  SH     DEFINED  01,08      16,496      47,100           0

BUCA INC                       COM   117769109         295      53,697  SH     DEFINED     01      27,313      25,434         950
BUCA INC                       COM   117769109         511      92,956  SH     DEFINED  01,08       8,747      84,209           0

BUCKEYE PARTNERS L P           COM   118230101         291       8,100  SH     DEFINED     01       8,100           0           0
BUCKEYE PARTNERS L P           COM   118230101          86       2,400  SH     DEFINED     02         400       2,000           0
BUCKEYE PARTNERS L P           COM   118230101         460      12,805  SH     DEFINED     04      12,805           0           0
BUCKEYE PARTNERS L P           COM   118230101         122       3,400  SH     OTHER       04       3,400           0           0
BUCKEYE PARTNERS L P           COM   118230101          41       1,150  SH     DEFINED     10       1,150           0           0

BUCKEYE TECHNOLOGIES INC       COM   118255108         496     104,413  SH     DEFINED     01      55,235      47,278       1,900
BUCKEYE TECHNOLOGIES INC       COM   118255108           3         700  SH     OTHER    01,06           0           0         700
BUCKEYE TECHNOLOGIES INC       COM   118255108         519     109,332  SH     DEFINED  01,08      30,861      78,471           0

BUCKLE INC                     COM   118440106         649      36,689  SH     DEFINED     01      17,014      19,325         350
BUCKLE INC                     COM   118440106         483      27,300  SH     DEFINED     04      27,300           0           0
BUCKLE INC                     COM   118440106         781      44,098  SH     DEFINED  01,08      10,064      34,034           0

BUILDING MATLS HLDG CORP       COM   120113105         841      63,208  SH     DEFINED     01      44,426      17,922         860
BUILDING MATLS HLDG CORP       COM   120113105           4         300  SH     OTHER    01,06           0           0         300
BUILDING MATLS HLDG CORP       COM   120113105         548      41,166  SH     DEFINED  01,08      11,599      29,567           0

BULL RUN CORP GA               COM   120182100          14      28,800  SH     DEFINED     01       5,900      22,900           0
BULL RUN CORP GA               COM   120182100          23      47,419  SH     DEFINED  01,08       5,338      42,081           0

BURLINGTON COAT FACTORY        COM   121579106       2,589     158,862  SH     DEFINED     01     127,851      29,811       1,200
BURLINGTON COAT FACTORY        COM   121579106          15         900  SH     OTHER    01,06           0           0         900
BURLINGTON COAT FACTORY        COM   121579106       2,792     171,283  SH     DEFINED  01,08      35,710     135,573           0

BURLINGTON NORTHN SANTA FE C   COM   12189T104      54,236   2,178,172  SH     DEFINED     01   1,150,601     991,472      36,099
BURLINGTON NORTHN SANTA FE C   COM   12189T104       1,054      42,346  SH     OTHER       01      30,336      11,710         300
BURLINGTON NORTHN SANTA FE C   COM   12189T104          15         600  SH     DEFINED     02           0         600           0
BURLINGTON NORTHN SANTA FE C   COM   12189T104         430      17,287  SH     OTHER       02       3,600       5,287       8,400
BURLINGTON NORTHN SANTA FE C   COM   12189T104          39       1,575  SH     DEFINED     03         750         675         150
BURLINGTON NORTHN SANTA FE C   COM   12189T104          37       1,500  SH     OTHER       03           0       1,500           0
BURLINGTON NORTHN SANTA FE C   COM   12189T104       1,313      52,734  SH     DEFINED     04      11,734           0      41,000
BURLINGTON NORTHN SANTA FE C   COM   12189T104         378      15,188  SH     OTHER       04      13,588           0       1,600
BURLINGTON NORTHN SANTA FE C   COM   12189T104          85       3,428  SH     OTHER       05           0       1,302       2,126
BURLINGTON NORTHN SANTA FE C   COM   12189T104          25       1,000  SH     OTHER    01,06           0           0       1,000
BURLINGTON NORTHN SANTA FE C   COM   12189T104      29,531   1,185,993  SH     DEFINED  01,08     284,645     901,348           0
BURLINGTON NORTHN SANTA FE C   COM   12189T104          63       2,525  SH     DEFINED     10       2,525           0           0
BURLINGTON NORTHN SANTA FE C   COM   12189T104         205       8,242  SH     OTHER       10       8,242           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     89
________

BURLINGTON RES INC             COM   122014103      80,770   1,692,928  SH     DEFINED     01   1,034,516     623,914      34,498
BURLINGTON RES INC             COM   122014103       3,939      82,552  SH     OTHER       01      51,959      21,543       9,050
BURLINGTON RES INC             COM   122014103       3,802      79,685  SH     DEFINED     02      60,612      16,498       2,575
BURLINGTON RES INC             COM   122014103         762      15,980  SH     OTHER       02       8,215       7,565         200
BURLINGTON RES INC             COM   122014103       7,712     161,634  SH     DEFINED     03      80,676      57,840      23,118
BURLINGTON RES INC             COM   122014103       1,533      32,135  SH     OTHER       03      17,075       9,905       5,155
BURLINGTON RES INC             COM   122014103       7,650     160,340  SH     DEFINED     04     156,415           0       3,925
BURLINGTON RES INC             COM   122014103       3,778      79,189  SH     OTHER       04      77,957           0       1,232
BURLINGTON RES INC             COM   122014103         500      10,471  SH     DEFINED     05       8,127       1,525         819
BURLINGTON RES INC             COM   122014103         185       3,871  SH     OTHER       05       1,625       1,580         666
BURLINGTON RES INC             COM   122014103          24         500  SH     OTHER    01,06           0           0         500
BURLINGTON RES INC             COM   122014103      31,089     651,615  SH     DEFINED  01,08     171,315     480,300           0
BURLINGTON RES INC             COM   122014103         585      12,254  SH     DEFINED     10      10,254         500       1,500
BURLINGTON RES INC             COM   122014103         253       5,300  SH     OTHER       10       4,450         400         450

BUSH INDS INC                  COM   123164105          56      34,164  SH     DEFINED     01      19,465      14,499         200
BUSH INDS INC                  COM   123164105          47      29,111  SH     DEFINED  01,08       5,213      23,898           0

BUTLER INTL INC NEW            COM   123649105           5      12,750  SH     DEFINED     01       1,950      10,800           0
BUTLER INTL INC NEW            COM   123649105          11      27,646  SH     DEFINED  01,08       3,289      24,357           0

BUTLER MFG CO DEL              COM   123655102         329      20,079  SH     DEFINED     01      10,374       9,555         150
BUTLER MFG CO DEL              COM   123655102          54       3,264  SH     DEFINED     02           0       3,264           0
BUTLER MFG CO DEL              COM   123655102           0          10  SH     DEFINED     04          10           0           0
BUTLER MFG CO DEL              COM   123655102           2         150  SH     OTHER    01,06           0           0         150
BUTLER MFG CO DEL              COM   123655102         407      24,847  SH     DEFINED  01,08       5,669      19,178           0

C&D TECHNOLOGIES INC           COM   124661109       1,273     106,220  SH     DEFINED     01      53,096      50,624       2,500
C&D TECHNOLOGIES INC           COM   124661109           7         550  SH     OTHER    01,06           0           0         550
C&D TECHNOLOGIES INC           COM   124661109       1,218     101,663  SH     DEFINED  01,08      23,143      78,520           0
C&D TECHNOLOGIES INC           COM   124661109          10         800  SH     DEFINED     10         800           0           0

CB BANCSHARES INC HAWAII       COM   124785106       1,022      20,944  SH     DEFINED     01      15,088       5,656         200
CB BANCSHARES INC HAWAII       COM   124785106         427       8,760  SH     DEFINED  01,08       2,283       6,477           0

CBL & ASSOC PPTYS INC          COM   124830100       3,268      80,501  SH     DEFINED     01      44,006      35,495       1,000
CBL & ASSOC PPTYS INC          COM   124830100       3,059      75,368  SH     DEFINED  01,08      15,004      60,364           0

CCC INFORMATION SVCS GROUP I   COM   12487Q109       1,091      67,409  SH     DEFINED     01      33,918      33,191         300
CCC INFORMATION SVCS GROUP I   COM   12487Q109         922      57,004  SH     DEFINED  01,08      12,755      44,249           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     90
________

CBRL GROUP INC                 COM   12489V106       4,685     170,681  SH     DEFINED     01      68,643      98,688       3,350
CBRL GROUP INC                 COM   12489V106         367      13,375  SH     OTHER       01      12,150       1,225           0
CBRL GROUP INC                 COM   12489V106           8         291  SH     DEFINED     02         291           0           0
CBRL GROUP INC                 COM   12489V106          65       2,350  SH     DEFINED     04       2,350           0           0
CBRL GROUP INC                 COM   12489V106       3,180     115,845  SH     DEFINED  01,08      15,826     100,019           0
CBRL GROUP INC                 COM   12489V106         137       5,000  SH     OTHER       10       5,000           0           0

CCBT FINL COS INC              COM   12500Q102         698      31,713  SH     DEFINED     01      19,541      12,072         100
CCBT FINL COS INC              COM   12500Q102         127       5,756  SH     DEFINED     04       5,756           0           0
CCBT FINL COS INC              COM   12500Q102          90       4,080  SH     OTHER       04       4,080           0           0
CCBT FINL COS INC              COM   12500Q102         436      19,817  SH     DEFINED  01,08       4,732      15,085           0

C COR NET CORP                 COM   125010108         398     120,468  SH     DEFINED     01      67,647      50,221       2,600
C COR NET CORP                 COM   125010108           2         700  SH     OTHER    01,06           0           0         700
C COR NET CORP                 COM   125010108         389     117,984  SH     DEFINED  01,08      30,504      87,480           0

C D I CORP                     COM   125071100       1,312      56,326  SH     DEFINED     01      26,393      28,858       1,075
C D I CORP                     COM   125071100           9         400  SH     OTHER    01,06           0           0         400
C D I CORP                     COM   125071100       2,008      86,177  SH     DEFINED  01,08      16,152      70,025           0

CDW COMPUTER CTRS INC          COM   125129106      20,353     498,847  SH     DEFINED     01     289,076     193,701      16,070
CDW COMPUTER CTRS INC          COM   125129106         759      18,605  SH     OTHER       01       8,725       7,500       2,380
CDW COMPUTER CTRS INC          COM   125129106          16         400  SH     DEFINED     02         400           0           0
CDW COMPUTER CTRS INC          COM   125129106          65       1,600  SH     OTHER       03           0       1,600           0
CDW COMPUTER CTRS INC          COM   125129106         405       9,920  SH     DEFINED     04       9,770           0         150
CDW COMPUTER CTRS INC          COM   125129106          38         925  SH     OTHER       04         855           0          70
CDW COMPUTER CTRS INC          COM   125129106           6         150  SH     DEFINED     05         150           0           0
CDW COMPUTER CTRS INC          COM   125129106       7,179     175,957  SH     DEFINED  01,08      23,708     152,249           0

CEC ENTMT INC                  COM   125137109       1,463      53,769  SH     DEFINED     01      18,098      33,971       1,700
CEC ENTMT INC                  COM   125137109          15         550  SH     OTHER    01,06           0           0         550
CEC ENTMT INC                  COM   125137109       2,602      95,630  SH     DEFINED  01,08      14,933      80,697           0

CE FRANKLIN LTD                COM   125151100          64      27,900  SH     OTHER       01           0      27,900           0

CFS BANCORP INC                COM   12525D102       1,426     104,030  SH     DEFINED     01      64,372      38,858         800
CFS BANCORP INC                COM   12525D102         446      32,496  SH     DEFINED  01,08       7,348      25,148           0

CFC INTL INC                   COM   125252106          36       7,700  SH     DEFINED     01           0       7,700           0
CFC INTL INC                   COM   125252106          26       5,600  SH     DEFINED  01,08       1,825       3,775           0

CH ENERGY GROUP INC            COM   12541M102       3,087      74,018  SH     DEFINED     01      43,884      28,634       1,500
CH ENERGY GROUP INC            COM   12541M102          13         300  SH     OTHER    01,06           0           0         300
CH ENERGY GROUP INC            COM   12541M102       2,679      64,239  SH     DEFINED  01,08      14,342      49,897           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     91
________

C H ROBINSON WORLDWIDE INC     COM   12541W100       8,176     250,032  SH     DEFINED     01      88,139     157,647       4,246
C H ROBINSON WORLDWIDE INC     COM   12541W100          58       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       6,298     192,598  SH     DEFINED  01,08      24,613     167,985           0
C H ROBINSON WORLDWIDE INC     COM   12541W100          16         500  SH     DEFINED     10           0           0         500

CIGNA CORP                     COM   125509109      35,383     773,915  SH     DEFINED     01     399,406     359,728      14,781
CIGNA CORP                     COM   125509109          82       1,800  SH     OTHER       01           0       1,100         700
CIGNA CORP                     COM   125509109         438       9,580  SH     DEFINED     02       9,580           0           0
CIGNA CORP                     COM   125509109         129       2,822  SH     OTHER       02         425       2,397           0
CIGNA CORP                     COM   125509109          31         677  SH     DEFINED     03           0         627          50
CIGNA CORP                     COM   125509109         191       4,173  SH     OTHER       03           0       4,173           0
CIGNA CORP                     COM   125509109       1,285      28,102  SH     DEFINED     04      28,102           0           0
CIGNA CORP                     COM   125509109       1,885      41,239  SH     OTHER       04      35,346           0       5,893
CIGNA CORP                     COM   125509109          18         400  SH     OTHER    01,06           0           0         400
CIGNA CORP                     COM   125509109      17,776     388,809  SH     DEFINED  01,08     100,868     287,941           0
CIGNA CORP                     COM   125509109          99       2,166  SH     DEFINED     10       1,518         648           0
CIGNA CORP                     COM   125509109           6         130  SH     OTHER       10           0         130           0

CIT GROUP INC                  COM   125581108       3,296     195,492  SH     DEFINED     01     103,517      84,575       7,400
CIT GROUP INC                  COM   125581108          27       1,575  SH     OTHER       01           0       1,575           0
CIT GROUP INC                  COM   125581108          44       2,593  SH     DEFINED     02       2,100           0         493
CIT GROUP INC                  COM   125581108         452      26,825  SH     DEFINED     03      13,650       7,200       5,975
CIT GROUP INC                  COM   125581108          17       1,000  SH     OTHER       03       1,000           0           0
CIT GROUP INC                  COM   125581108       2,594     153,870  SH     DEFINED     04     149,445           0       4,425
CIT GROUP INC                  COM   125581108         358      21,205  SH     OTHER       04      21,205           0           0
CIT GROUP INC                  COM   125581108         661      39,224  SH     DEFINED     05      25,350      13,299         575
CIT GROUP INC                  COM   125581108      21,658   1,284,591  SH     DEFINED  01,08      29,749   1,141,727     113,115
CIT GROUP INC                  COM   125581108         424      25,125  SH     DEFINED     10      23,475       1,650           0
CIT GROUP INC                  COM   125581108          51       3,000  SH     OTHER       10       3,000           0           0

CKE RESTAURANTS INC            COM   12561E105         788     179,114  SH     DEFINED     01     105,279      71,085       2,750
CKE RESTAURANTS INC            COM   12561E105          43       9,842  SH     DEFINED     03           0       9,842           0
CKE RESTAURANTS INC            COM   12561E105         588     133,617  SH     DEFINED  01,08      31,460     102,157           0

CLECO CORP NEW                 COM   12561W105       1,914     152,480  SH     DEFINED     01      90,366      59,914       2,200
CLECO CORP NEW                 COM   12561W105          13       1,000  SH     OTHER       02           0       1,000           0
CLECO CORP NEW                 COM   12561W105         540      43,000  SH     OTHER       04      43,000           0           0
CLECO CORP NEW                 COM   12561W105          12         950  SH     OTHER    01,06           0           0         950
CLECO CORP NEW                 COM   12561W105       1,819     144,933  SH     DEFINED  01,08      40,426     104,507           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     92
________

CMGI INC                       COM   125750109          49      62,721  SH     DEFINED     01      62,721           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           2       3,001  SH     DEFINED     04       3,001           0           0
CMGI INC                       COM   125750109           2       2,975  SH     OTHER       04       2,975           0           0
CMGI INC                       COM   125750109         294     376,867  SH     DEFINED  01,08     131,667     245,200           0
CMGI INC                       COM   125750109           0         200  SH     OTHER       10         200           0           0

CMS ENERGY CORP                COM   125896100       3,544     803,619  SH     DEFINED     01     422,052     371,892       9,675
CMS ENERGY CORP                COM   125896100           8       1,885  SH     OTHER       01           0       1,760         125
CMS ENERGY CORP                COM   125896100           1         300  SH     OTHER       02           0         300           0
CMS ENERGY CORP                COM   125896100           0          50  SH     DEFINED     03           0           0          50
CMS ENERGY CORP                COM   125896100          13       3,000  SH     DEFINED     04       3,000           0           0
CMS ENERGY CORP                COM   125896100       1,905     432,046  SH     DEFINED  01,08     109,188     322,858           0
CMS ENERGY CORP                COM   125896100           1         119  SH     DEFINED     10         119           0           0

CPI CORP                       COM   125902106         369      28,072  SH     DEFINED     01      16,344      11,378         350
CPI CORP                       COM   125902106           3         200  SH     OTHER    01,06           0           0         200
CPI CORP                       COM   125902106         446      33,990  SH     DEFINED  01,08       7,211      26,779           0

CPB INC                        COM   125903104       1,352      53,143  SH     DEFINED     01      28,177      24,566         400
CPB INC                        COM   125903104         911      35,779  SH     DEFINED  01,08       8,758      27,021           0

CSS INDS INC                   COM   125906107       1,395      43,069  SH     DEFINED     01      31,379      11,590         100
CSS INDS INC                   COM   125906107       1,279      39,498  SH     DEFINED  01,08       3,806      35,692           0

CPI AEROSTRUCTURES INC         COM   125919308          32       5,000  SH     DEFINED     01           0       5,000           0
CPI AEROSTRUCTURES INC         COM   125919308          49       7,700  SH     DEFINED  01,08       1,400       6,300           0

CSK AUTO CORP                  COM   125965103         929     102,054  SH     DEFINED     01      58,872      41,732       1,450
CSK AUTO CORP                  COM   125965103         682      74,978  SH     DEFINED  01,08      22,495      52,483           0

CNA FINL CORP                  COM   126117100       1,622      72,423  SH     DEFINED     01      59,599      12,474         350
CNA FINL CORP                  COM   126117100          72       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       4,417     197,178  SH     DEFINED  01,08      34,221     162,957           0

CNB FLORIDA BANCSHARES INC     COM   12612H107         126       7,000  SH     DEFINED     01       2,500       4,500           0
CNB FLORIDA BANCSHARES INC     COM   12612H107         189      10,500  SH     DEFINED  01,08       2,700       7,800           0

CNA SURETY CORP                COM   12612L108         835     104,367  SH     DEFINED     01      55,323      48,094         950
CNA SURETY CORP                COM   12612L108         704      88,046  SH     DEFINED  01,08      20,691      67,355           0

CNF TR I                       CONPF 12612V205       3,760      80,000         DEFINED     01      80,000           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     93
________

CNF INC                        COM   12612W104       4,670     153,377  SH     DEFINED     01      57,835      92,742       2,800
CNF INC                        COM   12612W104       3,150     103,459  SH     DEFINED  01,08      14,755      88,704           0

CNET NETWORKS INC              COM   12613R104         835     332,560  SH     DEFINED     01     250,180      76,180       6,200
CNET NETWORKS INC              COM   12613R104           0          60  SH     DEFINED     04          60           0           0
CNET NETWORKS INC              COM   12613R104         776     309,255  SH     DEFINED  01,08      75,739     233,516           0

CNS INC                        COM   126136100         145      21,300  SH     DEFINED     01       3,500      17,800           0
CNS INC                        COM   126136100         198      29,162  SH     DEFINED  01,08       5,939      23,223           0

CPAC INC                       COM   126145101          26       5,200  SH     DEFINED     01         800       4,400           0
CPAC INC                       COM   126145101          79      15,486  SH     DEFINED  01,08       2,254      13,232           0

CSG SYS INTL INC               COM   126349109       1,427     164,604  SH     DEFINED     01      61,547     100,307       2,750
CSG SYS INTL INC               COM   126349109       2,224     256,569  SH     OTHER       01           0           0     256,569
CSG SYS INTL INC               COM   126349109       1,178     135,856  SH     DEFINED  01,08      16,816     119,040           0

CSP INC                        COM   126389105           1         550  SH     DEFINED     01         550           0           0
CSP INC                        COM   126389105          33      12,371  SH     DEFINED  01,08       2,017      10,354           0

CSX CORP                       COM   126408103      34,287   1,202,201  SH     DEFINED     01     630,773     552,563      18,865
CSX CORP                       COM   126408103         394      13,810  SH     OTHER       01       3,224       9,986         600
CSX CORP                       COM   126408103          14         480  SH     DEFINED     02           0         480           0
CSX CORP                       COM   126408103          34       1,200  SH     OTHER       02       1,200           0           0
CSX CORP                       COM   126408103         153       5,357  SH     DEFINED     03       2,200           0       3,157
CSX CORP                       COM   126408103          50       1,750  SH     OTHER       03         550       1,200           0
CSX CORP                       COM   126408103         309      10,845  SH     DEFINED     04      10,445           0         400
CSX CORP                       COM   126408103         144       5,034  SH     OTHER       04       3,534           0       1,500
CSX CORP                       COM   126408103          17         600  SH     OTHER    01,06           0           0         600
CSX CORP                       COM   126408103      17,688     620,185  SH     DEFINED  01,08     160,621     459,564           0
CSX CORP                       COM   126408103          39       1,356  SH     DEFINED     10       1,356           0           0
CSX CORP                       COM   126408103         123       4,300  SH     OTHER       10       4,300           0           0

CT COMMUNICATIONS INC          COM   126426402         683      71,225  SH     DEFINED     01      39,865      30,560         800
CT COMMUNICATIONS INC          COM   126426402         144      15,000  SH     DEFINED     04      15,000           0           0
CT COMMUNICATIONS INC          COM   126426402         405      42,267  SH     DEFINED  01,08      10,717      31,550           0

CTS CORP                       COM   126501105         611     100,101  SH     DEFINED     01      51,620      45,666       2,815
CTS CORP                       COM   126501105           4         625  SH     OTHER    01,06           0           0         625
CTS CORP                       COM   126501105         764     125,310  SH     DEFINED  01,08      29,788      95,522           0
CTS CORP                       COM   126501105           1         100  SH     DEFINED     10         100           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     94
________

CUNO INC                       COM   126583103       2,229      66,327  SH     DEFINED     01      29,980      34,697       1,650
CUNO INC                       COM   126583103         303       9,001  SH     DEFINED     02           0       9,001           0
CUNO INC                       COM   126583103          10         300  SH     OTHER    01,06           0           0         300
CUNO INC                       COM   126583103       2,187      65,056  SH     DEFINED  01,08       9,190      55,866           0

CVB FINL CORP                  COM   126600105       2,346     121,050  SH     DEFINED     01      61,027      58,277       1,746
CVB FINL CORP                  COM   126600105           2          87  SH     DEFINED     02           0           0          87
CVB FINL CORP                  COM   126600105       1,829      94,350  SH     DEFINED  01,08      22,436      71,914           0

CVS CORP                       COM   126650100      54,346   2,278,669  SH     DEFINED     01   1,200,633   1,039,339      38,697
CVS CORP                       COM   126650100         308      12,897  SH     OTHER       01       3,212       9,360         325
CVS CORP                       COM   126650100       1,316      55,162  SH     DEFINED     02      38,218      15,319       1,625
CVS CORP                       COM   126650100         179       7,515  SH     OTHER       02       3,850       3,665           0
CVS CORP                       COM   126650100         258      10,820  SH     DEFINED     03       2,182       5,566       3,072
CVS CORP                       COM   126650100          62       2,595  SH     OTHER       03       2,195         400           0
CVS CORP                       COM   126650100       8,266     346,581  SH     DEFINED     04     331,179           0      15,402
CVS CORP                       COM   126650100       2,199      92,219  SH     OTHER       04      91,364           0         855
CVS CORP                       COM   126650100         726      30,448  SH     DEFINED     05      23,003       6,400       1,045
CVS CORP                       COM   126650100         114       4,760  SH     OTHER       05       4,100         200         460
CVS CORP                       COM   126650100          24       1,000  SH     OTHER    01,06           0           0       1,000
CVS CORP                       COM   126650100      28,222   1,183,317  SH     DEFINED  01,08     314,577     868,740           0
CVS CORP                       COM   126650100         236       9,896  SH     DEFINED     10       9,696         200           0
CVS CORP                       COM   126650100         109       4,550  SH     OTHER       10       4,150         100         300

CV THERAPEUTICS INC            COM   126667104       1,725      95,699  SH     DEFINED     01      57,135      37,214       1,350
CV THERAPEUTICS INC            COM   126667104           9         500  SH     OTHER       01           0         500           0
CV THERAPEUTICS INC            COM   126667104       1,821     101,006  SH     DEFINED  01,08      15,163      85,843           0

CABLEVISION SYS CORP           COM   12686C109       3,677     193,611  SH     DEFINED     01     125,845      61,602       6,164
CABLEVISION SYS CORP           COM   12686C109           1          76  SH     DEFINED     02          76           0           0
CABLEVISION SYS CORP           COM   12686C109         669      35,213  SH     DEFINED     04      35,213           0           0
CABLEVISION SYS CORP           COM   12686C109          49       2,560  SH     OTHER       04       2,560           0           0
CABLEVISION SYS CORP           COM   12686C109       6,399     336,990  SH     DEFINED  01,08      50,619     286,371           0

CABLE DESIGN TECHNOLOGIES CO   COM   126924109       1,285     193,285  SH     DEFINED     01     125,276      64,109       3,900
CABLE DESIGN TECHNOLOGIES CO   COM   126924109           6         900  SH     OTHER    01,06           0           0         900
CABLE DESIGN TECHNOLOGIES CO   COM   126924109       1,172     176,249  SH     DEFINED  01,08      40,075     136,174           0

CABOT CORP                     COM   127055101       4,883     204,643  SH     DEFINED     01      81,989     119,004       3,650
CABOT CORP                     COM   127055101          28       1,175  SH     DEFINED     04       1,175           0           0
CABOT CORP                     COM   127055101       3,394     142,249  SH     DEFINED  01,08      18,088     124,161           0

CABOT MICROELECTRONICS CORP    COM   12709P103       5,109     121,815  SH     DEFINED     01      51,220      69,243       1,352
CABOT MICROELECTRONICS CORP    COM   12709P103          93       2,215  SH     DEFINED     02       2,215           0           0
CABOT MICROELECTRONICS CORP    COM   12709P103       2,615      62,350  SH     DEFINED  01,08       7,665      54,685           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     95
________

CABOT OIL & GAS CORP           COM   127097103       2,538     105,734  SH     DEFINED     01      59,480      43,454       2,800
CABOT OIL & GAS CORP           COM   127097103          15         610  SH     OTHER    01,06           0           0         610
CABOT OIL & GAS CORP           COM   127097103       3,045     126,892  SH     DEFINED  01,08      17,029     109,863           0

CACHE INC                      COM   127150308         131      13,045  SH     DEFINED     01       4,295       8,650         100
CACHE INC                      COM   127150308         217      21,560  SH     DEFINED  01,08       4,212      17,348           0

CACI INTL INC                  COM   127190304       3,475     104,177  SH     DEFINED     01      49,927      52,100       2,150
CACI INTL INC                  COM   127190304          13         400  SH     DEFINED     03           0         400           0
CACI INTL INC                  COM   127190304          33       1,000  SH     DEFINED     04       1,000           0           0
CACI INTL INC                  COM   127190304          18         550  SH     OTHER    01,06           0           0         550
CACI INTL INC                  COM   127190304       4,437     133,017  SH     DEFINED  01,08      15,671     117,346           0

CADBURY SCHWEPPES PLC          COM   127209302         220      10,110  SH     DEFINED     01       7,160       2,950           0
CADBURY SCHWEPPES PLC          COM   127209302          54       2,464  SH     OTHER       01         864       1,600           0
CADBURY SCHWEPPES PLC          COM   127209302          17         797  SH     DEFINED     02         624           0         173
CADBURY SCHWEPPES PLC          COM   127209302          20         900  SH     DEFINED     04         900           0           0
CADBURY SCHWEPPES PLC          COM   127209302          65       3,000  SH     OTHER       04           0           0       3,000
CADBURY SCHWEPPES PLC          COM   127209302          22       1,000  SH     OTHER       05           0           0       1,000

CADENCE DESIGN SYSTEM INC      COM   127387108       8,400     839,966  SH     DEFINED     01     304,513     521,353      14,100
CADENCE DESIGN SYSTEM INC      COM   127387108         160      16,000  SH     OTHER       01      16,000           0           0
CADENCE DESIGN SYSTEM INC      COM   127387108          43       4,300  SH     DEFINED     04       3,300           0       1,000
CADENCE DESIGN SYSTEM INC      COM   127387108          41       4,115  SH     OTHER       04       4,115           0           0
CADENCE DESIGN SYSTEM INC      COM   127387108       6,829     682,888  SH     DEFINED  01,08     107,378     575,510           0

CADIZ INC                      COM   127537108           4      42,000  SH     DEFINED     01       7,100      34,100         800
CADIZ INC                      COM   127537108           5      49,172  SH     DEFINED  01,08      10,730      38,442           0
CADIZ INC                      COM   127537108           0         500  SH     DEFINED     10         500           0           0

CADMUS COMMUNICATIONS CORP     COM   127587103         173      21,600  SH     DEFINED     01       1,700      19,900           0
CADMUS COMMUNICATIONS CORP     COM   127587103         149      18,682  SH     DEFINED  01,08       3,877      14,805           0

CAGLES INC                     COM   127703106          34       6,300  SH     DEFINED     01         700       5,600           0
CAGLES INC                     COM   127703106          78      14,513  SH     DEFINED  01,08       2,066      12,447           0

CAL DIVE INTL INC              COM   127914109       2,227     123,657  SH     DEFINED     01      64,794      56,063       2,800
CAL DIVE INTL INC              COM   127914109           3         173  SH     DEFINED     02           0           0         173
CAL DIVE INTL INC              COM   127914109          13         700  SH     OTHER    01,06           0           0         700
CAL DIVE INTL INC              COM   127914109       3,250     180,441  SH     DEFINED  01,08      20,679     159,762           0

CALDERA INTL INC               COM   12877Q206           6       1,976  SH     DEFINED     01       1,976           0           0
CALDERA INTL INC               COM   12877Q206          25       8,854  SH     DEFINED  01,08       3,304       5,550           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     96
________

CALGON CARBON CORP             COM   129603106         749     152,828  SH     DEFINED     01      80,995      71,583         250
CALGON CARBON CORP             COM   129603106         591     120,695  SH     DEFINED  01,08      21,373      99,322           0

CALIFORNIA AMPLIFIER INC       COM   129900106          17       4,400  SH     DEFINED     01       2,700       1,700           0
CALIFORNIA AMPLIFIER INC       COM   129900106           0          13  SH     DEFINED     02           0          13           0
CALIFORNIA AMPLIFIER INC       COM   129900106          97      25,375  SH     DEFINED  01,08       6,400      18,975           0

CALIFORNIA COASTAL CMNTYS IN   COM   129915203          51       8,200  SH     DEFINED     01         900       7,300           0
CALIFORNIA COASTAL CMNTYS IN   COM   129915203          42       6,830  SH     DEFINED  01,08       4,430       2,400           0

CALIFORNIA FIRST NTNL BANCOR   COM   130222102         330      32,337  SH     DEFINED     01      16,887      15,400          50
CALIFORNIA FIRST NTNL BANCOR   COM   130222102         330      32,400  SH     DEFINED  01,08       5,468      26,932           0

CALIFORNIA INDPT BANCORP       COM   130334105         112       4,177  SH     DEFINED     01         242       3,935           0
CALIFORNIA INDPT BANCORP       COM   130334105         102       3,796  SH     DEFINED  01,08         961       2,835           0

CALIFORNIA MICRO DEVICES COR   COM   130439102          52      13,100  SH     DEFINED     01       2,200      10,900           0
CALIFORNIA MICRO DEVICES COR   COM   130439102          95      24,000  SH     DEFINED  01,08       6,100      17,900           0

CALIFORNIA PIZZA KITCHEN INC   COM   13054D109       1,195      51,973  SH     DEFINED     01      25,787      25,486         700
CALIFORNIA PIZZA KITCHEN INC   COM   13054D109       1,804      78,417  SH     DEFINED  01,08       9,978      68,439           0

CALIFORNIA WTR SVC GROUP       COM   130788102       1,720      66,812  SH     DEFINED     01      36,705      29,407         700
CALIFORNIA WTR SVC GROUP       COM   130788102         138       5,347  SH     OTHER       03       3,105       1,242       1,000
CALIFORNIA WTR SVC GROUP       COM   130788102         988      38,372  SH     DEFINED  01,08       8,353      30,019           0

CALIPER TECHNOLOGIES CORP      COM   130876105         337      96,368  SH     DEFINED     01      55,188      39,930       1,250
CALIPER TECHNOLOGIES CORP      COM   130876105           2         500  SH     DEFINED     04         500           0           0
CALIPER TECHNOLOGIES CORP      COM   130876105         249      71,283  SH     DEFINED  01,08      14,043      57,240           0

CALLAWAY GOLF CO               COM   131193104       2,802     235,835  SH     DEFINED     01      85,967     142,418       7,450
CALLAWAY GOLF CO               COM   131193104          23       1,900  SH     OTHER       01       1,900           0           0
CALLAWAY GOLF CO               COM   131193104         190      16,000  SH     DEFINED     04      16,000           0           0
CALLAWAY GOLF CO               COM   131193104       1,988     167,308  SH     DEFINED  01,08      22,977     144,331           0

CALLON PETE CO DEL             COM   13123X102          91      21,300  SH     DEFINED     01       5,500      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         104      24,500  SH     DEFINED  01,08       6,008      18,492           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     97
________

CALPINE CORP                   COM   131347106       6,894   2,088,980  SH     DEFINED     01   1,084,594     977,336      27,050
CALPINE CORP                   COM   131347106         251      76,134  SH     OTHER       01         784      75,000         350
CALPINE CORP                   COM   131347106           4       1,225  SH     DEFINED     02       1,025         200           0
CALPINE CORP                   COM   131347106           9       2,640  SH     OTHER       02       2,640           0           0
CALPINE CORP                   COM   131347106           0         150  SH     DEFINED     03           0           0         150
CALPINE CORP                   COM   131347106           4       1,320  SH     OTHER       03         120       1,200           0
CALPINE CORP                   COM   131347106          68      20,490  SH     DEFINED     04      20,490           0           0
CALPINE CORP                   COM   131347106          65      19,700  SH     OTHER       04      18,700           0       1,000
CALPINE CORP                   COM   131347106           3       1,000  SH     DEFINED     05           0       1,000           0
CALPINE CORP                   COM   131347106           7       2,000  SH     OTHER       05       2,000           0           0
CALPINE CORP                   COM   131347106           3       1,000  SH     OTHER    01,06           0           0       1,000
CALPINE CORP                   COM   131347106       3,457   1,047,662  SH     DEFINED  01,08     284,271     763,391           0
CALPINE CORP                   COM   131347106          13       4,000  SH     DEFINED     10           0       4,000           0

CAMBRIDGE HEART INC            COM   131910101           6      15,900  SH     DEFINED     01       1,900      14,000           0
CAMBRIDGE HEART INC            COM   131910101           7      17,800  SH     DEFINED  01,08       3,033      14,767           0

CAMBREX CORP                   COM   132011107       2,002      83,357  SH     DEFINED     01      42,906      38,751       1,700
CAMBREX CORP                   COM   132011107          12         500  SH     OTHER    01,06           0           0         500
CAMBREX CORP                   COM   132011107       2,480     103,239  SH     DEFINED  01,08      22,090      81,149           0

CAMCO FINL CORP                COM   132618109         325      20,340  SH     DEFINED     01      12,532       7,808           0
CAMCO FINL CORP                COM   132618109         217      13,567  SH     DEFINED  01,08       3,700       9,867           0

CAMDEN NATL CORP               COM   133034108         495      19,699  SH     DEFINED     01      16,070       3,429         200
CAMDEN NATL CORP               COM   133034108         350      13,926  SH     DEFINED  01,08       4,606       9,320           0

CAMDEN PPTY TR                 COM   133131102       1,537      47,438  SH     DEFINED     01      30,274      15,878       1,286
CAMDEN PPTY TR                 COM   133131102          16         500  SH     DEFINED     04         500           0           0
CAMDEN PPTY TR                 COM   133131102       4,101     126,576  SH     DEFINED  01,08      10,008     116,568           0

CAMINUS CORP                   COM   133766105         405      45,560  SH     DEFINED     01      23,347      21,713         500
CAMINUS CORP                   COM   133766105         799      89,873  SH     DEFINED  01,08       8,864      81,009           0

CAMPBELL SOUP CO               COM   134429109      45,010   2,143,330  SH     DEFINED     01   1,101,686   1,014,869      26,775
CAMPBELL SOUP CO               COM   134429109         162       7,737  SH     OTHER       01       2,437       5,300           0
CAMPBELL SOUP CO               COM   134429109          32       1,500  SH     DEFINED     02       1,500           0           0
CAMPBELL SOUP CO               COM   134429109         148       7,029  SH     DEFINED     03       3,600       3,429           0
CAMPBELL SOUP CO               COM   134429109          27       1,280  SH     OTHER       03       1,280           0           0
CAMPBELL SOUP CO               COM   134429109         399      19,000  SH     DEFINED     04      16,000           0       3,000
CAMPBELL SOUP CO               COM   134429109         361      17,177  SH     OTHER       04      17,177           0           0
CAMPBELL SOUP CO               COM   134429109          22       1,050  SH     OTHER    01,06           0           0       1,050
CAMPBELL SOUP CO               COM   134429109      20,003     952,505  SH     DEFINED  01,08     253,658     698,847           0
CAMPBELL SOUP CO               COM   134429109         344      16,370  SH     DEFINED     10      13,070       3,300           0
CAMPBELL SOUP CO               COM   134429109         218      10,400  SH     OTHER       10      10,400           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     98
________

CANADIAN NATL RY CO            COM   136375102          21         500  SH     DEFINED     01           0         500           0
CANADIAN NATL RY CO            COM   136375102         137       3,200  SH     OTHER       01           0       3,200           0
CANADIAN NATL RY CO            COM   136375102           2          50  SH     DEFINED     02          50           0           0
CANADIAN NATL RY CO            COM   136375102          81       1,900  SH     DEFINED     04       1,400           0         500
CANADIAN NATL RY CO            COM   136375102          56       1,300  SH     DEFINED     10       1,300           0           0

CANADIAN PAC RY LTD            COM   13645T100         711      33,700  SH     DEFINED     01      21,000           0      12,700
CANADIAN PAC RY LTD            COM   13645T100         157       7,450  SH     OTHER       01           0       7,450           0
CANADIAN PAC RY LTD            COM   13645T100          31       1,475  SH     DEFINED     03       1,475           0           0
CANADIAN PAC RY LTD            COM   13645T100           4         200  SH     DEFINED     04         200           0           0
CANADIAN PAC RY LTD            COM   13645T100           6         300  SH     OTHER       04         300           0           0

CANDELA CORP                   COM   136907102         118      13,750  SH     DEFINED     01       2,300      11,450           0
CANDELA CORP                   COM   136907102         227      26,448  SH     DEFINED  01,08       4,284      22,164           0

CANDIES INC                    COM   137409108           0         364  SH     DEFINED     01         212         152           0
CANDIES INC                    COM   137409108          28      39,003  SH     DEFINED  01,08       8,727      30,276           0

CANNON EXPRESS INC             COM   137694105           0       1,300  SH     DEFINED     01         400         900           0
CANNON EXPRESS INC             COM   137694105           2       9,600  SH     DEFINED  01,08       1,699       7,901           0

CANTEL MEDICAL CORP            COM   138098108         303      23,730  SH     DEFINED     01      12,784      10,596         350
CANTEL MEDICAL CORP            COM   138098108         229      17,916  SH     DEFINED  01,08       4,758      13,158           0

CANYON RESOURCES CORP          COM   138869300          17      14,200  SH     DEFINED     01           0      14,200           0
CANYON RESOURCES CORP          COM   138869300          40      34,000  SH     DEFINED  01,08       8,307      25,693           0

CAPITAL CITY BK GROUP INC      COM   139674105       1,032      26,394  SH     DEFINED     01      14,386      11,708         300
CAPITAL CITY BK GROUP INC      COM   139674105          31         800  SH     DEFINED     04         800           0           0
CAPITAL CITY BK GROUP INC      COM   139674105         615      15,733  SH     DEFINED  01,08       5,433      10,300           0

CAPITAL AUTOMOTIVE REIT        COM   139733109       1,936      77,631  SH     DEFINED     01      44,973      30,598       2,060
CAPITAL AUTOMOTIVE REIT        COM   139733109          16         650  SH     OTHER    01,06           0           0         650
CAPITAL AUTOMOTIVE REIT        COM   139733109       3,699     148,298  SH     DEFINED  01,08      23,802     124,496           0

CAPITAL BK CORP                COM   139793103          32       2,365  SH     DEFINED     01         500       1,865           0
CAPITAL BK CORP                COM   139793103         120       8,934  SH     DEFINED  01,08       2,254       6,680           0

CAPITAL CORP OF THE WEST       COM   140065103         146       5,843  SH     DEFINED     01           0       5,843           0
CAPITAL CORP OF THE WEST       COM   140065103           5         200  SH     DEFINED     03         200           0           0
CAPITAL CORP OF THE WEST       COM   140065103         225       9,035  SH     DEFINED  01,08       2,357       6,678           0

CAPITAL CROSSING BK            COM   140071101         582      20,600  SH     DEFINED     01      13,900       6,700           0
CAPITAL CROSSING BK            COM   140071101         235       8,312  SH     DEFINED  01,08       1,600       6,712           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE     99
________

CAPITAL ONE FINL CORP          COM   14040H105      39,532   1,317,288  SH     DEFINED     01     693,830     592,048      31,410
CAPITAL ONE FINL CORP          COM   14040H105         265       8,846  SH     OTHER       01       4,321       4,220         305
CAPITAL ONE FINL CORP          COM   14040H105          29         975  SH     DEFINED     02         975           0           0
CAPITAL ONE FINL CORP          COM   14040H105          15         500  SH     OTHER       02         500           0           0
CAPITAL ONE FINL CORP          COM   14040H105          96       3,210  SH     DEFINED     03       1,500         700       1,010
CAPITAL ONE FINL CORP          COM   14040H105          96       3,200  SH     OTHER       03       1,350       1,600         250
CAPITAL ONE FINL CORP          COM   14040H105          30       1,000  SH     DEFINED     04       1,000           0           0
CAPITAL ONE FINL CORP          COM   14040H105          86       2,850  SH     OTHER       04       2,850           0           0
CAPITAL ONE FINL CORP          COM   14040H105          18         600  SH     OTHER    01,06           0           0         600
CAPITAL ONE FINL CORP          COM   14040H105      19,379     645,742  SH     DEFINED  01,08     176,939     468,803           0
CAPITAL ONE FINL CORP          COM   14040H105         252       8,381  SH     DEFINED     10       8,231           0         150
CAPITAL ONE FINL CORP          COM   14040H105          40       1,325  SH     OTHER       10         700         625           0

CAPITAL PAC HLDGS INC          COM   14040M104          14       5,100  SH     DEFINED     01       2,000       3,100           0
CAPITAL PAC HLDGS INC          COM   14040M104          93      33,067  SH     DEFINED  01,08       5,980      27,087           0

CAPITAL SR LIVING CORP         COM   140475104          60      20,200  SH     DEFINED     01       4,200      16,000           0
CAPITAL SR LIVING CORP         COM   140475104          99      33,552  SH     DEFINED  01,08       8,352      25,200           0

CAPITAL TRUST INC MD           COM   14052H100         200      34,800  SH     DEFINED     01      34,800           0           0
CAPITAL TRUST INC MD           COM   14052H100         179      31,200  SH     DEFINED  01,08       7,800      23,400           0

CAPITOL BANCORP LTD            COM   14056D105         483      22,852  SH     DEFINED     01      12,891       9,561         400
CAPITOL BANCORP LTD            COM   14056D105          44       2,101  SH     DEFINED     02       1,000       1,101           0
CAPITOL BANCORP LTD            COM   14056D105         490      23,176  SH     DEFINED  01,08       5,722      17,454           0
CAPITOL BANCORP LTD            COM   14056D105         373      17,617  SH     DEFINED     10           0      17,617           0

CAPITOL FED FINL               COM   14057C106       1,228      40,931  SH     DEFINED     01      29,469       9,962       1,500
CAPITOL FED FINL               COM   14057C106          50       1,682  SH     DEFINED     04       1,682           0           0
CAPITOL FED FINL               COM   14057C106       1,985      66,185  SH     DEFINED  01,08      12,885      53,300           0

CAPSTONE TURBINE CORP          COM   14067D102          73     101,583  SH     DEFINED     01      52,118      47,715       1,750
CAPSTONE TURBINE CORP          COM   14067D102           2       3,000  SH     OTHER       01           0       3,000           0
CAPSTONE TURBINE CORP          COM   14067D102           0         200  SH     DEFINED     04         200           0           0
CAPSTONE TURBINE CORP          COM   14067D102         153     211,937  SH     DEFINED  01,08      45,400     166,537           0

CAPSTEAD MTG CORP              COM   14067E506         610      53,456  SH     DEFINED     01      22,559      30,672         225
CAPSTEAD MTG CORP              COM   14067E506           3         250  SH     OTHER       04         250           0           0
CAPSTEAD MTG CORP              COM   14067E506         373      32,651  SH     DEFINED  01,08       7,125      25,526           0

CAPTARIS INC                   COM   14071N104         101      35,000  SH     DEFINED     01       6,300      27,600       1,100
CAPTARIS INC                   COM   14071N104           2         600  SH     OTHER    01,06           0           0         600
CAPTARIS INC                   COM   14071N104         235      81,372  SH     DEFINED  01,08      23,972      57,400           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    100
________

CAPTIVA SOFTWARE CORP DEL      COM   14073T109           5       1,600  SH     DEFINED     01         800         800           0
CAPTIVA SOFTWARE CORP DEL      COM   14073T109           6       2,000  SH     OTHER       01           0       2,000           0
CAPTIVA SOFTWARE CORP DEL      COM   14073T109          28       9,622  SH     DEFINED  01,08       1,279       8,343           0

CARBO CERAMICS INC             COM   140781105       1,283      39,049  SH     DEFINED     01      18,280      20,319         450
CARBO CERAMICS INC             COM   140781105           3          80  SH     DEFINED     02           0           0          80
CARBO CERAMICS INC             COM   140781105          10         300  SH     OTHER    01,06           0           0         300
CARBO CERAMICS INC             COM   140781105       1,209      36,805  SH     DEFINED  01,08       7,635      29,170           0

CARAUSTAR INDS INC             COM   140909102       4,411     651,588  SH     DEFINED     01     610,073      39,455       2,060
CARAUSTAR INDS INC             COM   140909102           4         525  SH     OTHER    01,06           0           0         525
CARAUSTAR INDS INC             COM   140909102         734     108,363  SH     DEFINED  01,08      24,647      83,716           0

CAPITAL TITLE GROUP INC        COM   140919101          42      14,200  SH     DEFINED     01           0      14,200           0
CAPITAL TITLE GROUP INC        COM   140919101          29      10,000  SH     OTHER       01           0      10,000           0
CAPITAL TITLE GROUP INC        COM   140919101         147      50,000  SH     DEFINED     04      50,000           0           0
CAPITAL TITLE GROUP INC        COM   140919101          51      17,384  SH     DEFINED  01,08       6,584      10,800           0

CARDIAC SCIENCE INC            COM   141410209         348     152,788  SH     DEFINED     01     123,018      27,020       2,750
CARDIAC SCIENCE INC            COM   141410209         347     152,331  SH     DEFINED  01,08      35,900     116,431           0

CARDIMA INC                    COM   14147M106           8       7,600  SH     DEFINED     01       7,600           0           0
CARDIMA INC                    COM   14147M106          23      22,573  SH     DEFINED  01,08      20,773       1,800           0

CARDINAL FINL CORP             COM   14149F109           3         600  SH     DEFINED     01         600           0           0
CARDINAL FINL CORP             COM   14149F109          56      10,597  SH     DEFINED  01,08       4,397       6,200           0

CARDINAL HEALTH INC            COM   14149Y108     213,097   3,740,509  SH     DEFINED     01   2,235,907   1,402,034     102,568
CARDINAL HEALTH INC            COM   14149Y108      19,274     338,319  SH     OTHER       01     159,828     146,951      31,540
CARDINAL HEALTH INC            COM   14149Y108       6,204     108,907  SH     DEFINED     02      79,842      24,933       4,132
CARDINAL HEALTH INC            COM   14149Y108       1,133      19,880  SH     OTHER       02       9,360       9,095       1,425
CARDINAL HEALTH INC            COM   14149Y108      12,234     214,746  SH     DEFINED     03      97,086      76,919      40,741
CARDINAL HEALTH INC            COM   14149Y108       1,882      33,042  SH     OTHER       03      22,212       7,155       3,675
CARDINAL HEALTH INC            COM   14149Y108      20,813     365,340  SH     DEFINED     04     357,390           0       7,950
CARDINAL HEALTH INC            COM   14149Y108       5,651      99,190  SH     OTHER       04      93,560           0       5,630
CARDINAL HEALTH INC            COM   14149Y108       6,151     107,967  SH     DEFINED     05      90,820      11,545       5,602
CARDINAL HEALTH INC            COM   14149Y108         900      15,792  SH     OTHER       05       9,067       6,450         275
CARDINAL HEALTH INC            COM   14149Y108          68       1,197  SH     OTHER    01,06           0           0       1,197
CARDINAL HEALTH INC            COM   14149Y108      79,068   1,387,891  SH     DEFINED  01,08     346,962   1,040,929           0
CARDINAL HEALTH INC            COM   14149Y108       8,378     147,058  SH     DEFINED     10     129,736      10,637       6,685
CARDINAL HEALTH INC            COM   14149Y108       1,675      29,397  SH     OTHER       10      20,090       8,957         350

CARDIOGENESIS CORP             COM   14159W109          10      32,360  SH     DEFINED     01       6,660      25,700           0
CARDIOGENESIS CORP             COM   14159W109           1       3,110  SH     OTHER       01           0           0       3,110
CARDIOGENESIS CORP             COM   14159W109          12      37,890  SH     DEFINED  01,08       6,687      31,203           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    101
________

CARDIODYNAMICS INTL CORP       COM   141597104         354     117,371  SH     DEFINED     01      58,259      57,512       1,600
CARDIODYNAMICS INTL CORP       COM   141597104         273      90,287  SH     DEFINED  01,08      24,305      65,982           0

CAREER EDUCATION CORP          COM   141665109      19,523     399,084  SH     DEFINED     01     289,217     101,223       8,644
CAREER EDUCATION CORP          COM   141665109          41         840  SH     OTHER       01           0         840           0
CAREER EDUCATION CORP          COM   141665109           3          60  SH     DEFINED     04          60           0           0
CAREER EDUCATION CORP          COM   141665109       5,394     110,256  SH     DEFINED  01,08      22,950      87,306           0

CAREMARK RX INC                COM   141705103       5,572     306,973  SH     DEFINED     01     180,497     115,726      10,750
CAREMARK RX INC                COM   141705103         297      16,347  SH     OTHER       01      12,347       4,000           0
CAREMARK RX INC                COM   141705103          32       1,762  SH     DEFINED     02       1,762           0           0
CAREMARK RX INC                COM   141705103          15         850  SH     DEFINED     03         350         500           0
CAREMARK RX INC                COM   141705103          18         980  SH     OTHER       03         980           0           0
CAREMARK RX INC                COM   141705103         146       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          11         600  SH     OTHER       05         600           0           0
CAREMARK RX INC                COM   141705103       7,652     421,582  SH     DEFINED  01,08      66,903     354,679           0

CARLISLE COS INC               COM   142339100       5,832     144,035  SH     DEFINED     01      74,354      67,781       1,900
CARLISLE COS INC               COM   142339100       2,951      72,881  SH     DEFINED  01,08       9,802      63,079           0

CARMAX INC                     COM   143130102       4,768     327,255  SH     DEFINED     01     122,324     200,148       4,783
CARMAX INC                     COM   143130102           0          31  SH     DEFINED     03           0           0          31
CARMAX INC                     COM   143130102       3,495     239,886  SH     DEFINED  01,08      32,763     207,123           0
CARMAX INC                     COM   143130102          18       1,265  SH     DEFINED     10       1,265           0           0

CARMIKE CINEMAS INC            COM   143436400         202      10,489  SH     DEFINED     01       1,564       8,775         150
CARMIKE CINEMAS INC            COM   143436400         199      10,325  SH     DEFINED  01,08       4,154       6,171           0

CARNIVAL CORP                  COM   143658102      68,989   2,861,435  SH     DEFINED     01   1,443,667   1,392,268      25,500
CARNIVAL CORP                  COM   143658102       1,299      53,885  SH     OTHER       01      23,995      28,690       1,200
CARNIVAL CORP                  COM   143658102         362      15,002  SH     DEFINED     02       9,945       5,057           0
CARNIVAL CORP                  COM   143658102          33       1,350  SH     OTHER       02       1,350           0           0
CARNIVAL CORP                  COM   143658102         118       4,875  SH     DEFINED     03       1,575       3,100         200
CARNIVAL CORP                  COM   143658102         170       7,035  SH     OTHER       03       6,635           0         400
CARNIVAL CORP                  COM   143658102       3,544     147,010  SH     DEFINED     04     144,610           0       2,400
CARNIVAL CORP                  COM   143658102       1,471      61,027  SH     OTHER       04      59,202           0       1,825
CARNIVAL CORP                  COM   143658102          28       1,165  SH     DEFINED     05       1,165           0           0
CARNIVAL CORP                  COM   143658102          36       1,500  SH     OTHER    01,06           0           0       1,500
CARNIVAL CORP                  COM   143658102      23,632     980,193  SH     DEFINED  01,08     275,594     704,599           0
CARNIVAL CORP                  COM   143658102          88       3,651  SH     DEFINED     10       2,651       1,000           0
CARNIVAL CORP                  COM   143658102         448      18,567  SH     OTHER       10         300      18,267           0

CARRIAGE SVCS INC              COM   143905107          91      25,600  SH     DEFINED     01       5,000      20,600           0
CARRIAGE SVCS INC              COM   143905107          99      27,900  SH     DEFINED  01,08       6,108      21,792           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    102
________

CARPENTER TECHNOLOGY CORP      COM   144285103       1,754     172,830  SH     DEFINED     01     119,254      52,126       1,450
CARPENTER TECHNOLOGY CORP      COM   144285103          25       2,500  SH     OTHER       04           0           0       2,500
CARPENTER TECHNOLOGY CORP      COM   144285103         563      55,422  SH     DEFINED  01,08       6,876      48,546           0

CARRAMERICA RLTY CORP          COM   144418100       2,202      86,870  SH     DEFINED     01      53,367      31,203       2,300
CARRAMERICA RLTY CORP          COM   144418100          25       1,000  SH     DEFINED     04       1,000           0           0
CARRAMERICA RLTY CORP          COM   144418100       2,597     102,445  SH     DEFINED  01,08      13,945      88,500           0

CARREKER CORP                  COM   144433109         146      70,993  SH     DEFINED     01      34,383      35,560       1,050
CARREKER CORP                  COM   144433109           1         500  SH     OTHER    01,06           0           0         500
CARREKER CORP                  COM   144433109         244     119,263  SH     DEFINED  01,08      19,409      99,854           0

CARRIER ACCESS CORP            COM   144460102          39      39,828  SH     DEFINED     01       5,028      34,800           0
CARRIER ACCESS CORP            COM   144460102          35      35,338  SH     DEFINED  01,08       6,032      29,306           0

CARRINGTON LABS INC            COM   144525102          18      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          22      21,849  SH     DEFINED  01,08       2,671      19,178           0

CARRIZO OIL & CO INC           COM   144577103         111      24,100  SH     DEFINED     01      12,100      12,000           0
CARRIZO OIL & CO INC           COM   144577103         106      23,141  SH     DEFINED  01,08       6,100      17,041           0

CASCADE BANCORP                COM   147154108         673      45,927  SH     DEFINED     01      23,136      22,491         300
CASCADE BANCORP                COM   147154108         366      24,969  SH     DEFINED  01,08       7,078      17,891           0

CASCADE CORP                   COM   147195101       1,022      71,006  SH     DEFINED     01      43,306      27,500         200
CASCADE CORP                   COM   147195101         557      38,682  SH     DEFINED  01,08       6,209      32,473           0

CASCADE FINL CORP              COM   147272108          58       5,000  SH     DEFINED     01           0       5,000           0
CASCADE FINL CORP              COM   147272108         128      11,138  SH     DEFINED  01,08       2,848       8,290           0

CASCADE NAT GAS CORP           COM   147339105         841      43,329  SH     DEFINED     01      23,844      18,735         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         683      35,223  SH     DEFINED  01,08       9,983      25,240           0

CASELLA WASTE SYS INC          COM   147448104         626      75,854  SH     DEFINED     01      39,839      35,115         900
CASELLA WASTE SYS INC          COM   147448104         419      50,840  SH     DEFINED  01,08      12,048      38,792           0

CASEYS GEN STORES INC          COM   147528103       1,854     155,823  SH     DEFINED     01      85,168      66,305       4,350
CASEYS GEN STORES INC          COM   147528103          95       8,000  SH     DEFINED     02           0       8,000           0
CASEYS GEN STORES INC          COM   147528103           1         100  SH     OTHER       02         100           0           0
CASEYS GEN STORES INC          COM   147528103          12       1,000  SH     OTHER    01,06           0           0       1,000
CASEYS GEN STORES INC          COM   147528103       2,821     237,065  SH     DEFINED  01,08      42,969     194,096           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    103
________

CASH AMER INTL INC             COM   14754D100         863      91,058  SH     DEFINED     01      51,964      37,694       1,400
CASH AMER INTL INC             COM   14754D100           5         500  SH     OTHER    01,06           0           0         500
CASH AMER INTL INC             COM   14754D100         820      86,460  SH     DEFINED  01,08      21,572      64,888           0

CASTLE A M & CO                COM   148411101         975     205,282  SH     DEFINED     01      28,974     100,225      76,083
CASTLE A M & CO                COM   148411101       1,499     315,622  SH     OTHER       01           0     306,134       9,488
CASTLE A M & CO                COM   148411101          24       5,125  SH     DEFINED     02       5,125           0           0
CASTLE A M & CO                COM   148411101           1         300  SH     OTHER    01,06           0           0         300
CASTLE A M & CO                COM   148411101         223      46,974  SH     DEFINED  01,08      12,450      34,524           0

CASTLE ENERGY CORP             COM   148449309          27       7,500  SH     DEFINED     01       1,200       6,300           0
CASTLE ENERGY CORP             COM   148449309          77      21,259  SH     DEFINED  01,08       2,899      18,360           0

CASUAL MALE RETAIL GRP INC     COM   148711104          34      11,200  SH     DEFINED     01       2,300       8,900           0
CASUAL MALE RETAIL GRP INC     COM   148711104         117      38,800  SH     DEFINED  01,08      14,031      24,769           0

CATALINA LTG INC               COM   148865207          22       2,680  SH     DEFINED     01         200       2,480           0
CATALINA LTG INC               COM   148865207          61       7,573  SH     DEFINED  01,08       1,962       5,611           0

CATALINA MARKETING CORP        COM   148867104       2,959     153,893  SH     DEFINED     01      54,538      97,655       1,700
CATALINA MARKETING CORP        COM   148867104          30       1,565  SH     OTHER       01           0       1,565           0
CATALINA MARKETING CORP        COM   148867104         137       7,130  SH     DEFINED     02       7,000           0         130
CATALINA MARKETING CORP        COM   148867104          27       1,400  SH     DEFINED     03       1,400           0           0
CATALINA MARKETING CORP        COM   148867104       2,375     123,500  SH     DEFINED  01,08      27,923      95,577           0

CATALYST SEMICONDUCTOR INC     COM   148881105          27      11,200  SH     DEFINED     01       3,200       8,000           0
CATALYST SEMICONDUCTOR INC     COM   148881105          68      27,712  SH     DEFINED  01,08       7,044      20,668           0

CATALYTICA ENERGY SYS INC      COM   148884109          40      15,541  SH     DEFINED     01       2,455      13,086           0
CATALYTICA ENERGY SYS INC      COM   148884109          81      31,731  SH     DEFINED  01,08       6,954      24,777           0

CATAPULT COMMUNICATIONS CORP   COM   149016107         191      30,029  SH     DEFINED     01      11,174      18,755         100
CATAPULT COMMUNICATIONS CORP   COM   149016107           2         300  SH     OTHER    01,06           0           0         300
CATAPULT COMMUNICATIONS CORP   COM   149016107         299      47,121  SH     DEFINED  01,08       6,137      40,984           0

CATELLUS DEV CORP              COM   149111106       2,456     116,946  SH     DEFINED     01      68,456      44,840       3,650
CATELLUS DEV CORP              COM   149111106          16         750  SH     DEFINED     02           0         750           0
CATELLUS DEV CORP              COM   149111106           1          55  SH     OTHER       02          55           0           0
CATELLUS DEV CORP              COM   149111106           1          44  SH     OTHER       03          44           0           0
CATELLUS DEV CORP              COM   149111106       3,721     177,182  SH     DEFINED  01,08      22,848     154,334           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    104
________

CATERPILLAR INC DEL            COM   149123101     109,188   2,219,262  SH     DEFINED     01   1,134,962     992,500      91,800
CATERPILLAR INC DEL            COM   149123101       2,901      58,972  SH     OTHER       01      26,408      24,064       8,500
CATERPILLAR INC DEL            COM   149123101         324       6,578  SH     DEFINED     02       6,053           0         525
CATERPILLAR INC DEL            COM   149123101         349       7,102  SH     OTHER       02       5,422       1,680           0
CATERPILLAR INC DEL            COM   149123101       3,078      62,558  SH     DEFINED     03      18,986      33,921       9,651
CATERPILLAR INC DEL            COM   149123101         817      16,608  SH     OTHER       03      14,643       1,965           0
CATERPILLAR INC DEL            COM   149123101      19,039     386,981  SH     DEFINED     04     373,536           0      13,445
CATERPILLAR INC DEL            COM   149123101      10,576     214,962  SH     OTHER       04     202,437           0      12,525
CATERPILLAR INC DEL            COM   149123101       1,486      30,194  SH     DEFINED     05      22,860       6,184       1,150
CATERPILLAR INC DEL            COM   149123101           3          55  SH     OTHER       05          55           0           0
CATERPILLAR INC DEL            COM   149123101          44         900  SH     OTHER    01,06           0           0         900
CATERPILLAR INC DEL            COM   149123101      74,242   1,508,986  SH     DEFINED  01,08     274,497   1,184,876      49,613
CATERPILLAR INC DEL            COM   149123101       1,046      21,265  SH     DEFINED     10      16,218       4,675         372
CATERPILLAR INC DEL            COM   149123101          30         600  SH     OTHER       10         600           0           0

CATHAY BANCORP INC             COM   149150104       2,202      56,386  SH     DEFINED     01      29,322      26,764         300
CATHAY BANCORP INC             COM   149150104       1,538      39,376  SH     DEFINED  01,08       9,770      29,606           0

CATO CORP NEW                  COM   149205106       1,273      66,839  SH     DEFINED     01      28,586      36,153       2,100
CATO CORP NEW                  COM   149205106          10         500  SH     OTHER    01,06           0           0         500
CATO CORP NEW                  COM   149205106       1,794      94,227  SH     DEFINED  01,08      21,487      72,740           0

CAVALIER HOMES INC             COM   149507105          20      16,600  SH     DEFINED     01       2,700      13,900           0
CAVALIER HOMES INC             COM   149507105          35      29,256  SH     DEFINED  01,08       6,460      22,796           0

CAVALRY BANCORP INC            COM   149547101          57       3,500  SH     DEFINED     01       1,500       2,000           0
CAVALRY BANCORP INC            COM   149547101         191      11,763  SH     DEFINED  01,08       2,963       8,800           0

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         412      16,500  SH     DEFINED     01      14,500       2,000           0
CEDAR FAIR L P                 COM   150185106         100       4,000  SH     OTHER       01           0       4,000           0
CEDAR FAIR L P                 COM   150185106          50       2,000  SH     OTHER       02           0       2,000           0
CEDAR FAIR L P                 COM   150185106         122       4,900  SH     DEFINED     04       4,900           0           0
CEDAR FAIR L P                 COM   150185106         557      22,300  SH     OTHER       04      21,600           0         700
CEDAR FAIR L P                 COM   150185106          35       1,400  SH     DEFINED     10         300       1,100           0
CEDAR FAIR L P                 COM   150185106         125       5,000  SH     OTHER       10       5,000           0           0

CEL-SCI CORP                   COM   150837409           5      24,100  SH     DEFINED     01       4,400      19,700           0
CEL-SCI CORP                   COM   150837409           0       1,800  SH     DEFINED     02           0       1,800           0
CEL-SCI CORP                   COM   150837409           2      11,052  SH     DEFINED  01,08       5,235       5,817           0

CELADON GROUP INC              COM   150838100          89      11,200  SH     DEFINED     01       1,600       9,600           0
CELADON GROUP INC              COM   150838100         104      13,100  SH     DEFINED  01,08       3,300       9,800           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    105
________

CELL GENESYS INC               COM   150921104         883     119,437  SH     DEFINED     01      70,007      48,980         450
CELL GENESYS INC               COM   150921104           4         600  SH     OTHER       01           0         600           0
CELL GENESYS INC               COM   150921104           2         300  SH     DEFINED     04         300           0           0
CELL GENESYS INC               COM   150921104         871     117,824  SH     DEFINED  01,08      19,793      98,031           0

CELLSTAR CORP                  COM   150925204         145      19,937  SH     DEFINED     01       2,477      17,460           0
CELLSTAR CORP                  COM   150925204         188      25,890  SH     DEFINED  01,08       8,371      17,519           0

CELERITEK INC                  COM   150926103         127      16,800  SH     DEFINED     01       2,300      14,500           0
CELERITEK INC                  COM   150926103         159      20,990  SH     DEFINED  01,08       5,240      15,750           0

CELL THERAPEUTICS INC          COM   150934107       1,017     122,635  SH     DEFINED     01      73,886      46,899       1,850
CELL THERAPEUTICS INC          COM   150934107         207      25,000  SH     DEFINED     04      25,000           0           0
CELL THERAPEUTICS INC          COM   150934107       1,237     149,244  SH     DEFINED  01,08      18,838     130,406           0

CELGENE CORP                   COM   151020104       2,396      91,860  SH     DEFINED     01      53,366      35,462       3,032
CELGENE CORP                   COM   151020104          16         600  SH     DEFINED     02           0         600           0
CELGENE CORP                   COM   151020104         507      19,428  SH     OTHER       03           0      19,428           0
CELGENE CORP                   COM   151020104         146       5,600  SH     DEFINED     04       4,500           0       1,100
CELGENE CORP                   COM   151020104           0           7  SH     OTHER       04           7           0           0
CELGENE CORP                   COM   151020104       4,285     164,289  SH     DEFINED  01,08      21,136     143,153           0

CELL PATHWAYS INC NEW          COM   15114R101          58      61,335  SH     DEFINED     01      35,135      26,200           0
CELL PATHWAYS INC NEW          COM   15114R101           5       5,000  SH     OTHER       04       5,000           0           0
CELL PATHWAYS INC NEW          COM   15114R101          42      44,388  SH     DEFINED  01,08       7,313      37,075           0

CELLEGY PHARMACEUTICALS INC    COM   15115L103          62      15,000  SH     DEFINED     01       2,800      12,200           0
CELLEGY PHARMACEUTICALS INC    COM   15115L103           8       2,000  SH     OTHER       04       2,000           0           0
CELLEGY PHARMACEUTICALS INC    COM   15115L103         113      27,575  SH     DEFINED  01,08       7,975      19,600           0

CELSION CORPORATION            COM   15117N107          16      36,967  SH     DEFINED     01      36,967           0           0
CELSION CORPORATION            COM   15117N107           0       1,000  SH     DEFINED     03       1,000           0           0
CELSION CORPORATION            COM   15117N107           0         900  SH     DEFINED  01,08           0         900           0

CEMEX S A                      COM   151290889          51       2,938  SH     DEFINED     01         938           0       2,000
CEMEX S A                      COM   151290889         364      20,863  SH     OTHER       01           0           0      20,863
CEMEX S A                      COM   151290889           3         165  SH     DEFINED     02           0           0         165
CEMEX S A                      COM   151290889          25       1,451  SH     DEFINED     04         837           0         614
CEMEX S A                      COM   151290889          14         800  SH     DEFINED     10           0           0         800
CEMEX S A                      COM   151290889           2         138  SH     OTHER       10         138           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    106
________

CENDANT CORP                   COM   151313103      76,845   6,050,775  SH     DEFINED     01   3,080,852   2,867,685     102,238
CENDANT CORP                   COM   151313103      12,158     957,297  SH     OTHER       01     956,072         300         925
CENDANT CORP                   COM   151313103          51       4,000  SH     DEFINED     02           0       4,000           0
CENDANT CORP                   COM   151313103          13         999  SH     OTHER       02         999           0           0
CENDANT CORP                   COM   151313103          34       2,682  SH     DEFINED     03       1,282       1,000         400
CENDANT CORP                   COM   151313103         172      13,514  SH     OTHER       03      13,514           0           0
CENDANT CORP                   COM   151313103         264      20,774  SH     DEFINED     04      10,374           0      10,400
CENDANT CORP                   COM   151313103          39       3,080  SH     OTHER       04       3,080           0           0
CENDANT CORP                   COM   151313103          33       2,600  SH     OTHER    01,06           0           0       2,600
CENDANT CORP                   COM   151313103      40,057   3,154,094  SH     DEFINED  01,08     823,963   2,330,131           0
CENDANT CORP                   COM   151313103          20       1,569  SH     DEFINED     10       1,569           0           0
CENDANT CORP                   COM   151313103         120       9,419  SH     OTHER       10       9,419           0           0

CENTENNIAL COMMUNCTNS CORP N   COM   15133V208         189     104,647  SH     DEFINED     01      30,391      74,256           0
CENTENNIAL COMMUNCTNS CORP N   COM   15133V208         294     162,452  SH     DEFINED  01,08      42,390     120,062           0

CENTENE CORP DEL               COM   15135B101         713      24,418  SH     DEFINED     01      10,257      14,061         100
CENTENE CORP DEL               COM   15135B101       1,604      54,927  SH     DEFINED  01,08       5,245      49,682           0

CENTER BANCORP INC             COM   151408101           9         330  SH     DEFINED     01         330           0           0
CENTER BANCORP INC             COM   151408101         192       7,217  SH     DEFINED  01,08       1,871       5,346           0

CENTERPOINT ENERGY INC         COM   15189T107      11,911   1,689,569  SH     DEFINED     01     885,750     783,594      20,225
CENTERPOINT ENERGY INC         COM   15189T107         130      18,429  SH     OTHER       01      16,089       1,340       1,000
CENTERPOINT ENERGY INC         COM   15189T107           2         268  SH     OTHER       02         268           0           0
CENTERPOINT ENERGY INC         COM   15189T107          54       7,675  SH     DEFINED     03       7,575           0         100
CENTERPOINT ENERGY INC         COM   15189T107          71      10,000  SH     DEFINED     05      10,000           0           0
CENTERPOINT ENERGY INC         COM   15189T107           6         800  SH     OTHER    01,06           0           0         800
CENTERPOINT ENERGY INC         COM   15189T107       6,229     883,592  SH     DEFINED  01,08     214,016     669,576           0
CENTERPOINT ENERGY INC         COM   15189T107          35       5,035  SH     DEFINED     10       5,035           0           0

CENTERPOINT PPTYS TR           COM   151895109       2,193      37,935  SH     DEFINED     01      25,967      10,918       1,050
CENTERPOINT PPTYS TR           COM   151895109          87       1,500  SH     OTHER       01           0       1,500           0
CENTERPOINT PPTYS TR           COM   151895109          84       1,450  SH     DEFINED     03       1,450           0           0
CENTERPOINT PPTYS TR           COM   151895109         231       4,000  SH     DEFINED     04       4,000           0           0
CENTERPOINT PPTYS TR           COM   151895109       1,654      28,608  SH     DEFINED  01,08       5,908      22,700           0

CENTERPULSE LTD                COM   152005104         432      20,300  SH     DEFINED     01      20,300           0           0
CENTERPULSE LTD                COM   152005104           9         400  SH     DEFINED     02         400           0           0
CENTERPULSE LTD                COM   152005104         170       8,000  SH     DEFINED     04       8,000           0           0

CENTERSPAN COMMUNICATIONS CO   COM   152012100           3       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           9      18,063  SH     DEFINED  01,08       4,088      13,975           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    107
________

CENTEX CONSTRUCTION PRODUCTS   COM   15231R109       2,689      74,692  SH     DEFINED     01      53,223      21,169         300
CENTEX CONSTRUCTION PRODUCTS   COM   15231R109       1,496      41,569  SH     DEFINED  01,08       8,486      33,083           0

CENTEX CORP                    COM   152312104      19,378     356,483  SH     DEFINED     01     190,394     160,055       6,034
CENTEX CORP                    COM   152312104           3          50  SH     OTHER       01           0           0          50
CENTEX CORP                    COM   152312104          41         750  SH     DEFINED     02         750           0           0
CENTEX CORP                    COM   152312104          19         350  SH     OTHER       04         350           0           0
CENTEX CORP                    COM   152312104          11         200  SH     OTHER    01,06           0           0         200
CENTEX CORP                    COM   152312104       9,870     181,575  SH     DEFINED  01,08      46,981     134,594           0
CENTEX CORP                    COM   152312104           1          10  SH     DEFINED     10          10           0           0

CENTILLIUM COMMUNICATIONS IN   COM   152319109         430     106,281  SH     DEFINED     01      50,284      54,547       1,450
CENTILLIUM COMMUNICATIONS IN   COM   152319109          18       4,500  SH     OTHER       01           0       2,200       2,300
CENTILLIUM COMMUNICATIONS IN   COM   152319109         353      87,205  SH     DEFINED  01,08      18,500      68,705           0

CENTRA SOFTWARE INC            COM   15234X103          36      25,000  SH     DEFINED     01       5,000      20,000           0
CENTRA SOFTWARE INC            COM   15234X103          52      35,930  SH     DEFINED  01,08       5,330      30,600           0

CENTRAL COAST BANCORP          COM   153145107         352      22,133  SH     DEFINED     01      15,248       6,479         406
CENTRAL COAST BANCORP          COM   153145107         232      14,563  SH     DEFINED  01,08       5,416       9,147           0

CENTRAL GARDEN & PET CO        COM   153527106       1,146      52,975  SH     DEFINED     01      32,275      20,000         700
CENTRAL GARDEN & PET CO        COM   153527106          13         600  SH     DEFINED     02           0           0         600
CENTRAL GARDEN & PET CO        COM   153527106       1,044      48,251  SH     DEFINED  01,08       9,175      39,076           0

CENTRAL PKG CORP               COM   154785109         793      79,267  SH     DEFINED     01      39,514      38,953         800
CENTRAL PKG CORP               COM   154785109           7         700  SH     OTHER    01,06           0           0         700
CENTRAL PKG CORP               COM   154785109         968      96,789  SH     DEFINED  01,08      28,951      67,838           0

CENTRAL VT PUB SVC CORP        COM   155771108       1,361      79,129  SH     DEFINED     01      61,410      16,419       1,300
CENTRAL VT PUB SVC CORP        COM   155771108           3         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         917      53,302  SH     DEFINED  01,08      24,586      28,716           0

CENTURY ALUM CO                COM   156431108         347      54,939  SH     DEFINED     01      26,404      27,085       1,450
CENTURY ALUM CO                COM   156431108           3         400  SH     OTHER    01,06           0           0         400
CENTURY ALUM CO                COM   156431108         432      68,417  SH     DEFINED  01,08      17,245      51,172           0

CENTURY BANCORP INC            COM   156432106         197       7,185  SH     DEFINED     01       2,354       4,631         200
CENTURY BANCORP INC            COM   156432106       1,108      40,500  SH     DEFINED     04      40,500           0           0
CENTURY BANCORP INC            COM   156432106         212       7,735  SH     DEFINED  01,08       1,920       5,815           0

CENTURY BUSINESS SVCS INC      COM   156490104       1,093     427,002  SH     DEFINED     01     274,576     148,446       3,980
CENTURY BUSINESS SVCS INC      COM   156490104          26      10,000  SH     OTHER       04           0           0      10,000
CENTURY BUSINESS SVCS INC      COM   156490104         520     203,176  SH     DEFINED  01,08      51,868     151,308           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    108
________

CEPHEID                        COM   15670R107         312      74,446  SH     DEFINED     01      50,442      23,404         600
CEPHEID                        COM   15670R107         262      62,492  SH     DEFINED  01,08      16,513      45,979           0
CEPHEID                        COM   15670R107           4       1,000  SH     DEFINED     10       1,000           0           0

CENTURYTEL INC                 COM   156700106      23,559     853,594  SH     DEFINED     01     449,078     383,441      21,075
CENTURYTEL INC                 COM   156700106         658      23,850  SH     OTHER       01       2,000       6,450      15,400
CENTURYTEL INC                 COM   156700106          14         520  SH     DEFINED     02         520           0           0
CENTURYTEL INC                 COM   156700106          64       2,310  SH     OTHER       02          60       2,250           0
CENTURYTEL INC                 COM   156700106         345      12,502  SH     DEFINED     03       7,227       5,225          50
CENTURYTEL INC                 COM   156700106          94       3,405  SH     OTHER       03       1,205       2,200           0
CENTURYTEL INC                 COM   156700106         277      10,030  SH     DEFINED     04       8,030           0       2,000
CENTURYTEL INC                 COM   156700106          42       1,518  SH     OTHER       04           0           0       1,518
CENTURYTEL INC                 COM   156700106          55       2,000  SH     DEFINED     05       1,775         225           0
CENTURYTEL INC                 COM   156700106           3         125  SH     OTHER       05           0           0         125
CENTURYTEL INC                 COM   156700106          11         400  SH     OTHER    01,06           0           0         400
CENTURYTEL INC                 COM   156700106      11,379     412,295  SH     DEFINED  01,08     110,833     301,462           0
CENTURYTEL INC                 COM   156700106         394      14,273  SH     DEFINED     10       8,073       4,400       1,800
CENTURYTEL INC                 COM   156700106          68       2,450  SH     OTHER       10       2,300         150           0

CEPHALON INC                   CONDB 156708AC3       1,923   2,000,000  PRN    DEFINED     01   2,000,000           0           0

CEPHALON INC                   COM   156708109       2,391      59,865  SH     DEFINED     01      34,685      22,285       2,895
CEPHALON INC                   COM   156708109          20         500  SH     OTHER       01           0         500           0
CEPHALON INC                   COM   156708109         120       3,000  SH     DEFINED     04       3,000           0           0
CEPHALON INC                   COM   156708109          42       1,050  SH     OTHER    01,06           0           0       1,050
CEPHALON INC                   COM   156708109       4,861     121,707  SH     DEFINED  01,08      13,838     107,869           0

CERADYNE INC                   COM   156710105          68       7,400  SH     DEFINED     01       1,700       5,700           0
CERADYNE INC                   COM   156710105           5         500  SH     OTHER       01         500           0           0
CERADYNE INC                   COM   156710105         196      21,335  SH     DEFINED  01,08       3,642      17,693           0

CERES GROUP INC                COM   156772105         190     114,903  SH     DEFINED     01      51,453      63,000         450
CERES GROUP INC                COM   156772105           5       3,000  SH     OTHER       01           0       3,000           0
CERES GROUP INC                COM   156772105         108      65,686  SH     DEFINED  01,08      12,686      53,000           0

CERIDIAN CORP NEW              COM   156779100       6,891     492,915  SH     DEFINED     01     175,306     296,709      20,900
CERIDIAN CORP NEW              COM   156779100          29       2,096  SH     OTHER       02       2,096           0           0
CERIDIAN CORP NEW              COM   156779100          29       2,100  SH     DEFINED     04       2,100           0           0
CERIDIAN CORP NEW              COM   156779100       4,824     345,029  SH     DEFINED  01,08      45,321     299,708           0
CERIDIAN CORP NEW              COM   156779100          18       1,277  SH     DEFINED     10       1,277           0           0

CERNER CORP                    COM   156782104       1,325      40,917  SH     DEFINED     01      20,913      17,754       2,250
CERNER CORP                    COM   156782104          22         680  SH     OTHER    01,06           0           0         680
CERNER CORP                    COM   156782104       2,295      70,863  SH     DEFINED  01,08       8,734      62,129           0
CERNER CORP                    COM   156782104          16         500  SH     DEFINED     10         500           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    109
________

CERTEGY INC                    COM   156880106       5,359     212,662  SH     DEFINED     01      78,690     130,772       3,200
CERTEGY INC                    COM   156880106         341      13,532  SH     OTHER       01           0       1,232      12,300
CERTEGY INC                    COM   156880106          93       3,700  SH     DEFINED     02       3,700           0           0
CERTEGY INC                    COM   156880106          28       1,100  SH     DEFINED     03         300         800           0
CERTEGY INC                    COM   156880106         389      15,456  SH     DEFINED     04      15,456           0           0
CERTEGY INC                    COM   156880106          38       1,500  SH     OTHER       04           0           0       1,500
CERTEGY INC                    COM   156880106       4,337     172,121  SH     DEFINED  01,08      20,847     151,274           0
CERTEGY INC                    COM   156880106           0          11  SH     DEFINED     10          11           0           0
CERTEGY INC                    COM   156880106          25       1,000  SH     OTHER       10           0       1,000           0

CERUS CORP                     COM   157085101         422      47,939  SH     DEFINED     01      24,732      22,507         700
CERUS CORP                     COM   157085101         569      64,703  SH     DEFINED  01,08       8,678      56,025           0

CHAD THERAPEUTICS INC          COM   157228107           3       1,700  SH     DEFINED     01       1,700           0           0
CHAD THERAPEUTICS INC          COM   157228107          31      15,624  SH     DEFINED  01,08       4,381      11,243           0

CHALONE WINE GROUP LTD         COM   157639105          67       8,505  SH     DEFINED     01       2,200       6,305           0
CHALONE WINE GROUP LTD         COM   157639105           1         100  SH     OTHER       01           0         100           0
CHALONE WINE GROUP LTD         COM   157639105         236      30,000  SH     DEFINED     03           0      30,000           0
CHALONE WINE GROUP LTD         COM   157639105           1         110  SH     OTHER       04         110           0           0
CHALONE WINE GROUP LTD         COM   157639105         128      16,248  SH     DEFINED  01,08       5,281      10,967           0
CHALONE WINE GROUP LTD         COM   157639105           2         317  SH     DEFINED     10         317           0           0

CHAMPION ENTERPRISES INC       COM   158496109         359     195,202  SH     DEFINED     01     119,582      71,120       4,500
CHAMPION ENTERPRISES INC       COM   158496109          59      32,000  SH     OTHER       04      32,000           0           0
CHAMPION ENTERPRISES INC       COM   158496109           2         980  SH     OTHER    01,06           0           0         980
CHAMPION ENTERPRISES INC       COM   158496109         416     226,099  SH     DEFINED  01,08      28,354     197,745           0

CHAMPION INDS INC W VA         COM   158520106          40      12,700  SH     DEFINED     01       1,400      11,300           0
CHAMPION INDS INC W VA         COM   158520106          53      16,804  SH     DEFINED  01,08       4,397      12,407           0

CHAMPIONSHIP AUTO RACING TEA   COM   158711101         196      53,461  SH     DEFINED     01      31,282      21,929         250
CHAMPIONSHIP AUTO RACING TEA   COM   158711101         132      35,945  SH     DEFINED  01,08       7,647      28,298           0

CHAMPS ENTMT INC DEL           COM   158787101         212      25,412  SH     DEFINED     01      14,327      10,885         200
CHAMPS ENTMT INC DEL           COM   158787101         213      25,515  SH     DEFINED  01,08       6,454      19,061           0

CHANNELL COML CORP             COM   159186105          48      10,800  SH     DEFINED     01       1,900       8,900           0
CHANNELL COML CORP             COM   159186105          65      14,677  SH     DEFINED  01,08       3,909      10,768           0

CHARLES & COLVARD LTD          COM   159765106           4       1,000  SH     DEFINED     01       1,000           0           0
CHARLES & COLVARD LTD          COM   159765106          22       5,000  SH     DEFINED     04       5,000           0           0
CHARLES & COLVARD LTD          COM   159765106          42       9,600  SH     DEFINED  01,08       5,400       4,200           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    110
________

CHARLES RIVER ASSOCIATES       COM   159852102         458      26,789  SH     DEFINED     01      15,691      10,748         350
CHARLES RIVER ASSOCIATES       COM   159852102         310      18,151  SH     DEFINED  01,08       4,602      13,549           0

CHARLES RIV LABS INTL INC      COM   159864107       3,659     143,361  SH     DEFINED     01      50,452      89,472       3,437
CHARLES RIV LABS INTL INC      COM   159864107           5         200  SH     DEFINED     04         200           0           0
CHARLES RIV LABS INTL INC      COM   159864107       2,442      95,694  SH     DEFINED  01,08      13,700      81,994           0

CHARTER ONE FINL INC           COM   160903100      36,732   1,327,987  SH     DEFINED     01     714,627     595,819      17,541
CHARTER ONE FINL INC           COM   160903100         393      14,210  SH     OTHER       01       7,990           0       6,220
CHARTER ONE FINL INC           COM   160903100          19         700  SH     DEFINED     02         700           0           0
CHARTER ONE FINL INC           COM   160903100           9         330  SH     OTHER       02           0         330           0
CHARTER ONE FINL INC           COM   160903100           3         105  SH     DEFINED     03           0           0         105
CHARTER ONE FINL INC           COM   160903100         145       5,250  SH     OTHER       03           0       5,250           0
CHARTER ONE FINL INC           COM   160903100         246       8,895  SH     DEFINED     04       8,895           0           0
CHARTER ONE FINL INC           COM   160903100          45       1,617  SH     OTHER       04       1,617           0           0
CHARTER ONE FINL INC           COM   160903100          15         541  SH     OTHER    01,06           0           0         541
CHARTER ONE FINL INC           COM   160903100      19,407     701,609  SH     DEFINED  01,08     191,392     510,217           0
CHARTER ONE FINL INC           COM   160903100          76       2,751  SH     DEFINED     10       2,310           0         441

CHARTER MUN MTG ACCEP CO       COM   160908109       2,796     159,122  SH     DEFINED     01      86,863      69,999       2,260
CHARTER MUN MTG ACCEP CO       COM   160908109         808      45,987  SH     DEFINED     04      45,987           0           0
CHARTER MUN MTG ACCEP CO       COM   160908109          33       1,851  SH     OTHER       04       1,851           0           0
CHARTER MUN MTG ACCEP CO       COM   160908109       1,834     104,355  SH     DEFINED  01,08      23,176      81,179           0

CHARLOTTE RUSSE HLDG INC       COM   161048103         310      38,385  SH     DEFINED     01      16,117      22,118         150
CHARLOTTE RUSSE HLDG INC       COM   161048103         386      47,774  SH     DEFINED  01,08      10,255      37,519           0

CHARMING SHOPPES INC           COM   161133103       1,326     378,885  SH     DEFINED     01     226,021     148,114       4,750
CHARMING SHOPPES INC           COM   161133103       1,654     472,477  SH     DEFINED  01,08      56,597     415,880           0

CHART INDS INC                 COM   16115Q100          19      28,500  SH     DEFINED     01       5,000      23,500           0
CHART INDS INC                 COM   16115Q100          22      33,428  SH     DEFINED  01,08       5,581      27,847           0

CHARTER COMMUNICATIONS INC D   COM   16117M107         153     184,473  SH     DEFINED     01     128,252      56,021         200
CHARTER COMMUNICATIONS INC D   COM   16117M107           5       6,100  SH     DEFINED     04       6,100           0           0
CHARTER COMMUNICATIONS INC D   COM   16117M107         295     355,261  SH     DEFINED  01,08      99,761     255,500           0
CHARTER COMMUNICATIONS INC D   COM   16117M107           3       3,300  SH     DEFINED     10       3,300           0           0
CHARTER COMMUNICATIONS INC D   COM   16117M107           1       1,100  SH     OTHER       10       1,100           0           0

CHARTER FINL CORP WEST PT GA   COM   16122M100         314      10,374  SH     DEFINED     01       8,611       1,563         200
CHARTER FINL CORP WEST PT GA   COM   16122M100         950      31,346  SH     DEFINED  01,08       9,074      22,272           0

CHASE CORP                     COM   16150R104          35       3,700  SH     DEFINED     01         500       3,200           0
CHASE CORP                     COM   16150R104         109      11,374  SH     DEFINED  01,08       2,096       9,278           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    111
________

CHATEAU CMNTYS INC             COM   161726104       1,223      64,891  SH     DEFINED     01      40,783      23,608         500
CHATEAU CMNTYS INC             COM   161726104           6         300  SH     DEFINED     03         300           0           0
CHATEAU CMNTYS INC             COM   161726104      10,155     538,706  SH     DEFINED     04     538,706           0           0
CHATEAU CMNTYS INC             COM   161726104          19       1,000  SH     OTHER       04       1,000           0           0
CHATEAU CMNTYS INC             COM   161726104       1,358      72,061  SH     DEFINED  01,08      15,653      56,408           0

CHATTEM INC                    COM   162456107         782      50,794  SH     DEFINED     01      23,961      26,633         200
CHATTEM INC                    COM   162456107           3         200  SH     DEFINED     04         200           0           0
CHATTEM INC                    COM   162456107       1,252      81,366  SH     DEFINED  01,08       9,689      71,677           0

CHECKERS DRIVE-IN RESTAURANT   COM   162809305         190      33,485  SH     DEFINED     01      21,339      12,146           0
CHECKERS DRIVE-IN RESTAURANT   COM   162809305         144      25,296  SH     DEFINED  01,08       6,147      19,149           0

CHECKFREE CORP NEW             COM   162813109       6,750     300,264  SH     DEFINED     01     151,497     145,717       3,050
CHECKFREE CORP NEW             COM   162813109          34       1,520  SH     DEFINED     02       1,520           0           0
CHECKFREE CORP NEW             COM   162813109           4         200  SH     DEFINED     04           0           0         200
CHECKFREE CORP NEW             COM   162813109          70       3,127  SH     OTHER       04       2,127           0       1,000
CHECKFREE CORP NEW             COM   162813109       4,016     178,653  SH     DEFINED  01,08      22,867     155,786           0

CHECKPOINT SYS INC             COM   162825103       1,834     186,369  SH     DEFINED     01     116,916      66,753       2,700
CHECKPOINT SYS INC             COM   162825103           8         800  SH     DEFINED     05         800           0           0
CHECKPOINT SYS INC             COM   162825103           6         620  SH     OTHER    01,06           0           0         620
CHECKPOINT SYS INC             COM   162825103       1,519     154,413  SH     DEFINED  01,08      29,273     125,140           0

CHEESECAKE FACTORY INC         COM   163072101       5,339     165,443  SH     DEFINED     01      58,198     102,345       4,900
CHEESECAKE FACTORY INC         COM   163072101          39       1,210  SH     OTHER       01           0       1,210           0
CHEESECAKE FACTORY INC         COM   163072101          27         843  SH     DEFINED     04         843           0           0
CHEESECAKE FACTORY INC         COM   163072101          10         300  SH     OTHER       04         200           0         100
CHEESECAKE FACTORY INC         COM   163072101       3,407     105,579  SH     DEFINED  01,08      13,655      91,924           0
CHEESECAKE FACTORY INC         COM   163072101          50       1,562  SH     DEFINED     10       1,012           0         550

CHELSEA PPTY GROUP INC         COM   163421100       3,466      93,057  SH     DEFINED     01      56,460      35,197       1,400
CHELSEA PPTY GROUP INC         COM   163421100          75       2,000  SH     DEFINED     03           0       2,000           0
CHELSEA PPTY GROUP INC         COM   163421100          11         300  SH     OTHER       04         300           0           0
CHELSEA PPTY GROUP INC         COM   163421100       3,981     106,879  SH     DEFINED  01,08      21,372      85,507           0

CHEMED CORP                    COM   163596109       1,127      35,563  SH     DEFINED     01      19,758      15,105         700
CHEMED CORP                    COM   163596109           6         200  SH     OTHER    01,06           0           0         200
CHEMED CORP                    COM   163596109       1,533      48,367  SH     DEFINED  01,08       8,759      39,608           0

CHEMICAL FINL CORP             COM   163731102       2,399      90,434  SH     DEFINED     01      51,436      38,557         441
CHEMICAL FINL CORP             COM   163731102       1,689      63,649  SH     DEFINED  01,08      13,107      50,542           0
CHEMICAL FINL CORP             COM   163731102          89       3,366  SH     DEFINED     10           0       3,366           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    112
________

CHEROKEE INC DEL NEW           COM   16444H102         224      14,920  SH     DEFINED     01       7,645       7,175         100
CHEROKEE INC DEL NEW           COM   16444H102         256      17,048  SH     DEFINED  01,08       4,222      12,826           0

CHESAPEAKE CORP                COM   165159104       1,837     108,777  SH     DEFINED     01      78,016      29,761       1,000
CHESAPEAKE CORP                COM   165159104          11         675  SH     DEFINED     02         675           0           0
CHESAPEAKE CORP                COM   165159104           7         400  SH     OTHER    01,06           0           0         400
CHESAPEAKE CORP                COM   165159104       1,057      62,569  SH     DEFINED  01,08      13,430      49,139           0

CHESAPEAKE ENERGY CORP         COM   165167107       4,997     635,690  SH     DEFINED     01     399,845     228,745       7,100
CHESAPEAKE ENERGY CORP         COM   165167107          36       4,600  SH     DEFINED     04       4,600           0           0
CHESAPEAKE ENERGY CORP         COM   165167107       4,229     537,999  SH     DEFINED  01,08      91,481     446,518           0

CHESAPEAKE UTILS CORP          COM   165303108         237      12,600  SH     DEFINED     01       1,100      11,500           0
CHESAPEAKE UTILS CORP          COM   165303108         162       8,600  SH     DEFINED  01,08       2,474       6,126           0

CHEVRONTEXACO CORP             COM   166764100     410,592   6,350,990  SH     DEFINED     01   3,380,584   2,861,972     108,434
CHEVRONTEXACO CORP             COM   166764100      16,117     249,296  SH     OTHER       01     118,744     119,863      10,689
CHEVRONTEXACO CORP             COM   166764100       3,218      49,774  SH     DEFINED     02      36,020      12,987         767
CHEVRONTEXACO CORP             COM   166764100       3,797      58,726  SH     OTHER       02      27,479      24,636       6,611
CHEVRONTEXACO CORP             COM   166764100      10,372     160,433  SH     DEFINED     03      84,173      45,689      30,571
CHEVRONTEXACO CORP             COM   166764100       6,016      93,058  SH     OTHER       03      53,020      35,705       4,333
CHEVRONTEXACO CORP             COM   166764100      27,629     427,368  SH     DEFINED     04     413,696           0      13,672
CHEVRONTEXACO CORP             COM   166764100      18,469     285,672  SH     OTHER       04     256,094           0      29,578
CHEVRONTEXACO CORP             COM   166764100       1,746      27,009  SH     DEFINED     05      20,746       3,920       2,343
CHEVRONTEXACO CORP             COM   166764100         452       6,998  SH     OTHER       05         324       4,904       1,770
CHEVRONTEXACO CORP             COM   166764100         177       2,743  SH     OTHER    01,06           0           0       2,743
CHEVRONTEXACO CORP             COM   166764100     235,696   3,645,730  SH     DEFINED  01,08     833,259   2,781,375      31,096
CHEVRONTEXACO CORP             COM   166764100       3,604      55,742  SH     DEFINED     10      37,931      11,698       6,113
CHEVRONTEXACO CORP             COM   166764100       4,836      74,807  SH     OTHER       10      36,860      31,644       6,303

CHICAGO BRIDGE & IRON CO N V   COM   167250109       1,689     103,976  SH     DEFINED     01      97,176       6,800           0
CHICAGO BRIDGE & IRON CO N V   COM   167250109          23       1,400  SH     OTHER       04       1,400           0           0

CHICAGO MERCANTILE HLDGS INC   COM   167760107         323       6,700  SH     DEFINED     01       6,700           0           0
CHICAGO MERCANTILE HLDGS INC   COM   167760107          56       1,160  SH     OTHER       01           0       1,160           0
CHICAGO MERCANTILE HLDGS INC   COM   167760107       1,093      22,700  SH     DEFINED  01,08       4,500      18,200           0

CHICAGO PIZZA & BREWERY INC    COM   167889104         223      31,720  SH     DEFINED     01      20,513      11,207           0
CHICAGO PIZZA & BREWERY INC    COM   167889104          63       9,000  SH     OTHER       03       9,000           0           0
CHICAGO PIZZA & BREWERY INC    COM   167889104         882     125,666  SH     DEFINED  01,08       9,702     115,964           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    113
________

CHICOS FAS INC                 COM   168615102       5,239     261,933  SH     DEFINED     01      90,902     165,481       5,550
CHICOS FAS INC                 COM   168615102          10         500  SH     OTHER       01           0         500           0
CHICOS FAS INC                 COM   168615102         127       6,331  SH     DEFINED     04       5,731           0         600
CHICOS FAS INC                 COM   168615102         149       7,441  SH     OTHER       04       7,141           0         300
CHICOS FAS INC                 COM   168615102       3,684     184,199  SH     DEFINED  01,08      25,422     158,777           0
CHICOS FAS INC                 COM   168615102           4         200  SH     DEFINED     10         200           0           0
CHICOS FAS INC                 COM   168615102           4         200  SH     OTHER       10         200           0           0

CHILDRENS PL RETAIL STORES I   COM   168905107         490      53,153  SH     DEFINED     01      23,758      28,495         900
CHILDRENS PL RETAIL STORES I   COM   168905107           5         500  SH     OTHER    01,06           0           0         500
CHILDRENS PL RETAIL STORES I   COM   168905107         672      72,930  SH     DEFINED  01,08      21,694      51,236           0

CHIPPAC INC                    COM   169657103         688     191,064  SH     DEFINED     01      91,915      98,049       1,100
CHIPPAC INC                    COM   169657103         666     185,106  SH     DEFINED  01,08      45,100     140,006           0

CHOICE HOTELS INTL INC         COM   169905106       2,740     112,403  SH     DEFINED     01      52,434      58,869       1,100
CHOICE HOTELS INTL INC         COM   169905106       1,872      76,784  SH     DEFINED  01,08      18,476      58,308           0

CHIQUITA BRANDS INTL INC       COM   170032809       1,400     127,615  SH     DEFINED     01      64,232      61,633       1,750
CHIQUITA BRANDS INTL INC       COM   170032809           0           5  SH     OTHER       04           5           0           0
CHIQUITA BRANDS INTL INC       COM   170032809         994      90,646  SH     DEFINED  01,08      20,217      70,429           0

CHIRON CORP                    COM   170040109      35,709     952,228  SH     DEFINED     01     485,810     451,650      14,768
CHIRON CORP                    COM   170040109         108       2,893  SH     OTHER       01         300           0       2,593
CHIRON CORP                    COM   170040109         212       5,641  SH     DEFINED     02          41       5,600           0
CHIRON CORP                    COM   170040109          87       2,330  SH     DEFINED     03       1,480         400         450
CHIRON CORP                    COM   170040109          83       2,220  SH     DEFINED     04       2,220           0           0
CHIRON CORP                    COM   170040109          70       1,876  SH     OTHER       04          16           0       1,860
CHIRON CORP                    COM   170040109          17         450  SH     OTHER    01,06           0           0         450
CHIRON CORP                    COM   170040109      17,544     467,853  SH     DEFINED  01,08     125,502     342,351           0
CHIRON CORP                    COM   170040109          15         400  SH     DEFINED     10         400           0           0

CHITTENDEN CORP                COM   170228100       3,189     121,990  SH     DEFINED     01      68,363      50,071       3,556
CHITTENDEN CORP                COM   170228100       1,230      47,046  SH     DEFINED     04      47,046           0           0
CHITTENDEN CORP                COM   170228100          17         662  SH     OTHER    01,06           0           0         662
CHITTENDEN CORP                COM   170228100       2,916     111,551  SH     DEFINED  01,08      18,258      93,293           0

CHOICEPOINT INC                COM   170388102      10,369     305,880  SH     DEFINED     01     113,418     173,556      18,906
CHOICEPOINT INC                COM   170388102         517      15,252  SH     OTHER       01           0      15,252           0
CHOICEPOINT INC                COM   170388102          22         640  SH     DEFINED     03           0         640           0
CHOICEPOINT INC                COM   170388102         416      12,273  SH     DEFINED     04      12,273           0           0
CHOICEPOINT INC                COM   170388102          75       2,213  SH     OTHER       04       2,213           0           0
CHOICEPOINT INC                COM   170388102       7,324     216,053  SH     DEFINED  01,08      27,075     188,978           0
CHOICEPOINT INC                COM   170388102          52       1,533  SH     DEFINED     10         100         933         500


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    114
________

CHOLESTECH CORP                COM   170393102         348      42,705  SH     DEFINED     01      21,023      20,932         750
CHOLESTECH CORP                COM   170393102         239      29,345  SH     DEFINED  01,08       6,983      22,362           0

CHORDIANT SOFTWARE INC         COM   170404107         144     130,040  SH     DEFINED     01      61,268      66,972       1,800
CHORDIANT SOFTWARE INC         COM   170404107         125     112,374  SH     DEFINED  01,08      25,512      86,862           0

CHRISTOPHER & BANKS CORP       COM   171046105       1,447      81,724  SH     DEFINED     01      41,109      36,665       3,950
CHRISTOPHER & BANKS CORP       COM   171046105           9         525  SH     OTHER    01,06           0           0         525
CHRISTOPHER & BANKS CORP       COM   171046105       1,502      84,856  SH     DEFINED  01,08      14,128      70,728           0

CHROMAVISION MED SYS INC       COM   17111P104          18      16,900  SH     DEFINED     01       3,700      13,200           0
CHROMAVISION MED SYS INC       COM   17111P104          59      53,764  SH     DEFINED  01,08      11,864      41,900           0

CHROMCRAFT REVINGTON INC       COM   171117104         415      32,300  SH     DEFINED     01      24,800       7,500           0
CHROMCRAFT REVINGTON INC       COM   171117104         192      14,948  SH     DEFINED  01,08       2,485      12,463           0

CHRONIMED INC                  COM   171164106         113      12,500  SH     DEFINED     01       2,500      10,000           0
CHRONIMED INC                  COM   171164106         203      22,523  SH     DEFINED  01,08       5,487      17,036           0

CHUBB CORP                     COM   171232101      43,353     978,186  SH     DEFINED     01     499,856     462,692      15,638
CHUBB CORP                     COM   171232101       1,332      30,063  SH     OTHER       01      14,463       9,500       6,100
CHUBB CORP                     COM   171232101           1          31  SH     DEFINED     02          11           0          20
CHUBB CORP                     COM   171232101           4         100  SH     OTHER       02         100           0           0
CHUBB CORP                     COM   171232101          88       1,990  SH     DEFINED     03          40         800       1,150
CHUBB CORP                     COM   171232101         103       2,325  SH     OTHER       03       2,325           0           0
CHUBB CORP                     COM   171232101         491      11,079  SH     DEFINED     04       7,779           0       3,300
CHUBB CORP                     COM   171232101         299       6,750  SH     OTHER       04       4,500           0       2,250
CHUBB CORP                     COM   171232101          18         400  SH     OTHER    01,06           0           0         400
CHUBB CORP                     COM   171232101      21,496     485,029  SH     DEFINED  01,08     127,334     357,695           0
CHUBB CORP                     COM   171232101          77       1,729  SH     DEFINED     10         829         600         300
CHUBB CORP                     COM   171232101           7         150  SH     OTHER       10         150           0           0

CHUBB CORP                     CONPF 171232309         888      41,500         DEFINED     01      40,000       1,500           0
CHUBB CORP                     CONPF 171232309           9         400         OTHER       01         400           0           0

CHURCH & DWIGHT INC            COM   171340102       3,988     131,358  SH     DEFINED     01      46,827      82,131       2,400
CHURCH & DWIGHT INC            COM   171340102       9,067     298,663  SH     DEFINED     02     298,000           0         663
CHURCH & DWIGHT INC            COM   171340102          58       1,900  SH     DEFINED     04       1,900           0           0
CHURCH & DWIGHT INC            COM   171340102          50       1,633  SH     OTHER       04       1,633           0           0
CHURCH & DWIGHT INC            COM   171340102       3,328     109,626  SH     DEFINED  01,08      12,008      97,618           0

CHURCHILL DOWNS INC            COM   171484108         836      24,593  SH     DEFINED     01      12,437      11,806         350
CHURCHILL DOWNS INC            COM   171484108         974      28,660  SH     DEFINED  01,08       6,446      22,214           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    115
________

CIBER INC                      COM   17163B102       1,244     261,354  SH     DEFINED     01     171,571      85,733       4,050
CIBER INC                      COM   17163B102           6       1,300  SH     OTHER    01,06           0           0       1,300
CIBER INC                      COM   17163B102       1,176     247,004  SH     DEFINED  01,08      55,566     191,438           0

CIENA CORP                     COM   171779101      11,221   2,567,814  SH     DEFINED     01   1,377,728   1,124,563      65,523
CIENA CORP                     COM   171779101         723     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           3         750  SH     DEFINED     03           0         600         150
CIENA CORP                     COM   171779101          12       2,834  SH     DEFINED     04       2,834           0           0
CIENA CORP                     COM   171779101           2         500  SH     OTHER       04         500           0           0
CIENA CORP                     COM   171779101         106      24,325  SH     DEFINED     05      20,425       3,900           0
CIENA CORP                     COM   171779101         101      23,200  SH     OTHER       05      18,100       5,100           0
CIENA CORP                     COM   171779101           5       1,100  SH     OTHER    01,06           0           0       1,100
CIENA CORP                     COM   171779101       6,254   1,431,226  SH     DEFINED  01,08     329,835   1,101,391           0
CIENA CORP                     COM   171779101           2         400  SH     DEFINED     10         400           0           0

CIMA LABS INC                  COM   171796105       1,166      53,739  SH     DEFINED     01      29,776      20,433       3,530
CIMA LABS INC                  COM   171796105           7         300  SH     OTHER    01,06           0           0         300
CIMA LABS INC                  COM   171796105       1,441      66,392  SH     DEFINED  01,08      12,590      53,802           0

CIMAREX ENERGY CO              COM   171798101       2,162     111,170  SH     DEFINED     01      72,577      36,373       2,220
CIMAREX ENERGY CO              COM   171798101         207      10,629  SH     OTHER       01           0      10,629           0
CIMAREX ENERGY CO              COM   171798101           5         265  SH     DEFINED     02         265           0           0
CIMAREX ENERGY CO              COM   171798101          14         726  SH     DEFINED     03         726           0           0
CIMAREX ENERGY CO              COM   171798101          16         800  SH     OTHER    01,06           0           0         800
CIMAREX ENERGY CO              COM   171798101       2,048     105,312  SH     DEFINED  01,08      37,079      68,233           0
CIMAREX ENERGY CO              COM   171798101           0           4  SH     DEFINED     10           4           0           0

CINCINNATI FINL CORP           COM   172062101      32,035     913,457  SH     DEFINED     01     491,125     413,731       8,601
CINCINNATI FINL CORP           COM   172062101       1,097      31,278  SH     OTHER       01           0      21,278      10,000
CINCINNATI FINL CORP           COM   172062101          19         540  SH     OTHER       02         540           0           0
CINCINNATI FINL CORP           COM   172062101         106       3,015  SH     DEFINED     04       3,015           0           0
CINCINNATI FINL CORP           COM   172062101         365      10,416  SH     OTHER       04      10,416           0           0
CINCINNATI FINL CORP           COM   172062101          14         400  SH     OTHER    01,06           0           0         400
CINCINNATI FINL CORP           COM   172062101      16,456     469,239  SH     DEFINED  01,08     120,556     348,683           0
CINCINNATI FINL CORP           COM   172062101         637      18,155  SH     DEFINED     10       6,990      11,165           0
CINCINNATI FINL CORP           COM   172062101         232       6,606  SH     OTHER       10       6,606           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    116
________

CINERGY CORP                   COM   172474108      32,051     952,478  SH     DEFINED     01     495,514     442,663      14,301
CINERGY CORP                   COM   172474108         559      16,625  SH     OTHER       01       1,050      11,675       3,900
CINERGY CORP                   COM   172474108          34       1,000  SH     DEFINED     02           0           0       1,000
CINERGY CORP                   COM   172474108          10         294  SH     OTHER       02         294           0           0
CINERGY CORP                   COM   172474108           5         150  SH     DEFINED     03         150           0           0
CINERGY CORP                   COM   172474108           5         150  SH     OTHER       03         150           0           0
CINERGY CORP                   COM   172474108         400      11,900  SH     DEFINED     04      11,900           0           0
CINERGY CORP                   COM   172474108          91       2,718  SH     OTHER       04       2,718           0           0
CINERGY CORP                   COM   172474108          13         400  SH     OTHER    01,06           0           0         400
CINERGY CORP                   COM   172474108      15,695     466,414  SH     DEFINED  01,08     127,589     338,825           0
CINERGY CORP                   COM   172474108          39       1,161  SH     DEFINED     10       1,161           0           0
CINERGY CORP                   COM   172474108          13         375  SH     OTHER       10         375           0           0

CIPHERGEN BIOSYSTEMS INC       COM   17252Y104         326      57,757  SH     DEFINED     01      25,632      31,675         450
CIPHERGEN BIOSYSTEMS INC       COM   17252Y104         330      58,443  SH     DEFINED  01,08      14,400      44,043           0

CIPRICO INC                    COM   172529109          30       7,100  SH     DEFINED     01         700       6,400           0
CIPRICO INC                    COM   172529109          54      12,923  SH     DEFINED  01,08       2,206      10,717           0

CIRCOR INTL INC                COM   17273K109       1,072      78,912  SH     DEFINED     01      59,118      19,294         500
CIRCOR INTL INC                COM   17273K109         411      30,279  SH     DEFINED  01,08       7,903      22,376           0
CIRCOR INTL INC                COM   17273K109           5         400  SH     DEFINED     10         400           0           0

CIRCUIT CITY STORE INC         COM   172737108       6,507   1,251,361  SH     DEFINED     01     689,219     547,292      14,850
CIRCUIT CITY STORE INC         COM   172737108           1         200  SH     OTHER       01           0           0         200
CIRCUIT CITY STORE INC         COM   172737108           2         388  SH     DEFINED     02         388           0           0
CIRCUIT CITY STORE INC         COM   172737108           1         100  SH     DEFINED     03           0           0         100
CIRCUIT CITY STORE INC         COM   172737108           4         800  SH     DEFINED     04         800           0           0
CIRCUIT CITY STORE INC         COM   172737108          53      10,260  SH     OTHER       04      10,260           0           0
CIRCUIT CITY STORE INC         COM   172737108       3,009     578,739  SH     DEFINED  01,08     155,966     422,773           0
CIRCUIT CITY STORE INC         COM   172737108          21       4,033  SH     DEFINED     10       4,033           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    117
________

CISCO SYS INC                  COM   17275R102     642,572  49,504,805  SH     DEFINED     01  28,204,408  20,171,762   1,128,635
CISCO SYS INC                  COM   17275R102      28,989   2,233,351  SH     OTHER       01     745,056   1,224,661     263,634
CISCO SYS INC                  COM   17275R102      12,375     953,399  SH     DEFINED     02     623,345     288,659      41,395
CISCO SYS INC                  COM   17275R102       4,043     311,456  SH     OTHER       02     209,953      87,951      13,552
CISCO SYS INC                  COM   17275R102      17,939   1,382,086  SH     DEFINED     03     723,515     532,922     125,649
CISCO SYS INC                  COM   17275R102       4,641     357,524  SH     OTHER       03     234,682     100,977      21,865
CISCO SYS INC                  COM   17275R102      84,905   6,541,223  SH     DEFINED     04   6,319,819           0     221,404
CISCO SYS INC                  COM   17275R102      45,312   3,490,902  SH     OTHER       04   3,258,328           0     232,574
CISCO SYS INC                  COM   17275R102       8,702     670,400  SH     DEFINED     05     551,546      83,219      35,635
CISCO SYS INC                  COM   17275R102       1,511     116,445  SH     OTHER       05      50,717      41,278      24,450
CISCO SYS INC                  COM   17275R102         242      18,650  SH     OTHER    01,06           0           0      18,650
CISCO SYS INC                  COM   17275R102     284,438  21,913,588  SH     DEFINED  01,08   5,035,214  16,878,374           0
CISCO SYS INC                  COM   17275R102      13,538   1,043,022  SH     DEFINED     10     645,259     295,873     101,890
CISCO SYS INC                  COM   17275R102       3,965     305,504  SH     OTHER       10     128,298     170,793       6,413

CIRRUS LOGIC INC               COM   172755100         399     198,533  SH     DEFINED     01     153,398      40,085       5,050
CIRRUS LOGIC INC               COM   172755100         344     171,121  SH     DEFINED  01,08      14,328     156,793           0

CINTAS CORP                    COM   172908105      35,409   1,076,262  SH     DEFINED     01     559,070     501,962      15,230
CINTAS CORP                    COM   172908105       1,740      52,899  SH     OTHER       01      18,914      20,435      13,550
CINTAS CORP                    COM   172908105         762      23,172  SH     DEFINED     03       8,650       7,997       6,525
CINTAS CORP                    COM   172908105         418      12,700  SH     OTHER       03       7,850       2,750       2,100
CINTAS CORP                    COM   172908105       3,099      94,180  SH     DEFINED     04      93,580           0         600
CINTAS CORP                    COM   172908105         948      28,827  SH     OTHER       04      28,477           0         350
CINTAS CORP                    COM   172908105          13         400  SH     OTHER    01,06           0           0         400
CINTAS CORP                    COM   172908105      15,291     464,785  SH     DEFINED  01,08     116,673     348,112           0
CINTAS CORP                    COM   172908105         184       5,600  SH     DEFINED     10       4,600           0       1,000

CITIGROUP INC                  COM   172967101   1,125,648  32,674,846  SH     DEFINED     01  17,906,690  14,090,910     677,246
CITIGROUP INC                  COM   172967101      28,705     833,228  SH     OTHER       01     407,737     347,141      78,350
CITIGROUP INC                  COM   172967101      12,755     370,244  SH     DEFINED     02     240,709     113,193      16,342
CITIGROUP INC                  COM   172967101       4,079     118,394  SH     OTHER       02      63,155      37,689      17,550
CITIGROUP INC                  COM   172967101      27,752     805,562  SH     DEFINED     03     427,644     300,032      77,886
CITIGROUP INC                  COM   172967101       5,981     173,618  SH     OTHER       03     106,853      39,444      27,321
CITIGROUP INC                  COM   172967101      72,945   2,117,419  SH     DEFINED     04   2,033,627           0      83,792
CITIGROUP INC                  COM   172967101      28,030     813,640  SH     OTHER       04     779,074           0      34,566
CITIGROUP INC                  COM   172967101      11,210     325,403  SH     DEFINED     05     264,421      41,870      19,112
CITIGROUP INC                  COM   172967101       2,127      61,746  SH     OTHER       05      30,096      23,259       8,391
CITIGROUP INC                  COM   172967101         456      13,249  SH     OTHER    01,06           0           0      13,249
CITIGROUP INC                  COM   172967101           0           1  SH     OTHER    04,07           0           0           1
CITIGROUP INC                  COM   172967101     570,651  16,564,605  SH     DEFINED  01,08   4,013,256  12,491,861      59,488
CITIGROUP INC                  COM   172967101      18,224     528,999  SH     DEFINED     10     398,297      99,597      31,105
CITIGROUP INC                  COM   172967101       6,226     180,712  SH     OTHER       10      81,290      93,622       5,800


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    118
________

CITIGROUP INC                  WT    172967127       1,123   1,181,600         OTHER       01   1,181,600           0           0
CITIGROUP INC                  WT    172967127           0         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       2,975     125,961  SH     DEFINED     01      57,212      68,349         400
CITIZENS BKG CORP MICH         COM   174420109          24       1,000  SH     DEFINED     04       1,000           0           0
CITIZENS BKG CORP MICH         COM   174420109         286      12,100  SH     OTHER       04      12,100           0           0
CITIZENS BKG CORP MICH         COM   174420109       1,604      67,912  SH     DEFINED  01,08      11,679      56,233           0
CITIZENS BKG CORP MICH         COM   174420109           4         160  SH     DEFINED     10         160           0           0

CITIZENS COMMUNICATIONS CO     COM   17453B101      15,914   1,594,595  SH     DEFINED     01     832,770     737,775      24,050
CITIZENS COMMUNICATIONS CO     COM   17453B101         252      25,250  SH     OTHER       01      25,000           0         250
CITIZENS COMMUNICATIONS CO     COM   17453B101         165      16,504  SH     DEFINED     02      16,504           0           0
CITIZENS COMMUNICATIONS CO     COM   17453B101          33       3,300  SH     OTHER       02       3,300           0           0
CITIZENS COMMUNICATIONS CO     COM   17453B101           1         100  SH     DEFINED     03           0           0         100
CITIZENS COMMUNICATIONS CO     COM   17453B101           3         333  SH     OTHER       03           0         333           0
CITIZENS COMMUNICATIONS CO     COM   17453B101         473      47,435  SH     DEFINED     04      46,435           0       1,000
CITIZENS COMMUNICATIONS CO     COM   17453B101          17       1,720  SH     OTHER       04       1,720           0           0
CITIZENS COMMUNICATIONS CO     COM   17453B101           7         700  SH     OTHER    01,06           0           0         700
CITIZENS COMMUNICATIONS CO     COM   17453B101       8,415     843,218  SH     DEFINED  01,08     211,964     631,254           0
CITIZENS COMMUNICATIONS CO     COM   17453B101         309      30,965  SH     DEFINED     10      30,465         500           0
CITIZENS COMMUNICATIONS CO     COM   17453B101          60       5,972  SH     OTHER       10           0       5,972           0

CITIZENS FIRST BANCORP INC D   COM   17461R106         481      24,813  SH     DEFINED     01      18,413       6,400           0
CITIZENS FIRST BANCORP INC D   COM   17461R106         222      11,425  SH     DEFINED  01,08       4,800       6,625           0
CITIZENS FIRST BANCORP INC D   COM   17461R106           8         425  SH     DEFINED     10         425           0           0

CITIZENS INC                   COM   174740100         377      62,370  SH     DEFINED     01      42,029      19,841         500
CITIZENS INC                   COM   174740100         364      60,230  SH     DEFINED  01,08      15,970      44,260           0

CITIZENS SOUTH BKG CP DEL      COM   176682102         130      10,917  SH     DEFINED     01       1,284       9,633           0
CITIZENS SOUTH BKG CP DEL      COM   176682102         178      14,975  SH     DEFINED  01,08       3,382      11,593           0

CITRIX SYS INC                 COM   177376100      12,927     982,275  SH     DEFINED     01     528,295     438,755      15,225
CITRIX SYS INC                 COM   177376100       1,326     100,724  SH     OTHER       01           0           0     100,724
CITRIX SYS INC                 COM   177376100          20       1,500  SH     OTHER       02       1,500           0           0
CITRIX SYS INC                 COM   177376100           1          50  SH     DEFINED     03           0           0          50
CITRIX SYS INC                 COM   177376100          39       3,000  SH     DEFINED     04       3,000           0           0
CITRIX SYS INC                 COM   177376100          37       2,800  SH     OTHER       04       2,800           0           0
CITRIX SYS INC                 COM   177376100           5         400  SH     OTHER    01,06           0           0         400
CITRIX SYS INC                 COM   177376100       7,146     543,005  SH     DEFINED  01,08     117,679     425,326           0
CITRIX SYS INC                 COM   177376100           0          30  SH     DEFINED     10          30           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    119
________

CITY BK LYNNWOOD WASH          COM   17770A109         480      21,312  SH     DEFINED     01      14,796       6,116         400
CITY BK LYNNWOOD WASH          COM   17770A109         489      21,732  SH     DEFINED  01,08       5,223      16,509           0
CITY BK LYNNWOOD WASH          COM   17770A109       1,227      54,534  SH     DEFINED     10      54,534           0           0

CITY HLDG CO                   COM   177835105       1,711      62,510  SH     DEFINED     01      32,611      29,199         700
CITY HLDG CO                   COM   177835105       1,248      45,582  SH     DEFINED  01,08       9,444      36,138           0

CITY NATL CORP                 COM   178566105       6,587     149,916  SH     DEFINED     01      55,316      92,152       2,448
CITY NATL CORP                 COM   178566105          44       1,000  SH     OTHER       01           0       1,000           0
CITY NATL CORP                 COM   178566105           9         200  SH     DEFINED     02         200           0           0
CITY NATL CORP                 COM   178566105          77       1,748  SH     DEFINED     03       1,650           0          98
CITY NATL CORP                 COM   178566105       5,664     128,903  SH     DEFINED  01,08      14,314     114,589           0

CLAIRES STORES INC             COM   179584107       5,039     213,418  SH     DEFINED     01     109,889     100,754       2,775
CLAIRES STORES INC             COM   179584107           3         130  SH     DEFINED     02           0           0         130
CLAIRES STORES INC             COM   179584107      14,460     612,447  SH     DEFINED     04     612,447           0           0
CLAIRES STORES INC             COM   179584107       2,703     114,493  SH     DEFINED  01,08      14,839      99,654           0

CLARCOR INC                    COM   179895107       4,427     122,284  SH     DEFINED     01      77,066      43,318       1,900
CLARCOR INC                    COM   179895107         561      15,500  SH     OTHER       01           0      15,500           0
CLARCOR INC                    COM   179895107          18         500  SH     OTHER    01,06           0           0         500
CLARCOR INC                    COM   179895107       3,502      96,746  SH     DEFINED  01,08      13,687      83,059           0

CLARK / BARDES INC             COM   180668105         517      43,214  SH     DEFINED     01      26,117      17,097           0
CLARK / BARDES INC             COM   180668105           5         400  SH     DEFINED     04         400           0           0
CLARK / BARDES INC             COM   180668105         463      38,676  SH     DEFINED  01,08       9,077      29,599           0

CLARUS CORP                    COM   182707109          73      14,600  SH     DEFINED     01       2,900      11,700           0
CLARUS CORP                    COM   182707109         501     100,000  SH     OTHER       04      50,000           0      50,000
CLARUS CORP                    COM   182707109         134      26,742  SH     DEFINED  01,08       6,742      20,000           0

CLAYTON HOMES INC              COM   184190106       4,370     395,815  SH     DEFINED     01     143,285     251,280       1,250
CLAYTON HOMES INC              COM   184190106          58       5,240  SH     DEFINED     03       5,040         200           0
CLAYTON HOMES INC              COM   184190106          12       1,093  SH     OTHER       03           0       1,093           0
CLAYTON HOMES INC              COM   184190106         230      20,863  SH     DEFINED     04       2,220           0      18,643
CLAYTON HOMES INC              COM   184190106         194      17,549  SH     OTHER       04      17,549           0           0
CLAYTON HOMES INC              COM   184190106       3,275     296,683  SH     DEFINED  01,08      37,347     259,336           0

CLEAN HARBORS INC              COM   184496107         166      13,800  SH     DEFINED     01       1,500      12,300           0
CLEAN HARBORS INC              COM   184496107         334      27,810  SH     DEFINED  01,08       5,200      22,610           0

CLEAR CHANNEL COMMUNICATIONS   CONDB 184502AB8       2,012   2,020,000  PRN    DEFINED     01   2,020,000           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    120
________

CLEAR CHANNEL COMMUNICATIONS   COM   184502102     116,560   3,436,312  SH     DEFINED     01   1,767,532   1,613,782      54,998
CLEAR CHANNEL COMMUNICATIONS   COM   184502102       1,046      30,851  SH     OTHER       01      20,386       3,770       6,695
CLEAR CHANNEL COMMUNICATIONS   COM   184502102       1,216      35,862  SH     DEFINED     02      34,789       1,073           0
CLEAR CHANNEL COMMUNICATIONS   COM   184502102          23         675  SH     OTHER       02         475         200           0
CLEAR CHANNEL COMMUNICATIONS   COM   184502102         434      12,781  SH     DEFINED     03       3,915       6,616       2,250
CLEAR CHANNEL COMMUNICATIONS   COM   184502102           6         180  SH     OTHER       03         180           0           0
CLEAR CHANNEL COMMUNICATIONS   COM   184502102       1,609      47,449  SH     DEFINED     04      46,799           0         650
CLEAR CHANNEL COMMUNICATIONS   COM   184502102       1,836      54,116  SH     OTHER       04      54,116           0           0
CLEAR CHANNEL COMMUNICATIONS   COM   184502102       1,484      43,761  SH     DEFINED     05      37,611       5,500         650
CLEAR CHANNEL COMMUNICATIONS   COM   184502102         141       4,150  SH     OTHER       05       2,750       1,400           0
CLEAR CHANNEL COMMUNICATIONS   COM   184502102          54       1,600  SH     OTHER    01,06           0           0       1,600
CLEAR CHANNEL COMMUNICATIONS   COM   184502102      58,821   1,734,097  SH     DEFINED  01,08     469,211   1,264,886           0
CLEAR CHANNEL COMMUNICATIONS   COM   184502102         444      13,099  SH     DEFINED     10      13,099           0           0
CLEAR CHANNEL COMMUNICATIONS   COM   184502102         304       8,975  SH     OTHER       10       8,975           0           0

CLEVELAND CLIFFS INC           COM   185896107         651      34,897  SH     DEFINED     01      19,464      14,883         550
CLEVELAND CLIFFS INC           COM   185896107           4         200  SH     OTHER    01,06           0           0         200
CLEVELAND CLIFFS INC           COM   185896107         882      47,315  SH     DEFINED  01,08       8,957      38,358           0
CLEVELAND CLIFFS INC           COM   185896107           3         135  SH     DEFINED     10         135           0           0

CLICK COMMERCE INC             COM   18681D208          15       6,160  SH     DEFINED     01       1,540       4,520         100
CLICK COMMERCE INC             COM   18681D208          29      12,060  SH     DEFINED     03           0      12,060           0
CLICK COMMERCE INC             COM   18681D208          30      12,520  SH     DEFINED  01,08       2,280      10,240           0

CLICK2LEARN INC                COM   18681S106          24      19,800  SH     DEFINED     01       3,400      16,400           0
CLICK2LEARN INC                COM   18681S106          44      36,353  SH     DEFINED  01,08       4,953      31,400           0

CLOROX CO DEL                  COM   189054109      57,345   1,242,038  SH     DEFINED     01     647,204     576,727      18,107
CLOROX CO DEL                  COM   189054109       1,250      27,076  SH     OTHER       01      21,540       5,336         200
CLOROX CO DEL                  COM   189054109         324       7,025  SH     DEFINED     02       5,525       1,000         500
CLOROX CO DEL                  COM   189054109         182       3,950  SH     OTHER       02           0       3,950           0
CLOROX CO DEL                  COM   189054109         223       4,825  SH     DEFINED     03       3,250         375       1,200
CLOROX CO DEL                  COM   189054109          96       2,084  SH     OTHER       03       2,084           0           0
CLOROX CO DEL                  COM   189054109       1,258      27,254  SH     DEFINED     04      26,054           0       1,200
CLOROX CO DEL                  COM   189054109         905      19,600  SH     OTHER       04      19,600           0           0
CLOROX CO DEL                  COM   189054109          88       1,900  SH     DEFINED     05       1,900           0           0
CLOROX CO DEL                  COM   189054109         249       5,400  SH     OTHER       05           0         200       5,200
CLOROX CO DEL                  COM   189054109          28         600  SH     OTHER    01,06           0           0         600
CLOROX CO DEL                  COM   189054109      35,198     762,346  SH     DEFINED  01,08     153,259     609,087           0
CLOROX CO DEL                  COM   189054109          96       2,089  SH     DEFINED     10         389       1,700           0
CLOROX CO DEL                  COM   189054109          55       1,200  SH     OTHER       10         400         500         300

CLOSURE MED CORP               COM   189093107         351      27,090  SH     DEFINED     01      11,180      15,510         400
CLOSURE MED CORP               COM   189093107           3         200  SH     DEFINED     04         200           0           0
CLOSURE MED CORP               COM   189093107         365      28,174  SH     DEFINED  01,08       6,564      21,610           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    121
________

COACH INC                      COM   189754104      24,422     637,144  SH     DEFINED     01     431,986     190,762      14,396
COACH INC                      COM   189754104          67       1,748  SH     OTHER       01         794         954           0
COACH INC                      COM   189754104         244       6,360  SH     DEFINED     03       6,360           0           0
COACH INC                      COM   189754104          49       1,290  SH     DEFINED     04       1,290           0           0
COACH INC                      COM   189754104          14         375  SH     OTHER       04         375           0           0
COACH INC                      COM   189754104       8,739     228,001  SH     DEFINED  01,08      41,125     186,876           0
COACH INC                      COM   189754104           8         200  SH     DEFINED     10         200           0           0

COACHMEN INDS INC              COM   189873102         826      75,046  SH     DEFINED     01      46,171      27,665       1,210
COACHMEN INDS INC              COM   189873102           3         300  SH     OTHER    01,06           0           0         300
COACHMEN INDS INC              COM   189873102         716      65,135  SH     DEFINED  01,08      13,930      51,205           0

COAST FEDERAL LITIGATION TR    COM   19034Q110           0         100  SH     OTHER       04           0           0         100
COAST FEDERAL LITIGATION TR    COM   19034Q110           2      46,664  SH     DEFINED  01,08           0      46,664           0

COAST DISTR SYS                COM   190345108          10       5,300  SH     DEFINED     01           0       5,300           0
COAST DISTR SYS                COM   190345108          28      15,700  SH     DEFINED  01,08       2,264      13,436           0

COASTAL BANCORP INC            COM   19041P105         647      21,425  SH     DEFINED     01      10,680      10,645         100
COASTAL BANCORP INC            COM   19041P105         362      11,982  SH     DEFINED  01,08       2,867       9,115           0

COASTAL FINL CORP DEL          COM   19046E105         213      18,035  SH     DEFINED     01      13,532       4,303         200
COASTAL FINL CORP DEL          COM   19046E105         219      18,541  SH     DEFINED  01,08       5,703      12,838           0

COBALT CORP                    COM   19074W100         919      63,581  SH     DEFINED     01      23,897      39,564         120
COBALT CORP                    COM   19074W100         967      66,896  SH     DEFINED  01,08      18,919      47,977           0

COBIZ INC                      COM   190897108         382      27,509  SH     DEFINED     01      13,281      14,028         200
COBIZ INC                      COM   190897108         261      18,787  SH     OTHER       02      18,787           0           0
COBIZ INC                      COM   190897108         385      27,710  SH     DEFINED  01,08       6,770      20,940           0

COBRA ELECTRS CORP             COM   191042100          48       7,900  SH     DEFINED     01         800       7,100           0
COBRA ELECTRS CORP             COM   191042100         119      19,708  SH     DEFINED  01,08       2,810      16,898           0

COCA COLA BOTTLING CO CONS     COM   191098102         583      11,675  SH     DEFINED     01       3,306       8,069         300
COCA COLA BOTTLING CO CONS     COM   191098102          10         200  SH     OTHER    01,06           0           0         200
COCA COLA BOTTLING CO CONS     COM   191098102       1,682      33,717  SH     DEFINED  01,08       3,757      29,960           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    122
________

COCA COLA CO                   COM   191216100     613,335  15,151,563  SH     DEFINED     01   8,252,752   6,565,708     333,103
COCA COLA CO                   COM   191216100      49,731   1,228,529  SH     OTHER       01     417,837     716,016      94,676
COCA COLA CO                   COM   191216100       7,755     191,565  SH     DEFINED     02     146,599      39,147       5,819
COCA COLA CO                   COM   191216100       4,143     102,346  SH     OTHER       02      47,646      41,410      13,290
COCA COLA CO                   COM   191216100      24,335     601,156  SH     DEFINED     03     485,528      88,041      27,587
COCA COLA CO                   COM   191216100      81,647   2,016,976  SH     OTHER       03      88,616   1,919,512       8,848
COCA COLA CO                   COM   191216100      81,856   2,022,132  SH     DEFINED     04   1,943,112           0      79,020
COCA COLA CO                   COM   191216100      61,432   1,517,581  SH     OTHER       04   1,227,230           0     290,351
COCA COLA CO                   COM   191216100       7,764     191,807  SH     DEFINED     05     155,470      28,150       8,187
COCA COLA CO                   COM   191216100       2,070      51,133  SH     OTHER       05      19,094      20,575      11,464
COCA COLA CO                   COM   191216100         259       6,400  SH     OTHER    01,06           0           0       6,400
COCA COLA CO                   COM   191216100         128       3,170  SH     OTHER    04,07           0           0       3,170
COCA COLA CO                   COM   191216100     299,181   7,390,847  SH     DEFINED  01,08   1,622,957   5,720,340      47,550
COCA COLA CO                   COM   191216100      12,568     310,465  SH     DEFINED     10     148,992     137,678      23,795
COCA COLA CO                   COM   191216100       6,903     170,524  SH     OTHER       10     122,529      45,200       2,795

COCA COLA ENTERPRISES INC      COM   191219104      43,039   2,302,777  SH     DEFINED     01   1,161,340   1,108,891      32,546
COCA COLA ENTERPRISES INC      COM   191219104           6         325  SH     OTHER       01           0           0         325
COCA COLA ENTERPRISES INC      COM   191219104           4         200  SH     DEFINED     03           0           0         200
COCA COLA ENTERPRISES INC      COM   191219104          56       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          75       4,000  SH     DEFINED     05       4,000           0           0
COCA COLA ENTERPRISES INC      COM   191219104         187      10,000  SH     OTHER       05           0           0      10,000
COCA COLA ENTERPRISES INC      COM   191219104          22       1,200  SH     OTHER    01,06           0           0       1,200
COCA COLA ENTERPRISES INC      COM   191219104      19,968   1,068,353  SH     DEFINED  01,08     306,843     761,510           0
COCA COLA ENTERPRISES INC      COM   191219104           1          69  SH     DEFINED     10          69           0           0

COEUR D ALENE MINES CORP IDA   COM   192108108          76      54,000  SH     DEFINED     01       5,700      48,300           0
COEUR D ALENE MINES CORP IDA   COM   192108108           0          16  SH     DEFINED     02          16           0           0
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         103      72,810  SH     DEFINED  01,08      34,668      38,142           0

COGNEX CORP                    COM   192422103       3,500     165,232  SH     DEFINED     01     127,413      35,269       2,550
COGNEX CORP                    COM   192422103           4         200  SH     DEFINED     02           0         200           0
COGNEX CORP                    COM   192422103          21       1,000  SH     DEFINED     04           0           0       1,000
COGNEX CORP                    COM   192422103          17         800  SH     OTHER    01,06           0           0         800
COGNEX CORP                    COM   192422103       3,076     145,219  SH     DEFINED  01,08      22,858     122,361           0

COGNITRONICS CORP              COM   192432102          18      10,000  SH     DEFINED     01       1,150       8,850           0
COGNITRONICS CORP              COM   192432102          17       9,592  SH     DEFINED  01,08       2,341       7,251           0

COGNOS INC                     COM   19244C109       2,302     101,300  SH     DEFINED     01      94,300       2,800       4,200
COGNOS INC                     COM   19244C109          20         900  SH     OTHER       01         900           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    123
________

COGNIZANT TECHNOLOGY SOLUTIO   COM   192446102       8,485     126,054  SH     DEFINED     01      94,093      29,411       2,550
COGNIZANT TECHNOLOGY SOLUTIO   COM   192446102          77       1,145  SH     OTHER       01         249         480         416
COGNIZANT TECHNOLOGY SOLUTIO   COM   192446102           8         117  SH     OTHER       03         117           0           0
COGNIZANT TECHNOLOGY SOLUTIO   COM   192446102          14         203  SH     OTHER       04          65           0         138
COGNIZANT TECHNOLOGY SOLUTIO   COM   192446102       3,759      55,844  SH     DEFINED  01,08      10,512      45,332           0
COGNIZANT TECHNOLOGY SOLUTIO   COM   192446102          34         500  SH     DEFINED     10         500           0           0

COHERENT INC                   COM   192479103       2,922     155,815  SH     DEFINED     01     114,587      39,478       1,750
COHERENT INC                   COM   192479103           2         100  SH     OTHER       02           0         100           0
COHERENT INC                   COM   192479103          19       1,000  SH     DEFINED     03           0       1,000           0
COHERENT INC                   COM   192479103          10         550  SH     OTHER    01,06           0           0         550
COHERENT INC                   COM   192479103       2,436     129,914  SH     DEFINED  01,08      26,093     103,821           0

COHU INC                       COM   192576106       1,102      75,292  SH     DEFINED     01      36,572      36,870       1,850
COHU INC                       COM   192576106           6         400  SH     OTHER    01,06           0           0         400
COHU INC                       COM   192576106       1,331      91,004  SH     DEFINED  01,08      18,605      72,399           0

COINSTAR INC                   COM   19259P300       1,444      85,998  SH     DEFINED     01      37,846      46,102       2,050
COINSTAR INC                   COM   19259P300          34       2,000  SH     OTHER       01           0           0       2,000
COINSTAR INC                   COM   19259P300           7         400  SH     OTHER    01,06           0           0         400
COINSTAR INC                   COM   19259P300       1,594      94,967  SH     DEFINED  01,08      12,400      82,567           0

COLDWATER CREEK INC            COM   193068103         340      35,889  SH     DEFINED     01      13,789      21,950         150
COLDWATER CREEK INC            COM   193068103         368      38,895  SH     DEFINED  01,08      10,442      28,453           0
COLDWATER CREEK INC            COM   193068103           1         150  SH     DEFINED     10         150           0           0

COLE NATIONAL CORP NEW         COM   193290103         403      44,828  SH     DEFINED     01      21,333      23,195         300
COLE NATIONAL CORP NEW         COM   193290103          18       2,000  SH     OTHER       01           0       2,000           0
COLE NATIONAL CORP NEW         COM   193290103         282      31,338  SH     DEFINED  01,08       8,262      23,076           0

COLE KENNETH PRODTNS INC       COM   193294105         803      36,677  SH     DEFINED     01      17,889      18,388         400
COLE KENNETH PRODTNS INC       COM   193294105          70       3,200  SH     DEFINED     04           0           0       3,200
COLE KENNETH PRODTNS INC       COM   193294105       1,117      50,987  SH     DEFINED  01,08       9,365      41,622           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    124
________

COLGATE PALMOLIVE CO           COM   194162103     166,935   3,066,406  SH     DEFINED     01   1,622,175   1,395,698      48,533
COLGATE PALMOLIVE CO           COM   194162103       4,701      86,355  SH     OTHER       01      53,636      23,234       9,485
COLGATE PALMOLIVE CO           COM   194162103       2,740      50,337  SH     DEFINED     02      47,237       2,350         750
COLGATE PALMOLIVE CO           COM   194162103       1,827      33,567  SH     OTHER       02      11,650       8,947      12,970
COLGATE PALMOLIVE CO           COM   194162103       2,667      48,989  SH     DEFINED     03      27,462      17,937       3,590
COLGATE PALMOLIVE CO           COM   194162103         548      10,060  SH     OTHER       03       3,775       2,335       3,950
COLGATE PALMOLIVE CO           COM   194162103       6,820     125,271  SH     DEFINED     04     120,296           0       4,975
COLGATE PALMOLIVE CO           COM   194162103       9,338     171,525  SH     OTHER       04      95,633           0      75,892
COLGATE PALMOLIVE CO           COM   194162103         777      14,270  SH     DEFINED     05      10,170       4,000         100
COLGATE PALMOLIVE CO           COM   194162103         207       3,800  SH     OTHER       05         800       3,000           0
COLGATE PALMOLIVE CO           COM   194162103          76       1,400  SH     OTHER    01,06           0           0       1,400
COLGATE PALMOLIVE CO           COM   194162103      86,759   1,593,666  SH     DEFINED  01,08     380,358   1,213,308           0
COLGATE PALMOLIVE CO           COM   194162103       3,097      56,886  SH     DEFINED     10      37,686      12,800       6,400
COLGATE PALMOLIVE CO           COM   194162103       1,399      25,694  SH     OTHER       10      24,094       1,200         400

COLLAGENEX PHARMACEUTICALS I   COM   19419B100          93      10,900  SH     DEFINED     01       2,000       8,900           0
COLLAGENEX PHARMACEUTICALS I   COM   19419B100         166      19,392  SH     DEFINED  01,08       4,892      14,500           0

COLLINS & AIKMAN CORP NEW      COM   194830204         410     100,806  SH     DEFINED     01      56,859      42,697       1,250
COLLINS & AIKMAN CORP NEW      COM   194830204         747     183,517  SH     DEFINED  01,08      39,428     144,089           0

COLLINS INDS INC               COM   194858106          31       8,600  SH     DEFINED     01           0       8,600           0
COLLINS INDS INC               COM   194858106          62      17,038  SH     DEFINED  01,08       3,094      13,944           0

COLONIAL BANCGROUP INC         COM   195493309       4,394     390,560  SH     DEFINED     01     145,852     239,884       4,824
COLONIAL BANCGROUP INC         COM   195493309          46       4,081  SH     DEFINED     04       4,081           0           0
COLONIAL BANCGROUP INC         COM   195493309       2,817     250,416  SH     DEFINED  01,08      38,416     212,000           0

COLONIAL PPTYS TR              COM   195872106       1,987      60,075  SH     DEFINED     01      32,745      26,680         650
COLONIAL PPTYS TR              COM   195872106          33       1,000  SH     DEFINED     04       1,000           0           0
COLONIAL PPTYS TR              COM   195872106          15         450  SH     OTHER    01,06           0           0         450
COLONIAL PPTYS TR              COM   195872106       3,234      97,758  SH     DEFINED  01,08      18,891      78,867           0

COLORADO MEDTECH INC           COM   19652U104          78      17,400  SH     DEFINED     01       2,500      14,900           0
COLORADO MEDTECH INC           COM   19652U104           5       1,200  SH     DEFINED     04       1,200           0           0
COLORADO MEDTECH INC           COM   19652U104          90      20,179  SH     DEFINED  01,08       3,879      16,300           0

COLUMBIA BANCORP               COM   197227101         491      20,029  SH     DEFINED     01       8,970      10,709         350
COLUMBIA BANCORP               COM   197227101         383      15,649  SH     DEFINED  01,08       3,840      11,809           0

COLUMBIA BKG SYS INC           COM   197236102         598      43,515  SH     DEFINED     01      28,634      14,171         710
COLUMBIA BKG SYS INC           COM   197236102         381      27,741  SH     DEFINED  01,08       7,439      20,302           0
COLUMBIA BKG SYS INC           COM   197236102          53       3,874  SH     DEFINED     10       3,874           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    125
________

COLUMBIA LABS INC              COM   197779101         415     103,671  SH     DEFINED     01      57,711      45,650         310
COLUMBIA LABS INC              COM   197779101         564     140,920  SH     DEFINED  01,08      18,745     122,175           0

COLUMBIA SPORTSWEAR CO         COM   198516106         785      21,119  SH     DEFINED     01      14,569       6,050         500
COLUMBIA SPORTSWEAR CO         COM   198516106       1,463      39,360  SH     DEFINED  01,08       7,209      32,151           0

COLUMBUS MCKINNON CORP N Y     COM   199333105          68      42,034  SH     DEFINED     01      22,534      19,200         300
COLUMBUS MCKINNON CORP N Y     COM   199333105          53      32,922  SH     DEFINED  01,08       7,720      25,202           0

COMFORT SYS USA INC            COM   199908104         325     147,130  SH     DEFINED     01      95,480      50,800         850
COMFORT SYS USA INC            COM   199908104         192      86,948  SH     DEFINED  01,08      20,100      66,848           0

COMARCO INC                    COM   200080109          58       8,950  SH     DEFINED     01       2,350       6,600           0
COMARCO INC                    COM   200080109         141      21,663  SH     DEFINED  01,08       3,036      18,627           0

COMCAST CORP NEW               COM   20030N101     368,243  12,880,142  SH     DEFINED     01   6,699,510   5,987,836     192,796
COMCAST CORP NEW               COM   20030N101         421      14,738  SH     OTHER       01       7,876       4,077       2,785
COMCAST CORP NEW               COM   20030N101          57       2,011  SH     DEFINED     02       1,381         416         214
COMCAST CORP NEW               COM   20030N101         185       6,466  SH     OTHER       02       4,254       2,126          86
COMCAST CORP NEW               COM   20030N101          68       2,372  SH     DEFINED     03         702         797         873
COMCAST CORP NEW               COM   20030N101         126       4,399  SH     OTHER       03       1,067       3,332           0
COMCAST CORP NEW               COM   20030N101           5         159  SH     DEFINED     05         159           0           0
COMCAST CORP NEW               COM   20030N101           0           8  SH     OTHER       05           8           0           0
COMCAST CORP NEW               COM   20030N101         171       5,970  SH     OTHER    01,06           0           0       5,970
COMCAST CORP NEW               COM   20030N101     193,229   6,758,605  SH     DEFINED  01,08   1,759,576   4,999,029           0
COMCAST CORP NEW               COM   20030N101          85       2,982  SH     DEFINED     10       2,853         129           0
COMCAST CORP NEW               COM   20030N101          32       1,131  SH     OTHER       10           0       1,131           0

COMCAST CORP NEW               COM   20030N200      21,333     776,038  SH     DEFINED     01     662,841      68,442      44,755
COMCAST CORP NEW               COM   20030N200       2,706      98,420  SH     OTHER       01      28,960      68,810         650
COMCAST CORP NEW               COM   20030N200         192       6,999  SH     DEFINED     02       4,713       1,686         600
COMCAST CORP NEW               COM   20030N200          26         934  SH     OTHER       02         934           0           0
COMCAST CORP NEW               COM   20030N200       1,948      70,850  SH     DEFINED     03      54,156       9,059       7,635
COMCAST CORP NEW               COM   20030N200         158       5,750  SH     OTHER       03       3,850         200       1,700
COMCAST CORP NEW               COM   20030N200          40       1,450  SH     DEFINED     05       1,450           0           0
COMCAST CORP NEW               COM   20030N200       2,930     106,600  SH     DEFINED  01,08      47,400      59,200           0
COMCAST CORP NEW               COM   20030N200          60       2,198  SH     DEFINED     10       2,198           0           0
COMCAST CORP NEW               COM   20030N200         110       4,000  SH     OTHER       10       4,000           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    126
________

COMERICA INC                   COM   200340107      37,934   1,001,438  SH     DEFINED     01     530,157     460,137      11,144
COMERICA INC                   COM   200340107         381      10,051  SH     OTHER       01       4,443       5,458         150
COMERICA INC                   COM   200340107         219       5,789  SH     DEFINED     02       3,539       2,250           0
COMERICA INC                   COM   200340107       1,053      27,807  SH     DEFINED     03      18,807       8,950          50
COMERICA INC                   COM   200340107          80       2,100  SH     OTHER       03       2,100           0           0
COMERICA INC                   COM   200340107         695      18,360  SH     DEFINED     04      18,360           0           0
COMERICA INC                   COM   200340107         785      20,713  SH     OTHER       04      17,338           0       3,375
COMERICA INC                   COM   200340107          18         470  SH     OTHER    01,06           0           0         470
COMERICA INC                   COM   200340107      19,466     513,889  SH     DEFINED  01,08     134,837     379,052           0
COMERICA INC                   COM   200340107       2,335      61,643  SH     DEFINED     10      59,197       2,046         400
COMERICA INC                   COM   200340107       1,481      39,085  SH     OTHER       10      14,290      24,795           0

COMFORCE CORP                  COM   20038K109           2       3,200  SH     DEFINED     01       2,200       1,000           0
COMFORCE CORP                  COM   20038K109          12      23,406  SH     DEFINED  01,08       4,852      18,554           0

COMMERCE BANCORP INC NJ        COM   200519106       8,050     202,573  SH     DEFINED     01      72,243     127,204       3,126
COMMERCE BANCORP INC NJ        COM   200519106          20         500  SH     DEFINED     04         500           0           0
COMMERCE BANCORP INC NJ        COM   200519106         232       5,840  SH     OTHER       04       5,840           0           0
COMMERCE BANCORP INC NJ        COM   200519106       6,372     160,334  SH     DEFINED  01,08      20,300     140,034           0

COMMERCE BANCSHARES INC        COM   200525103       3,224      88,200  SH     DEFINED     01      51,313      34,245       2,642
COMMERCE BANCSHARES INC        COM   200525103         172       4,705  SH     DEFINED     04       4,705           0           0
COMMERCE BANCSHARES INC        COM   200525103         225       6,149  SH     OTHER       04       6,149           0           0
COMMERCE BANCSHARES INC        COM   200525103       4,324     118,292  SH     DEFINED  01,08      16,926     101,366           0
COMMERCE BANCSHARES INC        COM   200525103          16         441  SH     OTHER       10         441           0           0

COMMERCE GROUP INC MASS        COM   200641108       3,389      99,093  SH     DEFINED     01      54,806      43,887         400
COMMERCE GROUP INC MASS        COM   200641108       2,858      83,556  SH     DEFINED  01,08      16,708      66,848           0

COMMERCE ONE INC DEL           COM   200693208          28      16,946  SH     DEFINED     01       5,746      11,200           0
COMMERCE ONE INC DEL           COM   200693208          13       7,943  SH     OTHER       01           0           0       7,943
COMMERCE ONE INC DEL           COM   200693208          87      51,860  SH     DEFINED  01,08      12,100      39,760           0

COMMERCIAL BANKSHARES INC      COM   201607108         237       7,281  SH     DEFINED     01       1,031       6,250           0
COMMERCIAL BANKSHARES INC      COM   201607108          52       1,587  SH     DEFINED     04       1,587           0           0
COMMERCIAL BANKSHARES INC      COM   201607108         108       3,326  SH     OTHER       04       3,326           0           0
COMMERCIAL BANKSHARES INC      COM   201607108         250       7,680  SH     DEFINED  01,08       1,952       5,728           0

COMMERCIAL FEDERAL CORPORATI   COM   201647104       5,508     253,572  SH     DEFINED     01     186,701      61,971       4,900
COMMERCIAL FEDERAL CORPORATI   COM   201647104          18         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       5,149     237,065  SH     DEFINED  01,08      39,863     197,202           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    127
________

COMMERCIAL METALS CO           COM   201723103       2,343     167,946  SH     DEFINED     01     109,972      56,724       1,250
COMMERCIAL METALS CO           COM   201723103           8         600  SH     OTHER    01,06           0           0         600
COMMERCIAL METALS CO           COM   201723103       1,853     132,825  SH     DEFINED  01,08      24,482     108,343           0

COMMERCIAL NET LEASE RLTY IN   COM   202218103       3,400     225,135  SH     DEFINED     01     172,624      50,551       1,960
COMMERCIAL NET LEASE RLTY IN   COM   202218103          38       2,500  SH     DEFINED     04       2,500           0           0
COMMERCIAL NET LEASE RLTY IN   COM   202218103           8         550  SH     OTHER       04         550           0           0
COMMERCIAL NET LEASE RLTY IN   COM   202218103       1,559     103,257  SH     DEFINED  01,08      22,215      81,042           0

COMMONWEALTH INDS INC DEL      COM   203004106         216      43,700  SH     DEFINED     01       3,300      39,900         500
COMMONWEALTH INDS INC DEL      COM   203004106           1         300  SH     OTHER    01,06           0           0         300
COMMONWEALTH INDS INC DEL      COM   203004106         195      39,427  SH     DEFINED  01,08      12,475      26,952           0

COMMONWEALTH TEL ENTERPRISES   COM   203349105       1,959      50,453  SH     DEFINED     01      21,522      28,381         550
COMMONWEALTH TEL ENTERPRISES   COM   203349105       2,414      62,178  SH     DEFINED  01,08      11,340      50,838           0

COMMONWEALTH TEL ENTERPRISES   COM   203349204         603      15,398  SH     DEFINED  01,08           0      15,398           0

COMMSCOPE INC                  COM   203372107       2,890     385,317  SH     DEFINED     01     247,343     134,324       3,650
COMMSCOPE INC                  COM   203372107           0          66  SH     DEFINED     04          66           0           0
COMMSCOPE INC                  COM   203372107       1,063     141,741  SH     DEFINED  01,08      18,294     123,447           0

COMMUNITY BK NORTHN VA         COM   203566104         268      14,200  SH     DEFINED  01,08       4,100      10,100           0

COMMUNITY BK SYS INC           COM   203607106       1,977      62,916  SH     DEFINED     01      48,778      13,438         700
COMMUNITY BK SYS INC           COM   203607106          98       3,112  SH     OTHER       04       3,112           0           0
COMMUNITY BK SYS INC           COM   203607106         872      27,733  SH     DEFINED  01,08       7,026      20,707           0

COMMUNITY BKS INC MILLERSBUR   COM   203628102         633      21,757  SH     DEFINED     01      15,384       5,968         405
COMMUNITY BKS INC MILLERSBUR   COM   203628102         551      18,927  SH     DEFINED  01,08       5,087      13,840           0

COMMUNITY HEALTH SYS INC NEW   COM   203668108       1,622      79,150  SH     DEFINED     01      40,260      28,590      10,300
COMMUNITY HEALTH SYS INC NEW   COM   203668108       3,114     151,965  SH     DEFINED  01,08      19,941     132,024           0

COMMUNICATIONS SYS INC         COM   203900105          81      10,600  SH     DEFINED     01       1,800       8,800           0
COMMUNICATIONS SYS INC         COM   203900105         165      21,671  SH     DEFINED  01,08       3,681      17,990           0

COMMUNITY FIRST BANKSHARES I   COM   203902101       3,715     145,402  SH     DEFINED     01      80,946      60,356       4,100
COMMUNITY FIRST BANKSHARES I   COM   203902101          20         790  SH     OTHER    01,06           0           0         790
COMMUNITY FIRST BANKSHARES I   COM   203902101       5,087     199,089  SH     DEFINED  01,08      21,652     177,437           0

COMMUNITY TR BANCORP INC       COM   204149108       1,523      60,317  SH     DEFINED     01      32,177      27,390         750
COMMUNITY TR BANCORP INC       COM   204149108         768      30,403  SH     DEFINED  01,08       6,980      23,423           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    128
________

COMMUNITY WEST BANCSHARES      COM   204157101          18       3,500  SH     DEFINED     01           0       3,500           0
COMMUNITY WEST BANCSHARES      COM   204157101          42       8,145  SH     DEFINED  01,08       2,125       6,020           0

COMPASS BANCSHARES INC         COM   20449H109      12,726     406,962  SH     DEFINED     01     155,935     247,431       3,596
COMPASS BANCSHARES INC         COM   20449H109          13         410  SH     DEFINED     02         410           0           0
COMPASS BANCSHARES INC         COM   20449H109          20         653  SH     DEFINED     04         653           0           0
COMPASS BANCSHARES INC         COM   20449H109      10,912     348,965  SH     DEFINED  01,08      40,041     308,924           0

COMPETITIVE TECHNOLOGIES INC   COM   204512107          12       5,800  SH     DEFINED     01       1,200       4,600           0
COMPETITIVE TECHNOLOGIES INC   COM   204512107          31      14,762  SH     DEFINED  01,08       2,201      12,561           0

COMPEX TECHNOLOGIES INC        COM   204513105          33      12,400  SH     DEFINED     01       2,100      10,300           0
COMPEX TECHNOLOGIES INC        COM   204513105          50      18,891  SH     DEFINED  01,08       5,031      13,860           0

COMPUCREDIT CORP               COM   20478N100         845     134,543  SH     DEFINED     01      85,381      48,262         900
COMPUCREDIT CORP               COM   20478N100         709     112,844  SH     DEFINED  01,08      22,106      90,738           0

COMPUCOM SYS INC               COM   204780100         393     112,302  SH     DEFINED     01      50,902      61,400           0
COMPUCOM SYS INC               COM   204780100         366     104,663  SH     DEFINED  01,08      24,105      80,558           0

COMPUTER ACCESS TECHNOLOGY     COM   204853105           8       3,700  SH     DEFINED     01       3,700           0           0
COMPUTER ACCESS TECHNOLOGY     COM   204853105          63      30,100  SH     DEFINED  01,08       5,300      24,800           0

COMPUTER ASSOC INTL INC        COM   204912109      43,680   3,197,655  SH     DEFINED     01   1,633,877   1,521,978      41,800
COMPUTER ASSOC INTL INC        COM   204912109         851      62,333  SH     OTHER       01      49,508       7,025       5,800
COMPUTER ASSOC INTL INC        COM   204912109          12         850  SH     DEFINED     03           0         650         200
COMPUTER ASSOC INTL INC        COM   204912109           5         337  SH     DEFINED     04         337           0           0
COMPUTER ASSOC INTL INC        COM   204912109         137      10,000  SH     OTHER       04           0           0      10,000
COMPUTER ASSOC INTL INC        COM   204912109          20       1,500  SH     OTHER    01,06           0           0       1,500
COMPUTER ASSOC INTL INC        COM   204912109      22,021   1,612,097  SH     DEFINED  01,08     432,551   1,179,546           0
COMPUTER ASSOC INTL INC        COM   204912109          22       1,592  SH     DEFINED     10       1,592           0           0

COMPUTER NETWORK TECHNOLOGY    COM   204925101         669      97,279  SH     DEFINED     01      51,542      45,187         550
COMPUTER NETWORK TECHNOLOGY    COM   204925101         782     113,619  SH     DEFINED  01,08      15,104      98,515           0

COMPUTER MOTION INC            COM   205253107          33       9,800  SH     DEFINED     01       2,000       7,800           0
COMPUTER MOTION INC            COM   205253107          86      25,800  SH     DEFINED  01,08       6,400      19,400           0

COMPUTER PROGRAMS & SYS INC    COM   205306103         580      23,657  SH     DEFINED     01      12,411       9,746       1,500
COMPUTER PROGRAMS & SYS INC    COM   205306103         479      19,549  SH     DEFINED  01,08       4,800      14,749           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    129
________

COMPUTER SCIENCES CORP         COM   205363104      38,473   1,181,980  SH     DEFINED     01     649,534     512,047      20,399
COMPUTER SCIENCES CORP         COM   205363104       2,009      61,710  SH     OTHER       01      19,437      27,484      14,789
COMPUTER SCIENCES CORP         COM   205363104         731      22,457  SH     DEFINED     02      16,642       5,815           0
COMPUTER SCIENCES CORP         COM   205363104         348      10,700  SH     OTHER       02       3,525       6,875         300
COMPUTER SCIENCES CORP         COM   205363104         632      19,427  SH     DEFINED     03       6,605      12,422         400
COMPUTER SCIENCES CORP         COM   205363104         282       8,665  SH     OTHER       03       2,665           0       6,000
COMPUTER SCIENCES CORP         COM   205363104       1,745      53,624  SH     DEFINED     04      47,124           0       6,500
COMPUTER SCIENCES CORP         COM   205363104         838      25,737  SH     OTHER       04      24,337           0       1,400
COMPUTER SCIENCES CORP         COM   205363104       1,594      48,960  SH     DEFINED     05      38,980       8,435       1,545
COMPUTER SCIENCES CORP         COM   205363104         464      14,270  SH     OTHER       05       5,050       9,025         195
COMPUTER SCIENCES CORP         COM   205363104          13         400  SH     OTHER    01,06           0           0         400
COMPUTER SCIENCES CORP         COM   205363104      16,687     512,647  SH     DEFINED  01,08     145,514     367,133           0
COMPUTER SCIENCES CORP         COM   205363104          39       1,202  SH     DEFINED     10         302         900           0
COMPUTER SCIENCES CORP         COM   205363104          36       1,100  SH     OTHER       10       1,100           0           0

COMPUTER TASK GROUP INC        COM   205477102          58      29,980  SH     DEFINED     01       4,280      25,000         700
COMPUTER TASK GROUP INC        COM   205477102           1         450  SH     OTHER    01,06           0           0         450
COMPUTER TASK GROUP INC        COM   205477102         125      64,508  SH     DEFINED  01,08      15,974      48,534           0

COMPUTERIZED THERMAL IMAGING   COM   20557C108           6      45,900  SH     DEFINED     01      16,700      29,200           0
COMPUTERIZED THERMAL IMAGING   COM   20557C108           7      55,900  SH     DEFINED  01,08      35,500      20,400           0

COMPX INTERNATIONAL INC        COM   20563P101          88      14,664  SH     DEFINED     01       5,926       8,738           0
COMPX INTERNATIONAL INC        COM   20563P101          68      11,328  SH     DEFINED  01,08       2,941       8,387           0

COMPUWARE CORP                 COM   205638109       7,023   2,071,756  SH     DEFINED     01   1,066,683     969,173      35,900
COMPUWARE CORP                 COM   205638109           1         350  SH     OTHER       01           0           0         350
COMPUWARE CORP                 COM   205638109           1         150  SH     DEFINED     03           0           0         150
COMPUWARE CORP                 COM   205638109           3       1,000  SH     DEFINED     04       1,000           0           0
COMPUWARE CORP                 COM   205638109           1         400  SH     OTHER       04         400           0           0
COMPUWARE CORP                 COM   205638109           3       1,000  SH     OTHER    01,06           0           0       1,000
COMPUWARE CORP                 COM   205638109       3,603   1,062,883  SH     DEFINED  01,08     276,639     786,244           0
COMPUWARE CORP                 COM   205638109           3         959  SH     DEFINED     10         959           0           0

COMSTOCK RES INC               COM   205768203         787      77,970  SH     DEFINED     01      46,074      30,796       1,100
COMSTOCK RES INC               COM   205768203          64       6,300  SH     OTHER       01           0       6,300           0
COMSTOCK RES INC               COM   205768203         773      76,556  SH     DEFINED  01,08      15,554      61,002           0

COMTECH TELECOMMUNICATIONS C   COM   205826209          92       7,100  SH     DEFINED     01       1,500       5,600           0
COMTECH TELECOMMUNICATIONS C   COM   205826209           1         100  SH     DEFINED     02         100           0           0
COMTECH TELECOMMUNICATIONS C   COM   205826209         176      13,565  SH     DEFINED  01,08       3,165      10,400           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    130
________

COMVERSE TECHNOLOGY INC        COM   205862402      11,912   1,053,244  SH     DEFINED     01     550,412     486,732      16,100
COMVERSE TECHNOLOGY INC        COM   205862402           9         775  SH     OTHER       01           0         600         175
COMVERSE TECHNOLOGY INC        COM   205862402           1         100  SH     DEFINED     03           0           0         100
COMVERSE TECHNOLOGY INC        COM   205862402          15       1,360  SH     DEFINED     04       1,360           0           0
COMVERSE TECHNOLOGY INC        COM   205862402          10         870  SH     OTHER       04         870           0           0
COMVERSE TECHNOLOGY INC        COM   205862402           6         500  SH     OTHER    01,06           0           0         500
COMVERSE TECHNOLOGY INC        COM   205862402       6,694     591,881  SH     DEFINED  01,08     141,258     450,623           0
COMVERSE TECHNOLOGY INC        COM   205862402           0          24  SH     DEFINED     10          24           0           0

CONAGRA FOODS INC              COM   205887102      60,477   3,011,809  SH     DEFINED     01   1,584,344   1,400,295      27,170
CONAGRA FOODS INC              COM   205887102         409      20,374  SH     OTHER       01      16,249       3,725         400
CONAGRA FOODS INC              COM   205887102       5,015     249,770  SH     DEFINED     02      11,266     238,304         200
CONAGRA FOODS INC              COM   205887102          40       2,000  SH     OTHER       02       2,000           0           0
CONAGRA FOODS INC              COM   205887102          84       4,200  SH     DEFINED     03       2,800       1,200         200
CONAGRA FOODS INC              COM   205887102           4         200  SH     OTHER       03           0           0         200
CONAGRA FOODS INC              COM   205887102         508      25,283  SH     DEFINED     04      17,483           0       7,800
CONAGRA FOODS INC              COM   205887102         373      18,593  SH     OTHER       04      18,593           0           0
CONAGRA FOODS INC              COM   205887102          28       1,400  SH     OTHER    01,06           0           0       1,400
CONAGRA FOODS INC              COM   205887102      32,130   1,600,102  SH     DEFINED  01,08     430,192   1,169,610         300
CONAGRA FOODS INC              COM   205887102         259      12,880  SH     DEFINED     10      12,580         300           0
CONAGRA FOODS INC              COM   205887102          95       4,750  SH     OTHER       10       1,150       3,600           0

COMPUTER HORIZONS CORP         COM   205908106         340     110,475  SH     DEFINED     01      61,675      48,200         600
COMPUTER HORIZONS CORP         COM   205908106         278      90,324  SH     DEFINED  01,08      17,911      72,413           0

COMSHARE INC                   COM   205912108          18       7,300  SH     DEFINED     01       1,400       5,900           0
COMSHARE INC                   COM   205912108          45      18,500  SH     DEFINED  01,08       5,132      13,368           0

CONCEPTUS INC                  COM   206016107         509      56,581  SH     DEFINED     01      29,523      26,158         900
CONCEPTUS INC                  COM   206016107         876      97,328  SH     DEFINED  01,08      11,637      85,691           0

CONCERTO SOFTWARE INC          COM   20602T106          97      17,600  SH     DEFINED     01       3,000      14,200         400
CONCERTO SOFTWARE INC          COM   20602T106           1         200  SH     OTHER    01,06           0           0         200
CONCERTO SOFTWARE INC          COM   20602T106         173      31,450  SH     DEFINED  01,08       9,144      22,306           0

CONCORD CAMERA CORP            COM   206156101         426      85,117  SH     DEFINED     01      47,442      35,425       2,250
CONCORD CAMERA CORP            COM   206156101           3         600  SH     OTHER    01,06           0           0         600
CONCORD CAMERA CORP            COM   206156101         491      97,985  SH     DEFINED  01,08      24,542      73,443           0

CONCORD COMMUNICATIONS INC     COM   206186108         486      56,321  SH     DEFINED     01      28,282      26,489       1,550
CONCORD COMMUNICATIONS INC     COM   206186108          51       5,917  SH     OTHER       01           0           0       5,917
CONCORD COMMUNICATIONS INC     COM   206186108           3         300  SH     OTHER    01,06           0           0         300
CONCORD COMMUNICATIONS INC     COM   206186108         527      61,025  SH     DEFINED  01,08       8,546      52,479           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    131
________

CONCORD EFS INC                COM   206197105      26,493   2,818,443  SH     DEFINED     01   1,469,418   1,319,675      29,350
CONCORD EFS INC                COM   206197105         249      26,489  SH     OTHER       01           0      20,489       6,000
CONCORD EFS INC                COM   206197105         338      35,996  SH     DEFINED     02      35,996           0           0
CONCORD EFS INC                COM   206197105           2         200  SH     DEFINED     03           0           0         200
CONCORD EFS INC                COM   206197105          58       6,200  SH     DEFINED     04       6,200           0           0
CONCORD EFS INC                COM   206197105         128      13,610  SH     OTHER       04      11,110           0       2,500
CONCORD EFS INC                COM   206197105           3         300  SH     OTHER    01,06           0           0         300
CONCORD EFS INC                COM   206197105      14,015   1,490,977  SH     DEFINED  01,08     338,526   1,152,451           0
CONCORD EFS INC                COM   206197105          88       9,400  SH     DEFINED     10       7,750           0       1,650

CONCUR TECHNOLOGIES INC        COM   206708109         156      30,644  SH     DEFINED     01       4,844      25,800           0
CONCUR TECHNOLOGIES INC        COM   206708109         207      40,567  SH     DEFINED  01,08      10,047      30,520           0

CONCURRENT COMPUTER CORP NEW   COM   206710204         454     205,609  SH     DEFINED     01     109,459      96,150           0
CONCURRENT COMPUTER CORP NEW   COM   206710204           1         674  SH     DEFINED     03         674           0           0
CONCURRENT COMPUTER CORP NEW   COM   206710204         543     245,763  SH     DEFINED  01,08      32,068     213,695           0

CONE MLS CORP N C              COM   206814105          49      25,500  SH     DEFINED     01       5,400      20,100           0
CONE MLS CORP N C              COM   206814105          92      48,155  SH     DEFINED  01,08      11,692      36,463           0

CONEXANT SYSTEMS INC           COM   207142100         790     530,250  SH     DEFINED     01     203,262     320,009       6,979
CONEXANT SYSTEMS INC           COM   207142100           1       1,000  SH     OTHER       01           0           0       1,000
CONEXANT SYSTEMS INC           COM   207142100           1         500  SH     DEFINED     02         500           0           0
CONEXANT SYSTEMS INC           COM   207142100          18      12,080  SH     DEFINED     03      12,080           0           0
CONEXANT SYSTEMS INC           COM   207142100           2       1,200  SH     OTHER       03       1,200           0           0
CONEXANT SYSTEMS INC           COM   207142100          31      20,657  SH     DEFINED     04      20,657           0           0
CONEXANT SYSTEMS INC           COM   207142100           1         568  SH     OTHER       04         568           0           0
CONEXANT SYSTEMS INC           COM   207142100       1,028     689,947  SH     DEFINED  01,08     138,545     551,402           0
CONEXANT SYSTEMS INC           COM   207142100           2       1,524  SH     DEFINED     10       1,524           0           0

CONGOLEUM CORP NEW             COM   207195108           2       5,400  SH     DEFINED     01         600       4,800           0
CONGOLEUM CORP NEW             COM   207195108           2       5,500  SH     DEFINED  01,08       1,400       4,100           0

CONMED CORP                    COM   207410101       1,576      96,031  SH     DEFINED     01      51,717      42,764       1,550
CONMED CORP                    COM   207410101          10         600  SH     OTHER    01,06           0           0         600
CONMED CORP                    COM   207410101       2,225     135,584  SH     DEFINED  01,08      25,542     110,042           0

CONNECTICUT BANCSHARES INC     COM   207540105       2,287      55,060  SH     DEFINED     01      38,866      15,694         500
CONNECTICUT BANCSHARES INC     COM   207540105       1,230      29,610  SH     DEFINED  01,08       6,276      23,334           0

CONNECTICUT WTR SVC INC        COM   207797101         707      26,637  SH     DEFINED     01      13,450      12,737         450
CONNECTICUT WTR SVC INC        COM   207797101          91       3,439  SH     DEFINED     04       3,439           0           0
CONNECTICUT WTR SVC INC        COM   207797101         509      19,156  SH     DEFINED  01,08       4,502      14,654           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    132
________

CONNETICS CORP                 COM   208192104       1,843     110,036  SH     DEFINED     01      54,174      54,402       1,460
CONNETICS CORP                 COM   208192104          22       1,288  SH     DEFINED     02           0       1,288           0
CONNETICS CORP                 COM   208192104       2,078     124,081  SH     DEFINED  01,08      17,204     106,877           0

CONOCOPHILLIPS                 COM   20825C104     210,617   3,929,424  SH     DEFINED     01   2,052,471   1,809,007      67,946
CONOCOPHILLIPS                 COM   20825C104         544      10,143  SH     OTHER       01       4,944       4,426         773
CONOCOPHILLIPS                 COM   20825C104         309       5,771  SH     DEFINED     02       4,056       1,431         284
CONOCOPHILLIPS                 COM   20825C104         209       3,892  SH     OTHER       02       2,889       1,003           0
CONOCOPHILLIPS                 COM   20825C104         719      13,413  SH     DEFINED     03       6,242       3,103       4,068
CONOCOPHILLIPS                 COM   20825C104         240       4,475  SH     OTHER       03         350         385       3,740
CONOCOPHILLIPS                 COM   20825C104       4,375      81,632  SH     DEFINED     04      79,037           0       2,595
CONOCOPHILLIPS                 COM   20825C104       1,065      19,865  SH     OTHER       04      16,772           0       3,093
CONOCOPHILLIPS                 COM   20825C104         649      12,113  SH     DEFINED     05      11,459         404         250
CONOCOPHILLIPS                 COM   20825C104         106       1,971  SH     OTHER       05           0       1,364         607
CONOCOPHILLIPS                 COM   20825C104          91       1,701  SH     OTHER    01,06           0           0       1,701
CONOCOPHILLIPS                 COM   20825C104     133,929   2,498,682  SH     DEFINED  01,08     529,926   1,924,961      43,795
CONOCOPHILLIPS                 COM   20825C104         845      15,770  SH     DEFINED     10      13,788       1,732         250
CONOCOPHILLIPS                 COM   20825C104         101       1,882  SH     OTHER       10       1,882           0           0

CONRAD INDS INC                COM   208305102          24       9,200  SH     DEFINED     01       1,000       8,200           0
CONRAD INDS INC                COM   208305102          32      11,962  SH     DEFINED  01,08       2,762       9,200           0

CONSOL ENERGY INC              COM   20854P109         679      41,076  SH     DEFINED     01      30,517       9,659         900
CONSOL ENERGY INC              COM   20854P109       1,121      67,802  SH     DEFINED  01,08      13,686      54,116           0

CONSOLIDATED EDISON INC        COM   209115104      47,746   1,241,127  SH     DEFINED     01     669,048     559,518      12,561
CONSOLIDATED EDISON INC        COM   209115104         237       6,160  SH     OTHER       01       2,118       3,842         200
CONSOLIDATED EDISON INC        COM   209115104         315       8,186  SH     DEFINED     02       1,400       6,286         500
CONSOLIDATED EDISON INC        COM   209115104          73       1,900  SH     OTHER       02         700           0       1,200
CONSOLIDATED EDISON INC        COM   209115104          62       1,600  SH     DEFINED     03         500       1,050          50
CONSOLIDATED EDISON INC        COM   209115104          56       1,460  SH     OTHER       03         600         860           0
CONSOLIDATED EDISON INC        COM   209115104       1,325      34,439  SH     DEFINED     04      33,039           0       1,400
CONSOLIDATED EDISON INC        COM   209115104         312       8,122  SH     OTHER       04       8,122           0           0
CONSOLIDATED EDISON INC        COM   209115104          29         764  SH     DEFINED     05         764           0           0
CONSOLIDATED EDISON INC        COM   209115104          23         600  SH     OTHER    01,06           0           0         600
CONSOLIDATED EDISON INC        COM   209115104      26,571     690,706  SH     DEFINED  01,08     161,928     528,778           0
CONSOLIDATED EDISON INC        COM   209115104          17         436  SH     DEFINED     10         436           0           0
CONSOLIDATED EDISON INC        COM   209115104          52       1,350  SH     OTHER       10       1,350           0           0

CONSOLIDATED GRAPHICS INC      COM   209341106       1,333      79,323  SH     DEFINED     01      55,702      22,971         650
CONSOLIDATED GRAPHICS INC      COM   209341106           4         250  SH     OTHER    01,06           0           0         250
CONSOLIDATED GRAPHICS INC      COM   209341106         668      39,736  SH     DEFINED  01,08      11,654      28,082           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    133
________

CONSOLIDATED TOMOKA LD CO      COM   210226106         119       5,700  SH     DEFINED     01       1,300       4,400           0
CONSOLIDATED TOMOKA LD CO      COM   210226106          22       1,061  SH     OTHER       01           0       1,061           0
CONSOLIDATED TOMOKA LD CO      COM   210226106          93       4,450  SH     OTHER       04       4,450           0           0
CONSOLIDATED TOMOKA LD CO      COM   210226106         315      15,104  SH     DEFINED  01,08       2,545      12,559           0

CONSTELLATION BRANDS INC       COM   21036P108       6,336     279,100  SH     DEFINED     01      99,310     171,090       8,700
CONSTELLATION BRANDS INC       COM   21036P108          13         569  SH     DEFINED     02         569           0           0
CONSTELLATION BRANDS INC       COM   21036P108         136       6,000  SH     DEFINED     04       6,000           0           0
CONSTELLATION BRANDS INC       COM   21036P108       4,356     191,879  SH     DEFINED  01,08      22,479     169,400           0
CONSTELLATION BRANDS INC       COM   21036P108          59       2,600  SH     DEFINED     10         700         900       1,000
CONSTELLATION BRANDS INC       COM   21036P108          54       2,400  SH     OTHER       10       2,400           0           0

CONSTAR INTL INC NEW           COM   21036U107          75      11,900  SH     DEFINED  01,08       4,400       7,500           0

CONSTELLATION ENERGY GROUP I   COM   210371100      25,844     931,999  SH     DEFINED     01     484,563     429,138      18,298
CONSTELLATION ENERGY GROUP I   COM   210371100         268       9,650  SH     OTHER       01       7,000       2,500         150
CONSTELLATION ENERGY GROUP I   COM   210371100          60       2,180  SH     DEFINED     02       1,600         580           0
CONSTELLATION ENERGY GROUP I   COM   210371100           8         300  SH     OTHER       02         300           0           0
CONSTELLATION ENERGY GROUP I   COM   210371100           8         300  SH     OTHER       03           0         300           0
CONSTELLATION ENERGY GROUP I   COM   210371100         317      11,431  SH     DEFINED     04      11,431           0           0
CONSTELLATION ENERGY GROUP I   COM   210371100         146       5,250  SH     OTHER       04       5,250           0           0
CONSTELLATION ENERGY GROUP I   COM   210371100          12         450  SH     OTHER    01,06           0           0         450
CONSTELLATION ENERGY GROUP I   COM   210371100      12,940     466,655  SH     DEFINED  01,08     125,091     341,564           0
CONSTELLATION ENERGY GROUP I   COM   210371100           1          24  SH     DEFINED     10          24           0           0

CONSUMER PORTFOLIO SVCS INC    COM   210502100          41      24,000  SH     DEFINED     01       2,200      21,800           0
CONSUMER PORTFOLIO SVCS INC    COM   210502100          40      23,800  SH     DEFINED  01,08       6,356      17,444           0

CONTINENTAL AIRLS INC          COM   210795308         688     134,376  SH     DEFINED     01      50,638      81,438       2,300
CONTINENTAL AIRLS INC          COM   210795308          17       3,350  SH     DEFINED     04       3,100           0         250
CONTINENTAL AIRLS INC          COM   210795308           0           9  SH     OTHER       04           9           0           0
CONTINENTAL AIRLS INC          COM   210795308          26       5,000  SH     DEFINED     05       5,000           0           0
CONTINENTAL AIRLS INC          COM   210795308         726     141,808  SH     DEFINED  01,08      32,608     109,200           0

CONVERA CORP                   COM   211919105         119      30,900  SH     DEFINED     01       7,200      23,700           0
CONVERA CORP                   COM   211919105         188      48,868  SH     DEFINED  01,08      11,857      37,011           0

CONVERGYS CORP                 COM   212485106      12,659     958,980  SH     DEFINED     01     490,971     452,034      15,975
CONVERGYS CORP                 COM   212485106         134      10,150  SH     OTHER       01           0       8,000       2,150
CONVERGYS CORP                 COM   212485106          63       4,800  SH     DEFINED     02           0       4,800           0
CONVERGYS CORP                 COM   212485106          19       1,454  SH     OTHER       02       1,000         454           0
CONVERGYS CORP                 COM   212485106           3         250  SH     DEFINED     03           0         200          50
CONVERGYS CORP                 COM   212485106          26       2,000  SH     DEFINED     04       2,000           0           0
CONVERGYS CORP                 COM   212485106       6,486     491,344  SH     DEFINED  01,08     131,828     359,516           0
CONVERGYS CORP                 COM   212485106           4         300  SH     DEFINED     10         300           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    134
________

COOPER CAMERON CORP            COM   216640102       8,091     163,425  SH     DEFINED     01      59,339     101,536       2,550
COOPER CAMERON CORP            COM   216640102         138       2,780  SH     DEFINED     04       2,780           0           0
COOPER CAMERON CORP            COM   216640102         127       2,570  SH     OTHER       04       2,570           0           0
COOPER CAMERON CORP            COM   216640102          12         250  SH     DEFINED     05         250           0           0
COOPER CAMERON CORP            COM   216640102       6,391     129,088  SH     DEFINED  01,08      16,230     112,858           0

COOPER COS INC                 COM   216648402       3,325     111,212  SH     DEFINED     01      55,199      53,113       2,900
COOPER COS INC                 COM   216648402          20         666  SH     DEFINED     04         666           0           0
COOPER COS INC                 COM   216648402           5         166  SH     OTHER       04         166           0           0
COOPER COS INC                 COM   216648402          84       2,800  SH     DEFINED     05           0       2,800           0
COOPER COS INC                 COM   216648402          18         600  SH     OTHER    01,06           0           0         600
COOPER COS INC                 COM   216648402       3,486     116,596  SH     DEFINED  01,08      17,116      99,480           0

COOPER TIRE & RUBR CO          COM   216831107       6,294     515,929  SH     DEFINED     01     310,077     199,885       5,967
COOPER TIRE & RUBR CO          COM   216831107           1          75  SH     OTHER       01           0           0          75
COOPER TIRE & RUBR CO          COM   216831107          18       1,475  SH     DEFINED     04       1,475           0           0
COOPER TIRE & RUBR CO          COM   216831107          37       3,000  SH     OTHER       04           0           0       3,000
COOPER TIRE & RUBR CO          COM   216831107           2         200  SH     OTHER    01,06           0           0         200
COOPER TIRE & RUBR CO          COM   216831107       2,412     197,735  SH     DEFINED  01,08      53,692     144,043           0
COOPER TIRE & RUBR CO          COM   216831107           0          12  SH     DEFINED     10          12           0           0

COORS ADOLPH CO                COM   217016104       9,415     194,125  SH     DEFINED     01      99,309      92,158       2,658
COORS ADOLPH CO                COM   217016104           5         100  SH     OTHER    01,06           0           0         100
COORS ADOLPH CO                COM   217016104       4,045      83,407  SH     DEFINED  01,08      18,741      64,666           0
COORS ADOLPH CO                COM   217016104           0           6  SH     DEFINED     10           6           0           0

COPART INC                     COM   217204106       2,625     341,830  SH     DEFINED     01      92,535     243,423       5,872
COPART INC                     COM   217204106          19       2,535  SH     OTHER       01           0       2,535           0
COPART INC                     COM   217204106          23       3,000  SH     DEFINED     02           0       3,000           0
COPART INC                     COM   217204106       1,493     194,432  SH     DEFINED  01,08      24,082     170,350           0

COPPER MTN NETWORKS INC        COM   217510205          32       5,350  SH     DEFINED     01       1,030       4,320           0
COPPER MTN NETWORKS INC        COM   217510205           1         130  SH     DEFINED     04         130           0           0
COPPER MTN NETWORKS INC        COM   217510205          60       9,944  SH     DEFINED  01,08       2,504       7,440           0
COPPER MTN NETWORKS INC        COM   217510205           0           5  SH     DEFINED     10           5           0           0

COPYTELE INC                   COM   217721109          44     143,300  SH     DEFINED     01      12,400     130,900           0
COPYTELE INC                   COM   217721109           5      16,000  SH     OTHER       02       4,000      12,000           0
COPYTELE INC                   COM   217721109           1       2,000  SH     DEFINED     04       2,000           0           0
COPYTELE INC                   COM   217721109          32     102,522  SH     DEFINED  01,08      12,910      89,612           0

CORILLIAN CORP                 COM   218725109          28      33,700  SH     DEFINED     01       6,200      27,500           0
CORILLIAN CORP                 COM   218725109          41      50,000  SH     OTHER       01      50,000           0           0
CORILLIAN CORP                 COM   218725109          53      64,578  SH     DEFINED  01,08       9,578      55,000           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    135
________

CORINTHIAN COLLEGES INC        COM   218868107       8,028     203,248  SH     DEFINED     01      86,858     113,140       3,250
CORINTHIAN COLLEGES INC        COM   218868107          83       2,100  SH     DEFINED     04       2,100           0           0
CORINTHIAN COLLEGES INC        COM   218868107          38         950  SH     OTHER    01,06           0           0         950
CORINTHIAN COLLEGES INC        COM   218868107       3,109      78,699  SH     DEFINED  01,08      13,511      65,188           0

CORIXA CORP                    COM   21887F100       1,139     166,514  SH     DEFINED     01     100,233      65,231       1,050
CORIXA CORP                    COM   21887F100           8       1,225  SH     OTHER       01           0           0       1,225
CORIXA CORP                    COM   21887F100           8       1,200  SH     OTHER       03           0       1,200           0
CORIXA CORP                    COM   21887F100         326      47,634  SH     DEFINED     04      47,634           0           0
CORIXA CORP                    COM   21887F100       1,275     186,418  SH     DEFINED  01,08      27,122     159,296           0

CORIO INC                      COM   218875102           9      11,100  SH     DEFINED     01      11,100           0           0
CORIO INC                      COM   218875102          60      78,100  SH     DEFINED  01,08      23,600      54,500           0

CORN PRODS INTL INC            COM   219023108       6,020     206,440  SH     DEFINED     01     148,606      54,734       3,100
CORN PRODS INTL INC            COM   219023108          48       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          68       2,325  SH     DEFINED     04       2,325           0           0
CORN PRODS INTL INC            COM   219023108           4         125  SH     OTHER       04         125           0           0
CORN PRODS INTL INC            COM   219023108          20         690  SH     OTHER    01,06           0           0         690
CORN PRODS INTL INC            COM   219023108       3,965     135,961  SH     DEFINED  01,08      31,079     104,882           0

CORNELL COMPANIES INC          COM   219141108         520      61,927  SH     DEFINED     01      45,827      15,400         700
CORNELL COMPANIES INC          COM   219141108         255      30,324  SH     DEFINED  01,08       7,428      22,896           0

CORNERSTONE RLTY INCOME TR I   COM   21922V102       1,062     152,636  SH     DEFINED     01      97,062      54,624         950
CORNERSTONE RLTY INCOME TR I   COM   21922V102           9       1,232  SH     DEFINED     04       1,232           0           0
CORNERSTONE RLTY INCOME TR I   COM   21922V102         797     114,454  SH     DEFINED  01,08      27,308      87,146           0

CORNING INC                    COM   219350105      37,498   6,420,855  SH     DEFINED     01   3,259,415   3,052,465     108,975
CORNING INC                    COM   219350105          63      10,825  SH     OTHER       01       9,500         300       1,025
CORNING INC                    COM   219350105           4         600  SH     DEFINED     02           0         600           0
CORNING INC                    COM   219350105          30       5,200  SH     OTHER       02       3,200       1,000       1,000
CORNING INC                    COM   219350105           4         750  SH     DEFINED     03         300           0         450
CORNING INC                    COM   219350105          52       8,880  SH     OTHER       03       8,880           0           0
CORNING INC                    COM   219350105         340      58,238  SH     DEFINED     04      58,238           0           0
CORNING INC                    COM   219350105         276      47,300  SH     OTHER       04      32,600           0      14,700
CORNING INC                    COM   219350105          17       2,900  SH     OTHER    01,06           0           0       2,900
CORNING INC                    COM   219350105      20,411   3,495,110  SH     DEFINED  01,08     914,318   2,580,792           0
CORNING INC                    COM   219350105           6       1,000  SH     DEFINED     10       1,000           0           0
CORNING INC                    COM   219350105           6       1,000  SH     OTHER       10       1,000           0           0

CORPORATE EXECUTIVE BRD CO     COM   21988R102       4,320     121,283  SH     DEFINED     01      64,973      54,610       1,700
CORPORATE EXECUTIVE BRD CO     COM   21988R102          22         625  SH     OTHER       01           0         625           0
CORPORATE EXECUTIVE BRD CO     COM   21988R102       3,764     105,662  SH     DEFINED  01,08      20,495      85,167           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    136
________

CORPORATE HIGH YIELD FD INC    UNDEF 219914108           1       6,500         DEFINED     02       6,500           0           0
CORPORATE HIGH YIELD FD INC    UNDEF 219914108          56       6,636         DEFINED     04       6,636           0           0

CORRECTIONAL SVCS CORP         COM   219921103          72      27,640  SH     DEFINED     01       1,540      26,100           0
CORRECTIONAL SVCS CORP         COM   219921103          47      17,894  SH     DEFINED  01,08       4,886      13,008           0

CORPORATE HIGH YIELD FD III    UNDEF 219925104           2      21,045         DEFINED     01      21,045           0           0
CORPORATE HIGH YIELD FD III    UNDEF 219925104           0         913         DEFINED     03           0         913           0

CORPORATE HIGH YIELD FD V IN   UNDEF 219931102           2      12,700         OTHER       01           0      12,700           0

CORPORATE OFFICE PPTYS TR      COM   22002T108         851      57,083  SH     DEFINED     01      42,633      13,450       1,000
CORPORATE OFFICE PPTYS TR      COM   22002T108       1,036      69,559  SH     DEFINED  01,08      29,669      39,890           0

CORRECTIONAL PPTYS TR          COM   22025E104         769      37,255  SH     DEFINED     01      34,055       2,800         400
CORRECTIONAL PPTYS TR          COM   22025E104          21       1,000  SH     DEFINED     04       1,000           0           0
CORRECTIONAL PPTYS TR          COM   22025E104         559      27,083  SH     DEFINED  01,08      14,600      12,483           0

CORRECTIONS CORP AMER NEW      COM   22025Y407       1,392      79,699  SH     DEFINED     01      59,320      18,768       1,611
CORRECTIONS CORP AMER NEW      COM   22025Y407       1,401      80,216  SH     DEFINED  01,08      15,887      64,329           0

CORRPRO COS INC                COM   220317101           4      10,000  SH     DEFINED     01       1,100       8,900           0
CORRPRO COS INC                COM   220317101           5      12,775  SH     DEFINED  01,08       3,475       9,300           0

CORTEX PHARMACEUTICALS INC     COM   220524300          24      33,000  SH     DEFINED     01       3,200      29,800           0
CORTEX PHARMACEUTICALS INC     COM   220524300           4       4,940  SH     DEFINED  01,08       2,962       1,978           0

CORUS BANKSHARES INC           COM   220873103       1,502      37,628  SH     DEFINED     01      20,098      17,330         200
CORUS BANKSHARES INC           COM   220873103       1,703      42,683  SH     DEFINED  01,08       7,101      35,582           0

CORVAS INTL INC                COM   221005101          56      28,500  SH     DEFINED     01       5,500      23,000           0
CORVAS INTL INC                COM   221005101          82      42,005  SH     DEFINED  01,08       6,796      35,209           0

CORVEL CORP                    COM   221006109         920      28,225  SH     DEFINED     01      12,313      15,462         450
CORVEL CORP                    COM   221006109         786      24,140  SH     DEFINED  01,08       5,571      18,569           0

CORVIS CORP                    COM   221009103          48      73,100  SH     DEFINED     01      73,100           0           0
CORVIS CORP                    COM   221009103          26      40,000  SH     DEFINED     04      40,000           0           0
CORVIS CORP                    COM   221009103           0          80  SH     OTHER       04          80           0           0
CORVIS CORP                    COM   221009103         186     286,715  SH     DEFINED  01,08     169,900     116,815           0

COSI INC                       COM   22122P101         312     172,100  SH     DEFINED     01     172,100           0           0
COSI INC                       COM   22122P101          11       6,000  SH     DEFINED  01,08       6,000           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    137
________

COSINE COMMUNICATIONS INC      COM   221222607          48      10,560  SH     DEFINED     01       2,890       7,670           0
COSINE COMMUNICATIONS INC      COM   221222607          78      17,310  SH     DEFINED  01,08       4,520      12,790           0

COST PLUS INC CALIF            COM   221485105       2,216      84,212  SH     DEFINED     01      34,333      38,379      11,500
COST PLUS INC CALIF            COM   221485105          30       1,125  SH     OTHER       01           0       1,125           0
COST PLUS INC CALIF            COM   221485105          15         552  SH     DEFINED     02         552           0           0
COST PLUS INC CALIF            COM   221485105          11         425  SH     OTHER    01,06           0           0         425
COST PLUS INC CALIF            COM   221485105       2,462      93,541  SH     DEFINED  01,08      11,879      81,662           0

COSTCO WHSL CORP NEW           COM   22160K105      91,678   3,052,870  SH     DEFINED     01   1,737,945   1,247,990      66,935
COSTCO WHSL CORP NEW           COM   22160K105       1,916      63,805  SH     OTHER       01      27,324      26,081      10,400
COSTCO WHSL CORP NEW           COM   22160K105       3,690     122,872  SH     DEFINED     02      81,632      36,600       4,640
COSTCO WHSL CORP NEW           COM   22160K105       1,399      46,600  SH     OTHER       02      20,755      23,445       2,400
COSTCO WHSL CORP NEW           COM   22160K105       4,570     152,196  SH     DEFINED     03      74,327      61,893      15,976
COSTCO WHSL CORP NEW           COM   22160K105       1,400      46,620  SH     OTHER       03      36,085       7,960       2,575
COSTCO WHSL CORP NEW           COM   22160K105      13,693     455,985  SH     DEFINED     04     449,385           0       6,600
COSTCO WHSL CORP NEW           COM   22160K105       4,663     155,265  SH     OTHER       04     138,265           0      17,000
COSTCO WHSL CORP NEW           COM   22160K105         398      13,253  SH     DEFINED     05       5,235       7,443         575
COSTCO WHSL CORP NEW           COM   22160K105          35       1,150  SH     OTHER    01,06           0           0       1,150
COSTCO WHSL CORP NEW           COM   22160K105      42,571   1,417,619  SH     DEFINED  01,08     367,212   1,050,407           0
COSTCO WHSL CORP NEW           COM   22160K105       1,551      51,649  SH     DEFINED     10      45,956       1,650       4,043
COSTCO WHSL CORP NEW           COM   22160K105         367      12,230  SH     OTHER       10       6,715       4,790         725

COSTAR GROUP INC               COM   22160N109       1,012      45,918  SH     DEFINED     01      23,969      21,399         550
COSTAR GROUP INC               COM   22160N109         726      32,933  SH     DEFINED  01,08       8,370      24,563           0

COTTON STS LIFE INS CO         COM   221774102          76       7,900  SH     DEFINED     01       1,300       6,600           0
COTTON STS LIFE INS CO         COM   221774102         105      10,864  SH     DEFINED  01,08       2,738       8,126           0

COUNTRYWIDE FINANCIAL CORP     CONDB 222372AE4       4,156   5,000,000  PRN    DEFINED     01   5,000,000           0           0

COUNTRYWIDE FINANCIAL CORP     COM   222372104      40,987     712,812  SH     DEFINED     01     364,388     338,274      10,150
COUNTRYWIDE FINANCIAL CORP     COM   222372104          60       1,050  SH     OTHER       01         900           0         150
COUNTRYWIDE FINANCIAL CORP     COM   222372104           7         117  SH     DEFINED     02          26           0          91
COUNTRYWIDE FINANCIAL CORP     COM   222372104          12         200  SH     OTHER       02         200           0           0
COUNTRYWIDE FINANCIAL CORP     COM   222372104           5          95  SH     DEFINED     03          45           0          50
COUNTRYWIDE FINANCIAL CORP     COM   222372104          72       1,250  SH     OTHER       03       1,250           0           0
COUNTRYWIDE FINANCIAL CORP     COM   222372104       1,762      30,642  SH     DEFINED     04      30,642           0           0
COUNTRYWIDE FINANCIAL CORP     COM   222372104          17         300  SH     OTHER    01,06           0           0         300
COUNTRYWIDE FINANCIAL CORP     COM   222372104      19,865     345,477  SH     DEFINED  01,08      93,257     252,220           0
COUNTRYWIDE FINANCIAL CORP     COM   222372104           1          19  SH     DEFINED     10          19           0           0
COUNTRYWIDE FINANCIAL CORP     COM   222372104          81       1,400  SH     OTHER       10       1,400           0           0

COURIER CORP                   COM   222660102         605      12,276  SH     DEFINED     01       5,969       6,107         200
COURIER CORP                   COM   222660102         713      14,480  SH     DEFINED  01,08       2,851      11,629           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    138
________

COUSINS PPTYS INC              COM   222795106       1,081      41,830  SH     DEFINED     01      24,147      15,983       1,700
COUSINS PPTYS INC              COM   222795106         517      20,000  SH     OTHER       04      20,000           0           0
COUSINS PPTYS INC              COM   222795106       2,854     110,424  SH     DEFINED  01,08      24,638      85,786           0

COVANSYS CORP                  COM   22281W103         229      96,500  SH     DEFINED     01      35,050      60,500         950
COVANSYS CORP                  COM   22281W103         197      83,284  SH     DEFINED  01,08      13,936      69,348           0

COVALENT GROUP INC             COM   222815102           5       2,500  SH     DEFINED     01       2,500           0           0
COVALENT GROUP INC             COM   222815102          35      19,395  SH     DEFINED  01,08       3,695      15,700           0

COVANCE INC                    COM   222816100       6,717     290,530  SH     DEFINED     01     136,029     143,291      11,210
COVANCE INC                    COM   222816100          89       3,845  SH     DEFINED     04       3,845           0           0
COVANCE INC                    COM   222816100       3,710     160,474  SH     DEFINED  01,08      19,580     140,894           0

COVENANT TRANS INC             COM   22284P105         576      33,927  SH     DEFINED     01      16,721      17,106         100
COVENANT TRANS INC             COM   22284P105         410      24,109  SH     DEFINED  01,08       5,998      18,111           0

COVENTRY HEALTH CARE INC       COM   222862104       5,709     173,537  SH     DEFINED     01      61,223     108,022       4,292
COVENTRY HEALTH CARE INC       COM   222862104       3,893     118,323  SH     DEFINED  01,08      16,170     102,153           0

COVEST BANCSHARES INC          COM   223032103         108       4,100  SH     DEFINED     01         600       3,500           0
COVEST BANCSHARES INC          COM   223032103         198       7,500  SH     DEFINED  01,08       1,950       5,550           0

COVISTA COMMUNICATIONS INC     COM   223574104           3       1,627  SH     DEFINED     01       1,627           0           0
COVISTA COMMUNICATIONS INC     COM   223574104          32      14,796  SH     DEFINED  01,08       5,262       9,534           0

COX COMMUNICATIONS INC NEW     COM   224044107      10,661     342,688  SH     DEFINED     01     240,013      94,832       7,843
COX COMMUNICATIONS INC NEW     COM   224044107          96       3,088  SH     DEFINED     03         628           0       2,460
COX COMMUNICATIONS INC NEW     COM   224044107          31       1,000  SH     DEFINED     04       1,000           0           0
COX COMMUNICATIONS INC NEW     COM   224044107         728      23,400  SH     OTHER       04      23,400           0           0
COX COMMUNICATIONS INC NEW     COM   224044107      21,668     696,503  SH     DEFINED  01,08     108,626     587,877           0
COX COMMUNICATIONS INC NEW     COM   224044107          47       1,500  SH     DEFINED     10         250           0       1,250

COX RADIO INC                  COM   224051102       1,435      69,464  SH     DEFINED     01      42,089      15,177      12,198
COX RADIO INC                  COM   224051102           4         179  SH     DEFINED     03         179           0           0
COX RADIO INC                  COM   224051102           6         285  SH     DEFINED     04         285           0           0
COX RADIO INC                  COM   224051102          36       1,750  SH     OTHER       04       1,750           0           0
COX RADIO INC                  COM   224051102       2,369     114,678  SH     DEFINED  01,08      38,743      75,935           0

CRAFTMADE INTL INC             COM   22413E104         170      11,900  SH     DEFINED     01           0      11,900           0
CRAFTMADE INTL INC             COM   22413E104         141       9,900  SH     DEFINED  01,08       2,750       7,150           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    139
________

CRANE CO                       COM   224399105       5,776     331,566  SH     DEFINED     01     170,294     156,408       4,864
CRANE CO                       COM   224399105          94       5,419  SH     OTHER       01       4,969         400          50
CRANE CO                       COM   224399105          62       3,581  SH     OTHER       02           0       3,581           0
CRANE CO                       COM   224399105           1          50  SH     DEFINED     03           0           0          50
CRANE CO                       COM   224399105         148       8,500  SH     DEFINED     04       8,500           0           0
CRANE CO                       COM   224399105         157       9,019  SH     OTHER       04       9,019           0           0
CRANE CO                       COM   224399105           3         200  SH     OTHER    01,06           0           0         200
CRANE CO                       COM   224399105       2,658     152,606  SH     DEFINED  01,08      43,529     109,077           0
CRANE CO                       COM   224399105           0          11  SH     DEFINED     10          11           0           0

CRAWFORD & CO                  COM   224633107         494     119,042  SH     DEFINED     01      50,611      66,931       1,500
CRAWFORD & CO                  COM   224633107         501     120,686  SH     DEFINED  01,08      25,056      95,630           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       1,222     184,943  SH     DEFINED     01      93,224      89,519       2,200
CRAY INC                       COM   225223106       1,438     217,557  SH     DEFINED  01,08      33,100     184,457           0

CREDENCE SYS CORP              COM   225302108       2,068     304,057  SH     DEFINED     01     150,344     152,263       1,450
CREDENCE SYS CORP              COM   225302108           1         112  SH     DEFINED     02           0           0         112
CREDENCE SYS CORP              COM   225302108           1         200  SH     DEFINED     04         200           0           0
CREDENCE SYS CORP              COM   225302108       1,053     154,910  SH     DEFINED  01,08      20,035     134,875           0

CREDIT ACCEP CORP MICH         COM   225310101         710     144,899  SH     DEFINED     01      91,093      53,606         200
CREDIT ACCEP CORP MICH         COM   225310101         488      99,602  SH     DEFINED  01,08      20,035      79,567           0

CREDO PETE CORP                COM   225439207          30       2,300  SH     DEFINED     01         700       1,600           0
CREDO PETE CORP                COM   225439207         112       8,585  SH     DEFINED  01,08       1,483       7,102           0

CREDIT SUISSE HIGH YLD BND F   UNDEF 22544F103           0       1,700         DEFINED     01       1,700           0           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       6,521     352,080  SH     DEFINED     01     194,453     153,077       4,550
CREE INC                       COM   225447101      13,031     703,626  SH     DEFINED     04     703,626           0           0
CREE INC                       COM   225447101         210      11,320  SH     OTHER       04      11,320           0           0
CREE INC                       COM   225447101       3,467     187,215  SH     DEFINED  01,08      23,724     163,491           0

CRESCENT REAL ESTATE EQUITIE   COM   225756105       1,615     112,305  SH     DEFINED     01      72,240      38,965       1,100
CRESCENT REAL ESTATE EQUITIE   COM   225756105          32       2,200  SH     DEFINED     02       2,200           0           0
CRESCENT REAL ESTATE EQUITIE   COM   225756105         173      12,047  SH     DEFINED     04      12,047           0           0
CRESCENT REAL ESTATE EQUITIE   COM   225756105          22       1,525  SH     OTHER       04         525           0       1,000
CRESCENT REAL ESTATE EQUITIE   COM   225756105       2,695     187,413  SH     DEFINED  01,08      24,253     163,160           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    140
________

CRIIMI MAE INC                 COM   226603504          20       2,338  SH     DEFINED     01       2,338           0           0
CRIIMI MAE INC                 COM   226603504          21       2,343  SH     OTHER       04       2,343           0           0
CRIIMI MAE INC                 COM   226603504          91      10,420  SH     DEFINED  01,08       6,020       4,400           0

CRITICAL PATH INC              COM   22674V100          55      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          44      50,100  SH     DEFINED  01,08      34,000      16,100           0

CRITICARE SYS INC              COM   226901106          32      13,400  SH     DEFINED     01       2,100      11,300           0
CRITICARE SYS INC              COM   226901106          68      28,370  SH     DEFINED  01,08       4,838      23,532           0

CROMPTON CORP                  COM   227116100       2,386     589,240  SH     DEFINED     01     289,484     293,806       5,950
CROMPTON CORP                  COM   227116100       1,240     306,183  SH     DEFINED  01,08      30,924     275,259           0

CROSS A T CO                   COM   227478104         128      26,800  SH     DEFINED     01      13,000      13,300         500
CROSS A T CO                   COM   227478104           1         300  SH     OTHER    01,06           0           0         300
CROSS A T CO                   COM   227478104         188      39,547  SH     DEFINED  01,08      12,119      27,428           0

CROSS CTRY INC                 COM   22748P105       1,222     106,272  SH     DEFINED     01      56,714      47,808       1,750
CROSS CTRY INC                 COM   22748P105         950      82,651  SH     DEFINED  01,08      16,926      65,725           0

CROSS MEDIA MARKETING CORP     COM   22754R201          11      32,199  SH     DEFINED     01      16,769      15,430           0
CROSS MEDIA MARKETING CORP     COM   22754R201           5      15,093  SH     DEFINED  01,08       4,969      10,124           0

CROSS TIMBERS RTY TR           COM   22757R109         256      13,500  SH     DEFINED     01       1,200      12,300           0
CROSS TIMBERS RTY TR           COM   22757R109          80       4,250  SH     OTHER       01       4,250           0           0
CROSS TIMBERS RTY TR           COM   22757R109          11         600  SH     DEFINED     04         600           0           0
CROSS TIMBERS RTY TR           COM   22757R109          19       1,000  SH     DEFINED  01,08           0       1,000           0

CROSSROADS SYS INC             COM   22765D100          36      26,900  SH     DEFINED     01       5,500      21,400           0
CROSSROADS SYS INC             COM   22765D100           3       2,500  SH     DEFINED     04       2,500           0           0
CROSSROADS SYS INC             COM   22765D100          52      39,028  SH     DEFINED  01,08       6,228      32,800           0

CROWN AMERN RLTY TR            COM   228186102         915      93,137  SH     DEFINED     01      50,550      40,727       1,860
CROWN AMERN RLTY TR            COM   228186102          88       9,000  SH     OTHER       03       9,000           0           0
CROWN AMERN RLTY TR            COM   228186102         393      40,000  SH     DEFINED     04      40,000           0           0
CROWN AMERN RLTY TR            COM   228186102         314      32,019  SH     DEFINED  01,08      16,935      15,084           0
CROWN AMERN RLTY TR            COM   228186102         196      20,000  SH     DEFINED     10           0      20,000           0

CROWN CASTLE INTL CORP         COM   228227104       3,045     553,695  SH     DEFINED     01     414,437     128,308      10,950
CROWN CASTLE INTL CORP         COM   228227104          28       5,000  SH     OTHER       01       5,000           0           0
CROWN CASTLE INTL CORP         COM   228227104       3,100     563,669  SH     DEFINED  01,08     117,680     445,989           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    141
________

CROWN HOLDINGS INC             COM   228368106       3,184     566,604  SH     DEFINED     01     339,258     220,916       6,430
CROWN HOLDINGS INC             COM   228368106       2,469     439,282  SH     DEFINED  01,08      88,300     350,982           0
CROWN HOLDINGS INC             COM   228368106           1         182  SH     DEFINED     10         182           0           0

CROWN MEDIA HLDGS INC          COM   228411104         239      86,782  SH     DEFINED     01      68,979      16,353       1,450
CROWN MEDIA HLDGS INC          COM   228411104         348     126,554  SH     DEFINED  01,08      37,553      89,001           0

CRYO-CELL INTL INC             COM   228895108           1       1,200  SH     DEFINED     01       1,200           0           0
CRYO-CELL INTL INC             COM   228895108          14      19,814  SH     DEFINED  01,08       2,714      17,100           0

CRYOLIFE INC                   COM   228903100         938     136,868  SH     DEFINED     01     106,507      28,761       1,600
CRYOLIFE INC                   COM   228903100          27       3,915  SH     DEFINED     04       3,915           0           0
CRYOLIFE INC                   COM   228903100           3         400  SH     OTHER    01,06           0           0         400
CRYOLIFE INC                   COM   228903100         511      74,559  SH     DEFINED  01,08      17,090      57,469           0

CTI MOLECULAR IMAGING INC      COM   22943D105         825      42,100  SH     DEFINED     01       8,200      33,900           0
CTI MOLECULAR IMAGING INC      COM   22943D105       1,313      67,000  SH     DEFINED  01,08      17,800      49,200           0

CUBIC CORP                     COM   229669106       1,093      66,969  SH     DEFINED     01      29,890      36,179         900
CUBIC CORP                     COM   229669106           2         150  SH     DEFINED     03         150           0           0
CUBIC CORP                     COM   229669106           8         500  SH     OTHER    01,06           0           0         500
CUBIC CORP                     COM   229669106       1,982     121,424  SH     DEFINED  01,08      13,429     107,995           0

CUBIST PHARMACEUTICALS INC     COM   229678107         740      92,329  SH     DEFINED     01      47,945      42,984       1,400
CUBIST PHARMACEUTICALS INC     COM   229678107           8       1,000  SH     OTHER       01       1,000           0           0
CUBIST PHARMACEUTICALS INC     COM   229678107           2         200  SH     DEFINED     04         200           0           0
CUBIST PHARMACEUTICALS INC     COM   229678107         404      50,429  SH     DEFINED  01,08      16,090      34,339           0

CULLEN FROST BANKERS INC       COM   229899109       2,149      70,737  SH     DEFINED     01      41,721      26,266       2,750
CULLEN FROST BANKERS INC       COM   229899109           5         156  SH     DEFINED     02           0           0         156
CULLEN FROST BANKERS INC       COM   229899109          91       3,000  SH     OTHER       05           0       3,000           0
CULLEN FROST BANKERS INC       COM   229899109          30       1,000  SH     OTHER    01,06           0           0       1,000
CULLEN FROST BANKERS INC       COM   229899109       4,829     158,958  SH     DEFINED  01,08      20,123     138,835           0

CULP INC                       COM   230215105         140      31,494  SH     DEFINED     01      17,394      14,100           0
CULP INC                       COM   230215105         192      42,994  SH     DEFINED  01,08       5,436      37,558           0

CUMMINS INC                    COM   231021106       5,687     231,165  SH     DEFINED     01     121,741     105,949       3,475
CUMMINS INC                    COM   231021106           1          50  SH     OTHER       01           0           0          50
CUMMINS INC                    COM   231021106           5         200  SH     DEFINED     04         200           0           0
CUMMINS INC                    COM   231021106          11         434  SH     OTHER       04         434           0           0
CUMMINS INC                    COM   231021106       2,706     110,020  SH     DEFINED  01,08      30,248      79,772           0
CUMMINS INC                    COM   231021106           3         117  SH     DEFINED     10         117           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    142
________

CUMULUS MEDIA INC              COM   231082108       1,155      79,347  SH     DEFINED     01      25,250      52,589       1,508
CUMULUS MEDIA INC              COM   231082108       2,162     148,499  SH     DEFINED  01,08      24,749     123,750           0

CURAGEN CORP                   COM   23126R101         599     146,091  SH     DEFINED     01      91,134      53,557       1,400
CURAGEN CORP                   COM   23126R101         540     131,693  SH     DEFINED  01,08      24,887     106,806           0

CURATIVE HEALTH SVCS INC       COM   231264102         657      38,463  SH     DEFINED     01      18,218      19,695         550
CURATIVE HEALTH SVCS INC       COM   231264102           6         325  SH     OTHER    01,06           0           0         325
CURATIVE HEALTH SVCS INC       COM   231264102         962      56,324  SH     DEFINED  01,08      10,505      45,819           0

CURIS INC                      COM   231269101          23      29,400  SH     DEFINED     01       3,550      25,850           0
CURIS INC                      COM   231269101          37      46,382  SH     DEFINED  01,08       7,263      39,119           0

CURON MED INC                  COM   231292103          16      21,600  SH     DEFINED     01       3,800      17,800           0
CURON MED INC                  COM   231292103          19      25,800  SH     DEFINED  01,08       3,500      22,300           0

CURTISS WRIGHT CORP            COM   231561101       2,237      36,971  SH     DEFINED     01      20,823      15,648         500
CURTISS WRIGHT CORP            COM   231561101          12         200  SH     OTHER    01,06           0           0         200
CURTISS WRIGHT CORP            COM   231561101       3,124      51,640  SH     DEFINED  01,08       9,071      42,569           0

CUTTER & BUCK INC              COM   232217109          34      10,200  SH     DEFINED     01       1,900       8,300           0
CUTTER & BUCK INC              COM   232217109          62      18,711  SH     DEFINED  01,08       4,759      13,952           0

CYANOTECH CORP                 COM   232437202           1       2,900  SH     DEFINED     01       2,900           0           0
CYANOTECH CORP                 COM   232437202         336     700,000  SH     DEFINED     03           0     700,000           0
CYANOTECH CORP                 COM   232437202         192     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         121      50,500  SH     DEFINED     01       5,000      45,500           0
CYBERSOURCE CORP               COM   23251J106           0         200  SH     DEFINED     02         200           0           0
CYBERSOURCE CORP               COM   23251J106         133      55,428  SH     DEFINED  01,08      13,928      41,500           0
CYBERSOURCE CORP               COM   23251J106           1         300  SH     DEFINED     10         300           0           0

CYBERONICS INC                 COM   23251P102       1,587      74,205  SH     DEFINED     01      38,250      34,955       1,000
CYBERONICS INC                 COM   23251P102       1,896      88,647  SH     DEFINED  01,08      12,457      76,190           0

CYBEROPTICS CORP               COM   232517102          35       8,900  SH     DEFINED     01       1,550       7,350           0
CYBEROPTICS CORP               COM   232517102          56      14,387  SH     DEFINED  01,08       3,873      10,514           0

CYBEX INTL INC                 COM   23252E106           9       6,900  SH     DEFINED     01           0       6,900           0
CYBEX INTL INC                 COM   23252E106          23      17,100  SH     DEFINED  01,08       3,540      13,560           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    143
________

CYMER INC                      COM   232572107       1,657      70,003  SH     DEFINED     01      24,466      43,048       2,489
CYMER INC                      COM   232572107          60       2,545  SH     DEFINED     04       2,545           0           0
CYMER INC                      COM   232572107          15         650  SH     OTHER    01,06           0           0         650
CYMER INC                      COM   232572107       2,764     116,787  SH     DEFINED  01,08      18,914      97,873           0

CYPRESS BIOSCIENCES INC        COM   232674507          13       5,125  SH     DEFINED     01       1,225       3,900           0
CYPRESS BIOSCIENCES INC        COM   232674507          32      12,892  SH     DEFINED  01,08       1,827      11,065           0

CYPRESS SEMICONDUCTOR CORP     COM   232806109       2,708     392,497  SH     DEFINED     01     145,507     239,490       7,500
CYPRESS SEMICONDUCTOR CORP     COM   232806109           2         341  SH     DEFINED     03           0         341           0
CYPRESS SEMICONDUCTOR CORP     COM   232806109          14       1,990  SH     OTHER       04           0           0       1,990
CYPRESS SEMICONDUCTOR CORP     COM   232806109       1,974     286,023  SH     DEFINED  01,08      38,961     247,062           0

CYSIVE INC                     COM   23281T108          15       5,900  SH     DEFINED     01       5,600         300           0
CYSIVE INC                     COM   23281T108         123      47,507  SH     DEFINED  01,08      12,307      35,200           0

CYTEC INDS INC                 COM   232820100       5,575     200,170  SH     DEFINED     01     101,767      96,203       2,200
CYTEC INDS INC                 COM   232820100           6         200  SH     DEFINED     02         200           0           0
CYTEC INDS INC                 COM   232820100          70       2,500  SH     DEFINED     03           0           0       2,500
CYTEC INDS INC                 COM   232820100           5         171  SH     OTHER       04         171           0           0
CYTEC INDS INC                 COM   232820100       2,760      99,113  SH     DEFINED  01,08      12,751      86,362           0

CYTOGEN CORP                   COM   232824300          21       7,240  SH     DEFINED     01       1,570       5,670           0
CYTOGEN CORP                   COM   232824300          38      13,147  SH     DEFINED  01,08       1,912      11,235           0

D & E COMMUNICATIONS INC       COM   232860106         181      15,550  SH     DEFINED     01       2,618      12,932           0
D & E COMMUNICATIONS INC       COM   232860106         229      19,682  SH     DEFINED  01,08       6,451      13,231           0

D & K HEALTHCARE RES INC       COM   232861104         465      45,408  SH     DEFINED     01      23,343      21,365         700
D & K HEALTHCARE RES INC       COM   232861104          28       2,712  SH     OTHER       01       2,712           0           0
D & K HEALTHCARE RES INC       COM   232861104           3         250  SH     OTHER       04         250           0           0
D & K HEALTHCARE RES INC       COM   232861104         701      68,548  SH     DEFINED  01,08       8,006      60,542           0

CYTYC CORP                     COM   232946103       4,870     373,148  SH     DEFINED     01     140,229     226,119       6,800
CYTYC CORP                     COM   232946103         366      28,080  SH     OTHER       01           0           0      28,080
CYTYC CORP                     COM   232946103          14       1,042  SH     DEFINED     02       1,042           0           0
CYTYC CORP                     COM   232946103          57       4,365  SH     DEFINED     04       4,365           0           0
CYTYC CORP                     COM   232946103       3,840     294,256  SH     DEFINED  01,08      37,356     256,900           0

DSI TOYS INC                   COM   232968107           2       4,000  SH     DEFINED     01           0       4,000           0
DSI TOYS INC                   COM   232968107           5      12,000  SH     DEFINED  01,08       2,100       9,900           0

D A CONSULTING GROUP INC       COM   233027101           2      10,400  SH     DEFINED     01         900       9,500           0
D A CONSULTING GROUP INC       COM   233027101           3      15,100  SH     DEFINED  01,08       1,700      13,400           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    144
________

DDI CORP                       COM   233162106          19     124,779  SH     DEFINED     01      62,675      61,004       1,100
DDI CORP                       COM   233162106          17     115,690  SH     DEFINED  01,08      13,011     102,679           0

DHB INDS INC                   COM   23321E103         159      71,557  SH     DEFINED     01      56,569      14,588         400
DHB INDS INC                   COM   23321E103         172      77,343  SH     DEFINED  01,08      17,900      59,443           0

DMI FURNITURE INC              COM   233230101           3       1,600  SH     DEFINED     01         500       1,100           0
DMI FURNITURE INC              COM   233230101          18      10,000  SH     DEFINED     04      10,000           0           0
DMI FURNITURE INC              COM   233230101          20      10,893  SH     DEFINED  01,08       1,992       8,901           0

DJ ORTHOPEDICS INC             COM   23325G104          62      15,891  SH     DEFINED     01      11,891       3,800         200
DJ ORTHOPEDICS INC             COM   23325G104         137      35,055  SH     DEFINED  01,08       8,600      26,455           0

DNP SELECT INCOME FD           COM   23325P104          64       6,485  SH     DEFINED     01       6,485           0           0
DNP SELECT INCOME FD           COM   23325P104          11       1,090  SH     OTHER       01           0       1,090           0
DNP SELECT INCOME FD           COM   23325P104          11       1,148  SH     DEFINED     02       1,148           0           0
DNP SELECT INCOME FD           COM   23325P104          22       2,256  SH     OTHER       02           0       2,256           0
DNP SELECT INCOME FD           COM   23325P104          20       2,000  SH     DEFINED     03           0       2,000           0
DNP SELECT INCOME FD           COM   23325P104         433      43,587  SH     DEFINED     04      43,587           0           0
DNP SELECT INCOME FD           COM   23325P104         152      15,320  SH     OTHER       04      15,320           0           0
DNP SELECT INCOME FD           COM   23325P104          25       2,500  SH     OTHER       10       2,500           0           0

DPAC TECHNOLOGIES CORP         COM   233269109          14      14,200  SH     DEFINED     01       3,900      10,300           0
DPAC TECHNOLOGIES CORP         COM   233269109          33      32,963  SH     DEFINED  01,08       6,069      26,894           0

DQE INC                        COM   23329J104       4,262     349,664  SH     DEFINED     01     188,015     158,999       2,650
DQE INC                        COM   23329J104          51       4,200  SH     OTHER       01           0       2,700       1,500
DQE INC                        COM   23329J104           6         480  SH     DEFINED     03         480           0           0
DQE INC                        COM   23329J104         711      58,333  SH     DEFINED     04      58,333           0           0
DQE INC                        COM   23329J104          68       5,618  SH     OTHER       04       2,618           0       3,000
DQE INC                        COM   23329J104       2,289     187,755  SH     DEFINED  01,08      23,839     163,916           0

DPL INC                        COM   233293109       5,214     418,421  SH     DEFINED     01     165,362     246,259       6,800
DPL INC                        COM   233293109          18       1,459  SH     OTHER       02         900         559           0
DPL INC                        COM   233293109          50       4,050  SH     OTHER       03           0       4,050           0
DPL INC                        COM   233293109         122       9,819  SH     DEFINED     04       9,819           0           0
DPL INC                        COM   233293109         130      10,462  SH     OTHER       04      10,462           0           0
DPL INC                        COM   233293109       3,746     300,613  SH     DEFINED  01,08      40,000     260,613           0
DPL INC                        COM   233293109          11         900  SH     DEFINED     10           0         900           0
DPL INC                        COM   233293109          51       4,100  SH     OTHER       10       4,100           0           0

DRS TECHNOLOGIES INC           COM   23330X100       1,719      68,744  SH     DEFINED     01      38,358      29,586         800
DRS TECHNOLOGIES INC           COM   23330X100          28       1,100  SH     OTHER       04       1,100           0           0
DRS TECHNOLOGIES INC           COM   23330X100          11         450  SH     OTHER    01,06           0           0         450
DRS TECHNOLOGIES INC           COM   23330X100       2,233      89,285  SH     DEFINED  01,08      11,477      77,808           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    145
________

D R HORTON INC                 COM   23331A109       8,545     445,051  SH     DEFINED     01     161,562     273,664       9,825
D R HORTON INC                 COM   23331A109           9         450  SH     OTHER       02           0         450           0
D R HORTON INC                 COM   23331A109           4         200  SH     OTHER       04         200           0           0
D R HORTON INC                 COM   23331A109       5,734     298,632  SH     DEFINED  01,08      42,503     256,129           0

DSP GROUP INC                  COM   23332B106       1,681      92,726  SH     DEFINED     01      51,236      39,100       2,390
DSP GROUP INC                  COM   23332B106          10         525  SH     OTHER    01,06           0           0         525
DSP GROUP INC                  COM   23332B106       2,473     136,382  SH     DEFINED  01,08      24,346     112,036           0
DSP GROUP INC                  COM   23332B106           7         400  SH     DEFINED     10           0           0         400

DST SYS INC DEL                COM   233326107      10,132     372,492  SH     DEFINED     01     138,431     232,911       1,150
DST SYS INC DEL                COM   233326107          27       1,000  SH     OTHER       04       1,000           0           0
DST SYS INC DEL                COM   233326107       7,692     282,791  SH     DEFINED  01,08      34,508     248,283           0
DST SYS INC DEL                COM   233326107           3         100  SH     DEFINED     10         100           0           0

DT INDUSTRIES INC              COM   23333J108          52      40,000  SH     DEFINED     01       2,100      37,900           0
DT INDUSTRIES INC              COM   23333J108          38      29,234  SH     DEFINED  01,08       9,491      19,743           0

DTE ENERGY CO                  COM   233331107      36,712     949,859  SH     DEFINED     01     493,200     447,309       9,350
DTE ENERGY CO                  COM   233331107         693      17,926  SH     OTHER       01       1,000      15,408       1,518
DTE ENERGY CO                  COM   233331107          31         796  SH     DEFINED     02         748           0          48
DTE ENERGY CO                  COM   233331107          25         650  SH     DEFINED     03           0         600          50
DTE ENERGY CO                  COM   233331107          29         742  SH     OTHER       03         742           0           0
DTE ENERGY CO                  COM   233331107         207       5,367  SH     DEFINED     04       5,367           0           0
DTE ENERGY CO                  COM   233331107         121       3,136  SH     OTHER       04       2,237           0         899
DTE ENERGY CO                  COM   233331107           3          73  SH     DEFINED     05           0           0          73
DTE ENERGY CO                  COM   233331107          15         400  SH     OTHER    01,06           0           0         400
DTE ENERGY CO                  COM   233331107      19,531     505,325  SH     DEFINED  01,08     126,738     378,587           0
DTE ENERGY CO                  COM   233331107         150       3,891  SH     DEFINED     10       3,891           0           0
DTE ENERGY CO                  COM   233331107         262       6,778  SH     OTHER       10         975       4,940         863

DVI INC                        COM   233343102         519      60,743  SH     DEFINED     01      39,550      20,393         800
DVI INC                        COM   233343102         286      33,411  SH     DEFINED  01,08       7,755      25,656           0

DAISYTEK INTL CORP             COM   234053106         126      67,224  SH     DEFINED     01      29,799      37,025         400
DAISYTEK INTL CORP             COM   234053106          90      47,947  SH     DEFINED  01,08       9,579      38,368           0

DAKTRONICS INC                 COM   234264109       2,833     182,165  SH     DEFINED     01     148,307      33,158         700
DAKTRONICS INC                 COM   234264109         657      42,261  SH     DEFINED  01,08       9,732      32,529           0

DAN RIV INC GA                 COM   235774106          68      20,100  SH     DEFINED     01       1,400      18,700           0
DAN RIV INC GA                 COM   235774106         113      33,172  SH     DEFINED  01,08       8,872      24,300           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    146
________

DANA CORP                      COM   235811106       5,874     831,956  SH     DEFINED     01     433,549     389,157       9,250
DANA CORP                      COM   235811106           1         125  SH     OTHER       01           0           0         125
DANA CORP                      COM   235811106          13       1,800  SH     DEFINED     02       1,800           0           0
DANA CORP                      COM   235811106           1          95  SH     OTHER       02          95           0           0
DANA CORP                      COM   235811106           2         250  SH     DEFINED     03           0         200          50
DANA CORP                      COM   235811106          24       3,350  SH     DEFINED     04       3,350           0           0
DANA CORP                      COM   235811106          11       1,534  SH     OTHER       04       1,534           0           0
DANA CORP                      COM   235811106       2,908     411,909  SH     DEFINED  01,08     113,822     298,087           0
DANA CORP                      COM   235811106           0          27  SH     DEFINED     10          27           0           0

DANAHER CORP DEL               COM   235851102     109,364   1,663,076  SH     DEFINED     01   1,150,223     475,088      37,765
DANAHER CORP DEL               COM   235851102       6,381      97,029  SH     OTHER       01      44,755      41,159      11,115
DANAHER CORP DEL               COM   235851102      15,380     233,887  SH     DEFINED     02      62,182       8,100     163,605
DANAHER CORP DEL               COM   235851102         517       7,860  SH     OTHER       02       4,160       3,350         350
DANAHER CORP DEL               COM   235851102      12,846     195,340  SH     DEFINED     03      91,732      71,615      31,993
DANAHER CORP DEL               COM   235851102       1,298      19,735  SH     OTHER       03      15,730       3,155         850
DANAHER CORP DEL               COM   235851102      24,049     365,713  SH     DEFINED     04     358,043           0       7,670
DANAHER CORP DEL               COM   235851102       6,532      99,330  SH     OTHER       04      95,670           0       3,660
DANAHER CORP DEL               COM   235851102       3,244      49,331  SH     DEFINED     05      42,536       3,825       2,970
DANAHER CORP DEL               COM   235851102         304       4,620  SH     OTHER       05       1,825       2,675         120
DANAHER CORP DEL               COM   235851102          26         400  SH     OTHER    01,06           0           0         400
DANAHER CORP DEL               COM   235851102      28,323     430,706  SH     DEFINED  01,08     122,764     307,942           0
DANAHER CORP DEL               COM   235851102       2,091      31,798  SH     DEFINED     10      30,218       1,025         555
DANAHER CORP DEL               COM   235851102         480       7,300  SH     OTHER       10       2,510       4,585         205

DANIELSON HLDG CORP            COM   236274106          48      65,140  SH     DEFINED     01       1,500      63,640           0
DANIELSON HLDG CORP            COM   236274106          32      42,864  SH     DEFINED  01,08      13,488      29,376           0

DARDEN RESTAURANTS INC         COM   237194105      17,506     980,753  SH     DEFINED     01     505,228     451,176      24,349
DARDEN RESTAURANTS INC         COM   237194105          56       3,150  SH     OTHER       01       1,950       1,200           0
DARDEN RESTAURANTS INC         COM   237194105         548      30,720  SH     DEFINED     02      30,175         500          45
DARDEN RESTAURANTS INC         COM   237194105          72       4,025  SH     OTHER       02       2,825       1,200           0
DARDEN RESTAURANTS INC         COM   237194105           6         350  SH     DEFINED     03         200           0         150
DARDEN RESTAURANTS INC         COM   237194105         161       9,000  SH     OTHER       03       9,000           0           0
DARDEN RESTAURANTS INC         COM   237194105          77       4,300  SH     DEFINED     04       4,300           0           0
DARDEN RESTAURANTS INC         COM   237194105         399      22,373  SH     OTHER       04      22,373           0           0
DARDEN RESTAURANTS INC         COM   237194105           3         160  SH     DEFINED     05         160           0           0
DARDEN RESTAURANTS INC         COM   237194105           7         400  SH     OTHER    01,06           0           0         400
DARDEN RESTAURANTS INC         COM   237194105       8,840     495,226  SH     DEFINED  01,08     130,576     364,650           0
DARDEN RESTAURANTS INC         COM   237194105         157       8,771  SH     DEFINED     10         131       8,640           0
DARDEN RESTAURANTS INC         COM   237194105          26       1,452  SH     OTHER       10       1,452           0           0

DARLING INTL INC               COM   237266101          18       8,900  SH     DEFINED     01       2,200       6,700           0
DARLING INTL INC               COM   237266101          82      41,200  SH     DEFINED  01,08      24,398      16,802           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    147
________

DATA I O CORP                  COM   237690102          14      11,700  SH     DEFINED     01       1,000      10,700           0
DATA I O CORP                  COM   237690102          32      26,963  SH     DEFINED  01,08       2,843      24,120           0

DATA SYS & SOFTWARE INC        COM   237887104          12       4,500  SH     DEFINED     01       1,000       3,500           0
DATA SYS & SOFTWARE INC        COM   237887104          32      11,600  SH     DEFINED  01,08       2,265       9,335           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

DATALINK CORP                  COM   237934104           6       1,800  SH     DEFINED     01       1,800           0           0
DATALINK CORP                  COM   237934104          60      16,801  SH     DEFINED  01,08       3,801      13,000           0

DATARAM CORP                   COM   238108203          26      10,400  SH     DEFINED     01       1,800       8,600           0
DATARAM CORP                   COM   238108203          80      31,539  SH     DEFINED  01,08       3,705      27,834           0

DATASCOPE CORP                 COM   238113104       1,270      46,909  SH     DEFINED     01      24,853      20,856       1,200
DATASCOPE CORP                 COM   238113104           2          63  SH     DEFINED     02           0           0          63
DATASCOPE CORP                 COM   238113104           8         300  SH     OTHER    01,06           0           0         300
DATASCOPE CORP                 COM   238113104       2,077      76,686  SH     DEFINED  01,08      12,730      63,956           0

DATASTREAM SYS INC             COM   238124101         402      59,013  SH     DEFINED     01      29,396      28,867         750
DATASTREAM SYS INC             COM   238124101         545      79,943  SH     DEFINED  01,08      10,994      68,949           0

DATATEC SYS INC                COM   238128102          20      13,100  SH     DEFINED     01       6,300       6,800           0
DATATEC SYS INC                COM   238128102          30      20,000  SH     DEFINED     04      20,000           0           0
DATATEC SYS INC                COM   238128102          91      60,786  SH     DEFINED  01,08      15,074      45,712           0

DATATRAK INTL INC              COM   238134100           6       4,800  SH     DEFINED     01         600       4,200           0
DATATRAK INTL INC              COM   238134100          10       7,776  SH     DEFINED  01,08       1,476       6,300           0

DAVE & BUSTERS INC             COM   23833N104         505      55,794  SH     DEFINED     01      28,494      27,050         250
DAVE & BUSTERS INC             COM   23833N104           0           5  SH     DEFINED     04           5           0           0
DAVE & BUSTERS INC             COM   23833N104         263      29,042  SH     DEFINED  01,08       7,378      21,664           0

DAVITA INC                     COM   23918K108       1,550      74,758  SH     DEFINED     01      47,156      26,804         798
DAVITA INC                     COM   23918K108       2,620     126,381  SH     DEFINED  01,08      15,420     110,961           0

DAWSON GEOPHYSICAL CO          COM   239359102          76      10,700  SH     DEFINED     01         900       9,800           0
DAWSON GEOPHYSICAL CO          COM   239359102          83      11,654  SH     DEFINED  01,08       2,394       9,260           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    148
________

DAXOR CORP                     COM   239467103          93       6,600  SH     DEFINED     01       1,000       5,600           0
DAXOR CORP                     COM   239467103         148      10,426  SH     DEFINED  01,08       2,119       8,307           0

DEAN FOODS CO NEW              COM   242370104      12,647     294,741  SH     DEFINED     01     111,577     175,590       7,574
DEAN FOODS CO NEW              COM   242370104         228       5,304  SH     OTHER       01       5,304           0           0
DEAN FOODS CO NEW              COM   242370104         180       4,200  SH     DEFINED     02       2,000       2,200           0
DEAN FOODS CO NEW              COM   242370104         248       5,786  SH     OTHER       02       5,786           0           0
DEAN FOODS CO NEW              COM   242370104          45       1,058  SH     DEFINED     04       1,058           0           0
DEAN FOODS CO NEW              COM   242370104         627      14,606  SH     OTHER       04      14,606           0           0
DEAN FOODS CO NEW              COM   242370104       9,272     216,080  SH     DEFINED  01,08      38,350     177,730           0
DEAN FOODS CO NEW              COM   242370104          97       2,270  SH     DEFINED     10       2,270           0           0

DEB SHOPS INC                  COM   242728103         429      22,957  SH     DEFINED     01      10,835      12,122           0
DEB SHOPS INC                  COM   242728103         730      39,052  SH     DEFINED  01,08       6,432      32,620           0

DECKERS OUTDOOR CORP           COM   243537107          46      10,900  SH     DEFINED     01       1,200       9,700           0
DECKERS OUTDOOR CORP           COM   243537107          67      16,007  SH     DEFINED  01,08       4,107      11,900           0

DECODE GENETICS INC            COM   243586104         158      85,581  SH     DEFINED     01      65,575      19,206         800
DECODE GENETICS INC            COM   243586104          43      23,403  SH     DEFINED  01,08       5,357      18,046           0

DECORATOR INDS INC             COM   243631207          16       3,400  SH     DEFINED     01         500       2,900           0
DECORATOR INDS INC             COM   243631207          74      16,074  SH     DEFINED  01,08       1,142      14,932           0

DEERE & CO                     COM   244199105      56,030   1,427,152  SH     DEFINED     01     732,137     648,213      46,802
DEERE & CO                     COM   244199105         514      13,100  SH     OTHER       01       5,355       7,295         450
DEERE & CO                     COM   244199105         224       5,700  SH     DEFINED     02       3,614       2,086           0
DEERE & CO                     COM   244199105         230       5,850  SH     OTHER       02       1,050       4,800           0
DEERE & CO                     COM   244199105         876      22,320  SH     DEFINED     03      10,265       8,430       3,625
DEERE & CO                     COM   244199105         317       8,076  SH     OTHER       03       5,951       1,900         225
DEERE & CO                     COM   244199105       3,015      76,783  SH     DEFINED     04      70,128           0       6,655
DEERE & CO                     COM   244199105         828      21,080  SH     OTHER       04      17,480           0       3,600
DEERE & CO                     COM   244199105         485      12,360  SH     DEFINED     05      11,385         450         525
DEERE & CO                     COM   244199105          24         600  SH     OTHER    01,06           0           0         600
DEERE & CO                     COM   244199105      50,585   1,288,459  SH     DEFINED  01,08     191,478   1,040,859      56,122
DEERE & CO                     COM   244199105         476      12,128  SH     DEFINED     10      11,328         800           0
DEERE & CO                     COM   244199105          79       2,000  SH     OTHER       10       2,000           0           0

DEL LABS INC                   COM   245091103         345      18,318  SH     DEFINED     01       6,093      12,120         105
DEL LABS INC                   COM   245091103          53       2,796  SH     DEFINED     04       2,796           0           0
DEL LABS INC                   COM   245091103         499      26,519  SH     DEFINED  01,08       4,582      21,937           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    149
________

DEL MONTE FOODS CO             COM   24522P103       4,089     548,137  SH     DEFINED     01     366,059     168,684      13,394
DEL MONTE FOODS CO             COM   24522P103         702      94,130  SH     OTHER       01      91,292       2,838           0
DEL MONTE FOODS CO             COM   24522P103          16       2,112  SH     DEFINED     02         676       1,303         133
DEL MONTE FOODS CO             COM   24522P103          46       6,155  SH     OTHER       02       5,028       1,127           0
DEL MONTE FOODS CO             COM   24522P103          12       1,672  SH     DEFINED     03         758         914           0
DEL MONTE FOODS CO             COM   24522P103           4         556  SH     OTHER       03         356         200           0
DEL MONTE FOODS CO             COM   24522P103         430      57,690  SH     DEFINED     04      57,690           0           0
DEL MONTE FOODS CO             COM   24522P103       1,275     170,964  SH     OTHER       04     170,430           0         534
DEL MONTE FOODS CO             COM   24522P103           3         379  SH     OTHER    01,06           0           0         379
DEL MONTE FOODS CO             COM   24522P103       3,450     462,409  SH     DEFINED  01,08     113,678     348,731           0
DEL MONTE FOODS CO             COM   24522P103         105      14,070  SH     DEFINED     10      10,051       4,019           0
DEL MONTE FOODS CO             COM   24522P103           7         910  SH     OTHER       10         400         510           0

DELIAS CORP                    COM   24688Q101          41     116,414  SH     DEFINED     01      59,475      56,189         750
DELIAS CORP                    COM   24688Q101          61     173,159  SH     DEFINED  01,08      13,933     159,226           0

DELL COMPUTER CORP             COM   247025109     495,638  18,148,580  SH     DEFINED     01  10,560,496   7,156,294     431,790
DELL COMPUTER CORP             COM   247025109      12,196     446,563  SH     OTHER       01     203,090     189,705      53,768
DELL COMPUTER CORP             COM   247025109       7,576     277,406  SH     DEFINED     02     177,880      91,553       7,973
DELL COMPUTER CORP             COM   247025109       1,620      59,315  SH     OTHER       02      42,890      15,305       1,120
DELL COMPUTER CORP             COM   247025109      20,687     757,478  SH     DEFINED     03     397,313     254,522     105,643
DELL COMPUTER CORP             COM   247025109       2,822     103,346  SH     OTHER       03      76,123      20,615       6,608
DELL COMPUTER CORP             COM   247025109      30,381   1,112,432  SH     DEFINED     04   1,091,757           0      20,675
DELL COMPUTER CORP             COM   247025109      10,743     393,373  SH     OTHER       04     376,023           0      17,350
DELL COMPUTER CORP             COM   247025109       6,424     235,211  SH     DEFINED     05     206,821      16,810      11,580
DELL COMPUTER CORP             COM   247025109         475      17,380  SH     OTHER       05      12,210       4,625         545
DELL COMPUTER CORP             COM   247025109         182       6,650  SH     OTHER    01,06           0           0       6,650
DELL COMPUTER CORP             COM   247025109     200,211   7,331,067  SH     DEFINED  01,08   1,785,697   5,545,370           0
DELL COMPUTER CORP             COM   247025109       7,024     257,201  SH     DEFINED     10     229,861      16,450      10,890
DELL COMPUTER CORP             COM   247025109       1,679      61,470  SH     OTHER       10      30,765      28,550       2,155

DELPHAX TECHNOLOGIES INC       COM   24712X106          18       6,700  SH     DEFINED     01           0       6,700           0
DELPHAX TECHNOLOGIES INC       COM   24712X106          39      14,236  SH     DEFINED  01,08       3,242      10,994           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    150
________

DELPHI CORP                    COM   247126105      21,398   3,133,010  SH     DEFINED     01   1,597,379   1,497,604      38,027
DELPHI CORP                    COM   247126105          45       6,654  SH     OTHER       01       1,774       4,380         500
DELPHI CORP                    COM   247126105          16       2,274  SH     DEFINED     02       1,489         500         285
DELPHI CORP                    COM   247126105          15       2,125  SH     OTHER       02       1,332         793           0
DELPHI CORP                    COM   247126105          30       4,344  SH     DEFINED     03       1,264       2,699         381
DELPHI CORP                    COM   247126105           4         533  SH     OTHER       03         533           0           0
DELPHI CORP                    COM   247126105          88      12,845  SH     DEFINED     04      12,379           0         466
DELPHI CORP                    COM   247126105          79      11,557  SH     OTHER       04       4,222           0       7,335
DELPHI CORP                    COM   247126105          10       1,400  SH     OTHER    01,06           0           0       1,400
DELPHI CORP                    COM   247126105      11,212   1,641,534  SH     DEFINED  01,08     428,026   1,213,508           0
DELPHI CORP                    COM   247126105          69      10,076  SH     DEFINED     10       5,591       4,485           0
DELPHI CORP                    COM   247126105         307      44,891  SH     OTHER       10      41,563       3,328           0

DELPHI FINL GROUP INC          COM   247131105       2,235      57,044  SH     DEFINED     01      29,714      25,830       1,500
DELPHI FINL GROUP INC          COM   247131105          24         600  SH     DEFINED     03         600           0           0
DELPHI FINL GROUP INC          COM   247131105          16         400  SH     OTHER    01,06           0           0         400
DELPHI FINL GROUP INC          COM   247131105       2,484      63,412  SH     DEFINED  01,08      17,209      46,203           0

DELTA & PINE LD CO             COM   247357106       3,036     134,259  SH     DEFINED     01      71,232      59,427       3,600
DELTA & PINE LD CO             COM   247357106           3         126  SH     DEFINED     02           0           0         126
DELTA & PINE LD CO             COM   247357106          19         850  SH     OTHER    01,06           0           0         850
DELTA & PINE LD CO             COM   247357106       3,352     148,259  SH     DEFINED  01,08      20,966     127,293           0

DELTA AIR LINES INC DEL        COM   247361108       6,449     724,644  SH     DEFINED     01     395,200     320,694       8,750
DELTA AIR LINES INC DEL        COM   247361108           1         135  SH     DEFINED     02           0           0         135
DELTA AIR LINES INC DEL        COM   247361108          16       1,850  SH     DEFINED     03           0       1,800          50
DELTA AIR LINES INC DEL        COM   247361108          33       3,700  SH     DEFINED     04       3,700           0           0
DELTA AIR LINES INC DEL        COM   247361108           3         304  SH     OTHER       04           0           0         304
DELTA AIR LINES INC DEL        COM   247361108           3         300  SH     OTHER    01,06           0           0         300
DELTA AIR LINES INC DEL        COM   247361108       3,393     381,200  SH     DEFINED  01,08      93,107     288,093           0
DELTA AIR LINES INC DEL        COM   247361108           0          22  SH     DEFINED     10          22           0           0

DELTA APPAREL INC              COM   247368103          99       6,260  SH     DEFINED     01         680       5,580           0
DELTA APPAREL INC              COM   247368103         185      11,734  SH     DEFINED  01,08       1,616      10,118           0

DELTATHREE INC                 COM   24783N102           1       2,200  SH     DEFINED     01       2,200           0           0
DELTATHREE INC                 COM   24783N102           6      11,784  SH     DEFINED  01,08       2,384       9,400           0

DELTAGEN INC                   COM   24783R103          13      47,335  SH     DEFINED     01      11,230      35,905         200
DELTAGEN INC                   COM   24783R103          13      48,850  SH     DEFINED  01,08       8,400      40,450           0

DELTIC TIMBER CORP             COM   247850100         995      41,642  SH     DEFINED     01      21,227      19,965         450
DELTIC TIMBER CORP             COM   247850100           5         225  SH     OTHER    01,06           0           0         225
DELTIC TIMBER CORP             COM   247850100       1,039      43,459  SH     DEFINED  01,08      10,502      32,957           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    151
________

DELTA PETE CORP                COM   247907207          48      14,200  SH     DEFINED     01         100      14,100           0
DELTA PETE CORP                COM   247907207          73      21,373  SH     DEFINED  01,08       9,373      12,000           0

DELTA WOODSIDE INDS INC NEW    COM   247909203          25       7,825  SH     DEFINED     01         850       6,975           0
DELTA WOODSIDE INDS INC NEW    COM   247909203          54      16,749  SH     DEFINED  01,08       2,597      14,152           0

DENBURY RES INC                COM   247916208         978      90,275  SH     DEFINED     01      57,403      31,612       1,260
DENBURY RES INC                COM   247916208       1,184     109,297  SH     DEFINED  01,08      26,031      83,266           0

DELUXE CORP                    COM   248019101      14,250     355,099  SH     DEFINED     01     182,224     165,102       7,773
DELUXE CORP                    COM   248019101          40       1,000  SH     OTHER       02           0       1,000           0
DELUXE CORP                    COM   248019101          34         850  SH     DEFINED     03           0         800          50
DELUXE CORP                    COM   248019101          16         400  SH     OTHER       03         400           0           0
DELUXE CORP                    COM   248019101          23         568  SH     DEFINED     04         568           0           0
DELUXE CORP                    COM   248019101         480      11,971  SH     OTHER       04      11,971           0           0
DELUXE CORP                    COM   248019101           8         200  SH     OTHER    01,06           0           0         200
DELUXE CORP                    COM   248019101       7,744     192,963  SH     DEFINED  01,08      55,210     137,753           0
DELUXE CORP                    COM   248019101           0          12  SH     DEFINED     10          12           0           0

DENDREON CORP                  COM   24823Q107         116      24,700  SH     DEFINED     01       5,000      19,700           0
DENDREON CORP                  COM   24823Q107         188      40,132  SH     DEFINED  01,08      10,332      29,800           0

DENDRITE INTL INC              COM   248239105       1,073     126,237  SH     DEFINED     01      56,470      66,767       3,000
DENDRITE INTL INC              COM   248239105           7         800  SH     OTHER    01,06           0           0         800
DENDRITE INTL INC              COM   248239105       1,123     132,111  SH     DEFINED  01,08      34,541      97,570           0

DENTSPLY INTL INC NEW          COM   249030107       8,544     245,589  SH     DEFINED     01      88,460     149,657       7,472
DENTSPLY INTL INC NEW          COM   249030107           4         116  SH     DEFINED     02           0           0         116
DENTSPLY INTL INC NEW          COM   249030107           2          70  SH     OTHER       02          70           0           0
DENTSPLY INTL INC NEW          COM   249030107         374      10,742  SH     DEFINED     04      10,742           0           0
DENTSPLY INTL INC NEW          COM   249030107       6,879     197,729  SH     DEFINED  01,08      23,898     173,831           0
DENTSPLY INTL INC NEW          COM   249030107         104       3,000  SH     DEFINED     10       3,000           0           0

DEPARTMENT 56 INC              COM   249509100         722      73,516  SH     DEFINED     01      58,066      14,900         550
DEPARTMENT 56 INC              COM   249509100           3         300  SH     OTHER    01,06           0           0         300
DEPARTMENT 56 INC              COM   249509100         459      46,708  SH     DEFINED  01,08      11,386      35,322           0

DEPOMED INC                    COM   249908104          27      11,500  SH     DEFINED     01       1,600       9,900           0
DEPOMED INC                    COM   249908104          60      26,148  SH     DEFINED  01,08       5,148      21,000           0

DEVCON INTL CORP               COM   251588109          31       4,500  SH     DEFINED     01           0       4,500           0
DEVCON INTL CORP               COM   251588109          88      12,738  SH     DEFINED  01,08       1,573      11,165           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    152
________

DEVELOPERS DIVERSIFIED RLTY    COM   251591103       2,738     113,394  SH     DEFINED     01      62,785      46,998       3,611
DEVELOPERS DIVERSIFIED RLTY    COM   251591103          21         890  SH     OTHER       02         890           0           0
DEVELOPERS DIVERSIFIED RLTY    COM   251591103           6         262  SH     DEFINED     03           0         262           0
DEVELOPERS DIVERSIFIED RLTY    COM   251591103          41       1,692  SH     DEFINED     04       1,692           0           0
DEVELOPERS DIVERSIFIED RLTY    COM   251591103       3,887     160,939  SH     DEFINED  01,08      19,074     141,865           0

DEVON ENERGY CORP NEW          UNDEF 25179MAA1       2,030   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         617       6,000         DEFINED     04       6,000           0           0
DEVON ENERGY CORP NEW          UNDEF 25179MAB9           3       3,000         OTHER       10       3,000           0           0

DEVON ENERGY CORP NEW          COM   25179M103      47,063     976,004  SH     DEFINED     01     543,745     411,153      21,106
DEVON ENERGY CORP NEW          COM   25179M103         650      13,485  SH     OTHER       01           0       2,435      11,050
DEVON ENERGY CORP NEW          COM   25179M103          18         375  SH     DEFINED     02         205           0         170
DEVON ENERGY CORP NEW          COM   25179M103           2          50  SH     DEFINED     03           0           0          50
DEVON ENERGY CORP NEW          COM   25179M103          65       1,350  SH     DEFINED     04       1,350           0           0
DEVON ENERGY CORP NEW          COM   25179M103          48         990  SH     DEFINED     05         990           0           0
DEVON ENERGY CORP NEW          COM   25179M103          19         400  SH     OTHER    01,06           0           0         400
DEVON ENERGY CORP NEW          COM   25179M103      22,769     472,186  SH     DEFINED  01,08     123,239     348,947           0
DEVON ENERGY CORP NEW          COM   25179M103          34         706  SH     DEFINED     10         706           0           0

DEVRY INC DEL                  COM   251893103       4,399     235,629  SH     DEFINED     01      93,502     136,327       5,800
DEVRY INC DEL                  COM   251893103       1,120      59,982  SH     OTHER       01           0         300      59,682
DEVRY INC DEL                  COM   251893103          26       1,400  SH     DEFINED     02       1,400           0           0
DEVRY INC DEL                  COM   251893103         934      50,000  SH     DEFINED     04      50,000           0           0
DEVRY INC DEL                  COM   251893103       2,551     136,662  SH     DEFINED  01,08      20,716     115,946           0

DIACRIN INC                    COM   25243N103          22      20,500  SH     DEFINED     01       3,200      17,300           0
DIACRIN INC                    COM   25243N103          28      26,595  SH     DEFINED  01,08       3,995      22,600           0

DIAGEO P L C                   COM   25243Q205         463      11,250  SH     DEFINED     01           0      11,250           0
DIAGEO P L C                   COM   25243Q205          41       1,000  SH     OTHER       01       1,000           0           0
DIAGEO P L C                   COM   25243Q205          45       1,083  SH     DEFINED     02         860           0         223
DIAGEO P L C                   COM   25243Q205           7         172  SH     OTHER       02         172           0           0
DIAGEO P L C                   COM   25243Q205          64       1,552  SH     DEFINED     03       1,552           0           0
DIAGEO P L C                   COM   25243Q205          16         400  SH     DEFINED     04         400           0           0
DIAGEO P L C                   COM   25243Q205          54       1,307  SH     OTHER       04       1,307           0           0
DIAGEO P L C                   COM   25243Q205          35         845  SH     DEFINED     05         845           0           0
DIAGEO P L C                   COM   25243Q205          25         600  SH     OTHER       05           0           0         600


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    153
________

DIAGNOSTIC PRODS CORP          COM   252450101       1,987      53,203  SH     DEFINED     01      16,053      35,350       1,800
DIAGNOSTIC PRODS CORP          COM   252450101          29         765  SH     OTHER       01           0         765           0
DIAGNOSTIC PRODS CORP          COM   252450101          22         600  SH     OTHER    01,06           0           0         600
DIAGNOSTIC PRODS CORP          COM   252450101       3,426      91,718  SH     DEFINED  01,08      14,742      76,976           0

DIAL CORP NEW                  COM   25247D101       5,853     301,701  SH     DEFINED     01     113,474     186,327       1,900
DIAL CORP NEW                  COM   25247D101          23       1,200  SH     DEFINED     02           0       1,200           0
DIAL CORP NEW                  COM   25247D101           6         324  SH     OTHER       02           0         324           0
DIAL CORP NEW                  COM   25247D101       4,310     222,182  SH     DEFINED  01,08      29,873     192,309           0
DIAL CORP NEW                  COM   25247D101          35       1,800  SH     DEFINED     10       1,800           0           0

DIAMETRICS MED INC             COM   252532106          25      36,800  SH     DEFINED     01       5,100      31,700           0
DIAMETRICS MED INC             COM   252532106          32      46,339  SH     DEFINED  01,08      11,695      34,644           0

DIAMOND OFFSHORE DRILLING IN   COM   25271C102       1,595      82,152  SH     DEFINED     01      56,271      25,181         700
DIAMOND OFFSHORE DRILLING IN   COM   25271C102           3         175  SH     OTHER       03           0         175           0
DIAMOND OFFSHORE DRILLING IN   COM   25271C102          78       4,000  SH     DEFINED     04       4,000           0           0
DIAMOND OFFSHORE DRILLING IN   COM   25271C102          19       1,000  SH     OTHER       04           0           0       1,000
DIAMOND OFFSHORE DRILLING IN   COM   25271C102       3,813     196,452  SH     DEFINED  01,08      25,262     171,190           0

DIAMONDCLUSTER INTL INC        COM   25278P106         125      89,059  SH     DEFINED     01      54,124      34,535         400
DIAMONDCLUSTER INTL INC        COM   25278P106           2       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         107      76,379  SH     DEFINED  01,08      12,770      63,609           0

DIAMONDS TR                    COM   252787106       1,756      22,001  SH     DEFINED     01      19,801       1,400         800
DIAMONDS TR                    COM   252787106         632       7,920  SH     OTHER       01       7,427         493           0
DIAMONDS TR                    COM   252787106         471       5,900  SH     DEFINED     02       5,800           0         100
DIAMONDS TR                    COM   252787106          20         250  SH     OTHER       02           0         250           0
DIAMONDS TR                    COM   252787106         144       1,800  SH     DEFINED     03       1,500         300           0
DIAMONDS TR                    COM   252787106       1,570      19,666  SH     DEFINED     04      19,666           0           0
DIAMONDS TR                    COM   252787106         527       6,605  SH     OTHER       04       6,605           0           0
DIAMONDS TR                    COM   252787106         425       5,325  SH     DEFINED  01,08           0       5,325           0
DIAMONDS TR                    COM   252787106          14         175  SH     DEFINED     10         175           0           0

DIASYS CORP                    COM   252838107           0         800  SH     DEFINED     01         800           0           0
DIASYS CORP                    COM   252838107           4       9,839  SH     DEFINED  01,08         139       9,700           0

DICKS SPORTING GOODS INC       COM   253393102         101       4,400  SH     DEFINED     01       2,300       2,100           0
DICKS SPORTING GOODS INC       COM   253393102          97       4,228  SH     DEFINED     05           0       4,228           0
DICKS SPORTING GOODS INC       COM   253393102         300      13,100  SH     DEFINED  01,08       4,800       8,300           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    154
________

DIEBOLD INC                    COM   253651103       7,903     232,845  SH     DEFINED     01      89,219     139,551       4,075
DIEBOLD INC                    COM   253651103          14         400  SH     DEFINED     02           0           0         400
DIEBOLD INC                    COM   253651103          27         800  SH     OTHER       02           0         800           0
DIEBOLD INC                    COM   253651103          32         955  SH     DEFINED     03         305         450         200
DIEBOLD INC                    COM   253651103          42       1,238  SH     DEFINED     04         338           0         900
DIEBOLD INC                    COM   253651103         221       6,500  SH     OTHER       04       6,500           0           0
DIEBOLD INC                    COM   253651103       6,131     180,635  SH     DEFINED  01,08      22,802     157,833           0
DIEBOLD INC                    COM   253651103          10         300  SH     DEFINED     10         300           0           0
DIEBOLD INC                    COM   253651103          15         450  SH     OTHER       10         450           0           0

DIEDRICH COFFEE INC            COM   253675201          16       5,052  SH     DEFINED     01         252       4,800           0
DIEDRICH COFFEE INC            COM   253675201          20       6,270  SH     DEFINED  01,08       2,127       4,143           0

DIGENE CORP                    COM   253752109         766      46,308  SH     DEFINED     01      22,172      23,336         800
DIGENE CORP                    COM   253752109           4         250  SH     DEFINED     04         250           0           0
DIGENE CORP                    COM   253752109         761      46,001  SH     DEFINED  01,08       9,124      36,877           0

DIGI INTL INC                  COM   253798102          75      23,180  SH     DEFINED     01       3,780      18,600         800
DIGI INTL INC                  COM   253798102           1         400  SH     OTHER    01,06           0           0         400
DIGI INTL INC                  COM   253798102         206      63,515  SH     DEFINED  01,08      16,478      47,037           0
DIGI INTL INC                  COM   253798102           1         270  SH     DEFINED     10         270           0           0

DIGIMARC CORP                  COM   253807101         460      39,334  SH     DEFINED     01      19,183      19,951         200
DIGIMARC CORP                  COM   253807101         870      74,386  SH     DEFINED  01,08       8,727      65,659           0

DIGITAL ANGEL CORP             COM   253830103           2       1,000  SH     DEFINED     01       1,000           0           0
DIGITAL ANGEL CORP             COM   253830103          28      18,603  SH     DEFINED  01,08      11,503       7,100           0

DIGITAL IMPACT INC DEL         COM   25385G106           5       3,150  SH     DEFINED     01       3,150           0           0
DIGITAL IMPACT INC DEL         COM   25385G106          70      47,411  SH     DEFINED  01,08       8,811      38,600           0

DIGITAL INSIGHT CORP           COM   25385P106       1,357      97,241  SH     DEFINED     01      50,725      44,866       1,650
DIGITAL INSIGHT CORP           COM   25385P106          28       2,000  SH     OTHER       01           0       2,000           0
DIGITAL INSIGHT CORP           COM   25385P106       1,965     140,879  SH     DEFINED  01,08      17,801     123,078           0

DIGITAL LIGHTWAVE INC          COM   253855100          23      30,400  SH     DEFINED     01       5,900      24,500           0
DIGITAL LIGHTWAVE INC          COM   253855100           2       2,500  SH     DEFINED     04       2,500           0           0
DIGITAL LIGHTWAVE INC          COM   253855100          40      53,917  SH     DEFINED  01,08      13,777      40,140           0

DIGITAL VIDEO SYS INC          COM   25387R407          20       7,358  SH     DEFINED     01          58       7,300           0
DIGITAL VIDEO SYS INC          COM   25387R407          22       8,200  SH     DEFINED  01,08       2,300       5,900           0

DIGITAL RIV INC                COM   25388B104         934      68,218  SH     DEFINED     01      47,756      19,162       1,300
DIGITAL RIV INC                COM   25388B104           7         500  SH     OTHER       02           0         500           0
DIGITAL RIV INC                COM   25388B104       1,438     105,033  SH     DEFINED  01,08      15,351      89,682           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    155
________

DIGITAS INC                    COM   25388K104         352     109,031  SH     DEFINED     01      27,692      70,869      10,470
DIGITAS INC                    COM   25388K104         315      97,639  SH     DEFINED  01,08      28,555      69,084           0

DIGITALTHINK INC               COM   25388M100          94      35,650  SH     DEFINED     01       6,850      28,800           0
DIGITALTHINK INC               COM   25388M100         182      69,068  SH     DEFINED  01,08      17,068      52,000           0

DIGITAL GENERATION SYS INC     COM   253921100         142      55,850  SH     DEFINED     01       5,000      50,850           0
DIGITAL GENERATION SYS INC     COM   253921100           8       3,000  SH     OTHER       04       3,000           0           0
DIGITAL GENERATION SYS INC     COM   253921100         183      72,210  SH     DEFINED  01,08      30,059      42,151           0

DIME CMNTY BANCSHARES          COM   253922108       2,083      91,251  SH     DEFINED     01      41,406      47,920       1,925
DIME CMNTY BANCSHARES          COM   253922108          11         500  SH     OTHER    01,06           0           0         500
DIME CMNTY BANCSHARES          COM   253922108       3,191     139,783  SH     DEFINED  01,08      14,190     125,593           0

DILLARDS INC                   COM   254067101       5,886     455,599  SH     DEFINED     01     236,479     215,178       3,942
DILLARDS INC                   COM   254067101           1          75  SH     OTHER       01           0           0          75
DILLARDS INC                   COM   254067101           1          50  SH     DEFINED     03           0           0          50
DILLARDS INC                   COM   254067101         116       9,000  SH     DEFINED     04       9,000           0           0
DILLARDS INC                   COM   254067101          16       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       3,200     247,682  SH     DEFINED  01,08      61,306     186,376           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

DIMON INC                      COM   254394109       1,649     287,814  SH     DEFINED     01     212,316      73,048       2,450
DIMON INC                      COM   254394109           5         870  SH     OTHER    01,06           0           0         870
DIMON INC                      COM   254394109         705     122,968  SH     DEFINED  01,08      24,729      98,239           0

DIODES INC                     COM   254543101         108      10,250  SH     DEFINED     01       1,800       8,450           0
DIODES INC                     COM   254543101         244      23,194  SH     DEFINED  01,08       3,744      19,450           0

DIONEX CORP                    COM   254546104       3,933     119,071  SH     DEFINED     01      84,701      33,120       1,250
DIONEX CORP                    COM   254546104           3          83  SH     DEFINED     02           0           0          83
DIONEX CORP                    COM   254546104         194       5,880  SH     OTHER       04           0           0       5,880
DIONEX CORP                    COM   254546104          13         400  SH     OTHER    01,06           0           0         400
DIONEX CORP                    COM   254546104       3,034      91,866  SH     DEFINED  01,08      11,259      80,607           0

DISCOVERY LABORATORIES INC N   COM   254668106          14       7,900  SH     DEFINED     01       4,200       3,700           0
DISCOVERY LABORATORIES INC N   COM   254668106          87      50,522  SH     DEFINED  01,08      11,922      38,600           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    156
________

DISCOVERY PARTNERS INTL INC    COM   254675101         161      58,407  SH     DEFINED     01      31,607      26,400         400
DISCOVERY PARTNERS INTL INC    COM   254675101         146      52,993  SH     DEFINED  01,08      13,400      39,593           0

DISNEY WALT CO                 COM   254687106     212,287  12,472,771  SH     DEFINED     01   6,762,485   5,530,679     179,607
DISNEY WALT CO                 COM   254687106       9,379     551,082  SH     OTHER       01     293,876     237,826      19,380
DISNEY WALT CO                 COM   254687106       1,614      94,855  SH     DEFINED     02      67,184      25,821       1,850
DISNEY WALT CO                 COM   254687106         417      24,488  SH     OTHER       02      13,530       7,989       2,969
DISNEY WALT CO                 COM   254687106       1,690      99,313  SH     DEFINED     03      54,527      37,630       7,156
DISNEY WALT CO                 COM   254687106       1,993     117,081  SH     OTHER       03      82,065      22,557      12,459
DISNEY WALT CO                 COM   254687106       6,438     378,257  SH     DEFINED     04     332,036           0      46,221
DISNEY WALT CO                 COM   254687106      12,055     708,282  SH     OTHER       04     575,572           0     132,710
DISNEY WALT CO                 COM   254687106         837      49,188  SH     DEFINED     05      45,888         700       2,600
DISNEY WALT CO                 COM   254687106         367      21,571  SH     OTHER       05      12,571       2,400       6,600
DISNEY WALT CO                 COM   254687106          90       5,300  SH     OTHER    01,06           0           0       5,300
DISNEY WALT CO                 COM   254687106     102,357   6,013,899  SH     DEFINED  01,08   1,523,029   4,490,870           0
DISNEY WALT CO                 COM   254687106       1,136      66,762  SH     DEFINED     10      32,633      32,229       1,900
DISNEY WALT CO                 COM   254687106       1,466      86,110  SH     OTHER       10      50,544      32,616       2,950

DITECH COMMUNICATIONS CORP     COM   25500M103          73      29,500  SH     DEFINED     01       6,000      23,500           0
DITECH COMMUNICATIONS CORP     COM   25500M103           1         325  SH     DEFINED     04         325           0           0
DITECH COMMUNICATIONS CORP     COM   25500M103         128      51,604  SH     DEFINED  01,08      12,904      38,700           0

DIVERSA CORP                   COM   255064107       1,001     106,939  SH     DEFINED     01      54,290      51,199       1,450
DIVERSA CORP                   COM   255064107         739      78,947  SH     DEFINED  01,08      19,259      59,688           0

DIXIE GROUP INC                COM   255519100          34      11,500  SH     DEFINED     01       2,400       9,100           0
DIXIE GROUP INC                COM   255519100           9       3,000  SH     OTHER       01           0       3,000           0
DIXIE GROUP INC                COM   255519100         101      33,815  SH     DEFINED  01,08       4,786      29,029           0

DIXON TICONDEROGA CO           COM   255860108           4       1,900  SH     DEFINED     01         500       1,400           0
DIXON TICONDEROGA CO           COM   255860108          21      11,300  SH     DEFINED  01,08       1,807       9,493           0

DOCUCORP INTL INC              COM   255911109         109      33,248  SH     DEFINED     01      14,774      18,274         200
DOCUCORP INTL INC              COM   255911109          96      29,267  SH     DEFINED  01,08       6,715      22,552           0

DOBSON COMMUNICATIONS CORP     COM   256069105         114      34,650  SH     DEFINED     01       5,850      27,700       1,100
DOBSON COMMUNICATIONS CORP     COM   256069105         368     111,533  SH     DEFINED  01,08      12,895      98,638           0
DOBSON COMMUNICATIONS CORP     COM   256069105           0         100  SH     OTHER       10         100           0           0

DOCENT INC                     COM   25608L502          28      11,299  SH     DEFINED     01       2,833       8,466           0
DOCENT INC                     COM   25608L502          60      24,532  SH     DEFINED  01,08       6,266      18,266           0

DOCUMENTUM INC                 COM   256159104       2,805     213,764  SH     DEFINED     01     117,051      72,713      24,000
DOCUMENTUM INC                 COM   256159104       1,564     119,244  SH     DEFINED  01,08      26,064      93,180           0
DOCUMENTUM INC                 COM   256159104           1         100  SH     DEFINED     10         100           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    157
________

DOLE FOOD INC                  COM   256605106       3,327      99,373  SH     DEFINED     01      15,900      83,273         200
DOLE FOOD INC                  COM   256605106           0         200  SH     DEFINED     04         200           0           0
DOLE FOOD INC                  COM   256605106           0       1,000  SH     OTHER       04       1,000           0           0
DOLE FOOD INC                  COM   256605106         249      11,743  SH     DEFINED  01,08      11,743           0           0

DOLLAR GEN CORP                COM   256669102      21,863   1,790,552  SH     DEFINED     01     919,321     846,993      24,238
DOLLAR GEN CORP                COM   256669102           3         225  SH     OTHER       01           0           0         225
DOLLAR GEN CORP                COM   256669102           4         300  SH     DEFINED     02         300           0           0
DOLLAR GEN CORP                COM   256669102           2         150  SH     DEFINED     03           0           0         150
DOLLAR GEN CORP                COM   256669102         290      23,741  SH     DEFINED     04      23,741           0           0
DOLLAR GEN CORP                COM   256669102      10,789     883,656  SH     DEFINED  01,08     222,774     660,882           0
DOLLAR GEN CORP                COM   256669102          25       2,053  SH     DEFINED     10          53       2,000           0

DOLLAR THRIFTY AUTOMOTIVE GP   COM   256743105       2,869     172,286  SH     DEFINED     01     124,483      46,353       1,450
DOLLAR THRIFTY AUTOMOTIVE GP   COM   256743105          25       1,500  SH     OTHER       01           0       1,500           0
DOLLAR THRIFTY AUTOMOTIVE GP   COM   256743105       1,243      74,640  SH     DEFINED  01,08      13,627      61,013           0

DOLLAR TREE STORES INC         COM   256747106       7,246     364,129  SH     DEFINED     01     130,917     227,814       5,398
DOLLAR TREE STORES INC         COM   256747106           1          65  SH     DEFINED     02           0           0          65
DOLLAR TREE STORES INC         COM   256747106          20       1,000  SH     DEFINED     04       1,000           0           0
DOLLAR TREE STORES INC         COM   256747106          22       1,100  SH     OTHER       04       1,100           0           0
DOLLAR TREE STORES INC         COM   256747106       5,533     278,047  SH     DEFINED  01,08      36,991     241,056           0

DOMINION HOMES INC             COM   257386102         215      15,802  SH     DEFINED     01       8,652       7,100          50
DOMINION HOMES INC             COM   257386102         211      15,513  SH     DEFINED  01,08       3,856      11,657           0

DOMINION RES INC VA NEW        COM   25746U109     107,260   1,937,159  SH     DEFINED     01   1,048,276     838,239      50,644
DOMINION RES INC VA NEW        COM   25746U109       3,540      63,935  SH     OTHER       01      38,383      21,910       3,642
DOMINION RES INC VA NEW        COM   25746U109         980      17,693  SH     DEFINED     02      13,628       1,775       2,290
DOMINION RES INC VA NEW        COM   25746U109         417       7,524  SH     OTHER       02       3,810       2,914         800
DOMINION RES INC VA NEW        COM   25746U109       4,424      79,895  SH     DEFINED     03      48,365      24,635       6,895
DOMINION RES INC VA NEW        COM   25746U109       1,011      18,264  SH     OTHER       03      12,689       2,900       2,675
DOMINION RES INC VA NEW        COM   25746U109      15,066     272,090  SH     DEFINED     04     259,604           0      12,486
DOMINION RES INC VA NEW        COM   25746U109       6,130     110,715  SH     OTHER       04     102,844           0       7,871
DOMINION RES INC VA NEW        COM   25746U109       3,167      57,189  SH     DEFINED     05      46,589       5,335       5,265
DOMINION RES INC VA NEW        COM   25746U109         277       5,005  SH     OTHER       05       3,080       1,840          85
DOMINION RES INC VA NEW        COM   25746U109          42         750  SH     OTHER    01,06           0           0         750
DOMINION RES INC VA NEW        COM   25746U109         100       1,800  SH     OTHER    04,07           0           0       1,800
DOMINION RES INC VA NEW        COM   25746U109      49,743     898,378  SH     DEFINED  01,08     232,666     665,712           0
DOMINION RES INC VA NEW        COM   25746U109       3,124      56,417  SH     DEFINED     10      48,442       5,800       2,175
DOMINION RES INC VA NEW        COM   25746U109       1,256      22,689  SH     OTHER       10      16,585       5,654         450


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    158
________

DONALDSON INC                  COM   257651109       5,099     139,405  SH     DEFINED     01      53,530      83,175       2,700
DONALDSON INC                  COM   257651109          50       1,380  SH     OTHER       01         600         780           0
DONALDSON INC                  COM   257651109           4         109  SH     DEFINED     02           0           0         109
DONALDSON INC                  COM   257651109          66       1,800  SH     DEFINED     04       1,800           0           0
DONALDSON INC                  COM   257651109          22         600  SH     OTHER       04           0           0         600
DONALDSON INC                  COM   257651109       3,236      88,470  SH     DEFINED  01,08      13,370      75,100           0

DONEGAL GROUP INC              COM   257701300          48       4,467  SH     DEFINED     01         567       3,900           0
DONEGAL GROUP INC              COM   257701300         165      15,315  SH     DEFINED  01,08       3,931      11,384           0

DONNELLEY R R & SONS CO        COM   257867101      54,572   2,978,822  SH     DEFINED     01   1,556,266   1,411,630      10,926
DONNELLEY R R & SONS CO        COM   257867101      72,519   3,958,461  SH     OTHER       01   2,717,560     930,751     310,150
DONNELLEY R R & SONS CO        COM   257867101         121       6,600  SH     DEFINED     02       5,800         800           0
DONNELLEY R R & SONS CO        COM   257867101          50       2,723  SH     OTHER       02       1,150       1,573           0
DONNELLEY R R & SONS CO        COM   257867101       6,684     364,854  SH     DEFINED     03     363,514       1,200         140
DONNELLEY R R & SONS CO        COM   257867101         491      26,800  SH     OTHER       03       8,800      18,000           0
DONNELLEY R R & SONS CO        COM   257867101         122       6,650  SH     DEFINED     04       6,650           0           0
DONNELLEY R R & SONS CO        COM   257867101       1,303      71,134  SH     OTHER       04      69,134           0       2,000
DONNELLEY R R & SONS CO        COM   257867101         966      52,730  SH     DEFINED     05      47,915         755       4,060
DONNELLEY R R & SONS CO        COM   257867101          15         830  SH     OTHER       05         330         500           0
DONNELLEY R R & SONS CO        COM   257867101           5         300  SH     OTHER    01,06           0           0         300
DONNELLEY R R & SONS CO        COM   257867101       6,066     331,135  SH     DEFINED  01,08      84,126     247,009           0
DONNELLEY R R & SONS CO        COM   257867101          32       1,731  SH     DEFINED     10         481         750         500

DOR BIOPHARMA INC              COM   258094101          14      11,400  SH     DEFINED     01       1,400      10,000           0
DOR BIOPHARMA INC              COM   258094101           5       4,155  SH     DEFINED  01,08       3,155       1,000           0

DORAL FINL CORP                COM   25811P100       2,605      73,696  SH     DEFINED     01      43,196      27,150       3,350
DORAL FINL CORP                COM   25811P100       4,001     113,190  SH     DEFINED  01,08      17,590      95,600           0
DORAL FINL CORP                COM   25811P100         198       5,600  SH     OTHER       10       5,600           0           0

DOT HILL SYS CORP              COM   25848T109         225      36,800  SH     DEFINED     01       4,900      31,900           0
DOT HILL SYS CORP              COM   25848T109           2         400  SH     OTHER       01           0         400           0
DOT HILL SYS CORP              COM   25848T109         247      40,347  SH     DEFINED  01,08      10,647      29,700           0

DOUBLE EAGLE PETE CO           COM   258570209         318      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          23       3,309  SH     DEFINED  01,08       2,409         900           0

DOUBLECLICK INC                COM   258609304       3,750     482,689  SH     DEFINED     01     381,325      95,514       5,850
DOUBLECLICK INC                COM   258609304          16       1,998  SH     DEFINED     02       1,998           0           0
DOUBLECLICK INC                COM   258609304          15       1,988  SH     DEFINED     04       1,988           0           0
DOUBLECLICK INC                COM   258609304       2,013     259,072  SH     DEFINED  01,08      68,433     190,639           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    159
________

DOV PHARMACEUTICAL INC         COM   259858108           4         700  SH     DEFINED     01           0         700           0
DOV PHARMACEUTICAL INC         COM   259858108         151      24,700  SH     DEFINED  01,08       6,300      18,400           0

DOVER CORP                     COM   260003108      28,863   1,191,703  SH     DEFINED     01     638,950     537,147      15,606
DOVER CORP                     COM   260003108       1,191      49,155  SH     OTHER       01      24,501      16,698       7,956
DOVER CORP                     COM   260003108         127       5,245  SH     DEFINED     02       3,195       1,900         150
DOVER CORP                     COM   260003108         140       5,800  SH     OTHER       02       5,800           0           0
DOVER CORP                     COM   260003108         227       9,382  SH     DEFINED     03       4,000       5,282         100
DOVER CORP                     COM   260003108         107       4,400  SH     OTHER       03       2,000       2,400           0
DOVER CORP                     COM   260003108         182       7,520  SH     DEFINED     04       7,520           0           0
DOVER CORP                     COM   260003108         183       7,548  SH     OTHER       04       7,548           0           0
DOVER CORP                     COM   260003108          18         760  SH     DEFINED     05         760           0           0
DOVER CORP                     COM   260003108          12         500  SH     OTHER    01,06           0           0         500
DOVER CORP                     COM   260003108      14,871     613,981  SH     DEFINED  01,08     156,588     457,393           0
DOVER CORP                     COM   260003108         464      19,176  SH     DEFINED     10      16,776           0       2,400
DOVER CORP                     COM   260003108       1,082      44,676  SH     OTHER       10      19,550      24,001       1,125

DOVER DOWNS GAMING & ENTMT I   COM   260095104         606      61,301  SH     DEFINED     01      29,479      31,312         510
DOVER DOWNS GAMING & ENTMT I   COM   260095104           3         280  SH     DEFINED     04         280           0           0
DOVER DOWNS GAMING & ENTMT I   COM   260095104         269      27,192  SH     DEFINED  01,08       5,870      21,322           0

DOVER MOTORSPORTS INC          COM   260174107         263      82,691  SH     DEFINED     01      36,642      45,849         200
DOVER MOTORSPORTS INC          COM   260174107           1         400  SH     DEFINED     04         400           0           0
DOVER MOTORSPORTS INC          COM   260174107         210      65,917  SH     DEFINED  01,08      18,701      47,216           0

DOW CHEM CO                    COM   260543103     147,189   5,330,988  SH     DEFINED     01   2,818,592   2,427,420      84,976
DOW CHEM CO                    COM   260543103       4,632     167,753  SH     OTHER       01     100,939      43,020      23,794
DOW CHEM CO                    COM   260543103       1,349      48,859  SH     DEFINED     02      34,102       9,857       4,900
DOW CHEM CO                    COM   260543103         550      19,935  SH     OTHER       02      10,234       7,413       2,288
DOW CHEM CO                    COM   260543103       1,859      67,320  SH     DEFINED     03      38,743      22,817       5,760
DOW CHEM CO                    COM   260543103         869      31,469  SH     OTHER       03      26,657       4,812           0
DOW CHEM CO                    COM   260543103       7,986     289,235  SH     DEFINED     04     280,533           0       8,702
DOW CHEM CO                    COM   260543103       4,486     162,482  SH     OTHER       04     156,783           0       5,699
DOW CHEM CO                    COM   260543103       1,309      47,422  SH     DEFINED     05      31,135      10,332       5,955
DOW CHEM CO                    COM   260543103         186       6,745  SH     OTHER       05         595       2,250       3,900
DOW CHEM CO                    COM   260543103          64       2,311  SH     OTHER    01,06           0           0       2,311
DOW CHEM CO                    COM   260543103      96,004   3,477,153  SH     DEFINED  01,08     705,567   2,701,336      70,250
DOW CHEM CO                    COM   260543103       2,485      90,001  SH     DEFINED     10      71,074      18,277         650
DOW CHEM CO                    COM   260543103       1,916      69,404  SH     OTHER       10      39,006      28,436       1,962


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    160
________

DOW JONES & CO INC             COM   260561105      15,111     426,385  SH     DEFINED     01     219,737     200,653       5,995
DOW JONES & CO INC             COM   260561105         304       8,581  SH     OTHER       01           0       7,506       1,075
DOW JONES & CO INC             COM   260561105          31         884  SH     DEFINED     04         884           0           0
DOW JONES & CO INC             COM   260561105          41       1,158  SH     OTHER       04       1,158           0           0
DOW JONES & CO INC             COM   260561105         195       5,493  SH     DEFINED     05           0       5,493           0
DOW JONES & CO INC             COM   260561105           7         200  SH     OTHER    01,06           0           0         200
DOW JONES & CO INC             COM   260561105       7,124     201,021  SH     DEFINED  01,08      51,886     149,135           0
DOW JONES & CO INC             COM   260561105           8         215  SH     DEFINED     10          15         200           0

DOWNEY FINL CORP               COM   261018105       2,658      67,449  SH     DEFINED     01      30,229      34,970       2,250
DOWNEY FINL CORP               COM   261018105         296       7,511  SH     OTHER       03           0       7,511           0
DOWNEY FINL CORP               COM   261018105          12         300  SH     DEFINED     04         300           0           0
DOWNEY FINL CORP               COM   261018105          22         560  SH     OTHER    01,06           0           0         560
DOWNEY FINL CORP               COM   261018105       4,055     102,897  SH     DEFINED  01,08      23,531      79,366           0

DRAXIS HEALTH INC              COM   26150J101          20      16,000  SH     DEFINED     04      16,000           0           0

DRESS BARN INC                 COM   261570105       1,726     128,358  SH     DEFINED     01      64,685      60,873       2,800
DRESS BARN INC                 COM   261570105           8         600  SH     OTHER    01,06           0           0         600
DRESS BARN INC                 COM   261570105       2,726     202,687  SH     DEFINED  01,08      24,872     177,815           0

DREW INDS INC                  COM   26168L205         322      21,151  SH     DEFINED     01       9,452      11,599         100
DREW INDS INC                  COM   26168L205      11,929     784,315  SH     DEFINED     04     784,315           0           0
DREW INDS INC                  COM   26168L205         427      28,064  SH     DEFINED  01,08       4,865      23,199           0

DREXLER TECHNOLOGY CORP        COM   261876106         523      36,099  SH     DEFINED     01      15,560      20,139         400
DREXLER TECHNOLOGY CORP        COM   261876106         599      41,281  SH     DEFINED  01,08       5,601      35,680           0

DREYERS GRAND ICE CREAM INC    COM   261878102       6,505      93,844  SH     DEFINED     01      32,411      60,383       1,050
DREYERS GRAND ICE CREAM INC    COM   261878102          69       1,000  SH     OTHER       01       1,000           0           0
DREYERS GRAND ICE CREAM INC    COM   261878102       5,557      80,162  SH     DEFINED  01,08       8,920      71,242           0

DREYFUS STRATEGIC MUNS INC     UNDEF 261932107           1      15,164         DEFINED     01      15,164           0           0
DREYFUS STRATEGIC MUNS INC     UNDEF 261932107          94       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         159      18,500         DEFINED     04      18,500           0           0
DREYFUS STRATEGIC MUN BD FD    UNDEF 26202F107         168      19,498         OTHER       04      18,796           0         702

DRIL-QUIP INC                  COM   262037104         487      35,659  SH     DEFINED     01      12,980      22,229         450
DRIL-QUIP INC                  COM   262037104           5         350  SH     OTHER    01,06           0           0         350
DRIL-QUIP INC                  COM   262037104         648      47,400  SH     DEFINED  01,08      14,151      33,249           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    161
________

DRUGSTORE COM INC              COM   262241102         334      87,278  SH     DEFINED     01      67,078      19,600         600
DRUGSTORE COM INC              COM   262241102           8       2,000  SH     DEFINED     02           0       2,000           0
DRUGSTORE COM INC              COM   262241102           0         100  SH     DEFINED     04         100           0           0
DRUGSTORE COM INC              COM   262241102         390     101,734  SH     DEFINED  01,08      31,712      70,022           0
DRUGSTORE COM INC              COM   262241102           4       1,000  SH     OTHER       10       1,000           0           0

DSL NET INC                    COM   262506108           5      13,200  SH     DEFINED     01      13,200           0           0
DSL NET INC                    COM   262506108          36      94,451  SH     DEFINED  01,08      27,451      67,000           0

DU PONT E I DE NEMOURS & CO    COM   263534109     256,004   6,587,865  SH     DEFINED     01   3,653,428   2,727,553     206,884
DU PONT E I DE NEMOURS & CO    COM   263534109      16,963     436,507  SH     OTHER       01     172,191     211,192      53,124
DU PONT E I DE NEMOURS & CO    COM   263534109       5,439     139,960  SH     DEFINED     02     102,646      31,964       5,350
DU PONT E I DE NEMOURS & CO    COM   263534109       2,558      65,822  SH     OTHER       02      48,860      15,216       1,746
DU PONT E I DE NEMOURS & CO    COM   263534109       5,465     140,631  SH     DEFINED     03      76,909      44,897      18,825
DU PONT E I DE NEMOURS & CO    COM   263534109       8,897     228,947  SH     OTHER       03      64,516      18,577     145,854
DU PONT E I DE NEMOURS & CO    COM   263534109      41,611   1,070,788  SH     DEFINED     04   1,032,408           0      38,380
DU PONT E I DE NEMOURS & CO    COM   263534109      19,877     511,490  SH     OTHER       04     498,322           0      13,168
DU PONT E I DE NEMOURS & CO    COM   263534109       4,064     104,574  SH     DEFINED     05      90,524       8,655       5,395
DU PONT E I DE NEMOURS & CO    COM   263534109         633      16,294  SH     OTHER       05       6,194       7,315       2,785
DU PONT E I DE NEMOURS & CO    COM   263534109         101       2,600  SH     OTHER    01,06           0           0       2,600
DU PONT E I DE NEMOURS & CO    COM   263534109     120,428   3,099,022  SH     DEFINED  01,08     771,816   2,327,206           0
DU PONT E I DE NEMOURS & CO    COM   263534109       6,674     171,739  SH     DEFINED     10     114,829      30,446      26,464
DU PONT E I DE NEMOURS & CO    COM   263534109       1,305      33,580  SH     OTHER       10      22,982       8,260       2,338

DUANE READE INC                COM   263578106         923      72,815  SH     DEFINED     01      38,087      33,578       1,150
DUANE READE INC                COM   263578106           3         200  SH     DEFINED     04         200           0           0
DUANE READE INC                COM   263578106           6         500  SH     OTHER    01,06           0           0         500
DUANE READE INC                COM   263578106       1,020      80,433  SH     DEFINED  01,08      21,143      59,290           0

DUCKWALL-ALCO STORES INC NEW   COM   264142100          41       4,400  SH     DEFINED     01         700       3,700           0
DUCKWALL-ALCO STORES INC NEW   COM   264142100          69       7,300  SH     DEFINED  01,08       1,900       5,400           0

DUCOMMUN INC DEL               COM   264147109         384      37,604  SH     DEFINED     01      18,504      19,100           0
DUCOMMUN INC DEL               COM   264147109         594      58,261  SH     DEFINED  01,08       4,814      53,447           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    162
________

DUKE ENERGY CORP               COM   264399106      78,552   5,402,498  SH     DEFINED     01   2,917,786   2,404,298      80,414
DUKE ENERGY CORP               COM   264399106       1,774     122,020  SH     OTHER       01      67,641      49,606       4,773
DUKE ENERGY CORP               COM   264399106       1,130      77,718  SH     DEFINED     02      51,790      18,528       7,400
DUKE ENERGY CORP               COM   264399106         306      21,072  SH     OTHER       02      15,849       4,923         300
DUKE ENERGY CORP               COM   264399106         850      58,480  SH     DEFINED     03      45,000       9,630       3,850
DUKE ENERGY CORP               COM   264399106         210      14,430  SH     OTHER       03       7,010       7,420           0
DUKE ENERGY CORP               COM   264399106       2,796     192,275  SH     DEFINED     04     184,341           0       7,934
DUKE ENERGY CORP               COM   264399106       1,997     137,315  SH     OTHER       04     123,190           0      14,125
DUKE ENERGY CORP               COM   264399106       1,109      76,287  SH     DEFINED     05      42,960      12,075      21,252
DUKE ENERGY CORP               COM   264399106          98       6,728  SH     OTHER       05       5,220       1,508           0
DUKE ENERGY CORP               COM   264399106          19       1,300  SH     OTHER    01,06           0           0       1,300
DUKE ENERGY CORP               COM   264399106      37,878   2,605,119  SH     DEFINED  01,08     649,501   1,955,618           0
DUKE ENERGY CORP               COM   264399106       1,504     103,412  SH     DEFINED     10      82,642      20,070         700
DUKE ENERGY CORP               COM   264399106         470      32,310  SH     OTHER       10      26,410       5,700         200

DUKE REALTY CORP               COM   264411505       4,948     183,409  SH     DEFINED     01     105,046      72,465       5,898
DUKE REALTY CORP               COM   264411505       1,152      42,694  SH     OTHER       01      42,694           0           0
DUKE REALTY CORP               COM   264411505          15         550  SH     OTHER       02         550           0           0
DUKE REALTY CORP               COM   264411505         205       7,600  SH     DEFINED     03         600       7,000           0
DUKE REALTY CORP               COM   264411505         156       5,800  SH     OTHER       03       5,800           0           0
DUKE REALTY CORP               COM   264411505          74       2,760  SH     DEFINED     04       2,760           0           0
DUKE REALTY CORP               COM   264411505         167       6,200  SH     OTHER       04       4,800           0       1,400
DUKE REALTY CORP               COM   264411505       6,301     233,535  SH     DEFINED  01,08      35,428     198,107           0
DUKE REALTY CORP               COM   264411505          68       2,520  SH     DEFINED     10       2,520           0           0
DUKE REALTY CORP               COM   264411505          13         500  SH     OTHER       10         500           0           0

DUN & BRADSTREET CORP DEL NE   COM   26483E100      12,210     319,206  SH     DEFINED     01     108,636     206,404       4,166
DUN & BRADSTREET CORP DEL NE   COM   26483E100       3,777      98,756  SH     OTHER       01      11,628      17,407      69,721
DUN & BRADSTREET CORP DEL NE   COM   26483E100          23         597  SH     DEFINED     02         160         307         130
DUN & BRADSTREET CORP DEL NE   COM   26483E100         262       6,850  SH     OTHER       02       2,850       4,000           0
DUN & BRADSTREET CORP DEL NE   COM   26483E100         105       2,750  SH     DEFINED     03       2,250         500           0
DUN & BRADSTREET CORP DEL NE   COM   26483E100          47       1,225  SH     OTHER       03         333         892           0
DUN & BRADSTREET CORP DEL NE   COM   26483E100          66       1,727  SH     DEFINED     04       1,715           0          12
DUN & BRADSTREET CORP DEL NE   COM   26483E100         240       6,287  SH     OTHER       04       6,287           0           0
DUN & BRADSTREET CORP DEL NE   COM   26483E100         181       4,720  SH     DEFINED     05         853       3,867           0
DUN & BRADSTREET CORP DEL NE   COM   26483E100       3,339      87,287  SH     DEFINED  01,08      35,008      52,279           0
DUN & BRADSTREET CORP DEL NE   COM   26483E100          22         573  SH     DEFINED     10         573           0           0
DUN & BRADSTREET CORP DEL NE   COM   26483E100          13         350  SH     OTHER       10         350           0           0

DURA AUTOMOTIVE SYSTEMS CORP   COM   265903104         320      57,078  SH     DEFINED     01      31,549      24,679         850
DURA AUTOMOTIVE SYSTEMS CORP   COM   265903104         457      81,558  SH     DEFINED  01,08       8,852      72,706           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    163
________

DUPONT PHOTOMASKS INC          COM   26613X101         862      42,965  SH     DEFINED     01      30,064      12,101         800
DUPONT PHOTOMASKS INC          COM   26613X101          42       2,100  SH     DEFINED     04       2,100           0           0
DUPONT PHOTOMASKS INC          COM   26613X101           7         350  SH     OTHER    01,06           0           0         350
DUPONT PHOTOMASKS INC          COM   26613X101       1,530      76,281  SH     DEFINED  01,08      15,247      61,034           0

DURATEK INC                    COM   26658Q102         135      13,600  SH     DEFINED     01       1,100      12,500           0
DURATEK INC                    COM   26658Q102         211      21,233  SH     DEFINED  01,08       5,806      15,427           0

DURECT CORP                    COM   266605104         144     102,776  SH     DEFINED     01      47,404      53,922       1,450
DURECT CORP                    COM   266605104         136      96,982  SH     DEFINED  01,08      24,500      72,482           0

DUSA PHARMACEUTICALS INC       COM   266898105          24      13,600  SH     DEFINED     01       2,800      10,800           0
DUSA PHARMACEUTICALS INC       COM   266898105          24      13,400  SH     DEFINED  01,08       3,300      10,100           0

DURASWITCH INDUSTRIES INC      COM   266905207           7       9,300  SH     DEFINED     01       1,900       7,400           0
DURASWITCH INDUSTRIES INC      COM   266905207           6       7,572  SH     DEFINED  01,08       2,872       4,700           0

DYAX CORP                      COM   26746E103          34      19,300  SH     DEFINED     01       3,900      15,400           0
DYAX CORP                      COM   26746E103          53      30,500  SH     DEFINED  01,08       5,300      25,200           0

DYCOM INDS INC                 COM   267475101       2,527     244,674  SH     DEFINED     01     127,655     114,419       2,600
DYCOM INDS INC                 COM   267475101       1,232     119,216  SH     DEFINED  01,08      15,400     103,816           0

DYNAMIC MATLS CORP             COM   267888105           8       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          11       5,800  SH     DEFINED  01,08       1,900       3,900           0

DYNACQ INTL INC                COM   267919306         407      30,126  SH     DEFINED     01      13,069      16,957         100
DYNACQ INTL INC                COM   267919306         653      48,290  SH     DEFINED  01,08       7,177      41,113           0

DYNAMICS RESH CORP             COM   268057106         386      29,527  SH     DEFINED     01      15,415      13,962         150
DYNAMICS RESH CORP             COM   268057106          13       1,000  SH     DEFINED     02           0       1,000           0
DYNAMICS RESH CORP             COM   268057106         351      26,891  SH     DEFINED  01,08       4,172      22,719           0

DYNEGY INC NEW                 COM   26816Q101       4,898   1,876,637  SH     DEFINED     01     909,978     935,559      31,100
DYNEGY INC NEW                 COM   26816Q101           4       1,501  SH     OTHER       01         751           0         750
DYNEGY INC NEW                 COM   26816Q101           1         387  SH     DEFINED     02         387           0           0
DYNEGY INC NEW                 COM   26816Q101           0         150  SH     DEFINED     03           0           0         150
DYNEGY INC NEW                 COM   26816Q101           9       3,344  SH     DEFINED     04       3,344           0           0
DYNEGY INC NEW                 COM   26816Q101          36      13,800  SH     DEFINED     05      13,800           0           0
DYNEGY INC NEW                 COM   26816Q101           2         900  SH     OTHER    01,06           0           0         900
DYNEGY INC NEW                 COM   26816Q101       2,140     819,981  SH     DEFINED  01,08     267,804     552,177           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    164
________

DYNEX CAP INC                  COM   26817Q506          83      16,974  SH     DEFINED     01       2,074      14,900           0
DYNEX CAP INC                  COM   26817Q506          98      20,000  SH     DEFINED     04      20,000           0           0
DYNEX CAP INC                  COM   26817Q506          91      18,700  SH     DEFINED  01,08       4,800      13,900           0

DYNTEK INC                     COM   268180106           1       1,000  SH     DEFINED     01       1,000           0           0
DYNTEK INC                     COM   268180106          15      17,869  SH     DEFINED  01,08      12,863       5,006           0

ECC INTL CORP                  COM   268255106          30       7,200  SH     DEFINED     01       1,200       6,000           0
ECC INTL CORP                  COM   268255106          84      20,384  SH     DEFINED  01,08       3,495      16,889           0

EFC BANCORP INC                COM   268423100         175       9,155  SH     DEFINED     01       8,555         600           0
EFC BANCORP INC                COM   268423100          80       4,213  SH     DEFINED  01,08       2,013       2,200           0

EGL INC                        COM   268484102       3,472     233,616  SH     DEFINED     01      92,605     139,011       2,000
EGL INC                        COM   268484102       1,987     133,716  SH     DEFINED  01,08      13,700     120,016           0

E-LOAN INC                     COM   26861P107         314     122,166  SH     DEFINED     01     122,166           0           0
E-LOAN INC                     COM   26861P107         149      58,120  SH     DEFINED  01,08      26,420      31,700           0

ELXSI CORP                     COM   268613205          21       8,200  SH     DEFINED     01         600       7,600           0
ELXSI CORP                     COM   268613205          20       7,835  SH     DEFINED  01,08       1,601       6,234           0

E M C CORP MASS                COM   268648102      98,509  13,625,033  SH     DEFINED     01   7,608,879   5,818,240     197,914
E M C CORP MASS                COM   268648102       2,213     306,032  SH     OTHER       01     140,153     139,069      26,810
E M C CORP MASS                COM   268648102         604      83,498  SH     DEFINED     02      40,641      35,517       7,340
E M C CORP MASS                COM   268648102         257      35,552  SH     OTHER       02      17,255      13,285       5,012
E M C CORP MASS                COM   268648102         326      45,107  SH     DEFINED     03      21,414      19,905       3,788
E M C CORP MASS                COM   268648102          51       7,030  SH     OTHER       03       3,580       3,450           0
E M C CORP MASS                COM   268648102         592      81,893  SH     DEFINED     04      55,593           0      26,300
E M C CORP MASS                COM   268648102         203      28,101  SH     OTHER       04      27,801           0         300
E M C CORP MASS                COM   268648102         837     115,739  SH     DEFINED     05      92,364      19,875       3,500
E M C CORP MASS                COM   268648102         275      37,970  SH     OTHER       05      23,760      13,200       1,010
E M C CORP MASS                COM   268648102          40       5,600  SH     OTHER    01,06           0           0       5,600
E M C CORP MASS                COM   268648102      48,673   6,732,070  SH     DEFINED  01,08   1,680,989   5,051,081           0
E M C CORP MASS                COM   268648102         254      35,161  SH     DEFINED     10      30,561       4,500         100
E M C CORP MASS                COM   268648102          52       7,251  SH     OTHER       10       3,795       3,456           0

EMC INS GROUP INC              COM   268664109         281      14,876  SH     DEFINED     01       3,676      11,200           0
EMC INS GROUP INC              COM   268664109         534      28,254  SH     DEFINED  01,08       5,238      23,016           0

EMS TECHNOLOGIES INC           COM   26873N108       1,013      72,571  SH     DEFINED     01      50,943      21,378         250
EMS TECHNOLOGIES INC           COM   26873N108           8         600  SH     OTHER       01           0         600           0
EMS TECHNOLOGIES INC           COM   26873N108         324      23,216  SH     DEFINED  01,08       5,555      17,661           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    165
________

ENSCO INTL INC                 COM   26874Q100      17,826     698,797  SH     DEFINED     01     396,101     296,526       6,170
ENSCO INTL INC                 COM   26874Q100         428      16,761  SH     OTHER       01       4,400      12,361           0
ENSCO INTL INC                 COM   26874Q100           6         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       9,142     358,357  SH     DEFINED  01,08      47,713     310,644           0
ENSCO INTL INC                 COM   26874Q100           3         126  SH     DEFINED     10         126           0           0

EOG RES INC                    COM   26875P101      32,706     826,743  SH     DEFINED     01     508,135     308,610       9,998
EOG RES INC                    COM   26875P101         281       7,100  SH     OTHER       01           0       7,100           0
EOG RES INC                    COM   26875P101          10         265  SH     DEFINED     02         150           0         115
EOG RES INC                    COM   26875P101           8         210  SH     DEFINED     03         210           0           0
EOG RES INC                    COM   26875P101         142       3,600  SH     DEFINED     04       3,600           0           0
EOG RES INC                    COM   26875P101          12         310  SH     OTHER       04           0           0         310
EOG RES INC                    COM   26875P101         298       7,524  SH     DEFINED     05         700       6,824           0
EOG RES INC                    COM   26875P101          12         300  SH     OTHER    01,06           0           0         300
EOG RES INC                    COM   26875P101      12,731     321,823  SH     DEFINED  01,08      88,588     233,235           0
EOG RES INC                    COM   26875P101          59       1,500  SH     DEFINED     10       1,500           0           0

EON COMMUNICATIONS CORP        COM   268763109           1       2,300  SH     DEFINED     01       2,300           0           0
EON COMMUNICATIONS CORP        COM   268763109           6      14,781  SH     DEFINED  01,08       1,381      13,400           0

EOP OPER LTD PARTNERSHIP       CONDB 268766BR2       2,090   2,000,000  PRN    DEFINED     01   2,000,000           0           0

EP MEDSYSTEMS INC              COM   26881P103           6       3,900  SH     DEFINED     01       2,800       1,100           0
EP MEDSYSTEMS INC              COM   26881P103          40      24,252  SH     DEFINED  01,08       4,967      19,285           0

EPIX MEDICAL INC               COM   26881Q101         401      50,145  SH     DEFINED     01      22,262      27,283         600
EPIX MEDICAL INC               COM   26881Q101         253      31,568  SH     DEFINED  01,08       9,163      22,405           0

E PIPHANY INC                  COM   26881V100         947     237,846  SH     DEFINED     01     128,062     106,784       3,000
E PIPHANY INC                  COM   26881V100           3         875  SH     DEFINED     02           0           0         875
E PIPHANY INC                  COM   26881V100       1,037     260,446  SH     DEFINED  01,08      39,752     220,694           0

EPIQ SYS INC                   COM   26882D109         731      38,049  SH     DEFINED     01      19,115      18,834         100
EPIQ SYS INC                   COM   26882D109       1,046      54,490  SH     DEFINED  01,08       7,821      46,669           0

ESB FINL CORP                  COM   26884F102         359      20,202  SH     DEFINED     01      11,807       8,395           0
ESB FINL CORP                  COM   26884F102         265      14,918  SH     DEFINED  01,08       3,811      11,107           0

ESS TECHNOLOGY INC             COM   269151106         703     118,017  SH     DEFINED     01      56,268      58,699       3,050
ESS TECHNOLOGY INC             COM   269151106           3         500  SH     DEFINED     04         500           0           0
ESS TECHNOLOGY INC             COM   269151106           5         900  SH     OTHER    01,06           0           0         900
ESS TECHNOLOGY INC             COM   269151106         870     145,931  SH     DEFINED  01,08      36,602     109,329           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    166
________

E TRADE GROUP INC              COM   269246104       4,474   1,062,785  SH     DEFINED     01     382,547     668,338      11,900
E TRADE GROUP INC              COM   269246104          62      14,665  SH     DEFINED     04      14,665           0           0
E TRADE GROUP INC              COM   269246104          13       3,150  SH     OTHER       04       3,150           0           0
E TRADE GROUP INC              COM   269246104       3,121     741,416  SH     DEFINED  01,08     104,393     637,023           0
E TRADE GROUP INC              COM   269246104           1         200  SH     DEFINED     10           0           0         200

EXCO RESOURCES INC             COM   269279204         242      13,700  SH     DEFINED     01         900      12,800           0
EXCO RESOURCES INC             COM   269279204         212      12,000  SH     DEFINED  01,08       3,100       8,900           0

E Z EM INC                     COM   269305405         194      20,800  SH     DEFINED     01       2,100      18,700           0
E Z EM INC                     COM   269305405         150      16,082  SH     DEFINED  01,08       4,306      11,776           0

EAGLE FOOD CENTERS INC         COM   269514204           1       3,705  SH     DEFINED     01         479       3,225           1
EAGLE FOOD CENTERS INC         COM   269514204           0          16  SH     DEFINED     03           0          16           0
EAGLE FOOD CENTERS INC         COM   269514204           2       6,974  SH     DEFINED  01,08         638       6,336           0

EARTHSHELL CORP                COM   27032B100         108     220,952  SH     DEFINED     01      98,275     121,827         850
EARTHSHELL CORP                COM   27032B100          87     176,557  SH     DEFINED  01,08      46,281     130,276           0

EARTHLINK INC                  COM   270321102       2,676     465,465  SH     DEFINED     01     268,321     191,594       5,550
EARTHLINK INC                  COM   270321102           1         100  SH     OTHER       04         100           0           0
EARTHLINK INC                  COM   270321102       2,342     407,278  SH     DEFINED  01,08      77,226     330,052           0

EAST WEST BANCORP INC          COM   27579R104       3,006      97,427  SH     DEFINED     01      45,295      50,272       1,860
EAST WEST BANCORP INC          COM   27579R104          15         500  SH     OTHER    01,06           0           0         500
EAST WEST BANCORP INC          COM   27579R104       2,509      81,321  SH     DEFINED  01,08      12,943      68,378           0

EASTERN AMERN NAT GAS TR       COM   276217106         294      15,300  SH     OTHER       01      15,000         300           0
EASTERN AMERN NAT GAS TR       COM   276217106          22       1,150  SH     OTHER       04       1,150           0           0

EASTERN CO                     COM   276317104          39       3,250  SH     DEFINED     01         450       2,800           0
EASTERN CO                     COM   276317104         135      11,218  SH     DEFINED  01,08       1,601       9,617           0

EASTERN VA BANKSHARES INC      COM   277196101           8         300  SH     DEFINED     01         300           0           0
EASTERN VA BANKSHARES INC      COM   277196101         213       8,413  SH     DEFINED  01,08       2,213       6,200           0

EASTGROUP PPTY INC             COM   277276101       1,705      66,725  SH     DEFINED     01      44,037      21,938         750
EASTGROUP PPTY INC             COM   277276101          38       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         970      37,954  SH     DEFINED  01,08       8,800      29,154           0
EASTGROUP PPTY INC             COM   277276101          54       2,100  SH     DEFINED     10       2,100           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    167
________

EASTMAN CHEM CO                COM   277432100      12,956     446,907  SH     DEFINED     01     238,671     204,336       3,900
EASTMAN CHEM CO                COM   277432100         175       6,025  SH     OTHER       01       1,991       2,756       1,278
EASTMAN CHEM CO                COM   277432100          21         731  SH     DEFINED     02         731           0           0
EASTMAN CHEM CO                COM   277432100           8         288  SH     DEFINED     03          37         251           0
EASTMAN CHEM CO                COM   277432100          21         741  SH     OTHER       03         561         180           0
EASTMAN CHEM CO                COM   277432100         215       7,409  SH     DEFINED     04       7,309           0         100
EASTMAN CHEM CO                COM   277432100          39       1,338  SH     OTHER       04         579           0         759
EASTMAN CHEM CO                COM   277432100           6         200  SH     OTHER    01,06           0           0         200
EASTMAN CHEM CO                COM   277432100       6,548     225,870  SH     DEFINED  01,08      48,365     177,505           0
EASTMAN CHEM CO                COM   277432100           1          26  SH     DEFINED     10          26           0           0
EASTMAN CHEM CO                COM   277432100          11         375  SH     OTHER       10         250         125           0

EASTMAN KODAK CO               COM   277461109      49,121   1,659,484  SH     DEFINED     01     866,536     768,782      24,166
EASTMAN KODAK CO               COM   277461109         992      33,515  SH     OTHER       01      12,789      15,811       4,915
EASTMAN KODAK CO               COM   277461109          46       1,555  SH     DEFINED     02       1,250         305           0
EASTMAN KODAK CO               COM   277461109          27         926  SH     OTHER       02           0         926           0
EASTMAN KODAK CO               COM   277461109          38       1,290  SH     DEFINED     03         185       1,005         100
EASTMAN KODAK CO               COM   277461109         218       7,368  SH     OTHER       03       6,500         868           0
EASTMAN KODAK CO               COM   277461109         916      30,955  SH     DEFINED     04      30,755           0         200
EASTMAN KODAK CO               COM   277461109         261       8,811  SH     OTHER       04       7,336           0       1,475
EASTMAN KODAK CO               COM   277461109          24         800  SH     OTHER    01,06           0           0         800
EASTMAN KODAK CO               COM   277461109      26,514     895,760  SH     DEFINED  01,08     237,052     658,708           0
EASTMAN KODAK CO               COM   277461109          16         542  SH     DEFINED     10         542           0           0
EASTMAN KODAK CO               COM   277461109          44       1,500  SH     OTHER       10       1,300         200           0

EASYLINK SVCS CORP             COM   27784T200           2       5,039  SH     DEFINED     01         879       4,160           0
EASYLINK SVCS CORP             COM   27784T200           3       6,847  SH     DEFINED  01,08       4,071       2,776           0

EATON CORP                     COM   278058102      28,231     403,587  SH     DEFINED     01     210,722     185,250       7,615
EATON CORP                     COM   278058102          94       1,350  SH     OTHER       01         400         850         100
EATON CORP                     COM   278058102          42         600  SH     DEFINED     02         600           0           0
EATON CORP                     COM   278058102         210       3,008  SH     OTHER       02       3,008           0           0
EATON CORP                     COM   278058102         136       1,950  SH     DEFINED     03       1,900           0          50
EATON CORP                     COM   278058102         240       3,435  SH     DEFINED     04       2,135           0       1,300
EATON CORP                     COM   278058102         488       6,981  SH     OTHER       04       2,281           0       4,700
EATON CORP                     COM   278058102          10         150  SH     DEFINED     05         150           0           0
EATON CORP                     COM   278058102          14         200  SH     OTHER    01,06           0           0         200
EATON CORP                     COM   278058102      14,309     204,555  SH     DEFINED  01,08      53,145     151,410           0
EATON CORP                     COM   278058102         148       2,112  SH     DEFINED     10       1,112       1,000           0
EATON CORP                     COM   278058102          91       1,296  SH     OTHER       10         696         600           0

EATON VANCE FL MUNI INCOME T   COM   27826B100         216      14,000  SH     DEFINED     04      14,000           0           0
EATON VANCE FL MUNI INCOME T   COM   27826B100          51       3,333  SH     OTHER       04           0           0       3,333


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    168
________

EATON VANCE CORP               COM   278265103      15,204     568,805  SH     DEFINED     01     301,591     225,854      41,360
EATON VANCE CORP               COM   278265103       2,056      76,910  SH     OTHER       01      31,215      32,020      13,675
EATON VANCE CORP               COM   278265103       1,138      42,560  SH     DEFINED     02      30,625       9,650       2,285
EATON VANCE CORP               COM   278265103         325      12,165  SH     OTHER       02       7,940       4,225           0
EATON VANCE CORP               COM   278265103         620      23,190  SH     DEFINED     03      13,980       7,640       1,570
EATON VANCE CORP               COM   278265103         139       5,210  SH     OTHER       03       3,345         845       1,020
EATON VANCE CORP               COM   278265103       2,105      78,769  SH     DEFINED     04      76,219           0       2,550
EATON VANCE CORP               COM   278265103         791      29,585  SH     OTHER       04      29,240           0         345
EATON VANCE CORP               COM   278265103       1,729      64,690  SH     DEFINED     05      52,670       7,025       4,995
EATON VANCE CORP               COM   278265103         271      10,120  SH     OTHER       05       6,945       3,025         150
EATON VANCE CORP               COM   278265103       4,462     166,914  SH     DEFINED  01,08      20,918     145,996           0
EATON VANCE CORP               COM   278265103         323      12,075  SH     DEFINED     10      11,375           0         700
EATON VANCE CORP               COM   278265103          40       1,505  SH     OTHER       10         150       1,355           0

EBAY INC                       COM   278642103     177,740   2,083,459  SH     DEFINED     01   1,284,817     777,814      20,828
EBAY INC                       COM   278642103       2,196      25,745  SH     OTHER       01      12,450      11,595       1,700
EBAY INC                       COM   278642103         277       3,247  SH     DEFINED     02       2,392         700         155
EBAY INC                       COM   278642103          47         550  SH     OTHER       02         200         350           0
EBAY INC                       COM   278642103       2,571      30,140  SH     DEFINED     03      14,500      10,330       5,310
EBAY INC                       COM   278642103         309       3,620  SH     OTHER       03         475       1,595       1,550
EBAY INC                       COM   278642103       1,749      20,500  SH     DEFINED     04      20,500           0           0
EBAY INC                       COM   278642103       1,268      14,860  SH     OTHER       04      14,860           0           0
EBAY INC                       COM   278642103         395       4,625  SH     DEFINED     05       3,625           0       1,000
EBAY INC                       COM   278642103          68         800  SH     OTHER    01,06           0           0         800
EBAY INC                       COM   278642103      60,919     714,092  SH     DEFINED  01,08     192,633     521,459           0
EBAY INC                       COM   278642103         183       2,150  SH     DEFINED     10       1,450         700           0
EBAY INC                       COM   278642103         256       3,000  SH     OTHER       10       3,000           0           0

ECHELON CORP                   COM   27874N105       1,043      98,767  SH     DEFINED     01      47,465      50,752         550
ECHELON CORP                   COM   27874N105       1,110     105,090  SH     DEFINED  01,08      20,480      84,610           0

ECHOSTAR COMMUNICATIONS NEW    CONDB 278762AD1       2,906   3,000,000  PRN    DEFINED     01   3,000,000           0           0

ECHOSTAR COMMUNICATIONS NEW    COM   278762109      14,783     511,863  SH     DEFINED     01     371,425     130,388      10,050
ECHOSTAR COMMUNICATIONS NEW    COM   278762109           3         100  SH     OTHER       01         100           0           0
ECHOSTAR COMMUNICATIONS NEW    COM   278762109           1          28  SH     DEFINED     03          28           0           0
ECHOSTAR COMMUNICATIONS NEW    COM   278762109          29       1,000  SH     OTHER       04       1,000           0           0
ECHOSTAR COMMUNICATIONS NEW    COM   278762109          72       2,500  SH     OTHER       05       2,500           0           0
ECHOSTAR COMMUNICATIONS NEW    COM   278762109      13,843     479,314  SH     DEFINED  01,08      77,137     402,177           0
ECHOSTAR COMMUNICATIONS NEW    COM   278762109         116       4,000  SH     DEFINED     10       4,000           0           0

ECLIPSYS CORP                  COM   278856109       1,600     200,676  SH     DEFINED     01     125,752      73,124       1,800
ECLIPSYS CORP                  COM   278856109         830     104,075  SH     DEFINED  01,08      24,024      80,051           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    169
________

ECOLAB INC                     COM   278865100      53,057   1,075,545  SH     DEFINED     01     674,012     378,985      22,548
ECOLAB INC                     COM   278865100       2,659      53,909  SH     OTHER       01      30,830      19,840       3,239
ECOLAB INC                     COM   278865100       1,533      31,070  SH     DEFINED     02      16,645      12,175       2,250
ECOLAB INC                     COM   278865100         153       3,105  SH     OTHER       02       1,555       1,550           0
ECOLAB INC                     COM   278865100      12,279     248,916  SH     DEFINED     03     119,066      82,602      47,248
ECOLAB INC                     COM   278865100       2,034      41,241  SH     OTHER       03      27,781       6,645       6,815
ECOLAB INC                     COM   278865100      20,990     425,495  SH     DEFINED     04     413,515           0      11,980
ECOLAB INC                     COM   278865100       6,426     130,275  SH     OTHER       04     125,450           0       4,825
ECOLAB INC                     COM   278865100       5,005     101,464  SH     DEFINED     05      83,979      12,800       4,685
ECOLAB INC                     COM   278865100         937      18,985  SH     OTHER       05      11,310       7,375         300
ECOLAB INC                     COM   278865100          15         300  SH     OTHER    01,06           0           0         300
ECOLAB INC                     COM   278865100      17,610     356,977  SH     DEFINED  01,08      87,446     269,531           0
ECOLAB INC                     COM   278865100         835      16,918  SH     DEFINED     10      15,018         600       1,300
ECOLAB INC                     COM   278865100         353       7,159  SH     OTHER       10         675       6,484           0

ECOLLEGE COM                   COM   27887E100          11       2,700  SH     DEFINED     01       2,700           0           0
ECOLLEGE COM                   COM   27887E100         123      29,207  SH     DEFINED  01,08       7,007      22,200           0
ECOLLEGE COM                   COM   27887E100          11       2,500  SH     DEFINED     10       2,500           0           0

ECOLOGY & ENVIRONMENT INC      COM   278878103           9       1,200  SH     DEFINED     01         300         900           0
ECOLOGY & ENVIRONMENT INC      COM   278878103          27       3,400  SH     OTHER       01           0       3,400           0
ECOLOGY & ENVIRONMENT INC      COM   278878103          43       5,465  SH     DEFINED  01,08         975       4,490           0

EDELBROCK CORP                 COM   279434104          45       4,550  SH     DEFINED     01         770       3,780           0
EDELBROCK CORP                 COM   279434104          94       9,479  SH     DEFINED  01,08       2,536       6,943           0

EDEN BIOSCIENCE CORP           COM   279445100          41      27,400  SH     DEFINED     01       4,600      22,800           0
EDEN BIOSCIENCE CORP           COM   279445100          58      38,600  SH     DEFINED  01,08       7,600      31,000           0

EDGAR ONLINE INC               COM   279765101          14      16,200  SH     DEFINED     01       3,000      13,200           0
EDGAR ONLINE INC               COM   279765101          11      12,685  SH     DEFINED  01,08       4,085       8,600           0

EDGE PETE CORP DEL             COM   279862106          64      15,300  SH     DEFINED     01       3,200      12,100           0
EDGE PETE CORP DEL             COM   279862106          67      16,100  SH     DEFINED  01,08       4,100      12,000           0

EDGEWATER TECHNOLOGY INC       COM   280358102         137      33,538  SH     DEFINED     01       3,402      30,136           0
EDGEWATER TECHNOLOGY INC       COM   280358102         102      24,992  SH     DEFINED  01,08       4,959      20,033           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    170
________

EDISON INTL                    COM   281020107      25,538   1,865,470  SH     DEFINED     01     984,233     851,237      30,000
EDISON INTL                    COM   281020107          18       1,300  SH     OTHER       01           0       1,000         300
EDISON INTL                    COM   281020107          19       1,389  SH     DEFINED     02         624           0         765
EDISON INTL                    COM   281020107          18       1,300  SH     OTHER       02           0       1,300           0
EDISON INTL                    COM   281020107          21       1,550  SH     DEFINED     03       1,400           0         150
EDISON INTL                    COM   281020107         447      32,669  SH     OTHER       03      32,669           0           0
EDISON INTL                    COM   281020107          22       1,600  SH     OTHER       04       1,600           0           0
EDISON INTL                    COM   281020107           5         363  SH     DEFINED     05           0         363           0
EDISON INTL                    COM   281020107          11         800  SH     OTHER    01,06           0           0         800
EDISON INTL                    COM   281020107      13,009     950,266  SH     DEFINED  01,08     249,791     700,475           0
EDISON INTL                    COM   281020107           1          56  SH     DEFINED     10          56           0           0

EDISON SCHOOLS INC             COM   281033100          21      23,700  SH     DEFINED     01       8,200      15,500           0
EDISON SCHOOLS INC             COM   281033100           0          85  SH     OTHER       02          85           0           0
EDISON SCHOOLS INC             COM   281033100          76      84,877  SH     DEFINED  01,08      22,577      62,300           0

EDO CORP                       COM   281347104       1,057      58,389  SH     DEFINED     01      27,379      27,360       3,650
EDO CORP                       COM   281347104           2         100  SH     OTHER       02         100           0           0
EDO CORP                       COM   281347104           7         400  SH     OTHER    01,06           0           0         400
EDO CORP                       COM   281347104       1,654      91,375  SH     DEFINED  01,08      10,073      81,302           0

EDUCATION MGMT CORP            COM   28139T101      10,518     264,466  SH     DEFINED     01     172,756      78,355      13,355
EDUCATION MGMT CORP            COM   28139T101           3          75  SH     DEFINED     04          75           0           0
EDUCATION MGMT CORP            COM   28139T101       3,860      97,048  SH     DEFINED  01,08      20,358      76,690           0

EDUCATIONAL DEV CORP           COM   281479105          42       4,400  SH     DEFINED     01           0       4,400           0
EDUCATIONAL DEV CORP           COM   281479105         106      11,107  SH     DEFINED  01,08       1,679       9,428           0

J D EDWARDS & CO               COM   281667105       1,376     124,729  SH     DEFINED     01      74,279      46,310       4,140
J D EDWARDS & CO               COM   281667105       3,374     305,904  SH     DEFINED  01,08      63,344     242,560           0

EDWARDS LIFESCIENCES CORP      COM   28176E108       5,823     212,512  SH     DEFINED     01      92,127     117,025       3,360
EDWARDS LIFESCIENCES CORP      COM   28176E108         103       3,776  SH     OTHER       01       1,530       2,246           0
EDWARDS LIFESCIENCES CORP      COM   28176E108          18         660  SH     DEFINED     02           0         660           0
EDWARDS LIFESCIENCES CORP      COM   28176E108           7         240  SH     OTHER       02         240           0           0
EDWARDS LIFESCIENCES CORP      COM   28176E108         181       6,603  SH     DEFINED     03       6,503           0         100
EDWARDS LIFESCIENCES CORP      COM   28176E108           5         190  SH     OTHER       03         130          60           0
EDWARDS LIFESCIENCES CORP      COM   28176E108         129       4,726  SH     DEFINED     04       4,726           0           0
EDWARDS LIFESCIENCES CORP      COM   28176E108         144       5,264  SH     OTHER       04       4,564           0         700
EDWARDS LIFESCIENCES CORP      COM   28176E108       1,679      61,261  SH     DEFINED  01,08      18,956      42,305           0
EDWARDS LIFESCIENCES CORP      COM   28176E108          14         504  SH     DEFINED     10         429          75           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    171
________

EDWARDS AG INC                 COM   281760108       7,043     271,937  SH     DEFINED     01     108,325     158,396       5,216
EDWARDS AG INC                 COM   281760108          64       2,484  SH     OTHER       01         200       2,284           0
EDWARDS AG INC                 COM   281760108          43       1,650  SH     DEFINED     02         150           0       1,500
EDWARDS AG INC                 COM   281760108          22         843  SH     OTHER       02         843           0           0
EDWARDS AG INC                 COM   281760108          19         750  SH     DEFINED     03         750           0           0
EDWARDS AG INC                 COM   281760108         412      15,900  SH     DEFINED     04      15,900           0           0
EDWARDS AG INC                 COM   281760108          44       1,700  SH     OTHER       04       1,700           0           0
EDWARDS AG INC                 COM   281760108       4,782     184,620  SH     DEFINED  01,08      23,040     161,580           0
EDWARDS AG INC                 COM   281760108          35       1,362  SH     DEFINED     10       1,362           0           0

EFUNDS CORP                    COM   28224R101       1,406     204,656  SH     DEFINED     01     129,615      69,913       5,128
EFUNDS CORP                    COM   28224R101          12       1,700  SH     DEFINED     02           0       1,700           0
EFUNDS CORP                    COM   28224R101           3         441  SH     DEFINED     03           0         441           0
EFUNDS CORP                    COM   28224R101           2         220  SH     OTHER       03         220           0           0
EFUNDS CORP                    COM   28224R101          43       6,197  SH     OTHER       04       6,197           0           0
EFUNDS CORP                    COM   28224R101           6         900  SH     OTHER    01,06           0           0         900
EFUNDS CORP                    COM   28224R101       1,835     267,094  SH     DEFINED  01,08      42,071     225,023           0
EFUNDS CORP                    COM   28224R101           0           6  SH     DEFINED     10           6           0           0

EGAIN COMMUNICATIONS           COM   28225C103           5      20,203  SH     DEFINED     01       6,488      13,715           0
EGAIN COMMUNICATIONS           COM   28225C103          13      56,499  SH     DEFINED  01,08      17,504      38,995           0

8X8 INC NEW                    COM   282914100           5      24,300  SH     DEFINED     01       3,800      20,500           0
8X8 INC NEW                    COM   282914100           8      34,140  SH     DEFINED  01,08      11,240      22,900           0

EL PASO CORP                   COM   28336L109      20,177   3,334,977  SH     DEFINED     01   1,728,996   1,558,658      47,323
EL PASO CORP                   COM   28336L109          29       4,765  SH     OTHER       01       4,612         153           0
EL PASO CORP                   COM   28336L109           3         527  SH     DEFINED     02           0           7         520
EL PASO CORP                   COM   28336L109          20       3,303  SH     OTHER       02       1,827       1,476           0
EL PASO CORP                   COM   28336L109           2         324  SH     DEFINED     03          74           0         250
EL PASO CORP                   COM   28336L109           2         302  SH     OTHER       03         102         200           0
EL PASO CORP                   COM   28336L109         137      22,674  SH     DEFINED     04           0           0      22,674
EL PASO CORP                   COM   28336L109          28       4,623  SH     OTHER       04       3,623           0       1,000
EL PASO CORP                   COM   28336L109           4         700  SH     DEFINED     05         700           0           0
EL PASO CORP                   COM   28336L109           1         100  SH     OTHER       05           0         100           0
EL PASO CORP                   COM   28336L109      11,100   1,834,637  SH     DEFINED  01,08     460,034   1,374,603           0
EL PASO CORP                   COM   28336L109          42       6,900  SH     DEFINED     10       6,900           0           0
EL PASO CORP                   COM   28336L109           6       1,000  SH     OTHER       10       1,000           0           0

EL PASO ELEC CO                COM   283677854       2,112     195,557  SH     DEFINED     01     101,789      91,268       2,500
EL PASO ELEC CO                COM   283677854          11       1,000  SH     OTHER    01,06           0           0       1,000
EL PASO ELEC CO                COM   283677854       1,862     172,388  SH     DEFINED  01,08      44,480     127,908           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    172
________

EL PASO ENERGY PARTNERS L P    COM   28368B102          40       1,300  SH     DEFINED     01       1,300           0           0
EL PASO ENERGY PARTNERS L P    COM   28368B102         115       3,700  SH     DEFINED     02       1,000       2,700           0
EL PASO ENERGY PARTNERS L P    COM   28368B102          50       1,600  SH     DEFINED     04       1,600           0           0
EL PASO ENERGY PARTNERS L P    COM   28368B102         118       3,800  SH     OTHER       04       3,800           0           0
EL PASO ENERGY PARTNERS L P    COM   28368B102          41       1,334  SH     DEFINED     05       1,334           0           0
EL PASO ENERGY PARTNERS L P    COM   28368B102         165       5,333  SH     OTHER       05       5,333           0           0
EL PASO ENERGY PARTNERS L P    COM   28368B102           9         300  SH     DEFINED     10         300           0           0

ELAN PLC                       COM   284131208           2         775  SH     DEFINED     01         450         325           0
ELAN PLC                       COM   284131208           3       1,250  SH     OTHER       01           0       1,250           0
ELAN PLC                       COM   284131208           1         500  SH     DEFINED     02         400         100           0
ELAN PLC                       COM   284131208           3       1,000  SH     OTHER       02       1,000           0           0
ELAN PLC                       COM   284131208           4       1,300  SH     DEFINED     03       1,200           0         100
ELAN PLC                       COM   284131208          10       3,500  SH     OTHER       03       3,250         250           0
ELAN PLC                       COM   284131208          64      22,998  SH     DEFINED     04      22,998           0           0
ELAN PLC                       COM   284131208           2         775  SH     OTHER       04         775           0           0
ELAN PLC                       COM   284131208          10       3,600  SH     DEFINED     05         600           0       3,000
ELAN PLC                       COM   284131208          11       4,000  SH     OTHER       05       2,000           0       2,000

ELDER BEERMAN STORES CORP NE   COM   284470101          31      12,900  SH     DEFINED     01       2,700      10,200           0
ELDER BEERMAN STORES CORP NE   COM   284470101          48      19,842  SH     DEFINED  01,08       5,142      14,700           0

ELDERTRUST                     COM   284560109           7       1,000  SH     DEFINED     01       1,000           0           0
ELDERTRUST                     COM   284560109          88      12,800  SH     DEFINED  01,08       3,300       9,500           0

ELECTRIC FUEL CORP             COM   284871100          11      21,000  SH     DEFINED     01       1,500      19,500           0
ELECTRIC FUEL CORP             COM   284871100          12      23,874  SH     DEFINED  01,08      11,374      12,500           0

ELECTRO RENT CORP              COM   285218103       1,040     109,425  SH     DEFINED     01      77,864      30,861         700
ELECTRO RENT CORP              COM   285218103       1,087     114,467  SH     DEFINED  01,08      12,567     101,900           0

ELECTRO SCIENTIFIC INDS        COM   285229100       1,275     101,525  SH     DEFINED     01      55,403      45,222         900
ELECTRO SCIENTIFIC INDS        COM   285229100          16       1,300  SH     OTHER       01       1,300           0           0
ELECTRO SCIENTIFIC INDS        COM   285229100           7         550  SH     OTHER    01,06           0           0         550
ELECTRO SCIENTIFIC INDS        COM   285229100       1,667     132,744  SH     DEFINED  01,08      24,767     107,977           0

ELECTRO-SENSORS INC            COM   285233102           3       1,200  SH     DEFINED     01           0       1,200           0
ELECTRO-SENSORS INC            COM   285233102          28      11,524  SH     DEFINED  01,08       2,155       9,369           0

ELECTROGLAS INC                COM   285324109          80      90,579  SH     DEFINED     01      53,704      36,375         500
ELECTROGLAS INC                COM   285324109          78      88,169  SH     DEFINED  01,08      11,811      76,358           0
ELECTROGLAS INC                COM   285324109           3       3,700  SH     OTHER       10       3,700           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    173
________

ELECTRONIC ARTS INC            COM   285512109      60,850   1,037,696  SH     DEFINED     01     646,847     368,929      21,920
ELECTRONIC ARTS INC            COM   285512109         921      15,714  SH     OTHER       01       5,200           0      10,514
ELECTRONIC ARTS INC            COM   285512109         505       8,605  SH     DEFINED     02       2,875       5,330         400
ELECTRONIC ARTS INC            COM   285512109          29         500  SH     OTHER       02         300         200           0
ELECTRONIC ARTS INC            COM   285512109       3,437      58,617  SH     DEFINED     03      32,179      22,145       4,293
ELECTRONIC ARTS INC            COM   285512109         643      10,969  SH     OTHER       03       8,269       1,900         800
ELECTRONIC ARTS INC            COM   285512109       8,848     150,892  SH     DEFINED     04     148,367           0       2,525
ELECTRONIC ARTS INC            COM   285512109       2,337      39,855  SH     OTHER       04      38,670           0       1,185
ELECTRONIC ARTS INC            COM   285512109         727      12,391  SH     DEFINED     05      10,751       1,310         330
ELECTRONIC ARTS INC            COM   285512109          18         300  SH     OTHER       05           0         300           0
ELECTRONIC ARTS INC            COM   285512109          23         400  SH     OTHER    01,06           0           0         400
ELECTRONIC ARTS INC            COM   285512109      23,684     403,888  SH     DEFINED  01,08     105,477     298,411           0
ELECTRONIC ARTS INC            COM   285512109          10         170  SH     DEFINED     10         170           0           0
ELECTRONIC ARTS INC            COM   285512109         195       3,320  SH     OTHER       10       2,900         420           0

ELECTRONIC DATA SYS NEW        COM   285661104      52,456   2,980,460  SH     DEFINED     01   1,643,466   1,294,494      42,500
ELECTRONIC DATA SYS NEW        COM   285661104         193      10,950  SH     OTHER       01       7,143       3,382         425
ELECTRONIC DATA SYS NEW        COM   285661104          49       2,778  SH     DEFINED     02       2,778           0           0
ELECTRONIC DATA SYS NEW        COM   285661104          22       1,244  SH     OTHER       02         912         120         212
ELECTRONIC DATA SYS NEW        COM   285661104         592      33,635  SH     DEFINED     03      20,885       8,900       3,850
ELECTRONIC DATA SYS NEW        COM   285661104          18       1,050  SH     OTHER       03       1,050           0           0
ELECTRONIC DATA SYS NEW        COM   285661104       3,355     190,651  SH     DEFINED     04     184,951           0       5,700
ELECTRONIC DATA SYS NEW        COM   285661104         525      29,813  SH     OTHER       04      29,713           0         100
ELECTRONIC DATA SYS NEW        COM   285661104       1,056      60,020  SH     DEFINED     05      37,665       1,325      21,030
ELECTRONIC DATA SYS NEW        COM   285661104          34       1,929  SH     OTHER       05         739       1,190           0
ELECTRONIC DATA SYS NEW        COM   285661104          20       1,150  SH     OTHER    01,06           0           0       1,150
ELECTRONIC DATA SYS NEW        COM   285661104      36,931   2,098,346  SH     DEFINED  01,08     369,991   1,705,135      23,220
ELECTRONIC DATA SYS NEW        COM   285661104         532      30,200  SH     DEFINED     10      28,125       2,075           0

ELECTRONICS BOUTIQUE HLDGS C   COM   286045109         734      43,737  SH     DEFINED     01      20,027      23,160         550
ELECTRONICS BOUTIQUE HLDGS C   COM   286045109       1,254      74,705  SH     DEFINED  01,08      12,324      62,381           0

ELECTRONICS FOR IMAGING INC    COM   286082102       4,644     262,513  SH     DEFINED     01     186,354      73,559       2,600
ELECTRONICS FOR IMAGING INC    COM   286082102          23       1,300  SH     OTHER       01       1,300           0           0
ELECTRONICS FOR IMAGING INC    COM   286082102           5         301  SH     DEFINED     02           0           0         301
ELECTRONICS FOR IMAGING INC    COM   286082102           1          30  SH     DEFINED     03          30           0           0
ELECTRONICS FOR IMAGING INC    COM   286082102           9         500  SH     DEFINED     04         500           0           0
ELECTRONICS FOR IMAGING INC    COM   286082102       2,971     167,956  SH     DEFINED  01,08      30,041     137,915           0

ELITE INFORMATION GROUP INC    COM   28659M106         204      21,700  SH     DEFINED     01       1,300      20,400           0
ELITE INFORMATION GROUP INC    COM   28659M106         128      13,600  SH     DEFINED  01,08       3,590      10,010           0

ELIZABETH ARDEN INC            COM   28660G106         532      54,094  SH     DEFINED     01      27,847      25,547         700
ELIZABETH ARDEN INC            COM   28660G106          49       5,000  SH     DEFINED     04           0           0       5,000
ELIZABETH ARDEN INC            COM   28660G106         612      62,171  SH     DEFINED  01,08       9,049      53,122           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    174
________

ELKCORP                        COM   287456107       1,663      87,507  SH     DEFINED     01      35,381      41,976      10,150
ELKCORP                        COM   287456107           8         400  SH     OTHER    01,06           0           0         400
ELKCORP                        COM   287456107       2,059     108,388  SH     DEFINED  01,08      17,269      91,119           0

ELLIS PERRY INTL INC           COM   288853104         111       5,800  SH     DEFINED     01       1,400       4,400           0
ELLIS PERRY INTL INC           COM   288853104         212      11,050  SH     DEFINED  01,08       2,833       8,217           0

ELOYALTY CORP                  COM   290151307          21       5,957  SH     DEFINED     01       1,002       4,955           0
ELOYALTY CORP                  COM   290151307          37      10,651  SH     DEFINED  01,08       2,699       7,952           0

EMAGIN CORP                    COM   29076N107          20      25,500  SH     DEFINED     01       1,700      23,800           0
EMAGIN CORP                    COM   29076N107          21      27,473  SH     DEFINED  01,08       6,473      21,000           0

EMBARCADERO TECHNOLOGIES INC   COM   290787100         291      46,026  SH     DEFINED     01      17,557      28,269         200
EMBARCADERO TECHNOLOGIES INC   COM   290787100           4         600  SH     DEFINED     02           0           0         600
EMBARCADERO TECHNOLOGIES INC   COM   290787100         329      51,976  SH     DEFINED  01,08      13,151      38,825           0

EMBREX INC                     COM   290817105         204      25,773  SH     DEFINED     01      12,754      12,869         150
EMBREX INC                     COM   290817105         157      19,877  SH     DEFINED  01,08       4,266      15,611           0

EMCOR GROUP INC                COM   29084Q100       2,706      56,093  SH     DEFINED     01      31,100      21,993       3,000
EMCOR GROUP INC                COM   29084Q100          41         850  SH     OTHER       01           0         850           0
EMCOR GROUP INC                COM   29084Q100          14         300  SH     OTHER    01,06           0           0         300
EMCOR GROUP INC                COM   29084Q100       3,546      73,500  SH     DEFINED  01,08      13,272      60,228           0

EMCORE CORP                    COM   290846104         180     108,981  SH     DEFINED     01      64,265      44,166         550
EMCORE CORP                    COM   290846104         169     102,724  SH     DEFINED  01,08      18,406      84,318           0

EMERGE INTERACTIVE INC         COM   29088W103           2       6,338  SH     DEFINED     01       6,338           0           0
EMERGE INTERACTIVE INC         COM   29088W103          11      30,000  SH     DEFINED     04      30,000           0           0
EMERGE INTERACTIVE INC         COM   29088W103          14      36,538  SH     DEFINED  01,08       6,080      30,458           0

EMERGING MKTS INCOME FD        UNDEF 290918101         156      10,300         OTHER       04      10,300           0           0

EMERITUS CORP                  COM   291005106          41       9,500  SH     DEFINED     01       1,500       8,000           0
EMERITUS CORP                  COM   291005106          74      17,240  SH     DEFINED  01,08       4,156      13,084           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    175
________

EMERSON ELEC CO                COM   291011104     136,994   3,020,817  SH     DEFINED     01   1,736,873   1,188,067      95,877
EMERSON ELEC CO                COM   291011104      13,050     287,760  SH     OTHER       01     139,636     122,458      25,666
EMERSON ELEC CO                COM   291011104       4,218      92,999  SH     DEFINED     02      65,654      25,745       1,600
EMERSON ELEC CO                COM   291011104       2,558      56,400  SH     OTHER       02      37,600      12,970       5,830
EMERSON ELEC CO                COM   291011104       2,577      56,828  SH     DEFINED     03      27,170      23,975       5,683
EMERSON ELEC CO                COM   291011104       2,462      54,278  SH     OTHER       03      33,888      13,090       7,300
EMERSON ELEC CO                COM   291011104      10,395     229,214  SH     DEFINED     04     219,393           0       9,821
EMERSON ELEC CO                COM   291011104       5,536     122,065  SH     OTHER       04     117,065           0       5,000
EMERSON ELEC CO                COM   291011104       1,855      40,905  SH     DEFINED     05      35,750       2,075       3,080
EMERSON ELEC CO                COM   291011104         279       6,160  SH     OTHER       05       1,700       3,460       1,000
EMERSON ELEC CO                COM   291011104          50       1,100  SH     OTHER    01,06           0           0       1,100
EMERSON ELEC CO                COM   291011104      78,158   1,723,443  SH     DEFINED  01,08     297,847   1,374,730      50,866
EMERSON ELEC CO                COM   291011104       4,475      98,674  SH     DEFINED     10      56,100      32,533      10,041
EMERSON ELEC CO                COM   291011104       2,058      45,391  SH     OTHER       10      24,964      20,427           0

EMERSON RADIO CORP             COM   291087203          55       8,000  SH     DEFINED     01       6,800       1,200           0
EMERSON RADIO CORP             COM   291087203         361      52,540  SH     DEFINED  01,08      11,561      40,979           0

EMISPHERE TECHNOLOGIES INC     COM   291345106          48      18,300  SH     DEFINED     01       3,600      14,700           0
EMISPHERE TECHNOLOGIES INC     COM   291345106          80      30,871  SH     DEFINED  01,08       7,878      22,993           0

EMMIS COMMUNICATIONS CORP      COM   291525103       2,624     155,434  SH     DEFINED     01      58,276      95,460       1,698
EMMIS COMMUNICATIONS CORP      COM   291525103          41       2,400  SH     OTHER       04       2,400           0           0
EMMIS COMMUNICATIONS CORP      COM   291525103       1,922     113,883  SH     DEFINED  01,08      14,719      99,164           0

EMPIRE DIST ELEC CO            COM   291641108       1,479      84,038  SH     DEFINED     01      43,536      39,202       1,300
EMPIRE DIST ELEC CO            COM   291641108          14         800  SH     DEFINED     02           0         800           0
EMPIRE DIST ELEC CO            COM   291641108       1,532      87,070  SH     DEFINED  01,08      28,923      58,147           0

EN POINTE TECHNOLOGIES INC     COM   29247F108           3       6,100  SH     DEFINED     01         800       5,300           0
EN POINTE TECHNOLOGIES INC     COM   29247F108           4       8,728  SH     DEFINED  01,08       1,519       7,209           0

EMULEX CORP                    COM   292475209       1,985     103,650  SH     DEFINED     01      61,726      38,724       3,200
EMULEX CORP                    COM   292475209          46       2,380  SH     DEFINED     04       2,380           0           0
EMULEX CORP                    COM   292475209       2,794     145,920  SH     DEFINED  01,08      22,060     123,860           0

ENBRIDGE ENERGY PARTNERS L P   COM   29250R106          37         800  SH     DEFINED     01         300         500           0
ENBRIDGE ENERGY PARTNERS L P   COM   29250R106          41         900  SH     DEFINED     02         500         400           0
ENBRIDGE ENERGY PARTNERS L P   COM   29250R106          23         500  SH     OTHER       02         100         400           0
ENBRIDGE ENERGY PARTNERS L P   COM   29250R106          37         800  SH     DEFINED     03           0         800           0
ENBRIDGE ENERGY PARTNERS L P   COM   29250R106          18         400  SH     OTHER       03         400           0           0
ENBRIDGE ENERGY PARTNERS L P   COM   29250R106         475      10,400  SH     DEFINED     04      10,400           0           0
ENBRIDGE ENERGY PARTNERS L P   COM   29250R106         320       7,001  SH     OTHER       04       6,601           0         400
ENBRIDGE ENERGY PARTNERS L P   COM   29250R106          55       1,200  SH     DEFINED     10       1,200           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    176
________

ENCANA CORP                    COM   292505104       1,356      41,917  SH     DEFINED     01      31,232      10,285         400
ENCANA CORP                    COM   292505104         944      29,186  SH     OTHER       01       3,445      12,591      13,150
ENCANA CORP                    COM   292505104          84       2,600  SH     DEFINED     02       2,600           0           0
ENCANA CORP                    COM   292505104          13         400  SH     OTHER       02           0         400           0
ENCANA CORP                    COM   292505104       1,826      56,418  SH     DEFINED     03      29,289      24,079       3,050
ENCANA CORP                    COM   292505104         178       5,495  SH     OTHER       03       5,095         400           0
ENCANA CORP                    COM   292505104       2,441      75,438  SH     DEFINED     04      75,138           0         300
ENCANA CORP                    COM   292505104       1,016      31,395  SH     OTHER       04      31,395           0           0
ENCANA CORP                    COM   292505104         323       9,994  SH     DEFINED     05         875       9,119           0
ENCANA CORP                    COM   292505104         653      20,186  SH     DEFINED     10      20,186           0           0
ENCANA CORP                    COM   292505104           3         100  SH     OTHER       10         100           0           0

ENCORE ACQUISITION CO          COM   29255W100         472      25,590  SH     DEFINED     01      20,384       4,806         400
ENCORE ACQUISITION CO          COM   29255W100         712      38,584  SH     DEFINED  01,08      14,000      24,584           0

ENCORE MED CORP                COM   29256E109           3       1,300  SH     DEFINED     01       1,300           0           0
ENCORE MED CORP                COM   29256E109          60      25,000  SH     DEFINED     04      25,000           0           0
ENCORE MED CORP                COM   29256E109          44      18,310  SH     DEFINED  01,08       4,210      14,100           0

ENCORE WIRE CORP               COM   292562105         481      56,540  SH     DEFINED     01      30,515      25,725         300
ENCORE WIRE CORP               COM   292562105         287      33,810  SH     DEFINED  01,08       8,224      25,586           0

ENDWAVE CORP                   COM   29264A206           2       1,625  SH     DEFINED     01       1,625           0           0
ENDWAVE CORP                   COM   29264A206          11      11,125  SH     DEFINED  01,08       2,225       8,900           0

ENDO PHARMACEUTICALS HLDGS I   COM   29264F205       2,255     167,153  SH     DEFINED     01      53,211     112,892       1,050
ENDO PHARMACEUTICALS HLDGS I   COM   29264F205       2,741     203,173  SH     DEFINED  01,08      45,837     157,336           0

ENERGEN CORP                   COM   29265N108       5,384     167,922  SH     DEFINED     01     111,451      53,571       2,900
ENERGEN CORP                   COM   29265N108          16         500  SH     DEFINED     02           0           0         500
ENERGEN CORP                   COM   29265N108          45       1,400  SH     OTHER       02       1,400           0           0
ENERGEN CORP                   COM   29265N108          21         670  SH     OTHER    01,06           0           0         670
ENERGEN CORP                   COM   29265N108       5,409     168,700  SH     DEFINED  01,08      30,524     138,176           0

ENERGY CONVERSION DEVICES IN   COM   292659109         471      55,527  SH     DEFINED     01      28,085      27,092         350
ENERGY CONVERSION DEVICES IN   COM   292659109          17       2,000  SH     DEFINED     04       2,000           0           0
ENERGY CONVERSION DEVICES IN   COM   292659109         597      70,373  SH     DEFINED  01,08      10,993      59,380           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    177
________

ENERGY EAST CORP               COM   29266M109       8,296     466,066  SH     DEFINED     01     174,885     286,871       4,310
ENERGY EAST CORP               COM   29266M109          18       1,000  SH     OTHER       01       1,000           0           0
ENERGY EAST CORP               COM   29266M109           7         400  SH     OTHER       02           0         400           0
ENERGY EAST CORP               COM   29266M109           4         200  SH     OTHER       03         200           0           0
ENERGY EAST CORP               COM   29266M109          79       4,416  SH     DEFINED     04       4,416           0           0
ENERGY EAST CORP               COM   29266M109          65       3,672  SH     OTHER       04       3,672           0           0
ENERGY EAST CORP               COM   29266M109       5,623     315,911  SH     DEFINED  01,08      44,986     270,925           0
ENERGY EAST CORP               COM   29266M109          25       1,410  SH     OTHER       10           0       1,410           0

ENERGIZER HLDGS INC            COM   29266R108       7,662     300,605  SH     DEFINED     01     114,019     180,094       6,492
ENERGIZER HLDGS INC            COM   29266R108          23         900  SH     OTHER       01           0         900           0
ENERGIZER HLDGS INC            COM   29266R108         366      14,345  SH     DEFINED     02      14,345           0           0
ENERGIZER HLDGS INC            COM   29266R108          28       1,091  SH     OTHER       02       1,091           0           0
ENERGIZER HLDGS INC            COM   29266R108          94       3,699  SH     DEFINED     04       3,699           0           0
ENERGIZER HLDGS INC            COM   29266R108          22         871  SH     OTHER       04         100           0         771
ENERGIZER HLDGS INC            COM   29266R108       5,542     217,434  SH     DEFINED  01,08      41,559     175,875           0
ENERGIZER HLDGS INC            COM   29266R108           4         163  SH     DEFINED     10         163           0           0
ENERGIZER HLDGS INC            COM   29266R108         131       5,144  SH     OTHER       10       5,144           0           0

ENDOLOGIX INC                  COM   29266S106          25      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          53      29,211  SH     DEFINED  01,08       9,653      19,558           0

ENERGY PARTNERS LTD            COM   29270U105         688      67,468  SH     DEFINED     01      36,443      30,075         950
ENERGY PARTNERS LTD            COM   29270U105         123      12,103  SH     DEFINED  01,08       2,523       9,580           0

ENERGY WEST INC                COM   29274A105          39       5,100  SH     DEFINED     01         300       4,800           0
ENERGY WEST INC                COM   29274A105          19       2,500  SH     OTHER       04       2,500           0           0
ENERGY WEST INC                COM   29274A105          19       2,500  SH     DEFINED  01,08       1,058       1,442           0

ENGELHARD CORP                 COM   292845104      15,387     718,367  SH     DEFINED     01     375,346     332,451      10,570
ENGELHARD CORP                 COM   292845104           3         125  SH     OTHER       01           0           0         125
ENGELHARD CORP                 COM   292845104          44       2,062  SH     DEFINED     02       2,062           0           0
ENGELHARD CORP                 COM   292845104          29       1,335  SH     DEFINED     03         110       1,125         100
ENGELHARD CORP                 COM   292845104           6         300  SH     OTHER    01,06           0           0         300
ENGELHARD CORP                 COM   292845104       7,417     346,280  SH     DEFINED  01,08      96,150     250,130           0
ENGELHARD CORP                 COM   292845104           0          20  SH     DEFINED     10          20           0           0

ENGINEERED SUPPORT SYS INC     COM   292866100       1,957      49,996  SH     DEFINED     01      22,855      24,181       2,960
ENGINEERED SUPPORT SYS INC     COM   292866100          14         350  SH     OTHER    01,06           0           0         350
ENGINEERED SUPPORT SYS INC     COM   292866100       3,016      77,048  SH     DEFINED  01,08       8,449      68,599           0

ENDOCARDIAL SOLUTIONS INC      COM   292962107         108      38,954  SH     DEFINED     01      22,583      16,071         300
ENDOCARDIAL SOLUTIONS INC      COM   292962107          96      34,671  SH     DEFINED  01,08       9,000      25,671           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    178
________

ENERGYSOUTH INC                COM   292970100         211       7,972  SH     DEFINED     01       3,789       4,083         100
ENERGYSOUTH INC                COM   292970100         352      13,309  SH     DEFINED  01,08       2,732      10,577           0

ENESCO GROUP INC               COM   292973104         250      34,846  SH     DEFINED     01      24,096      10,700          50
ENESCO GROUP INC               COM   292973104           2         300  SH     OTHER    01,06           0           0         300
ENESCO GROUP INC               COM   292973104         240      33,514  SH     DEFINED  01,08      10,514      23,000           0

ENGLOBAL CORP                  COM   293306106          32      17,000  SH     DEFINED     01       1,800      15,200           0
ENGLOBAL CORP                  COM   293306106           0         200  SH     DEFINED  01,08         200           0           0

ENNIS BUSINESS FORMS INC       COM   293389102         756      66,689  SH     DEFINED     01      32,390      33,999         300
ENNIS BUSINESS FORMS INC       COM   293389102          11       1,000  SH     DEFINED     04       1,000           0           0
ENNIS BUSINESS FORMS INC       COM   293389102         415      36,635  SH     DEFINED  01,08       9,164      27,471           0

ENPRO INDS INC                 COM   29355X107          16       4,100  SH     DEFINED     01       4,093           7           0
ENPRO INDS INC                 COM   29355X107         146      36,600  SH     DEFINED  01,08       8,900      27,700           0
ENPRO INDS INC                 COM   29355X107           0           3  SH     DEFINED     10           3           0           0

ENTEGRIS INC                   COM   29362U104       1,741     174,830  SH     DEFINED     01      84,865      88,165       1,800
ENTEGRIS INC                   COM   29362U104       1,747     175,404  SH     DEFINED  01,08      35,900     139,504           0

ENTERASYS NETWORKS INC         COM   293637104       1,329     718,552  SH     DEFINED     01     508,173     202,229       8,150
ENTERASYS NETWORKS INC         COM   293637104       1,042     563,364  SH     DEFINED  01,08     106,600     456,764           0
ENTERASYS NETWORKS INC         COM   293637104           2       1,080  SH     DEFINED     10       1,080           0           0

ENTERCOM COMMUNICATIONS CORP   COM   293639100       6,160     140,292  SH     DEFINED     01      49,119      89,598       1,575
ENTERCOM COMMUNICATIONS CORP   COM   293639100           8         190  SH     DEFINED     03         190           0           0
ENTERCOM COMMUNICATIONS CORP   COM   293639100       3,956      90,102  SH     DEFINED  01,08      14,099      76,003           0

ENTERGY CORP NEW               COM   29364G103      60,811   1,262,956  SH     DEFINED     01     658,007     584,849      20,100
ENTERGY CORP NEW               COM   29364G103         331       6,866  SH     OTHER       01       2,000       3,300       1,566
ENTERGY CORP NEW               COM   29364G103          29         600  SH     DEFINED     02         600           0           0
ENTERGY CORP NEW               COM   29364G103          24         500  SH     OTHER       02         500           0           0
ENTERGY CORP NEW               COM   29364G103         973      20,215  SH     DEFINED     03      10,405       9,015         795
ENTERGY CORP NEW               COM   29364G103         365       7,585  SH     OTHER       03       5,950         850         785
ENTERGY CORP NEW               COM   29364G103         524      10,881  SH     DEFINED     04       8,481           0       2,400
ENTERGY CORP NEW               COM   29364G103         140       2,900  SH     OTHER       04       2,900           0           0
ENTERGY CORP NEW               COM   29364G103          29         600  SH     OTHER    01,06           0           0         600
ENTERGY CORP NEW               COM   29364G103      31,789     660,211  SH     DEFINED  01,08     168,609     491,602           0
ENTERGY CORP NEW               COM   29364G103          16         340  SH     DEFINED     10         340           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    179
________

ENTERPRISE PRODS PARTNERS L    COM   293792107         409      19,600  SH     DEFINED     01      19,600           0           0
ENTERPRISE PRODS PARTNERS L    COM   293792107          42       2,000  SH     OTHER       01           0       2,000           0
ENTERPRISE PRODS PARTNERS L    COM   293792107          10         500  SH     DEFINED     02         500           0           0
ENTERPRISE PRODS PARTNERS L    COM   293792107         104       5,000  SH     DEFINED     03       5,000           0           0
ENTERPRISE PRODS PARTNERS L    COM   293792107          21       1,000  SH     OTHER       04       1,000           0           0

ENTERTAINMENT PPTYS TR         COM   29380T105       1,510      56,968  SH     DEFINED     01      34,755      21,313         900
ENTERTAINMENT PPTYS TR         COM   29380T105          27       1,000  SH     DEFINED     04       1,000           0           0
ENTERTAINMENT PPTYS TR         COM   29380T105         729      27,508  SH     DEFINED  01,08       9,681      17,827           0

ENTREMED INC                   COM   29382F103          22      21,870  SH     DEFINED     01       4,770      17,100           0
ENTREMED INC                   COM   29382F103           2       2,100  SH     DEFINED     04       1,800           0         300
ENTREMED INC                   COM   29382F103          34      34,126  SH     DEFINED  01,08       6,126      28,000           0

ENTRAVISION COMMUNICATIONS C   COM   29382R107         635     117,556  SH     DEFINED     01      33,426      82,330       1,800
ENTRAVISION COMMUNICATIONS C   COM   29382R107         668     123,631  SH     DEFINED  01,08      33,231      90,400           0

ENTRUST INC                    COM   293848107         456     182,404  SH     DEFINED     01      97,502      82,502       2,400
ENTRUST INC                    COM   293848107           1         400  SH     DEFINED     04         400           0           0
ENTRUST INC                    COM   293848107         448     179,173  SH     DEFINED  01,08      34,490     144,683           0

ENZON PHARMACEUTICALS INC      COM   293904108       1,609     141,738  SH     DEFINED     01      75,805      64,033       1,900
ENZON PHARMACEUTICALS INC      COM   293904108          34       3,000  SH     DEFINED     02       1,500       1,500           0
ENZON PHARMACEUTICALS INC      COM   293904108           0           3  SH     OTHER       04           3           0           0
ENZON PHARMACEUTICALS INC      COM   293904108       1,462     128,789  SH     DEFINED  01,08      21,907     106,882           0

ENVIRONMENTAL ELEMENTS CORP    COM   293940102           5       2,200  SH     DEFINED     01       1,000       1,200           0
ENVIRONMENTAL ELEMENTS CORP    COM   293940102          26      12,100  SH     DEFINED  01,08       2,816       9,284           0

ENVIRONMENTAL TECTONICS CORP   COM   294092101          48       8,100  SH     DEFINED     01       1,300       6,800           0
ENVIRONMENTAL TECTONICS CORP   COM   294092101          72      12,257  SH     DEFINED  01,08       3,157       9,100           0

ENZO BIOCHEM INC               COM   294100102       1,084      82,935  SH     DEFINED     01      41,554      38,758       2,623
ENZO BIOCHEM INC               COM   294100102          43       3,307  SH     DEFINED     04       3,307           0           0
ENZO BIOCHEM INC               COM   294100102           7         530  SH     OTHER    01,06           0           0         530
ENZO BIOCHEM INC               COM   294100102       1,280      97,901  SH     DEFINED  01,08      15,265      82,636           0

EON LABS INC                   COM   29412E100       3,835     143,651  SH     DEFINED     01      98,941      44,160         550
EON LABS INC                   COM   29412E100       1,643      61,526  SH     DEFINED  01,08      19,978      41,548           0

EPIMMUNE INC                   COM   29425Y101           1       1,800  SH     DEFINED     01       1,800           0           0
EPIMMUNE INC                   COM   29425Y101           9      10,519  SH     DEFINED  01,08       1,994       8,525           0

EPICOR SOFTWARE CORP           COM   29426L108          92      44,900  SH     DEFINED     01       8,500      36,400           0
EPICOR SOFTWARE CORP           COM   29426L108         144      70,427  SH     DEFINED  01,08      19,094      51,333           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    180
________

EPLUS INC                      COM   294268107         107      14,801  SH     DEFINED     01       1,101      13,700           0
EPLUS INC                      COM   294268107         126      17,523  SH     DEFINED  01,08       4,623      12,900           0

EPRESENCE INC                  COM   294348107          65      34,100  SH     DEFINED     01       4,600      29,400         100
EPRESENCE INC                  COM   294348107          74      39,061  SH     DEFINED  01,08       9,908      29,153           0

EQUIFIN INC                    COM   29442V106           0         900  SH     DEFINED     01           0         900           0
EQUIFIN INC                    COM   29442V106           3      12,900  SH     DEFINED  01,08       1,148      11,752           0

EQUIFAX INC                    COM   294429105      15,520     776,367  SH     DEFINED     01     403,452     362,404      10,511
EQUIFAX INC                    COM   294429105         267      13,370  SH     OTHER       01           0       1,245      12,125
EQUIFAX INC                    COM   294429105         169       8,450  SH     DEFINED     02       7,300         750         400
EQUIFAX INC                    COM   294429105          32       1,600  SH     OTHER       02       1,600           0           0
EQUIFAX INC                    COM   294429105          58       2,900  SH     DEFINED     03       1,250       1,600          50
EQUIFAX INC                    COM   294429105         831      41,552  SH     DEFINED     04      41,552           0           0
EQUIFAX INC                    COM   294429105         218      10,900  SH     OTHER       04       7,900           0       3,000
EQUIFAX INC                    COM   294429105           8         400  SH     OTHER    01,06           0           0         400
EQUIFAX INC                    COM   294429105       7,881     394,232  SH     DEFINED  01,08      90,581     303,651           0
EQUIFAX INC                    COM   294429105          33       1,673  SH     DEFINED     10       1,673           0           0
EQUIFAX INC                    COM   294429105          40       2,000  SH     OTHER       10           0       2,000           0

EQUITABLE RES INC              COM   294549100       7,901     210,634  SH     DEFINED     01      84,234     120,050       6,350
EQUITABLE RES INC              COM   294549100          19         500  SH     OTHER       02         500           0           0
EQUITABLE RES INC              COM   294549100          38       1,000  SH     DEFINED     04       1,000           0           0
EQUITABLE RES INC              COM   294549100         166       4,436  SH     OTHER       04       4,436           0           0
EQUITABLE RES INC              COM   294549100       6,143     163,769  SH     DEFINED  01,08      19,437     144,332           0
EQUITABLE RES INC              COM   294549100          56       1,500  SH     DEFINED     10       1,200         300           0

EQUITEX INC                    COM   294592308          19      29,600  SH     DEFINED     01         700      28,900           0
EQUITEX INC                    COM   294592308         225     346,412  SH     DEFINED     04     346,412           0           0
EQUITEX INC                    COM   294592308          17      25,864  SH     DEFINED  01,08       3,064      22,800           0

EQUITY INCOME FD               COM   294700703           1          10  SH     DEFINED     01          10           0           0
EQUITY INCOME FD               COM   294700703         699      10,164  SH     OTHER       01           0      10,164           0
EQUITY INCOME FD               COM   294700703          41         600  SH     DEFINED     02         500         100           0
EQUITY INCOME FD               COM   294700703         120       1,744  SH     OTHER       02       1,744           0           0
EQUITY INCOME FD               COM   294700703         152       2,205  SH     DEFINED     03       2,205           0           0
EQUITY INCOME FD               COM   294700703          21         300  SH     OTHER       03         100         200           0
EQUITY INCOME FD               COM   294700703         186       2,706  SH     DEFINED     04       2,706           0           0
EQUITY INCOME FD               COM   294700703         827      12,023  SH     OTHER       04      11,873           0         150

EQUITY INNS INC                COM   294703103         802     137,105  SH     DEFINED     01     108,545      27,650         910
EQUITY INNS INC                COM   294703103         558      95,455  SH     DEFINED  01,08      22,900      72,555           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    181
________

EQUITY MARKETING INC           COM   294724109          72       5,500  SH     DEFINED     01       1,300       4,200           0
EQUITY MARKETING INC           COM   294724109         128       9,764  SH     DEFINED  01,08       2,513       7,251           0

EQUITY OFFICE PROPERTIES TRU   COM   294741103      70,398   2,766,142  SH     DEFINED     01   1,591,852   1,119,635      54,655
EQUITY OFFICE PROPERTIES TRU   COM   294741103       2,069      81,298  SH     OTHER       01      49,443      28,380       3,475
EQUITY OFFICE PROPERTIES TRU   COM   294741103         425      16,699  SH     DEFINED     02      13,200       2,299       1,200
EQUITY OFFICE PROPERTIES TRU   COM   294741103         223       8,780  SH     OTHER       02       1,280       2,500       5,000
EQUITY OFFICE PROPERTIES TRU   COM   294741103       2,096      82,369  SH     DEFINED     03      45,811      20,676      15,882
EQUITY OFFICE PROPERTIES TRU   COM   294741103         418      16,415  SH     OTHER       03      11,765       4,150         500
EQUITY OFFICE PROPERTIES TRU   COM   294741103       6,536     256,798  SH     DEFINED     04     249,048           0       7,750
EQUITY OFFICE PROPERTIES TRU   COM   294741103       2,578     101,290  SH     OTHER       04      91,192           0      10,098
EQUITY OFFICE PROPERTIES TRU   COM   294741103         430      16,900  SH     DEFINED     05      16,265           0         635
EQUITY OFFICE PROPERTIES TRU   COM   294741103          68       2,665  SH     OTHER       05       2,465           0         200
EQUITY OFFICE PROPERTIES TRU   COM   294741103          28       1,100  SH     OTHER    01,06           0           0       1,100
EQUITY OFFICE PROPERTIES TRU   COM   294741103      33,079   1,299,757  SH     DEFINED  01,08     335,389     964,368           0
EQUITY OFFICE PROPERTIES TRU   COM   294741103         505      19,834  SH     DEFINED     10      19,634         200           0
EQUITY OFFICE PROPERTIES TRU   COM   294741103         135       5,300  SH     OTHER       10       4,800         500           0

EQUITY OIL CO                  COM   294749106          34      14,800  SH     DEFINED     01         100      14,700           0
EQUITY OIL CO                  COM   294749106          88      38,118  SH     DEFINED  01,08       3,682      34,436           0

EQUITY ONE                     COM   294752100       2,307     150,893  SH     DEFINED     01      97,583      50,706       2,604
EQUITY ONE                     COM   294752100       1,640     107,255  SH     DEFINED  01,08      30,273      76,982           0

EQUITY RESIDENTIAL             COM   29476L107      41,385   1,719,354  SH     DEFINED     01     910,662     721,627      87,065
EQUITY RESIDENTIAL             COM   29476L107       1,117      46,400  SH     OTHER       01      25,935      18,740       1,725
EQUITY RESIDENTIAL             COM   29476L107         388      16,135  SH     DEFINED     02      14,135         700       1,300
EQUITY RESIDENTIAL             COM   29476L107         421      17,495  SH     OTHER       02       3,220       8,275       6,000
EQUITY RESIDENTIAL             COM   29476L107       1,294      53,740  SH     DEFINED     03      26,420      18,420       8,900
EQUITY RESIDENTIAL             COM   29476L107         368      15,280  SH     OTHER       03      12,705       1,155       1,420
EQUITY RESIDENTIAL             COM   29476L107         841      34,944  SH     DEFINED     04      33,744           0       1,200
EQUITY RESIDENTIAL             COM   29476L107         497      20,630  SH     OTHER       04      18,780           0       1,850
EQUITY RESIDENTIAL             COM   29476L107          58       2,410  SH     DEFINED     05       2,410           0           0
EQUITY RESIDENTIAL             COM   29476L107          36       1,475  SH     OTHER       05       1,475           0           0
EQUITY RESIDENTIAL             COM   29476L107          17         700  SH     OTHER    01,06           0           0         700
EQUITY RESIDENTIAL             COM   29476L107      20,758     862,401  SH     DEFINED  01,08     206,971     655,430           0
EQUITY RESIDENTIAL             COM   29476L107         182       7,547  SH     DEFINED     10       6,300       1,247           0
EQUITY RESIDENTIAL             COM   29476L107         100       4,175  SH     OTHER       10       2,575       1,600           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    182
________

EQUITY RESIDENTIAL             CONPF 29476L859          12         500         DEFINED     01         500           0           0
EQUITY RESIDENTIAL             CONPF 29476L859          19         750         OTHER       01           0         750           0
EQUITY RESIDENTIAL             CONPF 29476L859          80       3,200         DEFINED     02       2,300         900           0
EQUITY RESIDENTIAL             CONPF 29476L859          57       2,300         OTHER       02       1,000       1,300           0
EQUITY RESIDENTIAL             CONPF 29476L859          25       1,000         DEFINED     03           0       1,000           0
EQUITY RESIDENTIAL             CONPF 29476L859          97       3,900         OTHER       03       2,900           0       1,000
EQUITY RESIDENTIAL             CONPF 29476L859         269      10,775         DEFINED     04      10,775           0           0
EQUITY RESIDENTIAL             CONPF 29476L859          57       2,300         OTHER       04       2,300           0           0
EQUITY RESIDENTIAL             CONPF 29476L859          37       1,500         DEFINED     10       1,500           0           0

ERESEARCHTECHNOLOGY INC        COM   29481V108         821      30,588  SH     DEFINED     01      15,298      15,290           0
ERESEARCHTECHNOLOGY INC        COM   29481V108       1,521      56,660  SH     DEFINED  01,08       5,748      50,912           0

ERICSSON L M TEL CO            COM   294821608          67      10,460  SH     DEFINED     01      10,170          80         210
ERICSSON L M TEL CO            COM   294821608           3         480  SH     OTHER       01         480           0           0
ERICSSON L M TEL CO            COM   294821608          21       3,350  SH     DEFINED     03       3,270          30          50
ERICSSON L M TEL CO            COM   294821608          17       2,660  SH     OTHER       03         800       1,860           0
ERICSSON L M TEL CO            COM   294821608           1         100  SH     DEFINED     05         100           0           0
ERICSSON L M TEL CO            COM   294821608          45       7,070  SH     DEFINED  01,08           0       7,070           0
ERICSSON L M TEL CO            COM   294821608           1          80  SH     DEFINED     10          80           0           0

ERIE INDTY CO                  COM   29530P102       1,497      41,233  SH     DEFINED     01      29,164      10,919       1,150
ERIE INDTY CO                  COM   29530P102       2,401      66,136  SH     DEFINED  01,08      11,786      54,350           0

ESCALADE INC                   COM   296056104         203      14,860  SH     DEFINED     01       6,079       8,781           0
ESCALADE INC                   COM   296056104         354      25,900  SH     DEFINED  01,08       3,161      22,739           0

ESCO TECHNOLOGIES INC          COM   296315104       2,089      63,693  SH     DEFINED     01      40,637      22,256         800
ESCO TECHNOLOGIES INC          COM   296315104           3          85  SH     OTHER       01          85           0           0
ESCO TECHNOLOGIES INC          COM   296315104          26         800  SH     DEFINED     04         800           0           0
ESCO TECHNOLOGIES INC          COM   296315104       1,848      56,330  SH     DEFINED  01,08       7,007      49,323           0

ESPERION THERAPEUTICS INC      COM   29664R106       1,054     105,928  SH     DEFINED     01      63,166      41,312       1,450
ESPERION THERAPEUTICS INC      COM   29664R106         746      74,930  SH     DEFINED  01,08      16,600      58,330           0

ESPEED INC                     COM   296643109       1,013      87,108  SH     DEFINED     01      40,224      45,764       1,120
ESPEED INC                     COM   296643109       1,131      97,222  SH     DEFINED  01,08      15,352      81,870           0

ESSENTIAL THERAPEUTICS INC     COM   29669A108           2      18,500  SH     DEFINED     01       2,300      16,200           0
ESSENTIAL THERAPEUTICS INC     COM   29669A108           2      18,087  SH     DEFINED  01,08       5,502      12,585           0

ESSEX PPTY TR INC              COM   297178105       2,746      52,553  SH     DEFINED     01      26,042      25,211       1,300
ESSEX PPTY TR INC              COM   297178105          57       1,100  SH     DEFINED     04       1,100           0           0
ESSEX PPTY TR INC              COM   297178105          18         350  SH     OTHER    01,06           0           0         350
ESSEX PPTY TR INC              COM   297178105       2,836      54,285  SH     DEFINED  01,08       9,452      44,833           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    183
________

ESTERLINE TECHNOLOGIES CORP    COM   297425100       2,251     133,108  SH     DEFINED     01     101,069      30,939       1,100
ESTERLINE TECHNOLOGIES CORP    COM   297425100           7         400  SH     OTHER    01,06           0           0         400
ESTERLINE TECHNOLOGIES CORP    COM   297425100       1,520      89,897  SH     DEFINED  01,08      18,655      71,242           0

ETHAN ALLEN INTERIORS INC      COM   297602104       1,188      40,355  SH     DEFINED     01      23,141      14,214       3,000
ETHAN ALLEN INTERIORS INC      COM   297602104           4         150  SH     DEFINED     03           0         150           0
ETHAN ALLEN INTERIORS INC      COM   297602104          22         750  SH     OTHER    01,06           0           0         750
ETHAN ALLEN INTERIORS INC      COM   297602104       3,635     123,505  SH     DEFINED  01,08      20,279     103,226           0

ETHYL CORP                     COM   297659609         223      22,577  SH     DEFINED     01       3,577      19,000           0
ETHYL CORP                     COM   297659609           1          61  SH     DEFINED     02           0           0          61
ETHYL CORP                     COM   297659609         257      26,020  SH     DEFINED  01,08       7,240      18,780           0

EUNIVERSE INC                  COM   298412107         230      45,276  SH     DEFINED     01      34,465      10,511         300
EUNIVERSE INC                  COM   298412107         214      42,075  SH     DEFINED  01,08      12,200      29,875           0

EURONET WORLDWIDE INC          COM   298736109         310      38,717  SH     DEFINED     01      27,076      10,891         750
EURONET WORLDWIDE INC          COM   298736109         541      67,583  SH     DEFINED  01,08      12,100      55,483           0

EVANS & SUTHERLAND COMPUTER    COM   299096107          90      15,100  SH     DEFINED     01       2,100      13,000           0
EVANS & SUTHERLAND COMPUTER    COM   299096107         132      22,249  SH     DEFINED  01,08       4,512      17,737           0

EVERCEL INC                    COM   299759100          25      11,300  SH     DEFINED     01       1,300      10,000           0
EVERCEL INC                    COM   299759100          30      13,466  SH     DEFINED  01,08       4,332       9,134           0

EVERGREEN RES INC              COM   299900308       3,296      72,753  SH     DEFINED     01      33,329      32,474       6,950
EVERGREEN RES INC              COM   299900308         172       3,800  SH     OTHER       02           0       3,800           0
EVERGREEN RES INC              COM   299900308           9         200  SH     DEFINED     03           0         200           0
EVERGREEN RES INC              COM   299900308         113       2,500  SH     OTHER       04       2,500           0           0
EVERGREEN RES INC              COM   299900308          18         400  SH     OTHER    01,06           0           0         400
EVERGREEN RES INC              COM   299900308       2,983      65,839  SH     DEFINED  01,08      10,436      55,403           0
EVERGREEN RES INC              COM   299900308           9         200  SH     DEFINED     10           0           0         200

EVERGREEN SOLAR INC            COM   30033R108           3       2,000  SH     DEFINED     01       2,000           0           0
EVERGREEN SOLAR INC            COM   30033R108          24      15,000  SH     DEFINED  01,08       2,300      12,700           0

EVERTRUST FINL GROUP INC       COM   300412103         266      11,100  SH     DEFINED     01      11,100           0           0

EVOLVING SYS INC               COM   30049R100          54      18,700  SH     DEFINED     01       2,500      16,200           0
EVOLVING SYS INC               COM   30049R100          86      29,786  SH     DEFINED  01,08       3,486      26,300           0

EXABYTE CORP                   COM   300615101           2      25,400  SH     DEFINED     01       4,800      20,600           0
EXABYTE CORP                   COM   300615101           3      34,106  SH     DEFINED  01,08       6,106      28,000           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    184
________

EXACT SCIENCES CORP            COM   30063P105         471      45,731  SH     DEFINED     01      21,761      23,970           0
EXACT SCIENCES CORP            COM   30063P105         434      42,105  SH     DEFINED  01,08       9,800      32,305           0

EXACTECH INC                   COM   30064E109         124      11,000  SH     DEFINED     01       2,200       8,800           0
EXACTECH INC                   COM   30064E109         190      16,830  SH     DEFINED  01,08       4,630      12,200           0

EXAR CORP                      COM   300645108       1,719     135,276  SH     DEFINED     01      73,919      57,757       3,600
EXAR CORP                      COM   300645108          10         800  SH     OTHER    01,06           0           0         800
EXAR CORP                      COM   300645108       2,404     189,108  SH     DEFINED  01,08      35,218     153,890           0

EXCEL TECHNOLOGY INC           COM   30067T103         887      43,646  SH     DEFINED     01      15,833      22,653       5,160
EXCEL TECHNOLOGY INC           COM   30067T103           1          35  SH     DEFINED     04           0           0          35
EXCEL TECHNOLOGY INC           COM   30067T103         879      43,243  SH     DEFINED  01,08       6,232      37,011           0

EXCHANGE NATL BANCSHARES INC   COM   301309100          12         260  SH     DEFINED     01         260           0           0
EXCHANGE NATL BANCSHARES INC   COM   301309100         232       4,900  SH     DEFINED  01,08       1,300       3,600           0

EXE TECHNOLOGIES INC           COM   301504601          16       6,042  SH     DEFINED     01       1,214       4,828           0
EXE TECHNOLOGIES INC           COM   301504601          18       6,726  SH     DEFINED  01,08       1,384       5,342           0

EXELON CORP                    COM   30161N101     104,237   2,067,791  SH     DEFINED     01   1,121,040     886,394      60,357
EXELON CORP                    COM   30161N101       1,187      23,542  SH     OTHER       01       7,212       8,638       7,692
EXELON CORP                    COM   30161N101          81       1,613  SH     DEFINED     02         890         648          75
EXELON CORP                    COM   30161N101          50         985  SH     OTHER       02         773         212           0
EXELON CORP                    COM   30161N101       5,761     114,283  SH     DEFINED     03      56,349      46,737      11,197
EXELON CORP                    COM   30161N101       1,264      25,079  SH     OTHER       03      15,756       6,660       2,663
EXELON CORP                    COM   30161N101       3,018      59,867  SH     DEFINED     04      58,637           0       1,230
EXELON CORP                    COM   30161N101       1,217      24,136  SH     OTHER       04      21,511           0       2,625
EXELON CORP                    COM   30161N101         621      12,320  SH     DEFINED     05      11,820           0         500
EXELON CORP                    COM   30161N101          43         862  SH     OTHER    01,06           0           0         862
EXELON CORP                    COM   30161N101      50,261     997,035  SH     DEFINED  01,08     250,342     746,693           0
EXELON CORP                    COM   30161N101         269       5,338  SH     DEFINED     10       5,238         100           0
EXELON CORP                    COM   30161N101         153       3,037  SH     OTHER       10       3,037           0           0

EXELIXIS INC                   COM   30161Q104       1,297     195,031  SH     DEFINED     01     122,830      71,401         800
EXELIXIS INC                   COM   30161Q104         860     129,281  SH     DEFINED  01,08      30,576      98,705           0

EXEGENICS INC                  COM   301610101           2       6,200  SH     DEFINED     01       3,200       3,000           0
EXEGENICS INC                  COM   301610101           2       5,593  SH     DEFINED  01,08       4,393       1,200           0

EXTENDED SYSTEMS INC           COM   301973103          21      12,000  SH     DEFINED     01       2,100       9,900           0
EXTENDED SYSTEMS INC           COM   301973103          35      20,266  SH     DEFINED  01,08       5,866      14,400           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    185
________

EXPEDIA INC                    COM   302125109       3,052      59,070  SH     DEFINED     01      48,544       9,926         600
EXPEDIA INC                    COM   302125109          15         300  SH     OTHER       01           0         300           0
EXPEDIA INC                    COM   302125109       2,634      50,978  SH     DEFINED  01,08       8,178      42,800           0

EXPEDITORS INTL WASH INC       COM   302130109      62,121   1,727,989  SH     DEFINED     01   1,274,039     383,088      70,862
EXPEDITORS INTL WASH INC       COM   302130109       3,512      97,691  SH     OTHER       01      55,936      39,930       1,825
EXPEDITORS INTL WASH INC       COM   302130109       2,775      77,195  SH     DEFINED     02      52,520      20,825       3,850
EXPEDITORS INTL WASH INC       COM   302130109         510      14,200  SH     OTHER       02       5,100       9,100           0
EXPEDITORS INTL WASH INC       COM   302130109       2,954      82,160  SH     DEFINED     03      26,686      33,584      21,890
EXPEDITORS INTL WASH INC       COM   302130109         165       4,600  SH     OTHER       03       3,100       1,200         300
EXPEDITORS INTL WASH INC       COM   302130109       1,466      40,780  SH     DEFINED     04      40,780           0           0
EXPEDITORS INTL WASH INC       COM   302130109         128       3,550  SH     OTHER       04       3,150           0         400
EXPEDITORS INTL WASH INC       COM   302130109       2,266      63,035  SH     DEFINED     05      48,845       6,880       7,310
EXPEDITORS INTL WASH INC       COM   302130109         138       3,840  SH     OTHER       05       2,850         750         240
EXPEDITORS INTL WASH INC       COM   302130109      10,367     288,376  SH     DEFINED  01,08      69,272     219,104           0
EXPEDITORS INTL WASH INC       COM   302130109       1,218      33,890  SH     DEFINED     10      32,090       1,150         650
EXPEDITORS INTL WASH INC       COM   302130109         669      18,600  SH     OTHER       10      16,850       1,450         300

EXPLORATION CO                 COM   302133202         160      53,207  SH     DEFINED     01      32,623      20,584           0
EXPLORATION CO                 COM   302133202           6       2,000  SH     DEFINED     04       2,000           0           0
EXPLORATION CO                 COM   302133202          69      23,008  SH     DEFINED  01,08      10,665      12,343           0

EXPONENT INC                   COM   30214U102         105       8,000  SH     DEFINED     01       2,500       5,500           0
EXPONENT INC                   COM   30214U102         158      12,000  SH     DEFINED  01,08       3,007       8,993           0

EXPRESSJET HOLDINGS INC        COM   30218U108       1,123     136,978  SH     DEFINED     01      65,924      69,804       1,250
EXPRESSJET HOLDINGS INC        COM   30218U108       1,068     130,234  SH     DEFINED  01,08      30,000     100,234           0

EXPRESS SCRIPTS INC            COM   302182100      13,025     233,846  SH     DEFINED     01      83,110     145,756       4,980
EXPRESS SCRIPTS INC            COM   302182100         143       2,575  SH     OTHER       01           0       2,575           0
EXPRESS SCRIPTS INC            COM   302182100           1          25  SH     DEFINED     02          25           0           0
EXPRESS SCRIPTS INC            COM   302182100          56       1,000  SH     DEFINED     04       1,000           0           0
EXPRESS SCRIPTS INC            COM   302182100          11         200  SH     OTHER       04           0           0         200
EXPRESS SCRIPTS INC            COM   302182100      10,093     181,198  SH     DEFINED  01,08      28,240     152,958           0

EXTENDED STAY AMER INC         COM   30224P101       2,761     273,335  SH     DEFINED     01      98,420     171,365       3,550
EXTENDED STAY AMER INC         COM   30224P101          10       1,000  SH     OTHER       01       1,000           0           0
EXTENDED STAY AMER INC         COM   30224P101          30       3,000  SH     DEFINED     04       3,000           0           0
EXTENDED STAY AMER INC         COM   30224P101       1,937     191,831  SH     DEFINED  01,08      26,881     164,950           0

EXTREME NETWORKS INC           COM   30226D106       1,506     347,874  SH     DEFINED     01     183,989     162,362       1,523
EXTREME NETWORKS INC           COM   30226D106          13       2,900  SH     OTHER       01           0           0       2,900
EXTREME NETWORKS INC           COM   30226D106       1,647     380,482  SH     DEFINED  01,08      63,188     317,294           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    186
________

EXULT INC DEL                  COM   302284104         945     128,988  SH     DEFINED     01      94,750      31,688       2,550
EXULT INC DEL                  COM   302284104          31       4,200  SH     DEFINED     04       4,200           0           0
EXULT INC DEL                  COM   302284104       1,519     207,219  SH     DEFINED  01,08      51,800     155,419           0

EZCORP INC                     COM   302301106          28       8,000  SH     DEFINED     01         200       7,800           0
EZCORP INC                     COM   302301106          65      18,848  SH     DEFINED  01,08       4,813      14,035           0

EXXON MOBIL CORP               COM   30231G102   1,527,883  43,716,260  SH     DEFINED     01  24,061,283  18,631,941   1,023,036
EXXON MOBIL CORP               COM   30231G102      84,755   2,425,036  SH     OTHER       01   1,077,695   1,028,220     319,121
EXXON MOBIL CORP               COM   30231G102      28,497     815,353  SH     DEFINED     02     564,276     208,577      42,500
EXXON MOBIL CORP               COM   30231G102      16,485     471,688  SH     OTHER       02     260,585     161,091      50,012
EXXON MOBIL CORP               COM   30231G102      45,740   1,308,728  SH     DEFINED     03     721,528     487,381      99,819
EXXON MOBIL CORP               COM   30231G102      24,119     690,091  SH     OTHER       03     552,120     115,274      22,697
EXXON MOBIL CORP               COM   30231G102     170,680   4,883,552  SH     DEFINED     04   4,697,774           0     185,778
EXXON MOBIL CORP               COM   30231G102     141,598   4,051,435  SH     OTHER       04   3,652,815           0     398,620
EXXON MOBIL CORP               COM   30231G102      28,139     805,116  SH     DEFINED     05     738,923      43,926      22,267
EXXON MOBIL CORP               COM   30231G102       7,048     201,669  SH     OTHER       05      96,280      74,051      31,338
EXXON MOBIL CORP               COM   30231G102         606      17,344  SH     OTHER    01,06           0           0      17,344
EXXON MOBIL CORP               COM   30231G102     724,212  20,721,379  SH     DEFINED  01,08   5,222,009  15,499,370           0
EXXON MOBIL CORP               COM   30231G102      42,577   1,218,221  SH     DEFINED     10     676,122     338,150     203,949
EXXON MOBIL CORP               COM   30231G102      36,083   1,032,410  SH     OTHER       10     289,989     724,708      17,713

EZENIA INC                     COM   302311105           2      16,900  SH     DEFINED     01       1,900      15,000           0
EZENIA INC                     COM   302311105           3      19,483  SH     DEFINED  01,08       3,273      16,210           0

F&M BANCORP MD                 COM   302367107       1,640      37,272  SH     DEFINED     01      21,445      15,327         500
F&M BANCORP MD                 COM   302367107          79       1,800  SH     OTHER       01           0           0       1,800
F&M BANCORP MD                 COM   302367107       1,093      24,839  SH     DEFINED  01,08       5,876      18,963           0

FBL FINL GROUP INC             COM   30239F106       1,373      69,501  SH     DEFINED     01      35,079      33,722         700
FBL FINL GROUP INC             COM   30239F106         106       5,371  SH     DEFINED     04       5,371           0           0
FBL FINL GROUP INC             COM   30239F106       1,039      52,627  SH     DEFINED  01,08      12,995      39,632           0

F A O INC                      COM   30240S105          16      74,267  SH     DEFINED     01      37,267      37,000           0
F A O INC                      COM   30240S105           0       1,500  SH     DEFINED     03       1,500           0           0
F A O INC                      COM   30240S105          14      68,806  SH     DEFINED  01,08      16,885      51,922           0

FBR ASSET INVT CORP            COM   30241E303       2,627      79,115  SH     DEFINED     01      46,665      31,850         600
FBR ASSET INVT CORP            COM   30241E303          40       1,200  SH     OTHER       03       1,200           0           0
FBR ASSET INVT CORP            COM   30241E303           0       6,000  SH     DEFINED     04       6,000           0           0
FBR ASSET INVT CORP            COM   30241E303          11         335  SH     DEFINED     05         335           0           0
FBR ASSET INVT CORP            COM   30241E303       1,463      44,050  SH     DEFINED  01,08      11,000      33,050           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    187
________

FEI CO                         COM   30241L109       1,611     100,934  SH     DEFINED     01      44,057      45,827      11,050
FEI CO                         COM   30241L109          10         650  SH     OTHER    01,06           0           0         650
FEI CO                         COM   30241L109       1,779     111,455  SH     DEFINED  01,08      27,882      83,573           0

FFLC BANCORP INC               COM   30242W104         164       6,450  SH     DEFINED     01         750       5,700           0
FFLC BANCORP INC               COM   30242W104         108       4,249  SH     DEFINED     04       4,249           0           0
FFLC BANCORP INC               COM   30242W104         233       9,124  SH     DEFINED  01,08       2,386       6,738           0

FLIR SYS INC                   COM   302445101       2,592      54,676  SH     DEFINED     01      26,145      27,481       1,050
FLIR SYS INC                   COM   302445101           2          50  SH     DEFINED     04          50           0           0
FLIR SYS INC                   COM   302445101          15         325  SH     OTHER    01,06           0           0         325
FLIR SYS INC                   COM   302445101       3,061      64,554  SH     DEFINED  01,08       9,209      55,345           0

FMC TECHNOLOGIES INC           COM   30249U101       4,029     209,848  SH     DEFINED     01      79,052     128,111       2,685
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       2,564     133,554  SH     DEFINED  01,08      19,528     114,026           0
FMC TECHNOLOGIES INC           COM   30249U101           0           8  SH     DEFINED     10           8           0           0

F M C CORP                     COM   302491303       2,425     154,626  SH     DEFINED     01      73,918      78,758       1,950
F M C CORP                     COM   302491303          11         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       1,280      81,627  SH     DEFINED  01,08      10,764      70,863           0
F M C CORP                     COM   302491303           0           5  SH     DEFINED     10           5           0           0

FMS FINL CORP                  COM   302509104         141       9,700  SH     DEFINED     01       1,100       8,600           0
FMS FINL CORP                  COM   302509104         160      11,000  SH     DEFINED  01,08       2,750       8,250           0

F N B CORP N C                 COM   302519103         221       8,679  SH     DEFINED  01,08       2,379       6,300           0

FNB CORP PA                    COM   302520101       1,538      53,693  SH     DEFINED     01      32,364      19,329       2,000
FNB CORP PA                    COM   302520101         299      10,423  SH     DEFINED     04      10,423           0           0
FNB CORP PA                    COM   302520101         269       9,402  SH     OTHER       04       9,114           0         288
FNB CORP PA                    COM   302520101       1,732      60,490  SH     DEFINED  01,08      11,297      49,193           0

FPIC INS GROUP INC             COM   302563101         282      37,949  SH     DEFINED     01      18,999      18,900          50
FPIC INS GROUP INC             COM   302563101         180      24,258  SH     DEFINED     04      22,258           0       2,000
FPIC INS GROUP INC             COM   302563101         191      25,674  SH     DEFINED  01,08       5,396      20,278           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    188
________

FPL GROUP INC                  COM   302571104      61,164   1,037,908  SH     DEFINED     01     544,262     476,353      17,293
FPL GROUP INC                  COM   302571104         935      15,862  SH     OTHER       01       6,821       6,941       2,100
FPL GROUP INC                  COM   302571104         202       3,423  SH     DEFINED     02       2,823           0         600
FPL GROUP INC                  COM   302571104          42         716  SH     OTHER       02         200         516           0
FPL GROUP INC                  COM   302571104         255       4,323  SH     DEFINED     03       2,344       1,879         100
FPL GROUP INC                  COM   302571104          15         250  SH     OTHER       03         250           0           0
FPL GROUP INC                  COM   302571104       2,204      37,401  SH     DEFINED     04      36,251           0       1,150
FPL GROUP INC                  COM   302571104       4,325      73,387  SH     OTHER       04      70,787           0       2,600
FPL GROUP INC                  COM   302571104          29         500  SH     OTHER    01,06           0           0         500
FPL GROUP INC                  COM   302571104      32,077     544,326  SH     DEFINED  01,08     137,382     406,944           0
FPL GROUP INC                  COM   302571104         341       5,791  SH     DEFINED     10       4,724       1,067           0
FPL GROUP INC                  COM   302571104         514       8,717  SH     OTHER       10       6,367       1,900         450

FSI INTL INC                   COM   302633102         250     107,499  SH     DEFINED     01      66,055      40,794         650
FSI INTL INC                   COM   302633102         264     113,376  SH     DEFINED  01,08      16,627      96,749           0

FTD INC                        COM   30265Q109          87       4,252  SH     DEFINED     01       2,900       1,352           0
FTD INC                        COM   30265Q109         259      12,657  SH     DEFINED  01,08       5,975       6,682           0

FX ENERGY INC                  COM   302695101         109      32,800  SH     DEFINED     01       2,800      30,000           0
FX ENERGY INC                  COM   302695101         100      30,140  SH     DEFINED  01,08       7,640      22,500           0

FAB INDS INC                   COM   302747100          38       4,000  SH     DEFINED     01         800       3,200           0
FAB INDS INC                   COM   302747100         146      15,245  SH     DEFINED  01,08       2,286      12,959           0

F N B CORP VA                  COM   302930102         376      13,462  SH     DEFINED     01      11,071       2,391           0
F N B CORP VA                  COM   302930102         275       9,830  SH     DEFINED  01,08       3,300       6,530           0

FTI CONSULTING INC             COM   302941109       6,839     147,968  SH     DEFINED     01     111,296      29,872       6,800
FTI CONSULTING INC             COM   302941109       2,775      60,032  SH     DEFINED  01,08      14,047      45,985           0

FACTORY 2-U INC                COM   303072102         191      47,690  SH     DEFINED     01      24,480      22,510         700
FACTORY 2-U INC                COM   303072102         148      37,042  SH     DEFINED  01,08       4,984      32,058           0

FACTSET RESH SYS INC           COM   303075105       2,734      84,238  SH     DEFINED     01      40,232      42,306       1,700
FACTSET RESH SYS INC           COM   303075105          21         635  SH     OTHER       01           0         635           0
FACTSET RESH SYS INC           COM   303075105           3          80  SH     DEFINED     02           0           0          80
FACTSET RESH SYS INC           COM   303075105          16         500  SH     DEFINED     04         500           0           0
FACTSET RESH SYS INC           COM   303075105          21         655  SH     OTHER    01,06           0           0         655
FACTSET RESH SYS INC           COM   303075105       2,812      86,668  SH     DEFINED  01,08      16,908      69,760           0
FACTSET RESH SYS INC           COM   303075105          31         950  SH     DEFINED     10         200         750           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    189
________

FAIR ISAAC & CO INC            COM   303250104       3,621      71,256  SH     DEFINED     01      35,992      25,498       9,766
FAIR ISAAC & CO INC            COM   303250104         114       2,237  SH     OTHER       01         440       1,797           0
FAIR ISAAC & CO INC            COM   303250104          11         216  SH     DEFINED     02           0           0         216
FAIR ISAAC & CO INC            COM   303250104           5         103  SH     DEFINED     04         103           0           0
FAIR ISAAC & CO INC            COM   303250104          51       1,013  SH     OTHER    01,06           0           0       1,013
FAIR ISAAC & CO INC            COM   303250104       9,042     177,915  SH     DEFINED  01,08      27,810     150,105           0

FAIRCHILD CORP                 COM   303698104         176      40,065  SH     DEFINED     01       7,165      32,900           0
FAIRCHILD CORP                 COM   303698104         247      56,135  SH     DEFINED  01,08      10,788      45,347           0

FAIRCHILD SEMICONDUCTOR INTL   COM   303726103       3,888     371,677  SH     DEFINED     01     132,284     232,593       6,800
FAIRCHILD SEMICONDUCTOR INTL   COM   303726103          32       3,100  SH     DEFINED     04       3,100           0           0
FAIRCHILD SEMICONDUCTOR INTL   COM   303726103       2,861     273,490  SH     DEFINED  01,08      37,290     236,200           0

FAIRMARKET INC                 COM   305158107           9       5,500  SH     DEFINED     01       5,500           0           0
FAIRMARKET INC                 COM   305158107           0          18  SH     DEFINED     03          18           0           0
FAIRMARKET INC                 COM   305158107          55      34,319  SH     DEFINED  01,08      11,319      23,000           0

FALCON PRODS INC               COM   306075102          39       8,900  SH     DEFINED     01       1,900       7,000           0
FALCON PRODS INC               COM   306075102          92      20,938  SH     DEFINED  01,08       3,817      17,121           0

FALCONSTOR SOFTWARE INC        COM   306137100         496     128,802  SH     DEFINED     01      66,930      61,122         750
FALCONSTOR SOFTWARE INC        COM   306137100         415     107,664  SH     DEFINED  01,08      24,225      83,439           0

FAMILY DLR STORES INC          COM   307000109      29,420     952,713  SH     DEFINED     01     485,069     451,444      16,200
FAMILY DLR STORES INC          COM   307000109         111       3,598  SH     OTHER       01       3,448           0         150
FAMILY DLR STORES INC          COM   307000109         148       4,800  SH     DEFINED     02       4,250         400         150
FAMILY DLR STORES INC          COM   307000109          18         575  SH     OTHER       02         575           0           0
FAMILY DLR STORES INC          COM   307000109       1,544      49,995  SH     DEFINED     04      49,995           0           0
FAMILY DLR STORES INC          COM   307000109         627      20,317  SH     OTHER       04      20,067           0         250
FAMILY DLR STORES INC          COM   307000109         124       4,010  SH     DEFINED     05       3,785         225           0
FAMILY DLR STORES INC          COM   307000109         216       7,000  SH     OTHER       05           0       7,000           0
FAMILY DLR STORES INC          COM   307000109          12         400  SH     OTHER    01,06           0           0         400
FAMILY DLR STORES INC          COM   307000109      14,192     459,587  SH     DEFINED  01,08     114,953     344,634           0
FAMILY DLR STORES INC          COM   307000109          43       1,400  SH     OTHER       10       1,400           0           0

FAMOUS DAVES AMER INC          COM   307068106          51      11,500  SH     DEFINED     01       1,200      10,300           0
FAMOUS DAVES AMER INC          COM   307068106          86      19,500  SH     DEFINED  01,08       5,000      14,500           0

FARGO ELECTRONICS INC          COM   30744P102          36       3,500  SH     DEFINED     01       2,400       1,100           0
FARGO ELECTRONICS INC          COM   30744P102         212      20,800  SH     DEFINED  01,08       5,200      15,600           0

FARMER BROS CO                 COM   307675108       1,294       4,216  SH     DEFINED     01       2,071       2,130          15
FARMER BROS CO                 COM   307675108       1,597       5,201  SH     DEFINED  01,08         887       4,314           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    190
________

FARMERS CAP BK CORP            COM   309562106         852      26,626  SH     DEFINED     01      13,576      12,950         100
FARMERS CAP BK CORP            COM   309562106         526      16,435  SH     DEFINED  01,08       3,846      12,589           0

FARO TECHNOLOGIES INC          COM   311642102          43      13,900  SH     DEFINED     01       1,600      12,300           0
FARO TECHNOLOGIES INC          COM   311642102          43      13,900  SH     DEFINED  01,08       2,900      11,000           0

FASTENAL CO                    COM   311900104       7,052     250,154  SH     DEFINED     01      94,801     150,957       4,396
FASTENAL CO                    COM   311900104          14         500  SH     OTHER       01         500           0           0
FASTENAL CO                    COM   311900104       1,718      60,952  SH     DEFINED     02      17,197      41,000       2,755
FASTENAL CO                    COM   311900104         191       6,760  SH     OTHER       02       6,060         700           0
FASTENAL CO                    COM   311900104         304      10,770  SH     DEFINED     03       1,000       4,770       5,000
FASTENAL CO                    COM   311900104         331      11,725  SH     DEFINED     04      11,725           0           0
FASTENAL CO                    COM   311900104         581      20,600  SH     OTHER       04      20,600           0           0
FASTENAL CO                    COM   311900104       5,182     183,834  SH     DEFINED  01,08      21,913     161,921           0
FASTENAL CO                    COM   311900104         237       8,404  SH     DEFINED     10       8,404           0           0

FEATHERLITE INC                COM   313054108           9       4,500  SH     DEFINED     01         900       3,600           0
FEATHERLITE INC                COM   313054108          18       9,300  SH     DEFINED  01,08       1,441       7,859           0

FEDDERS CORP                   COM   313135501         140      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         268      81,582  SH     DEFINED  01,08      23,300      58,282           0

FEDERAL AGRIC MTG CORP         COM   313148306         421      19,305  SH     DEFINED     01      12,468       6,437         400
FEDERAL AGRIC MTG CORP         COM   313148306          50       2,300  SH     DEFINED     02           0       2,300           0
FEDERAL AGRIC MTG CORP         COM   313148306          65       3,000  SH     DEFINED     04       3,000           0           0
FEDERAL AGRIC MTG CORP         COM   313148306         656      30,089  SH     DEFINED  01,08       1,048      29,041           0

FEDERAL HOME LN MTG CORP       COM   313400301     254,937   4,801,080  SH     DEFINED     01   2,715,332   2,001,442      84,306
FEDERAL HOME LN MTG CORP       COM   313400301       8,684     163,544  SH     OTHER       01      55,165     100,404       7,975
FEDERAL HOME LN MTG CORP       COM   313400301         770      14,506  SH     DEFINED     02       9,760       3,625       1,121
FEDERAL HOME LN MTG CORP       COM   313400301         159       2,995  SH     OTHER       02       2,645         350           0
FEDERAL HOME LN MTG CORP       COM   313400301       4,357      82,050  SH     DEFINED     03      40,607      35,088       6,355
FEDERAL HOME LN MTG CORP       COM   313400301       1,093      20,585  SH     OTHER       03      12,805       3,650       4,130
FEDERAL HOME LN MTG CORP       COM   313400301       9,925     186,906  SH     DEFINED     04     172,847           0      14,059
FEDERAL HOME LN MTG CORP       COM   313400301       3,728      70,198  SH     OTHER       04      66,498           0       3,700
FEDERAL HOME LN MTG CORP       COM   313400301       4,496      84,663  SH     DEFINED     05      60,328      22,600       1,735
FEDERAL HOME LN MTG CORP       COM   313400301         746      14,050  SH     OTHER       05       5,860       7,250         940
FEDERAL HOME LN MTG CORP       COM   313400301          96       1,800  SH     OTHER    01,06           0           0       1,800
FEDERAL HOME LN MTG CORP       COM   313400301     116,529   2,194,519  SH     DEFINED  01,08     557,605   1,636,914           0
FEDERAL HOME LN MTG CORP       COM   313400301       7,697     144,961  SH     DEFINED     10     110,588      30,383       3,990
FEDERAL HOME LN MTG CORP       COM   313400301       1,823      34,326  SH     OTHER       10       8,610      25,516         200


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    191
________

FEDERAL NATL MTG ASSN          COM   313586109     427,677   6,544,404  SH     DEFINED     01   3,549,368   2,848,914     146,122
FEDERAL NATL MTG ASSN          COM   313586109      20,744     317,428  SH     OTHER       01     152,604     132,448      32,376
FEDERAL NATL MTG ASSN          COM   313586109       9,454     144,660  SH     DEFINED     02      92,352      45,156       7,152
FEDERAL NATL MTG ASSN          COM   313586109       3,447      52,750  SH     OTHER       02      33,198      14,905       4,647
FEDERAL NATL MTG ASSN          COM   313586109      12,170     186,234  SH     DEFINED     03     111,036      62,590      12,608
FEDERAL NATL MTG ASSN          COM   313586109       3,880      59,365  SH     OTHER       03      36,190      18,255       4,920
FEDERAL NATL MTG ASSN          COM   313586109      73,221   1,120,438  SH     DEFINED     04   1,077,452           0      42,986
FEDERAL NATL MTG ASSN          COM   313586109      52,060     796,636  SH     OTHER       04     749,934           0      46,702
FEDERAL NATL MTG ASSN          COM   313586109       4,767      72,941  SH     DEFINED     05      56,988      14,218       1,735
FEDERAL NATL MTG ASSN          COM   313586109       1,802      27,575  SH     OTHER       05       6,195      19,630       1,750
FEDERAL NATL MTG ASSN          COM   313586109         167       2,550  SH     OTHER    01,06           0           0       2,550
FEDERAL NATL MTG ASSN          COM   313586109     194,377   2,974,403  SH     DEFINED  01,08     691,236   2,283,167           0
FEDERAL NATL MTG ASSN          COM   313586109       9,038     138,302  SH     DEFINED     10     114,427       6,950      16,925
FEDERAL NATL MTG ASSN          COM   313586109       2,691      41,183  SH     OTHER       10      24,881      15,702         600

FEDERAL REALTY INVT TR         COM   313747206       3,914     128,884  SH     DEFINED     01      68,738      58,146       2,000
FEDERAL REALTY INVT TR         COM   313747206           6         200  SH     OTHER       02         200           0           0
FEDERAL REALTY INVT TR         COM   313747206          31       1,034  SH     DEFINED     04       1,034           0           0
FEDERAL REALTY INVT TR         COM   313747206          70       2,300  SH     OTHER       04       2,300           0           0
FEDERAL REALTY INVT TR         COM   313747206       3,616     119,051  SH     DEFINED  01,08      23,167      95,884           0

FEDERAL SCREW WKS              COM   313819104          47       1,125  SH     DEFINED     01           0       1,125           0
FEDERAL SCREW WKS              COM   313819104         152       3,624  SH     DEFINED  01,08         489       3,135           0
FEDERAL SCREW WKS              COM   313819104          24         574  SH     DEFINED     10           0         574           0

FEDERAL SIGNAL CORP            COM   313855108       4,666     328,626  SH     DEFINED     01     193,513     105,552      29,561
FEDERAL SIGNAL CORP            COM   313855108         313      22,032  SH     OTHER       01       1,600       8,932      11,500
FEDERAL SIGNAL CORP            COM   313855108          58       4,066  SH     DEFINED     02       4,066           0           0
FEDERAL SIGNAL CORP            COM   313855108         377      26,558  SH     DEFINED     03      15,188       9,876       1,494
FEDERAL SIGNAL CORP            COM   313855108         128       8,990  SH     OTHER       03       6,990       2,000           0
FEDERAL SIGNAL CORP            COM   313855108       1,530     107,715  SH     DEFINED     04      60,517           0      47,198
FEDERAL SIGNAL CORP            COM   313855108         280      19,700  SH     OTHER       04      19,700           0           0
FEDERAL SIGNAL CORP            COM   313855108           1          50  SH     OTHER       05          50           0           0
FEDERAL SIGNAL CORP            COM   313855108       2,227     156,840  SH     DEFINED  01,08      37,356     119,484           0
FEDERAL SIGNAL CORP            COM   313855108          21       1,500  SH     DEFINED     10       1,500           0           0

FEDERATED DEPT STORES INC DE   COM   31410H101      30,772   1,098,208  SH     DEFINED     01     569,612     510,925      17,671
FEDERATED DEPT STORES INC DE   COM   31410H101          36       1,275  SH     OTHER       01       1,100           0         175
FEDERATED DEPT STORES INC DE   COM   31410H101           8         270  SH     DEFINED     02         270           0           0
FEDERATED DEPT STORES INC DE   COM   31410H101          11         383  SH     DEFINED     03           0         283         100
FEDERATED DEPT STORES INC DE   COM   31410H101         275       9,825  SH     DEFINED     04       1,525           0       8,300
FEDERATED DEPT STORES INC DE   COM   31410H101          57       2,050  SH     OTHER       04       2,050           0           0
FEDERATED DEPT STORES INC DE   COM   31410H101          14         500  SH     OTHER    01,06           0           0         500
FEDERATED DEPT STORES INC DE   COM   31410H101      16,870     602,068  SH     DEFINED  01,08     158,556     443,512           0
FEDERATED DEPT STORES INC DE   COM   31410H101           1          34  SH     DEFINED     10          34           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    192
________

FEDERATED INVS INC PA          COM   314211103       2,847     111,872  SH     DEFINED     01      66,249      41,975       3,648
FEDERATED INVS INC PA          COM   314211103          18         700  SH     OTHER       04           0           0         700
FEDERATED INVS INC PA          COM   314211103       5,612     220,503  SH     DEFINED  01,08      26,878     193,625           0

FEDEX CORP                     COM   31428X106      93,912   1,705,325  SH     DEFINED     01     885,511     791,824      27,990
FEDEX CORP                     COM   31428X106         294       5,332  SH     OTHER       01       3,713         400       1,219
FEDEX CORP                     COM   31428X106         124       2,250  SH     DEFINED     02       2,250           0           0
FEDEX CORP                     COM   31428X106          71       1,290  SH     OTHER       02       1,140         150           0
FEDEX CORP                     COM   31428X106         241       4,375  SH     DEFINED     03       3,025         850         500
FEDEX CORP                     COM   31428X106          26         470  SH     OTHER       03           0         150         320
FEDEX CORP                     COM   31428X106         813      14,755  SH     DEFINED     04      10,755           0       4,000
FEDEX CORP                     COM   31428X106         576      10,452  SH     OTHER       04       7,902           0       2,550
FEDEX CORP                     COM   31428X106          22         400  SH     DEFINED     05           0         400           0
FEDEX CORP                     COM   31428X106          42         769  SH     OTHER    01,06           0           0         769
FEDEX CORP                     COM   31428X106      49,004     889,849  SH     DEFINED  01,08     238,194     651,655           0
FEDEX CORP                     COM   31428X106          96       1,749  SH     DEFINED     10       1,749           0           0
FEDEX CORP                     COM   31428X106         387       7,035  SH     OTHER       10       6,725         310           0

FELCOR LODGING TR INC          COM   31430F101       1,045     167,780  SH     DEFINED     01     103,171      62,109       2,500
FELCOR LODGING TR INC          COM   31430F101       1,019     163,612  SH     DEFINED  01,08      28,556     135,056           0

FERRO CORP                     COM   315405100       3,824     178,965  SH     DEFINED     01      81,319      95,546       2,100
FERRO CORP                     COM   315405100       2,490     116,496  SH     DEFINED  01,08      12,138     104,358           0

F5 NETWORKS INC                COM   315616102         978      77,448  SH     DEFINED     01      40,395      36,753         300
F5 NETWORKS INC                COM   315616102       1,308     103,549  SH     DEFINED  01,08      14,117      89,432           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          51       8,400  SH     DEFINED     01       1,600       6,800           0
FIBERMARK INC                  COM   315646109          75      12,200  SH     DEFINED  01,08       3,200       9,000           0

FIBERNET TELECOM GRP INC       COM   315653105           0       1,900  SH     DEFINED     01       1,900           0           0
FIBERNET TELECOM GRP INC       COM   315653105          10     164,804  SH     DEFINED  01,08     147,454      17,350           0

FIBERSTARS INC                 COM   315662106          12       3,900  SH     DEFINED     01           0       3,900           0
FIBERSTARS INC                 COM   315662106          25       8,091  SH     DEFINED  01,08       2,332       5,759           0

FIDELITY BANCORP INC DEL       COM   31583B105          86       2,900  SH     DEFINED     01         450       2,450           0
FIDELITY BANCORP INC DEL       COM   31583B105         156       5,275  SH     DEFINED  01,08       1,337       3,938           0

FIDELITY BANKSHARES INC NEW    COM   31604Q107         886      48,342  SH     DEFINED     01      35,551      11,891         900
FIDELITY BANKSHARES INC NEW    COM   31604Q107         761      41,549  SH     DEFINED     04      41,549           0           0
FIDELITY BANKSHARES INC NEW    COM   31604Q107         617      33,697  SH     DEFINED  01,08       8,949      24,748           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    193
________

FIDELITY NATIONAL SOLTNS INC   COM   31620P109         797      44,968  SH     DEFINED     01      29,553      15,276         139
FIDELITY NATIONAL SOLTNS INC   COM   31620P109         815      46,018  SH     DEFINED  01,08      18,009      28,009           0

FIDELITY NATL CORP GA          COM   316320100         112      11,925  SH     DEFINED     01       2,325       9,600           0
FIDELITY NATL CORP GA          COM   316320100         149      15,850  SH     DEFINED  01,08       3,950      11,900           0

FIDELITY NATL FINL INC         COM   316326107      10,649     311,843  SH     DEFINED     01     117,204     187,328       7,311
FIDELITY NATL FINL INC         COM   316326107       7,229     211,672  SH     DEFINED  01,08      31,623     180,048           0

FIFTH THIRD BANCORP            COM   316773100     201,400   4,009,469  SH     DEFINED     01   2,216,903   1,613,129     179,437
FIFTH THIRD BANCORP            COM   316773100      27,435     546,186  SH     OTHER       01     137,202     328,304      80,680
FIFTH THIRD BANCORP            COM   316773100       2,385      47,480  SH     DEFINED     02      36,815      10,421         244
FIFTH THIRD BANCORP            COM   316773100       1,183      23,552  SH     OTHER       02      17,715       4,137       1,700
FIFTH THIRD BANCORP            COM   316773100      10,067     200,416  SH     DEFINED     03     106,966      75,219      18,231
FIFTH THIRD BANCORP            COM   316773100       2,283      45,453  SH     OTHER       03      29,749       9,044       6,660
FIFTH THIRD BANCORP            COM   316773100      21,996     437,896  SH     DEFINED     04     425,854           0      12,042
FIFTH THIRD BANCORP            COM   316773100      17,591     350,199  SH     OTHER       04     333,280           0      16,919
FIFTH THIRD BANCORP            COM   316773100         658      13,097  SH     DEFINED     05      10,057       1,775       1,265
FIFTH THIRD BANCORP            COM   316773100         156       3,114  SH     OTHER       05       1,624       1,400          90
FIFTH THIRD BANCORP            COM   316773100          74       1,474  SH     OTHER    01,06           0           0       1,474
FIFTH THIRD BANCORP            COM   316773100      81,766   1,627,808  SH     DEFINED  01,08     377,909   1,249,899           0
FIFTH THIRD BANCORP            COM   316773100      12,720     253,225  SH     DEFINED     10     135,230     114,750       3,245
FIFTH THIRD BANCORP            COM   316773100       4,606      91,695  SH     OTHER       10      74,074      17,196         425

FILENET CORP                   COM   316869106       1,213     115,662  SH     DEFINED     01      58,955      54,957       1,750
FILENET CORP                   COM   316869106           8         730  SH     OTHER    01,06           0           0         730
FILENET CORP                   COM   316869106       1,428     136,158  SH     DEFINED  01,08      19,749     116,409           0
FILENET CORP                   COM   316869106          10       1,000  SH     DEFINED     10       1,000           0           0

FINANCIAL FED CORP             COM   317492106         850      44,507  SH     DEFINED     01      22,422      21,610         475
FINANCIAL FED CORP             COM   317492106           2         115  SH     DEFINED     02           0           0         115
FINANCIAL FED CORP             COM   317492106           7         350  SH     OTHER    01,06           0           0         350
FINANCIAL FED CORP             COM   317492106       1,007      52,719  SH     DEFINED  01,08      15,501      37,218           0

FINANCIAL INDS CORP            COM   317574101         708      49,056  SH     DEFINED     01      38,396      10,460         200
FINANCIAL INDS CORP            COM   317574101         492      34,077  SH     DEFINED  01,08       5,205      28,872           0

FINANCIAL INSTNS INC           COM   317585404         400      20,157  SH     DEFINED     01      12,589       7,408         160
FINANCIAL INSTNS INC           COM   317585404         424      21,379  SH     DEFINED  01,08       5,805      15,574           0

FINDWHAT COM                   COM   317794105          57       5,400  SH     DEFINED     01       1,800       3,600           0
FINDWHAT COM                   COM   317794105         143      13,627  SH     DEFINED  01,08       7,327       6,300           0

FINISAR                        COM   31787A101         235     300,875  SH     DEFINED     01     211,027      82,748       7,100
FINISAR                        COM   31787A101         176     225,965  SH     DEFINED  01,08      87,292     138,673           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    194
________

FINISHMASTER INC               COM   31787P108          13       1,100  SH     DEFINED     01       1,100           0           0
FINISHMASTER INC               COM   31787P108          76       6,570  SH     OTHER       01           0       6,570           0
FINISHMASTER INC               COM   31787P108          53       4,600  SH     DEFINED  01,08       3,500       1,100           0

FINLAY ENTERPRISES INC         COM   317884203         416      32,869  SH     DEFINED     01      20,869      11,900         100
FINLAY ENTERPRISES INC         COM   317884203         247      19,538  SH     DEFINED  01,08       4,848      14,690           0

FINISH LINE INC                COM   317923100       1,106      73,753  SH     DEFINED     01      38,122      34,731         900
FINISH LINE INC                COM   317923100         905      60,310  SH     DEFINED  01,08      11,086      49,224           0

FIRST ALBANY COS INC           COM   318465101          70       9,054  SH     DEFINED     01         636       8,418           0
FIRST ALBANY COS INC           COM   318465101         130      16,820  SH     DEFINED  01,08       4,396      12,424           0

FIRST AMERN CORP CALIF         CONDB 318522AD1       2,205   2,000,000  PRN    DEFINED     01   2,000,000           0           0

FIRST AMERN CORP CALIF         COM   318522307       6,765     277,245  SH     DEFINED     01     127,716     143,829       5,700
FIRST AMERN CORP CALIF         COM   318522307       3,775     154,712  SH     DEFINED  01,08      22,283     132,429           0

FIRST AVIATION SVCS INC        COM   31865W108          36      13,500  SH     DEFINED     01           0      13,500           0
FIRST AVIATION SVCS INC        COM   31865W108          23       8,609  SH     DEFINED  01,08       2,709       5,900           0

FIRST BANCORP P R              COM   318672102       3,488     129,277  SH     DEFINED     01      61,576      64,051       3,650
FIRST BANCORP P R              COM   318672102          21         765  SH     OTHER    01,06           0           0         765
FIRST BANCORP P R              COM   318672102       3,664     135,812  SH     DEFINED  01,08      21,195     114,617           0

FIRST BANCORP N C              COM   318910106         643      25,541  SH     DEFINED     01      13,140      12,101         300
FIRST BANCORP N C              COM   318910106         455      18,081  SH     DEFINED  01,08       4,875      13,206           0

FIRST BELL BANCORP INC         COM   319301107         152       5,800  SH     DEFINED     01         300       5,500           0
FIRST BELL BANCORP INC         COM   319301107         210       8,000  SH     DEFINED  01,08       2,058       5,942           0

FIRST BUSEY CORP               COM   319383105         963      41,144  SH     DEFINED     01      17,839      22,805         500
FIRST BUSEY CORP               COM   319383105         501      21,396  SH     DEFINED  01,08       7,004      14,392           0

FIRST CASH FINL SVCS INC       COM   31942D107         176      17,500  SH     DEFINED     01       1,200      16,300           0
FIRST CASH FINL SVCS INC       COM   31942D107         151      15,003  SH     DEFINED  01,08       3,711      11,292           0

FIRST CHARTER CORP             COM   319439105       2,467     142,432  SH     DEFINED     01      99,238      41,394       1,800
FIRST CHARTER CORP             COM   319439105       1,287      74,319  SH     DEFINED  01,08      17,104      57,215           0

FIRST CTZNS BANCSHARES INC N   COM   31946M103       2,894      30,757  SH     DEFINED     01      17,453      13,004         300
FIRST CTZNS BANCSHARES INC N   COM   31946M103       2,442      25,957  SH     DEFINED  01,08       5,550      20,407           0

FIRST COLONIAL GROUP INC       COM   319734109         151       3,361  SH     DEFINED     01         120       3,241           0
FIRST COLONIAL GROUP INC       COM   319734109         169       3,750  SH     DEFINED  01,08         920       2,830           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    195
________

FIRST COMWLTH FINL CORP PA     COM   319829107       2,913     250,032  SH     DEFINED     01     127,171     119,761       3,100
FIRST COMWLTH FINL CORP PA     COM   319829107          67       5,771  SH     DEFINED     04       5,771           0           0
FIRST COMWLTH FINL CORP PA     COM   319829107       1,747     149,971  SH     DEFINED  01,08      32,965     117,006           0

FIRST CMNTY BANCSHARES INC N   COM   31983A103         778      23,574  SH     DEFINED     01      16,431       6,523         620
FIRST CMNTY BANCSHARES INC N   COM   31983A103         174       5,287  SH     DEFINED  01,08       1,150       4,137           0

FIRST CMNTY BANCORP CALIF      COM   31983B101         758      26,211  SH     DEFINED     01      19,242       6,869         100
FIRST CMNTY BANCORP CALIF      COM   31983B101         145       5,000  SH     DEFINED     03           0       5,000           0
FIRST CMNTY BANCORP CALIF      COM   31983B101         836      28,925  SH     DEFINED  01,08       7,281      21,644           0

FIRST CONSULTING GROUP INC     COM   31986R103         625      96,537  SH     DEFINED     01      38,280      46,057      12,200
FIRST CONSULTING GROUP INC     COM   31986R103         336      51,904  SH     DEFINED  01,08      12,911      38,993           0

FIRST FED CAP CORP             COM   319960100       1,339      65,607  SH     DEFINED     01      37,325      27,382         900
FIRST FED CAP CORP             COM   319960100         912      44,707  SH     DEFINED  01,08      10,820      33,887           0
FIRST FED CAP CORP             COM   319960100          41       2,000  SH     DEFINED     10       2,000           0           0

FIRST FED FINL CORP KY         COM   319961108          25         800  SH     DEFINED     01         800           0           0
FIRST FED FINL CORP KY         COM   319961108         224       7,194  SH     DEFINED  01,08       1,588       5,606           0

FIRST DATA CORP                CONDB 319963AD6       2,110   2,000,000  PRN    DEFINED     01   2,000,000           0           0
FIRST DATA CORP                CONDB 319963AD6           7       7,000  PRN    DEFINED     04       7,000           0           0

FIRST DATA CORP                COM   319963104     228,077   6,162,583  SH     DEFINED     01   3,550,900   2,454,488     157,195
FIRST DATA CORP                COM   319963104      24,332     657,439  SH     OTHER       01     233,556     385,199      38,684
FIRST DATA CORP                COM   319963104       4,504     121,685  SH     DEFINED     02      86,069      31,440       4,176
FIRST DATA CORP                COM   319963104         710      19,196  SH     OTHER       02       9,305       9,631         260
FIRST DATA CORP                COM   319963104       8,288     223,943  SH     DEFINED     03     120,908      76,680      26,355
FIRST DATA CORP                COM   319963104       3,366      90,935  SH     OTHER       03      66,765      16,260       7,910
FIRST DATA CORP                COM   319963104      46,256   1,249,817  SH     DEFINED     04   1,216,763           0      33,054
FIRST DATA CORP                COM   319963104      13,444     363,250  SH     OTHER       04     346,850           0      16,400
FIRST DATA CORP                COM   319963104       4,297     116,104  SH     DEFINED     05      95,554      11,190       9,360
FIRST DATA CORP                COM   319963104       1,358      36,695  SH     OTHER       05       8,150      24,340       4,205
FIRST DATA CORP                COM   319963104          70       1,900  SH     OTHER    01,06           0           0       1,900
FIRST DATA CORP                COM   319963104      83,298   2,250,694  SH     DEFINED  01,08     528,436   1,722,258           0
FIRST DATA CORP                COM   319963104       4,770     128,872  SH     DEFINED     10      97,427       9,495      21,950
FIRST DATA CORP                COM   319963104       1,035      27,961  SH     OTHER       10      18,751       8,910         300

FIRST DEFIANCE FINL CORP       COM   32006W106         629      33,922  SH     DEFINED     01      23,822       9,700         400
FIRST DEFIANCE FINL CORP       COM   32006W106         278      14,963  SH     DEFINED  01,08       3,755      11,208           0

FIRST ESSEX BANCORP INC        COM   320103104         788      25,390  SH     DEFINED     01      14,578      10,712         100
FIRST ESSEX BANCORP INC        COM   320103104         617      19,897  SH     DEFINED  01,08       4,188      15,709           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    196
________

FIRST FED BANCSHARES ARK INC   COM   32020F105         116       4,500  SH     DEFINED     01         900       3,600           0
FIRST FED BANCSHARES ARK INC   COM   32020F105         139       5,400  SH     DEFINED  01,08       1,266       4,134           0

FIRST FINL BANKSHARES          COM   32020R109       1,569      44,203  SH     DEFINED     01      25,830      17,623         750
FIRST FINL BANKSHARES          COM   32020R109         988      27,842  SH     DEFINED  01,08       6,905      20,937           0

FIRST FED BANKSHARES INC DEL   COM   32020V100          76       5,000  SH     DEFINED     01           0       5,000           0
FIRST FED BANKSHARES INC DEL   COM   32020V100         116       7,608  SH     DEFINED  01,08       1,908       5,700           0

FIRST FINL BANCORP OH          COM   320209109       2,268     143,005  SH     DEFINED     01      77,319      65,066         620
FIRST FINL BANCORP OH          COM   320209109          33       2,052  SH     OTHER       04           0           0       2,052
FIRST FINL BANCORP OH          COM   320209109       2,045     128,967  SH     DEFINED  01,08      23,732     105,235           0

FIRST FINL CORP IND            COM   320218100       1,851      39,169  SH     DEFINED     01      25,373      13,496         300
FIRST FINL CORP IND            COM   320218100         845      17,888  SH     DEFINED  01,08       3,755      14,133           0

FIRST FINL HLDGS INC           COM   320239106       1,293      52,429  SH     DEFINED     01      31,959      19,810         660
FIRST FINL HLDGS INC           COM   320239106         105       4,260  SH     OTHER       04       4,260           0           0
FIRST FINL HLDGS INC           COM   320239106         770      31,192  SH     DEFINED  01,08       7,497      23,695           0

FIRST GEORGIA HLDG INC         COM   320369101          72      13,800  SH     DEFINED     01           0      13,800           0
FIRST GEORGIA HLDG INC         COM   320369101          67      12,887  SH     DEFINED  01,08       2,987       9,900           0

FIRST HORIZON PHARMACEUTICAL   COM   32051K106         220      86,873  SH     DEFINED     01      41,185      45,688           0
FIRST HORIZON PHARMACEUTICAL   COM   32051K106         296     116,915  SH     DEFINED  01,08      17,206      99,709           0

FIRST INDUSTRIAL REALTY TRUS   COM   32054K103       2,535      89,498  SH     DEFINED     01      39,757      48,241       1,500
FIRST INDUSTRIAL REALTY TRUS   COM   32054K103          53       1,870  SH     OTHER       04         870           0       1,000
FIRST INDUSTRIAL REALTY TRUS   COM   32054K103       3,788     133,751  SH     DEFINED  01,08      21,013     112,738           0

FIRST IND CORP                 COM   32054R108       1,100      69,624  SH     DEFINED     01      46,993      22,506         125
FIRST IND CORP                 COM   32054R108         578      36,553  SH     OTHER       01      36,553           0           0
FIRST IND CORP                 COM   32054R108          24       1,496  SH     DEFINED     02       1,496           0           0
FIRST IND CORP                 COM   32054R108       1,015      64,231  SH     DEFINED  01,08       8,217      56,014           0

FIRST INVS FINL SVCS GROUP I   COM   32058A101           9       2,500  SH     DEFINED     01         800       1,700           0
FIRST INVS FINL SVCS GROUP I   COM   32058A101          32       9,200  SH     DEFINED  01,08       2,391       6,809           0

FIRST LONG IS CORP             COM   320734106         365      10,590  SH     DEFINED     01       3,269       7,021         300
FIRST LONG IS CORP             COM   320734106         323       9,377  SH     DEFINED  01,08       2,373       7,004           0

FIRST M & F CORP               COM   320744105          79       2,197  SH     DEFINED     01       1,341         856           0
FIRST M & F CORP               COM   320744105         281       7,836  SH     DEFINED  01,08       2,047       5,789           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    197
________

FIRST MARINER BANCORP          COM   320795107          52       4,100  SH     DEFINED     01           0       4,100           0
FIRST MARINER BANCORP          COM   320795107          99       7,873  SH     DEFINED  01,08       2,373       5,500           0

FIRST MERCHANTS CORP           COM   320817109       1,182      51,829  SH     DEFINED     01      28,914      22,280         635
FIRST MERCHANTS CORP           COM   320817109         665      29,163  SH     DEFINED  01,08       8,956      20,207           0

FIRST MIDWEST BANCORP DEL      COM   320867104       3,099     120,086  SH     DEFINED     01      46,275      70,786       3,025
FIRST MIDWEST BANCORP DEL      COM   320867104         214       8,302  SH     OTHER       02       8,302           0           0
FIRST MIDWEST BANCORP DEL      COM   320867104         291      11,286  SH     DEFINED     04      11,286           0           0
FIRST MIDWEST BANCORP DEL      COM   320867104         284      11,000  SH     OTHER       04      11,000           0           0
FIRST MIDWEST BANCORP DEL      COM   320867104          23         900  SH     OTHER    01,06           0           0         900
FIRST MIDWEST BANCORP DEL      COM   320867104       2,428      94,085  SH     DEFINED  01,08      12,179      81,906           0

FIRST MIDWEST FINL INC         COM   320878101         126       7,700  SH     DEFINED     01           0       7,700           0
FIRST MIDWEST FINL INC         COM   320878101          69       4,200  SH     DEFINED  01,08       1,100       3,100           0

FIRST NATL CORP ORANGEBURG S   COM   320942105         343      13,526  SH     DEFINED     01       9,828       3,568         130
FIRST NATL CORP ORANGEBURG S   COM   320942105         114       4,482  SH     DEFINED  01,08       1,038       3,444           0

FIRST HEALTH GROUP CORP        COM   320960107       8,143     320,096  SH     DEFINED     01     117,335     197,939       4,822
FIRST HEALTH GROUP CORP        COM   320960107          47       1,845  SH     OTHER       01           0       1,845           0
FIRST HEALTH GROUP CORP        COM   320960107           2          85  SH     OTHER       02          85           0           0
FIRST HEALTH GROUP CORP        COM   320960107          33       1,300  SH     DEFINED     04       1,300           0           0
FIRST HEALTH GROUP CORP        COM   320960107       7,385     290,278  SH     DEFINED  01,08      31,911     258,367           0

FIRST MUTUAL BANCSHARES INC    COM   32190E102         111       6,666  SH     DEFINED     01         726       5,940           0
FIRST MUTUAL BANCSHARES INC    COM   32190E102         217      13,052  SH     DEFINED  01,08       1,879      11,173           0

FIRST NIAGARA FINL GP INC      COM   33582V108       1,574     133,958  SH     DEFINED     01      53,828      78,579       1,551
FIRST NIAGARA FINL GP INC      COM   33582V108       2,064     175,684  SH     DEFINED  01,08      32,039     143,645           0

FIRST OAK BROOK BANCSHARES I   COM   335847208         405      13,337  SH     DEFINED     01       5,770       7,467         100
FIRST OAK BROOK BANCSHARES I   COM   335847208         414      13,609  SH     DEFINED  01,08       3,416      10,193           0

FIRST PL FINL CORP             COM   33610T109       1,282      84,321  SH     DEFINED     01      59,076      24,545         700
FIRST PL FINL CORP             COM   33610T109         582      38,301  SH     DEFINED  01,08       7,656      30,645           0

FIRST REP BK SAN FRANCISCO     COM   336158100       1,379      63,841  SH     DEFINED     01      34,554      28,687         600
FIRST REP BK SAN FRANCISCO     COM   336158100           6         300  SH     OTHER    01,06           0           0         300
FIRST REP BK SAN FRANCISCO     COM   336158100         933      43,193  SH     DEFINED  01,08      12,231      30,962           0

FIRST SECURITYFED FINL INC     COM   336392105         198       7,300  SH     DEFINED     01       1,300       6,000           0
FIRST SECURITYFED FINL INC     COM   336392105         196       7,226  SH     DEFINED  01,08       1,726       5,500           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    198
________

FIRST SENTINEL BANCORP INC     COM   33640T103       2,006     144,851  SH     DEFINED     01      90,684      52,807       1,360
FIRST SENTINEL BANCORP INC     COM   33640T103         955      68,957  SH     DEFINED  01,08      15,372      53,585           0

FIRST ST BANCORPORATION        COM   336453105         488      22,835  SH     DEFINED     01      13,662       9,073         100
FIRST ST BANCORPORATION        COM   336453105         329      15,365  SH     DEFINED  01,08       3,699      11,666           0

FIRST SOUTH BANCORP INC VA     COM   33646W100         191       5,818  SH     DEFINED     01       3,519       2,199         100
FIRST SOUTH BANCORP INC VA     COM   33646W100         296       9,032  SH     DEFINED  01,08       2,150       6,882           0

1ST SOURCE CORP                COM   336901103       1,175      91,808  SH     DEFINED     01      65,571      25,727         510
1ST SOURCE CORP                COM   336901103         145      11,317  SH     OTHER       02           0      11,317           0
1ST SOURCE CORP                COM   336901103       1,233      96,309  SH     DEFINED  01,08      10,882      85,427           0

FIRST TENN NATL CORP           COM   337162101      28,567     719,388  SH     DEFINED     01     366,825     341,013      11,550
FIRST TENN NATL CORP           COM   337162101          93       2,353  SH     OTHER       01           0       1,552         801
FIRST TENN NATL CORP           COM   337162101          32         800  SH     OTHER       02         800           0           0
FIRST TENN NATL CORP           COM   337162101           2          50  SH     DEFINED     03           0           0          50
FIRST TENN NATL CORP           COM   337162101          64       1,600  SH     OTHER       03       1,600           0           0
FIRST TENN NATL CORP           COM   337162101         226       5,701  SH     DEFINED     04       5,701           0           0
FIRST TENN NATL CORP           COM   337162101         335       8,447  SH     OTHER       04       8,340           0         107
FIRST TENN NATL CORP           COM   337162101          12         300  SH     OTHER    01,06           0           0         300
FIRST TENN NATL CORP           COM   337162101      15,008     377,947  SH     DEFINED  01,08     106,463     271,484           0

FIRST UN REAL EST EQ&MTG INV   COM   337400105          15       9,060  SH     DEFINED     01       9,060           0           0
FIRST UN REAL EST EQ&MTG INV   COM   337400105         104      61,900  SH     DEFINED  01,08      14,900      47,000           0

FIRST UTD CORP                 COM   33741H107         159       7,400  SH     DEFINED     01         400       7,000           0
FIRST UTD CORP                 COM   33741H107         223      10,430  SH     DEFINED  01,08       2,630       7,800           0

FIRST VA BANKS INC             COM   337477103       9,489     241,892  SH     DEFINED     01      98,327     139,371       4,194
FIRST VA BANKS INC             COM   337477103          31         787  SH     DEFINED     03           0         787           0
FIRST VA BANKS INC             COM   337477103         282       7,200  SH     DEFINED     04       7,200           0           0
FIRST VA BANKS INC             COM   337477103       2,344      59,762  SH     OTHER       04      59,762           0           0
FIRST VA BANKS INC             COM   337477103       7,374     187,975  SH     DEFINED  01,08      22,453     165,522           0

FIRST VIRTUAL COMMUNICATIONS   COM   337484109           7      20,158  SH     DEFINED     01       6,258      13,900           0
FIRST VIRTUAL COMMUNICATIONS   COM   337484109          15      41,892  SH     DEFINED  01,08       6,240      35,652           0

FIRSTBANK CORP MICH            COM   33761G104         283       9,939  SH     DEFINED     01       9,939           0           0
FIRSTBANK CORP MICH            COM   33761G104       2,899     101,714  SH     DEFINED     04     101,714           0           0
FIRSTBANK CORP MICH            COM   33761G104           3         112  SH     DEFINED  01,08         112           0           0
FIRSTBANK CORP MICH            COM   33761G104         150       5,250  SH     DEFINED     10           0       5,250           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    199
________

FIRSTCITY FINL CORP            COM   33761X107          27      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           5       2,791  SH     DEFINED  01,08       1,591       1,200           0

FISCHER IMAGING CORP           COM   337719108          40       7,500  SH     DEFINED     01       1,700       5,800           0
FISCHER IMAGING CORP           COM   337719108          85      16,000  SH     DEFINED  01,08       4,124      11,876           0

FISERV INC                     COM   337738108      47,881   1,521,005  SH     DEFINED     01     881,248     600,499      39,258
FISERV INC                     COM   337738108       4,978     158,133  SH     OTHER       01      82,665      64,318      11,150
FISERV INC                     COM   337738108       1,410      44,786  SH     DEFINED     02      30,661      12,150       1,975
FISERV INC                     COM   337738108         252       8,007  SH     OTHER       02       5,682       1,650         675
FISERV INC                     COM   337738108         160       5,077  SH     DEFINED     03       1,600       3,382          95
FISERV INC                     COM   337738108          35       1,120  SH     OTHER       03         620         500           0
FISERV INC                     COM   337738108      23,368     742,328  SH     DEFINED     04     726,519           0      15,809
FISERV INC                     COM   337738108       9,601     304,995  SH     OTHER       04     280,496           0      24,499
FISERV INC                     COM   337738108         265       8,425  SH     DEFINED     05       7,850           0         575
FISERV INC                     COM   337738108          14         450  SH     OTHER    01,06           0           0         450
FISERV INC                     COM   337738108      19,029     604,486  SH     DEFINED  01,08     127,712     476,774           0
FISERV INC                     COM   337738108         879      27,935  SH     DEFINED     10      25,735           0       2,200
FISERV INC                     COM   337738108         109       3,450  SH     OTHER       10           0       3,450           0

FISHER COMMUNICATIONS INC      COM   337756209         781      17,483  SH     DEFINED     01      10,619       6,764         100
FISHER COMMUNICATIONS INC      COM   337756209         167       3,750  SH     DEFINED     03       3,750           0           0
FISHER COMMUNICATIONS INC      COM   337756209         408       9,134  SH     DEFINED  01,08       4,341       4,793           0

FIRSTFED FINL CORP             COM   337907109       3,300     109,315  SH     DEFINED     01      72,753      35,612         950
FIRSTFED FINL CORP             COM   337907109          21         700  SH     OTHER       01         700           0           0
FIRSTFED FINL CORP             COM   337907109          11         350  SH     OTHER    01,06           0           0         350
FIRSTFED FINL CORP             COM   337907109       2,776      91,963  SH     DEFINED  01,08      15,286      76,677           0

FIRSTMERIT CORP                COM   337915102       5,029     272,749  SH     DEFINED     01     104,376     164,823       3,550
FIRSTMERIT CORP                COM   337915102          85       4,600  SH     DEFINED     04       2,600           0       2,000
FIRSTMERIT CORP                COM   337915102           9         500  SH     OTHER       04         500           0           0
FIRSTMERIT CORP                COM   337915102       3,543     192,150  SH     DEFINED  01,08      26,507     165,643           0
FIRSTMERIT CORP                COM   337915102         204      11,090  SH     DEFINED     10      11,090           0           0
FIRSTMERIT CORP                COM   337915102         601      32,600  SH     OTHER       10      32,600           0           0

FIRSTFED AMER BANCORP INC      COM   337929103       1,023      36,532  SH     DEFINED     01      27,444       8,688         400
FIRSTFED AMER BANCORP INC      COM   337929103         598      21,362  SH     DEFINED  01,08       4,630      16,732           0

FLAGSTAR BANCORP INC           COM   337930101       1,736      65,846  SH     DEFINED     01      30,432      34,764         650
FLAGSTAR BANCORP INC           COM   337930101          16         600  SH     OTHER    01,06           0           0         600
FLAGSTAR BANCORP INC           COM   337930101       2,911     110,404  SH     DEFINED  01,08      24,084      86,320           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    200
________

FIRSTENERGY CORP               COM   337932107      52,111   1,654,324  SH     DEFINED     01     858,620     770,996      24,708
FIRSTENERGY CORP               COM   337932107          76       2,409  SH     OTHER       01         434         232       1,743
FIRSTENERGY CORP               COM   337932107          35       1,100  SH     DEFINED     03       1,000           0         100
FIRSTENERGY CORP               COM   337932107           4         135  SH     OTHER       03         135           0           0
FIRSTENERGY CORP               COM   337932107         192       6,108  SH     DEFINED     04       6,108           0           0
FIRSTENERGY CORP               COM   337932107          67       2,121  SH     OTHER       04       2,121           0           0
FIRSTENERGY CORP               COM   337932107          23         733  SH     OTHER    01,06           0           0         733
FIRSTENERGY CORP               COM   337932107      28,565     906,815  SH     DEFINED  01,08     232,436     674,379           0
FIRSTENERGY CORP               COM   337932107          14         449  SH     DEFINED     10         449           0           0

FISHER SCIENTIFIC INTL INC     COM   338032204       2,017      72,128  SH     DEFINED     01      38,379      31,649       2,100
FISHER SCIENTIFIC INTL INC     COM   338032204         122       4,356  SH     DEFINED     04       4,356           0           0
FISHER SCIENTIFIC INTL INC     COM   338032204          20         700  SH     OTHER       04         700           0           0
FISHER SCIENTIFIC INTL INC     COM   338032204       2,628      93,990  SH     DEFINED  01,08      14,883      79,107           0

FIVE STAR QUALITY CARE INC     COM   33832D106          52      42,987  SH     DEFINED     01       1,147      41,840           0
FIVE STAR QUALITY CARE INC     COM   33832D106           0         161  SH     OTHER       04         161           0           0
FIVE STAR QUALITY CARE INC     COM   33832D106          14      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          54       4,200  SH     DEFINED     01         700       3,500           0
FLAG FINL CORP                 COM   33832H107         178      13,900  SH     DEFINED  01,08       3,750      10,150           0

FLANDERS CORP                  COM   338494107          69      30,900  SH     DEFINED     01       5,300      25,600           0
FLANDERS CORP                  COM   338494107          91      40,983  SH     DEFINED  01,08       7,783      33,200           0

FLEETBOSTON FINL CORP          COM   339030108     145,586   6,096,567  SH     DEFINED     01   3,188,518   2,805,788     102,261
FLEETBOSTON FINL CORP          COM   339030108       1,191      49,874  SH     OTHER       01      26,511      20,892       2,471
FLEETBOSTON FINL CORP          COM   339030108         630      26,375  SH     DEFINED     02      10,865      15,130         380
FLEETBOSTON FINL CORP          COM   339030108         189       7,925  SH     OTHER       02       6,550       1,375           0
FLEETBOSTON FINL CORP          COM   339030108         782      32,758  SH     DEFINED     03      12,670      16,758       3,330
FLEETBOSTON FINL CORP          COM   339030108         331      13,863  SH     OTHER       03       7,635       2,028       4,200
FLEETBOSTON FINL CORP          COM   339030108       2,401     100,530  SH     DEFINED     04      92,399           0       8,131
FLEETBOSTON FINL CORP          COM   339030108       4,809     201,381  SH     OTHER       04     195,027           0       6,354
FLEETBOSTON FINL CORP          COM   339030108         517      21,655  SH     DEFINED     05      20,480         975         200
FLEETBOSTON FINL CORP          COM   339030108          14         580  SH     OTHER       05         300           0         280
FLEETBOSTON FINL CORP          COM   339030108          66       2,753  SH     OTHER    01,06           0           0       2,753
FLEETBOSTON FINL CORP          COM   339030108      75,831   3,175,498  SH     DEFINED  01,08     822,850   2,352,648           0
FLEETBOSTON FINL CORP          COM   339030108       1,074      44,954  SH     DEFINED     10      44,079         875           0
FLEETBOSTON FINL CORP          COM   339030108         184       7,700  SH     OTHER       10       7,700           0           0

FLEETWOOD ENTERPRISES INC      COM   339099103         531     130,686  SH     DEFINED     01      77,294      50,692       2,700
FLEETWOOD ENTERPRISES INC      COM   339099103           3         700  SH     OTHER    01,06           0           0         700
FLEETWOOD ENTERPRISES INC      COM   339099103         568     139,870  SH     DEFINED  01,08      30,154     109,716           0
FLEETWOOD ENTERPRISES INC      COM   339099103           0           5  SH     DEFINED     10           5           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    201
________

FLEMING COS INC                COM   339130106          82     163,188  SH     DEFINED     01      89,367      70,521       3,300
FLEMING COS INC                COM   339130106           1       1,100  SH     OTHER    01,06           0           0       1,100
FLEMING COS INC                COM   339130106          80     160,478  SH     DEFINED  01,08      29,820     130,658           0

FLEXSTEEL INDS INC             COM   339382103         270      20,100  SH     DEFINED     01      16,100       4,000           0
FLEXSTEEL INDS INC             COM   339382103         223      16,565  SH     DEFINED  01,08       2,631      13,934           0

FLORIDA BANKS INC              COM   340560101          98      10,300  SH     DEFINED     01         800       9,500           0
FLORIDA BANKS INC              COM   340560101         102      10,734  SH     DEFINED  01,08       2,934       7,800           0

FLORIDA EAST COAST INDS        COM   340632108       2,330      95,310  SH     DEFINED     01      51,027      42,983       1,300
FLORIDA EAST COAST INDS        COM   340632108         614      25,099  SH     DEFINED     04      25,099           0           0
FLORIDA EAST COAST INDS        COM   340632108          59       2,407  SH     OTHER       04       2,407           0           0
FLORIDA EAST COAST INDS        COM   340632108       2,063      84,388  SH     DEFINED  01,08      18,389      65,999           0

FLORIDA ROCK INDS INC          COM   341140101       2,797      82,624  SH     DEFINED     01      42,210      38,064       2,350
FLORIDA ROCK INDS INC          COM   341140101          20         600  SH     OTHER    01,06           0           0         600
FLORIDA ROCK INDS INC          COM   341140101       3,126      92,344  SH     DEFINED  01,08      14,663      77,681           0

FLORIDAFIRST BANCORP INC NEW   COM   343258109         143       6,604  SH     DEFINED     01         412       6,192           0
FLORIDAFIRST BANCORP INC NEW   COM   343258109          22       1,032  SH     DEFINED     04       1,032           0           0
FLORIDAFIRST BANCORP INC NEW   COM   343258109         201       9,261  SH     DEFINED  01,08       2,375       6,886           0

FLUOR CORP NEW                 COM   343412102      15,166     450,290  SH     DEFINED     01     231,548     211,308       7,434
FLUOR CORP NEW                 COM   343412102           3          75  SH     OTHER       01           0           0          75
FLUOR CORP NEW                 COM   343412102           2          50  SH     DEFINED     03           0           0          50
FLUOR CORP NEW                 COM   343412102          65       1,920  SH     DEFINED     04       1,920           0           0
FLUOR CORP NEW                 COM   343412102           8         227  SH     OTHER       04           0           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       8,441     250,626  SH     DEFINED  01,08      61,277     189,349           0
FLUOR CORP NEW                 COM   343412102           0          13  SH     DEFINED     10          13           0           0

FLOW INTL CORP                 COM   343468104          99      49,597  SH     DEFINED     01      26,754      22,043         800
FLOW INTL CORP                 COM   343468104           1         300  SH     OTHER    01,06           0           0         300
FLOW INTL CORP                 COM   343468104         106      53,241  SH     DEFINED  01,08      13,436      39,805           0

FLOWERS FOODS INC              COM   343498101       2,779     101,455  SH     DEFINED     01      56,801      44,294         360
FLOWERS FOODS INC              COM   343498101         501      18,296  SH     OTHER       04      18,296           0           0
FLOWERS FOODS INC              COM   343498101       2,861     104,439  SH     DEFINED  01,08      25,810      78,629           0

FLOWSERVE CORP                 COM   34354P105       2,035     174,706  SH     DEFINED     01      64,007     107,449       3,250
FLOWSERVE CORP                 COM   34354P105          15       1,300  SH     DEFINED     04       1,300           0           0
FLOWSERVE CORP                 COM   34354P105           5         400  SH     OTHER       04         400           0           0
FLOWSERVE CORP                 COM   34354P105       1,689     144,946  SH     DEFINED  01,08      17,965     126,981           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    202
________

FLUSHING FINL CORP             COM   343873105         848      48,764  SH     DEFINED     01      29,644      18,610         510
FLUSHING FINL CORP             COM   343873105         504      28,975  SH     DEFINED  01,08       6,910      22,065           0

FOAMEX INTL INC                COM   344123104         105      89,323  SH     DEFINED     01      52,910      36,413           0
FOAMEX INTL INC                COM   344123104          97      82,637  SH     DEFINED  01,08      12,962      69,675           0

FOCUS ENHANCEMENTS INC         COM   344159108           2       2,874  SH     DEFINED     01       2,700         174           0
FOCUS ENHANCEMENTS INC         COM   344159108          42      59,729  SH     DEFINED  01,08      13,580      46,149           0

FONAR CORP                     COM   344437108          10      11,400  SH     DEFINED     01       3,900       7,500           0
FONAR CORP                     COM   344437108           9      10,000  SH     DEFINED     04      10,000           0           0
FONAR CORP                     COM   344437108         116     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

FOOT LOCKER INC                COM   344849104       1,872     174,908  SH     DEFINED     01     104,510      64,698       5,700
FOOT LOCKER INC                COM   344849104          54       5,000  SH     DEFINED     03       5,000           0           0
FOOT LOCKER INC                COM   344849104         924      86,400  SH     DEFINED     04      86,400           0           0
FOOT LOCKER INC                COM   344849104         120      11,200  SH     DEFINED     05           0      11,200           0
FOOT LOCKER INC                COM   344849104         128      12,000  SH     OTHER       05           0      12,000           0
FOOT LOCKER INC                COM   344849104       2,566     239,858  SH     DEFINED  01,08      37,728     202,130           0

FOOTHILL INDPT BANCORP         COM   344905104         164       8,863  SH     DEFINED     01         933       7,930           0
FOOTHILL INDPT BANCORP         COM   344905104         190      10,271  SH     DEFINED  01,08       2,588       7,683           0

FOOTSTAR INC                   COM   344912100         657      78,253  SH     DEFINED     01      43,742      32,761       1,750
FOOTSTAR INC                   COM   344912100           6         748  SH     OTHER       04         748           0           0
FOOTSTAR INC                   COM   344912100           3         400  SH     OTHER    01,06           0           0         400
FOOTSTAR INC                   COM   344912100         757      90,141  SH     DEFINED  01,08      18,093      72,048           0

FORD MTR CO DEL                COM   345370860      78,098  10,385,366  SH     DEFINED     01   5,475,550   4,766,418     143,398
FORD MTR CO DEL                COM   345370860         242      32,187  SH     OTHER       01      28,302       3,785         100
FORD MTR CO DEL                COM   345370860          40       5,377  SH     DEFINED     02       3,500         200       1,677
FORD MTR CO DEL                COM   345370860          25       3,370  SH     OTHER       02         900       2,470           0
FORD MTR CO DEL                COM   345370860           5         700  SH     DEFINED     03           0           0         700
FORD MTR CO DEL                COM   345370860          43       5,692  SH     OTHER       03       5,417         275           0
FORD MTR CO DEL                COM   345370860       1,526     202,939  SH     DEFINED     04     202,939           0           0
FORD MTR CO DEL                COM   345370860          91      12,146  SH     OTHER       04      12,146           0           0
FORD MTR CO DEL                COM   345370860          92      12,236  SH     OTHER       05           0       3,496       8,740
FORD MTR CO DEL                COM   345370860          35       4,700  SH     OTHER    01,06           0           0       4,700
FORD MTR CO DEL                COM   345370860      41,525   5,521,911  SH     DEFINED  01,08   1,428,897   4,093,014           0
FORD MTR CO DEL                COM   345370860         470      62,451  SH     DEFINED     10      48,660      13,791           0
FORD MTR CO DEL                COM   345370860          50       6,704  SH     OTHER       10       1,957       1,272       3,475


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    203
________

FORD MTR CO CAP TR II          CONPF 345395206       1,409      40,000         DEFINED     01      40,000           0           0
FORD MTR CO CAP TR II          CONPF 345395206          21         600         OTHER       02           0         600           0
FORD MTR CO CAP TR II          CONPF 345395206          63       1,800         DEFINED     10       1,800           0           0
FORD MTR CO CAP TR II          CONPF 345395206          57       1,625         OTHER       10       1,625           0           0

FOREST CITY ENTERPRISES INC    COM   345550107       1,141      32,805  SH     DEFINED     01      20,783      10,972       1,050
FOREST CITY ENTERPRISES INC    COM   345550107          24         700  SH     OTHER       01         700           0           0
FOREST CITY ENTERPRISES INC    COM   345550107       1,884      54,170  SH     DEFINED  01,08       9,587      44,583           0

FOREST LABS INC                COM   345838106     226,915   4,204,473  SH     DEFINED     01   2,671,560   1,345,027     187,886
FOREST LABS INC                COM   345838106      11,469     212,503  SH     OTHER       01     108,633      66,400      37,470
FOREST LABS INC                COM   345838106       5,291      98,029  SH     DEFINED     02      64,937      27,440       5,652
FOREST LABS INC                COM   345838106       1,291      23,920  SH     OTHER       02      15,590       6,980       1,350
FOREST LABS INC                COM   345838106      17,656     327,153  SH     DEFINED     03     156,462     114,798      55,893
FOREST LABS INC                COM   345838106       2,878      53,333  SH     OTHER       03      30,743      10,010      12,580
FOREST LABS INC                COM   345838106      17,873     331,169  SH     DEFINED     04     324,569           0       6,600
FOREST LABS INC                COM   345838106       4,372      80,999  SH     OTHER       04      79,889           0       1,110
FOREST LABS INC                COM   345838106       5,422     100,463  SH     DEFINED     05      81,438      12,505       6,520
FOREST LABS INC                COM   345838106         418       7,745  SH     OTHER       05       1,810       5,850          85
FOREST LABS INC                COM   345838106          54       1,000  SH     OTHER    01,06           0           0       1,000
FOREST LABS INC                COM   345838106      56,092   1,039,324  SH     DEFINED  01,08     298,377     740,947           0
FOREST LABS INC                COM   345838106       3,049      56,500  SH     DEFINED     10      53,560       1,815       1,125
FOREST LABS INC                COM   345838106         884      16,375  SH     OTHER       10      13,515       2,710         150

FOREST OIL CORP                COM   346091705       2,896     129,876  SH     DEFINED     01      45,828      83,148         900
FOREST OIL CORP                COM   346091705          10         462  SH     DEFINED     02         462           0           0
FOREST OIL CORP                COM   346091705       1,901      85,238  SH     DEFINED  01,08      12,958      72,280           0

FORGENT NETWORKS INC           COM   34629U103          54      40,700  SH     DEFINED     01       4,900      35,800           0
FORGENT NETWORKS INC           COM   34629U103           3       2,000  SH     OTHER       01           0       2,000           0
FORGENT NETWORKS INC           COM   34629U103          59      44,794  SH     DEFINED  01,08      11,006      33,788           0

FORRESTER RESH INC             COM   346563109         737      52,231  SH     DEFINED     01      26,032      25,699         500
FORRESTER RESH INC             COM   346563109         887      62,872  SH     DEFINED  01,08      11,140      51,732           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    204
________

FORTUNE BRANDS INC             COM   349631101      36,404     849,167  SH     DEFINED     01     445,484     389,003      14,680
FORTUNE BRANDS INC             COM   349631101         609      14,200  SH     OTHER       01       8,650       5,550           0
FORTUNE BRANDS INC             COM   349631101         987      23,030  SH     DEFINED     02      21,750       1,280           0
FORTUNE BRANDS INC             COM   349631101         989      23,060  SH     OTHER       02      21,060         300       1,700
FORTUNE BRANDS INC             COM   349631101         670      15,630  SH     DEFINED     03      10,630       3,300       1,700
FORTUNE BRANDS INC             COM   349631101         126       2,950  SH     OTHER       03       2,950           0           0
FORTUNE BRANDS INC             COM   349631101         852      19,865  SH     DEFINED     04      19,165           0         700
FORTUNE BRANDS INC             COM   349631101       3,168      73,909  SH     OTHER       04      73,909           0           0
FORTUNE BRANDS INC             COM   349631101          17         400  SH     OTHER    01,06           0           0         400
FORTUNE BRANDS INC             COM   349631101      16,659     388,601  SH     DEFINED  01,08      76,898     311,703           0
FORTUNE BRANDS INC             COM   349631101          75       1,755  SH     DEFINED     10       1,755           0           0
FORTUNE BRANDS INC             COM   349631101          51       1,200  SH     OTHER       10         200       1,000           0

FORTUNE BRANDS INC             CONPF 349631200         456       1,720         DEFINED     05       1,720           0           0

FORWARD AIR CORP               COM   349853101       1,065      48,926  SH     DEFINED     01      22,004      26,122         800
FORWARD AIR CORP               COM   349853101           3         125  SH     DEFINED     02           0           0         125
FORWARD AIR CORP               COM   349853101           9         425  SH     OTHER    01,06           0           0         425
FORWARD AIR CORP               COM   349853101       1,356      62,327  SH     DEFINED  01,08      10,904      51,423           0

FOSSIL INC                     COM   349882100       1,645      95,555  SH     DEFINED     01      41,615      51,240       2,700
FOSSIL INC                     COM   349882100          15         843  SH     OTHER       04         843           0           0
FOSSIL INC                     COM   349882100          16         930  SH     OTHER    01,06           0           0         930
FOSSIL INC                     COM   349882100       2,592     150,551  SH     DEFINED  01,08      22,045     128,506           0

FOSTER L B CO                  COM   350060109          51      13,300  SH     DEFINED     01       1,400      11,900           0
FOSTER L B CO                  COM   350060109          96      25,026  SH     DEFINED  01,08       4,087      20,939           0

FOUNDRY NETWORKS INC           COM   35063R100       5,737     713,604  SH     DEFINED     01     557,327     154,377       1,900
FOUNDRY NETWORKS INC           COM   35063R100          33       4,055  SH     DEFINED     04       4,055           0           0
FOUNDRY NETWORKS INC           COM   35063R100       2,536     315,430  SH     DEFINED  01,08      62,125     253,305           0

4 KIDS ENTMT INC               COM   350865101         500      42,413  SH     DEFINED     01      21,551      20,662         200
4 KIDS ENTMT INC               COM   350865101           3         250  SH     OTHER    01,06           0           0         250
4 KIDS ENTMT INC               COM   350865101         700      59,341  SH     DEFINED  01,08       6,554      52,787           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    205
________

FOX ENTMT GROUP INC            COM   35138T107      24,146     905,354  SH     DEFINED     01     630,041     231,202      44,111
FOX ENTMT GROUP INC            COM   35138T107         480      18,005  SH     OTHER       01         300      15,830       1,875
FOX ENTMT GROUP INC            COM   35138T107       1,705      63,925  SH     DEFINED     02      51,350      11,775         800
FOX ENTMT GROUP INC            COM   35138T107         283      10,625  SH     OTHER       02       5,550       5,075           0
FOX ENTMT GROUP INC            COM   35138T107         190       7,133  SH     DEFINED     03       3,283       3,850           0
FOX ENTMT GROUP INC            COM   35138T107          21         800  SH     OTHER       03         700         100           0
FOX ENTMT GROUP INC            COM   35138T107       5,913     221,710  SH     DEFINED     04     218,710           0       3,000
FOX ENTMT GROUP INC            COM   35138T107         723      27,120  SH     OTHER       04      26,620           0         500
FOX ENTMT GROUP INC            COM   35138T107         435      16,325  SH     DEFINED     05      10,500       5,075         750
FOX ENTMT GROUP INC            COM   35138T107          57       2,150  SH     OTHER       05       2,150           0           0
FOX ENTMT GROUP INC            COM   35138T107      10,571     396,347  SH     DEFINED  01,08      66,648     329,699           0
FOX ENTMT GROUP INC            COM   35138T107           9         340  SH     DEFINED     10         340           0           0

FRANKLIN BANCORP INC MICH      COM   35242V105          74       4,600  SH     DEFINED     01         500       4,100           0
FRANKLIN BANCORP INC MICH      COM   35242V105         101       6,271  SH     DEFINED  01,08       1,541       4,730           0
FRANKLIN BANCORP INC MICH      COM   35242V105          34       2,100  SH     DEFINED     10       2,100           0           0

FRANKLIN COVEY CO              COM   353469109          22      30,823  SH     DEFINED     01       4,623      26,200           0
FRANKLIN COVEY CO              COM   353469109          26      36,441  SH     DEFINED  01,08       6,220      30,221           0

FRANKLIN ELEC INC              COM   353514102       1,308      27,833  SH     DEFINED     01      12,722      14,761         350
FRANKLIN ELEC INC              COM   353514102       1,206      25,671  SH     DEFINED  01,08       5,476      20,195           0
FRANKLIN ELEC INC              COM   353514102          94       2,000  SH     DEFINED     10       2,000           0           0

FRANKLIN ELECTR PUBLISHERS I   COM   353515109          22      10,700  SH     DEFINED     01       1,600       9,100           0
FRANKLIN ELECTR PUBLISHERS I   COM   353515109          44      21,531  SH     DEFINED  01,08       2,603      18,928           0

FRANKLIN FINL CORP TENN        COM   353523202         128       4,399  SH     DEFINED     01       2,980       1,419           0
FRANKLIN FINL CORP TENN        COM   353523202         195       6,701  SH     DEFINED  01,08       3,800       2,901           0

FRANKLIN RES INC               COM   354613101      45,928   1,395,574  SH     DEFINED     01     711,561     651,321      32,692
FRANKLIN RES INC               COM   354613101          15         450  SH     OTHER       01           0         400          50
FRANKLIN RES INC               COM   354613101         158       4,800  SH     DEFINED     02       2,400       2,400           0
FRANKLIN RES INC               COM   354613101          15         450  SH     OTHER       02         450           0           0
FRANKLIN RES INC               COM   354613101         104       3,145  SH     DEFINED     03       2,470         375         300
FRANKLIN RES INC               COM   354613101          20         600  SH     OTHER       03           0         600           0
FRANKLIN RES INC               COM   354613101         472      14,352  SH     DEFINED     04      14,352           0           0
FRANKLIN RES INC               COM   354613101         436      13,250  SH     OTHER       04      13,250           0           0
FRANKLIN RES INC               COM   354613101       1,008      30,618  SH     DEFINED     05      20,968       9,250         400
FRANKLIN RES INC               COM   354613101         342      10,400  SH     OTHER       05       6,300       4,100           0
FRANKLIN RES INC               COM   354613101          23         700  SH     OTHER    01,06           0           0         700
FRANKLIN RES INC               COM   354613101      22,813     693,204  SH     DEFINED  01,08     187,091     506,113           0
FRANKLIN RES INC               COM   354613101           1          41  SH     DEFINED     10          41           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    206
________

FREDS INC                      COM   356108100       3,679     132,095  SH     DEFINED     01      62,223      44,935      24,937
FREDS INC                      COM   356108100           3         100  SH     DEFINED     04         100           0           0
FREDS INC                      COM   356108100          14         500  SH     OTHER    01,06           0           0         500
FREDS INC                      COM   356108100       2,448      87,906  SH     DEFINED  01,08      13,745      74,161           0

FREEMARKETS INC                COM   356602102         730     133,384  SH     DEFINED     01      68,595      58,429       6,360
FREEMARKETS INC                COM   356602102         110      20,075  SH     DEFINED     04      20,075           0           0
FREEMARKETS INC                COM   356602102         711     129,896  SH     DEFINED  01,08      23,350     106,546           0

FREEPORT-MCMORAN COPPER & GO   COM   35671D857      13,244     776,752  SH     DEFINED     01     410,436     356,691       9,625
FREEPORT-MCMORAN COPPER & GO   COM   35671D857           2         100  SH     OTHER       01           0           0         100
FREEPORT-MCMORAN COPPER & GO   COM   35671D857          12         725  SH     OTHER       02           0           0         725
FREEPORT-MCMORAN COPPER & GO   COM   35671D857          20       1,183  SH     DEFINED     03       1,133           0          50
FREEPORT-MCMORAN COPPER & GO   COM   35671D857          32       1,852  SH     DEFINED     04       1,852           0           0
FREEPORT-MCMORAN COPPER & GO   COM   35671D857           6         374  SH     OTHER       05           0         374           0
FREEPORT-MCMORAN COPPER & GO   COM   35671D857           7         400  SH     OTHER    01,06           0           0         400
FREEPORT-MCMORAN COPPER & GO   COM   35671D857       6,067     355,853  SH     DEFINED  01,08      87,959     267,894           0
FREEPORT-MCMORAN COPPER & GO   COM   35671D857           0          27  SH     DEFINED     10          27           0           0

FREMONT GEN CORP               COM   357288109       1,657     238,381  SH     DEFINED     01     128,932     104,624       4,825
FREMONT GEN CORP               COM   357288109          10       1,470  SH     OTHER    01,06           0           0       1,470
FREMONT GEN CORP               COM   357288109       1,920     276,191  SH     DEFINED  01,08      64,080     212,111           0

FREQUENCY ELECTRS INC          COM   358010106          76       8,200  SH     DEFINED     01       1,600       6,600           0
FREQUENCY ELECTRS INC          COM   358010106          56       6,000  SH     DEFINED     04       6,000           0           0
FREQUENCY ELECTRS INC          COM   358010106         230      24,712  SH     DEFINED  01,08       3,724      20,988           0

FRESH BRANDS INC               COM   35803U108         103       7,800  SH     DEFINED     01       1,300       6,500           0
FRESH BRANDS INC               COM   35803U108         149      11,257  SH     DEFINED  01,08       2,274       8,983           0

FRESH CHOICE INC               COM   358032100          10       6,600  SH     DEFINED     01           0       6,600           0
FRESH CHOICE INC               COM   358032100          18      11,900  SH     DEFINED  01,08       2,424       9,476           0

FRIEDMAN BILLINGS RAMSEY GRO   COM   358433100         573      63,303  SH     DEFINED     01      29,692      32,811         800
FRIEDMAN BILLINGS RAMSEY GRO   COM   358433100           9       1,000  SH     OTHER       04       1,000           0           0
FRIEDMAN BILLINGS RAMSEY GRO   COM   358433100         369      40,753  SH     DEFINED  01,08      10,100      30,653           0

FRIEDMAN INDS INC              COM   358435105          13       5,282  SH     DEFINED     01       1,102       4,180           0
FRIEDMAN INDS INC              COM   358435105          51      21,250  SH     DEFINED  01,08       3,276      17,974           0

FRIEDMANS INC                  COM   358438109         608      63,302  SH     DEFINED     01      39,317      23,135         850
FRIEDMANS INC                  COM   358438109         405      42,200  SH     DEFINED  01,08      10,384      31,816           0

FRIENDLY ICE CREAM CORP NEW    COM   358497105          50       8,400  SH     DEFINED     01       1,000       7,400           0
FRIENDLY ICE CREAM CORP NEW    COM   358497105          40       6,672  SH     DEFINED  01,08       3,272       3,400           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    207
________

FRISCHS RESTAURANTS INC        COM   358748101         150       8,400  SH     DEFINED     01       1,200       7,200           0
FRISCHS RESTAURANTS INC        COM   358748101         299      16,714  SH     DEFINED  01,08       2,183      14,531           0

FRONTIER AIRLINES INC NEW      COM   359065109         496      99,874  SH     DEFINED     01      53,292      44,032       2,550
FRONTIER AIRLINES INC NEW      COM   359065109           3         600  SH     OTHER    01,06           0           0         600
FRONTIER AIRLINES INC NEW      COM   359065109         784     157,666  SH     DEFINED  01,08      26,669     130,997           0

FRONTIER FINL CORP WASH        COM   35907K105       1,477      59,934  SH     DEFINED     01      31,425      27,709         800
FRONTIER FINL CORP WASH        COM   35907K105         999      40,526  SH     DEFINED  01,08      10,319      30,207           0

FRONTIER OIL CORP              COM   35914P105       1,403      82,056  SH     DEFINED     01      46,727      33,829       1,500
FRONTIER OIL CORP              COM   35914P105           7         400  SH     OTHER       01           0         400           0
FRONTIER OIL CORP              COM   35914P105           2         100  SH     DEFINED     05         100           0           0
FRONTIER OIL CORP              COM   35914P105           9         500  SH     OTHER    01,06           0           0         500
FRONTIER OIL CORP              COM   35914P105       1,898     111,016  SH     DEFINED  01,08      14,686      96,330           0

FROZEN FOOD EXPRESS INDS INC   COM   359360104          97      39,000  SH     DEFINED     01       2,300      36,700           0
FROZEN FOOD EXPRESS INDS INC   COM   359360104         107      43,283  SH     DEFINED  01,08       4,935      38,348           0

FUELCELL ENERGY INC            COM   35952H106         825     163,343  SH     DEFINED     01     109,334      52,059       1,950
FUELCELL ENERGY INC            COM   35952H106           3         500  SH     OTHER       02         500           0           0
FUELCELL ENERGY INC            COM   35952H106          10       2,000  SH     OTHER       04       2,000           0           0
FUELCELL ENERGY INC            COM   35952H106         639     126,613  SH     DEFINED  01,08      21,480     105,133           0

FULLER H B CO                  COM   359694106       2,376     102,754  SH     DEFINED     01      60,411      41,543         800
FULLER H B CO                  COM   359694106          15         650  SH     OTHER    01,06           0           0         650
FULLER H B CO                  COM   359694106       2,281      98,670  SH     DEFINED  01,08      25,098      73,572           0

FULTON FINL CORP PA            COM   360271100       2,508     133,420  SH     DEFINED     01      80,112      48,896       4,412
FULTON FINL CORP PA            COM   360271100         494      26,275  SH     DEFINED     04      26,275           0           0
FULTON FINL CORP PA            COM   360271100         181       9,610  SH     OTHER       04       9,610           0           0
FULTON FINL CORP PA            COM   360271100       3,817     203,022  SH     DEFINED  01,08      65,648     137,374           0

FURNITURE BRANDS INTL INC      COM   360921100       3,339     170,725  SH     DEFINED     01      62,463     105,921       2,341
FURNITURE BRANDS INTL INC      COM   360921100          27       1,400  SH     OTHER       01       1,400           0           0
FURNITURE BRANDS INTL INC      COM   360921100           4         225  SH     DEFINED     02           0           0         225
FURNITURE BRANDS INTL INC      COM   360921100           4         200  SH     DEFINED     04         200           0           0
FURNITURE BRANDS INTL INC      COM   360921100          49       2,500  SH     OTHER       04       2,500           0           0
FURNITURE BRANDS INTL INC      COM   360921100       2,180     111,476  SH     DEFINED  01,08      16,596      94,880           0

G & K SVCS INC                 COM   361268105       1,744      72,658  SH     DEFINED     01      39,166      32,392       1,100
G & K SVCS INC                 COM   361268105          10         400  SH     OTHER    01,06           0           0         400
G & K SVCS INC                 COM   361268105       2,415     100,622  SH     DEFINED  01,08      11,392      89,230           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    208
________

GA FINL INC                    COM   361437106         550      21,600  SH     DEFINED     01      13,300       8,300           0
GA FINL INC                    COM   361437106         235       9,245  SH     DEFINED  01,08       2,345       6,900           0

GATX CORP                      COM   361448103       2,181     150,592  SH     DEFINED     01      57,378      91,464       1,750
GATX CORP                      COM   361448103          17       1,148  SH     OTHER       01           0       1,148           0
GATX CORP                      COM   361448103           2         150  SH     OTHER       02           0         150           0
GATX CORP                      COM   361448103          87       6,000  SH     DEFINED     04       6,000           0           0
GATX CORP                      COM   361448103          13         896  SH     OTHER       04           0           0         896
GATX CORP                      COM   361448103       1,597     110,283  SH     DEFINED  01,08      12,175      98,108           0
GATX CORP                      COM   361448103           4         300  SH     DEFINED     10         300           0           0

GBC BANCORP CALIF              COM   361475106       1,106      45,755  SH     DEFINED     01      21,953      23,452         350
GBC BANCORP CALIF              COM   361475106           5         225  SH     OTHER    01,06           0           0         225
GBC BANCORP CALIF              COM   361475106       1,105      45,681  SH     DEFINED  01,08       9,829      35,852           0

GP STRATEGIES CORP             COM   36225V104          71      14,000  SH     DEFINED     01       2,300      11,700           0
GP STRATEGIES CORP             COM   36225V104         114      22,440  SH     DEFINED  01,08       6,551      15,889           0

GSE SYS INC                    COM   36227K106          10       9,500  SH     DEFINED     01           0       9,500           0
GSE SYS INC                    COM   36227K106           9       8,500  SH     DEFINED  01,08       2,724       5,776           0

G-III APPAREL GROUP LTD        COM   36237H101          28       4,700  SH     DEFINED     01         900       3,800           0
G-III APPAREL GROUP LTD        COM   36237H101          70      11,559  SH     DEFINED  01,08       2,970       8,589           0

GSI COMMERCE INC               COM   36238G102         128      75,826  SH     DEFINED     01      39,542      35,884         400
GSI COMMERCE INC               COM   36238G102         104      61,833  SH     DEFINED  01,08      18,108      43,725           0

GTSI CORP                      COM   36238K103         112      16,800  SH     DEFINED     01       1,400      15,400           0
GTSI CORP                      COM   36238K103          76      11,500  SH     DEFINED  01,08       3,624       7,876           0

GTC BIOTHERAPEUTICS INC        COM   36238T104          47      30,600  SH     DEFINED     01       6,000      24,600           0
GTC BIOTHERAPEUTICS INC        COM   36238T104          65      42,796  SH     DEFINED  01,08       7,454      35,342           0

GABELLI ASSET MGMT INC         COM   36239Y102         587      21,289  SH     DEFINED     01      11,022       9,917         350
GABELLI ASSET MGMT INC         COM   36239Y102         403      14,619  SH     DEFINED  01,08       3,762      10,857           0

GABELLI EQUITY TR INC          COM   362397101          11       1,567  SH     OTHER       02           0           0       1,567
GABELLI EQUITY TR INC          COM   362397101         478      69,479  SH     DEFINED     04      69,479           0           0
GABELLI EQUITY TR INC          COM   362397101         120      17,500  SH     OTHER       04      17,500           0           0
GABELLI EQUITY TR INC          COM   362397101          17       2,400  SH     DEFINED     10           0       2,400           0

GABLES RESIDENTIAL TR          COM   362418105       2,389      89,262  SH     DEFINED     01      52,033      35,779       1,450
GABLES RESIDENTIAL TR          COM   362418105          13         487  SH     DEFINED     04         487           0           0
GABLES RESIDENTIAL TR          COM   362418105          11         400  SH     OTHER       04         400           0           0
GABLES RESIDENTIAL TR          COM   362418105       2,251      84,114  SH     DEFINED  01,08      21,479      62,635           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    209
________

GADZOOKS INC                   COM   362553109          22       8,900  SH     DEFINED     01       1,800       7,100           0
GADZOOKS INC                   COM   362553109          38      15,622  SH     DEFINED  01,08       3,979      11,643           0

GAIAM INC                      COM   36268Q103          93      17,307  SH     DEFINED     01       8,756       8,451         100
GAIAM INC                      COM   36268Q103           2         412  SH     DEFINED     02           0           0         412
GAIAM INC                      COM   36268Q103          94      17,551  SH     DEFINED  01,08       4,158      13,393           0
GAIAM INC                      COM   36268Q103           0          30  SH     OTHER       10          30           0           0

GALAXY NUTRITIONAL FOODS INC   COM   36317Q104           2       1,200  SH     DEFINED     01       1,200           0           0
GALAXY NUTRITIONAL FOODS INC   COM   36317Q104          18       9,830  SH     DEFINED  01,08       5,011       4,819           0

GALLAGHER ARTHUR J & CO        COM   363576109      16,891     688,007  SH     DEFINED     01     471,375     204,152      12,480
GALLAGHER ARTHUR J & CO        COM   363576109         751      30,585  SH     OTHER       01       8,750       4,435      17,400
GALLAGHER ARTHUR J & CO        COM   363576109          37       1,525  SH     DEFINED     02       1,525           0           0
GALLAGHER ARTHUR J & CO        COM   363576109         755      30,765  SH     DEFINED     03      15,755       8,785       6,225
GALLAGHER ARTHUR J & CO        COM   363576109          25       1,015  SH     OTHER       03         865           0         150
GALLAGHER ARTHUR J & CO        COM   363576109       1,137      46,325  SH     DEFINED     04      45,325           0       1,000
GALLAGHER ARTHUR J & CO        COM   363576109         459      18,695  SH     OTHER       04      17,695           0       1,000
GALLAGHER ARTHUR J & CO        COM   363576109         907      36,965  SH     DEFINED     05      30,555       3,370       3,040
GALLAGHER ARTHUR J & CO        COM   363576109          57       2,320  SH     OTHER       05       1,520         650         150
GALLAGHER ARTHUR J & CO        COM   363576109       5,280     215,063  SH     DEFINED  01,08      27,302     187,761           0
GALLAGHER ARTHUR J & CO        COM   363576109         122       4,975  SH     DEFINED     10       4,975           0           0

GALLAHER GROUP PLC             COM   363595109          47       1,228  SH     DEFINED     01       1,228           0           0
GALLAHER GROUP PLC             COM   363595109         192       5,000  SH     OTHER       01       1,350       3,400         250
GALLAHER GROUP PLC             COM   363595109         846      22,080  SH     DEFINED     02      20,800       1,280           0
GALLAHER GROUP PLC             COM   363595109         305       7,960  SH     OTHER       02       6,260           0       1,700
GALLAHER GROUP PLC             COM   363595109         272       7,100  SH     DEFINED     03       5,100       2,000           0
GALLAHER GROUP PLC             COM   363595109          46       1,200  SH     OTHER       03       1,200           0           0
GALLAHER GROUP PLC             COM   363595109         281       7,325  SH     DEFINED     04       6,925           0         400
GALLAHER GROUP PLC             COM   363595109         877      22,900  SH     OTHER       04      22,900           0           0
GALLAHER GROUP PLC             COM   363595109          38       1,000  SH     OTHER       10           0       1,000           0

GALLERY OF HISTORY INC         COM   363812108           8       2,000  SH     DEFINED     01           0       2,000           0
GALLERY OF HISTORY INC         COM   363812108          36       8,900  SH     DEFINED  01,08       2,650       6,250           0

GALYANS TRADING INC            COM   36458R101         397      31,788  SH     DEFINED     01      22,622       8,616         550
GALYANS TRADING INC            COM   36458R101           2         200  SH     OTHER       02         200           0           0
GALYANS TRADING INC            COM   36458R101           2         200  SH     DEFINED     04         200           0           0
GALYANS TRADING INC            COM   36458R101         730      58,411  SH     DEFINED  01,08       8,816      49,595           0

GAMETECH INTERNATIONAL INC     COM   36466D102          51      17,400  SH     DEFINED     01       1,400      16,000           0
GAMETECH INTERNATIONAL INC     COM   36466D102          50      16,961  SH     DEFINED  01,08       4,961      12,000           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    210
________

GAMESTOP CORP                  COM   36466R101         491      40,898  SH     DEFINED     01      13,748      26,400         750
GAMESTOP CORP                  COM   36466R101       1,124      93,625  SH     DEFINED  01,08      11,325      82,300           0

GANNETT INC                    COM   364730101     151,179   2,146,514  SH     DEFINED     01   1,205,384     871,507      69,623
GANNETT INC                    COM   364730101       7,483     106,254  SH     OTHER       01      48,498      48,181       9,575
GANNETT INC                    COM   364730101       7,518     106,739  SH     DEFINED     02      73,868      29,391       3,480
GANNETT INC                    COM   364730101       2,375      33,718  SH     OTHER       02      25,770       7,228         720
GANNETT INC                    COM   364730101      11,098     157,575  SH     DEFINED     03      53,620      29,329      74,626
GANNETT INC                    COM   364730101         798      11,329  SH     OTHER       03       7,274       3,370         685
GANNETT INC                    COM   364730101      31,923     453,252  SH     DEFINED     04     439,802           0      13,450
GANNETT INC                    COM   364730101      12,827     182,122  SH     OTHER       04     175,152           0       6,970
GANNETT INC                    COM   364730101       4,490      63,752  SH     DEFINED     05      51,697       8,655       3,400
GANNETT INC                    COM   364730101         294       4,170  SH     OTHER       05       3,070       1,100           0
GANNETT INC                    COM   364730101          49         700  SH     OTHER    01,06           0           0         700
GANNETT INC                    COM   364730101      57,815     820,879  SH     DEFINED  01,08     215,324     605,555           0
GANNETT INC                    COM   364730101       5,070      71,982  SH     DEFINED     10      51,923      17,884       2,175
GANNETT INC                    COM   364730101       2,357      33,462  SH     OTHER       10      14,005      18,482         975

GAP INC DEL                    COM   364760108      68,146   4,702,946  SH     DEFINED     01   2,410,279   2,227,051      65,616
GAP INC DEL                    COM   364760108         232      16,045  SH     OTHER       01      15,233           0         812
GAP INC DEL                    COM   364760108          19       1,300  SH     DEFINED     02       1,300           0           0
GAP INC DEL                    COM   364760108         155      10,730  SH     DEFINED     03       7,100       1,885       1,745
GAP INC DEL                    COM   364760108          72       5,000  SH     OTHER       03       5,000           0           0
GAP INC DEL                    COM   364760108         664      45,800  SH     DEFINED     04      38,000           0       7,800
GAP INC DEL                    COM   364760108          81       5,600  SH     OTHER       04       5,600           0           0
GAP INC DEL                    COM   364760108          12         840  SH     OTHER       05           0           0         840
GAP INC DEL                    COM   364760108          34       2,350  SH     OTHER    01,06           0           0       2,350
GAP INC DEL                    COM   364760108      33,661   2,323,041  SH     DEFINED  01,08     639,836   1,683,205           0
GAP INC DEL                    COM   364760108          93       6,389  SH     DEFINED     10       6,389           0           0

GARDEN FRESH RESTAURANT CORP   COM   365235100          67       7,200  SH     DEFINED     01       1,200       6,000           0
GARDEN FRESH RESTAURANT CORP   COM   365235100          88       9,400  SH     DEFINED  01,08       2,566       6,834           0

GARDNER DENVER INC             COM   365558105       1,056      57,413  SH     DEFINED     01      32,729      23,534       1,150
GARDNER DENVER INC             COM   365558105          84       4,566  SH     OTHER       03       4,566           0           0
GARDNER DENVER INC             COM   365558105          18         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         956      51,961  SH     DEFINED  01,08      14,256      37,705           0

GART SPORTS CO                 COM   366630101         412      21,588  SH     DEFINED     01      11,365       9,873         350
GART SPORTS CO                 COM   366630101         896      46,948  SH     DEFINED  01,08       6,164      40,784           0

GARTNER INC                    COM   366651107       1,399     201,230  SH     DEFINED     01     149,540      49,840       1,850
GARTNER INC                    COM   366651107           1         100  SH     OTHER       04         100           0           0
GARTNER INC                    COM   366651107         653      93,916  SH     DEFINED  01,08      10,900      83,016           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    211
________

GARTNER INC                    COM   366651206       1,596     211,954  SH     DEFINED     01      57,298     153,956         700
GARTNER INC                    COM   366651206         115      15,257  SH     OTHER       01       2,822         963      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           7         900  SH     DEFINED     04         900           0           0
GARTNER INC                    COM   366651206         776     103,009  SH     DEFINED  01,08      15,469      87,540           0

GATEWAY INC                    COM   367626108       3,949   1,673,504  SH     DEFINED     01     867,608     796,896       9,000
GATEWAY INC                    COM   367626108          80      34,000  SH     DEFINED     02      30,000       4,000           0
GATEWAY INC                    COM   367626108           0         150  SH     DEFINED     03           0           0         150
GATEWAY INC                    COM   367626108           7       3,098  SH     DEFINED     04       3,098           0           0
GATEWAY INC                    COM   367626108           0         200  SH     OTHER       04         200           0           0
GATEWAY INC                    COM   367626108           1         500  SH     OTHER    01,06           0           0         500
GATEWAY INC                    COM   367626108       1,711     725,148  SH     DEFINED  01,08     215,683     509,465           0
GATEWAY INC                    COM   367626108           0          52  SH     DEFINED     10          52           0           0

GAYLORD ENTMT CO NEW           COM   367905106       2,074     115,570  SH     DEFINED     01      73,302      42,068         200
GAYLORD ENTMT CO NEW           COM   367905106       1,648      91,826  SH     DEFINED  01,08      17,135      74,691           0

GEHL CO                        COM   368483103          72       8,500  SH     DEFINED     01       1,300       7,200           0
GEHL CO                        COM   368483103          79       9,300  SH     DEFINED  01,08       2,458       6,842           0

GEN-PROBE INC NEW              COM   36866T103         292      12,900  SH     DEFINED     01       4,800       8,100           0
GEN-PROBE INC NEW              COM   36866T103         421      18,600  SH     DEFINED  01,08      10,000       8,600           0

GEMSTAR-TV GUIDE INTL INC      COM   36866W106       1,179     321,289  SH     DEFINED     01     202,582     101,427      17,280
GEMSTAR-TV GUIDE INTL INC      COM   36866W106           4       1,037  SH     OTHER       04       1,037           0           0
GEMSTAR-TV GUIDE INTL INC      COM   36866W106       2,055     560,063  SH     DEFINED  01,08      85,874     474,189           0
GEMSTAR-TV GUIDE INTL INC      COM   36866W106           1         197  SH     DEFINED     10         197           0           0

GENAERA CORP                   COM   36867G100          20      33,300  SH     DEFINED     01       6,600      26,700           0
GENAERA CORP                   COM   36867G100          31      50,000  SH     DEFINED     04      50,000           0           0
GENAERA CORP                   COM   36867G100          27      44,297  SH     DEFINED  01,08       7,892      36,405           0

GENAISSANCE PHARMACEUTICALS    COM   36867W105          31      22,300  SH     DEFINED     01       3,500      18,800           0
GENAISSANCE PHARMACEUTICALS    COM   36867W105          49      34,900  SH     DEFINED  01,08       5,800      29,100           0

GENCORP INC                    COM   368682100         852     136,349  SH     DEFINED     01      67,538      68,061         750
GENCORP INC                    COM   368682100           5         860  SH     OTHER    01,06           0           0         860
GENCORP INC                    COM   368682100       1,290     206,344  SH     DEFINED  01,08      37,227     169,117           0

GENE LOGIC INC                 COM   368689105         547     107,918  SH     DEFINED     01      71,596      36,172         150
GENE LOGIC INC                 COM   368689105         439      86,495  SH     DEFINED  01,08      15,437      71,058           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    212
________

GENELABS TECHNOLOGIES INC      COM   368706107          63      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         113      87,977  SH     DEFINED  01,08      22,861      65,116           0

GENENCOR INTL INC              COM   368709101         853      83,998  SH     DEFINED     01      28,765      54,733         500
GENENCOR INTL INC              COM   368709101       1,050     103,425  SH     DEFINED  01,08      25,700      77,725           0

GENENTECH INC                  COM   368710406      27,727     791,961  SH     DEFINED     01     483,511     229,770      78,680
GENENTECH INC                  COM   368710406       2,241      64,018  SH     OTHER       01      22,128      34,140       7,750
GENENTECH INC                  COM   368710406       3,204      91,503  SH     DEFINED     02      58,815      29,483       3,205
GENENTECH INC                  COM   368710406         493      14,091  SH     OTHER       02       7,516       5,375       1,200
GENENTECH INC                  COM   368710406       2,593      74,061  SH     DEFINED     03      31,113      34,195       8,753
GENENTECH INC                  COM   368710406         668      19,076  SH     OTHER       03       9,426       7,650       2,000
GENENTECH INC                  COM   368710406       9,855     281,498  SH     DEFINED     04     273,998           0       7,500
GENENTECH INC                  COM   368710406       1,537      43,897  SH     OTHER       04      42,422           0       1,475
GENENTECH INC                  COM   368710406         925      26,424  SH     DEFINED     05      19,809       6,415         200
GENENTECH INC                  COM   368710406          95       2,700  SH     OTHER       05       2,400           0         300
GENENTECH INC                  COM   368710406      16,346     466,903  SH     DEFINED  01,08      68,412     398,491           0
GENENTECH INC                  COM   368710406         142       4,060  SH     DEFINED     10       4,060           0           0
GENENTECH INC                  COM   368710406          47       1,330  SH     OTHER       10       1,300          30           0

GENERAL AMERN INVS INC         COM   368802104         101       4,353  SH     OTHER       01       4,353           0           0
GENERAL AMERN INVS INC         COM   368802104          13         540  SH     DEFINED     03           0           0         540
GENERAL AMERN INVS INC         COM   368802104          73       3,120  SH     DEFINED     04       3,120           0           0
GENERAL AMERN INVS INC         COM   368802104         139       5,962  SH     OTHER       04       5,962           0           0
GENERAL AMERN INVS INC         COM   368802104          14         620  SH     DEFINED     10           0         620           0

GENERAL BINDING CORP           COM   369154109         236      29,917  SH     DEFINED     01      11,274      18,593          50
GENERAL BINDING CORP           COM   369154109       1,346     170,400  SH     OTHER       01           0           0     170,400
GENERAL BINDING CORP           COM   369154109         250      31,599  SH     DEFINED  01,08       6,601      24,998           0

GENERAL CABLE CORP DEL NEW     COM   369300108         451     121,853  SH     DEFINED     01      59,588      60,415       1,850
GENERAL CABLE CORP DEL NEW     COM   369300108         429     116,062  SH     DEFINED  01,08      18,240      97,822           0

GENERAL COMMUNICATION INC      COM   369385109       1,017     170,088  SH     DEFINED     01      78,148      87,690       4,250
GENERAL COMMUNICATION INC      COM   369385109           7       1,100  SH     OTHER    01,06           0           0       1,100
GENERAL COMMUNICATION INC      COM   369385109       1,003     167,727  SH     DEFINED  01,08      48,175     119,552           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    213
________

GENERAL DYNAMICS CORP          COM   369550108     101,164   1,837,009  SH     DEFINED     01   1,088,026     684,839      64,144
GENERAL DYNAMICS CORP          COM   369550108       8,739     158,693  SH     OTHER       01      66,340      80,212      12,141
GENERAL DYNAMICS CORP          COM   369550108       7,954     144,433  SH     DEFINED     02      97,278      40,365       6,790
GENERAL DYNAMICS CORP          COM   369550108       1,848      33,566  SH     OTHER       02      18,361      13,535       1,670
GENERAL DYNAMICS CORP          COM   369550108       7,326     133,037  SH     DEFINED     03      66,831      48,449      17,757
GENERAL DYNAMICS CORP          COM   369550108       1,499      27,222  SH     OTHER       03      15,407       8,660       3,155
GENERAL DYNAMICS CORP          COM   369550108      21,565     391,596  SH     DEFINED     04     379,996           0      11,600
GENERAL DYNAMICS CORP          COM   369550108       9,304     168,949  SH     OTHER       04     159,904           0       9,045
GENERAL DYNAMICS CORP          COM   369550108       4,933      89,572  SH     DEFINED     05      68,187      15,695       5,690
GENERAL DYNAMICS CORP          COM   369550108         643      11,675  SH     OTHER       05       6,300       5,375           0
GENERAL DYNAMICS CORP          COM   369550108          28         500  SH     OTHER    01,06           0           0         500
GENERAL DYNAMICS CORP          COM   369550108      30,296     550,138  SH     DEFINED  01,08     114,921     435,217           0
GENERAL DYNAMICS CORP          COM   369550108       2,396      43,508  SH     DEFINED     10      35,153       6,330       2,025
GENERAL DYNAMICS CORP          COM   369550108       1,164      21,130  SH     OTHER       10      12,780       8,050         300

GENERAL ELEC CO                COM   369604103   1,708,629  67,005,065  SH     DEFINED     01  37,239,223  28,097,661   1,668,181
GENERAL ELEC CO                COM   369604103     188,168   7,379,130  SH     OTHER       01   3,302,329   3,425,619     651,182
GENERAL ELEC CO                COM   369604103      39,027   1,530,452  SH     DEFINED     02   1,079,556     398,981      51,915
GENERAL ELEC CO                COM   369604103      24,777     971,664  SH     OTHER       02     614,407     296,349      60,908
GENERAL ELEC CO                COM   369604103      61,188   2,399,522  SH     DEFINED     03   1,420,937     777,150     201,435
GENERAL ELEC CO                COM   369604103      31,962   1,253,405  SH     OTHER       03     947,547     259,962      45,896
GENERAL ELEC CO                COM   369604103     211,386   8,289,658  SH     DEFINED     04   7,973,434           0     316,224
GENERAL ELEC CO                COM   369604103     179,870   7,053,714  SH     OTHER       04   6,629,943           0     423,771
GENERAL ELEC CO                COM   369604103      20,556     806,106  SH     DEFINED     05     691,721      81,710      32,675
GENERAL ELEC CO                COM   369604103       4,080     159,999  SH     OTHER       05      59,359      86,420      14,220
GENERAL ELEC CO                COM   369604103         654      25,650  SH     OTHER    01,06           0           0      25,650
GENERAL ELEC CO                COM   369604103          32       1,240  SH     OTHER    04,07           0           0       1,240
GENERAL ELEC CO                COM   369604103     794,377  31,152,023  SH     DEFINED  01,08   7,021,758  24,047,781      82,484
GENERAL ELEC CO                COM   369604103      50,125   1,965,681  SH     DEFINED     10   1,081,177     467,923     416,581
GENERAL ELEC CO                COM   369604103      29,171   1,143,968  SH     OTHER       10     621,844     475,727      46,397

GENERAL EMPLOYMENT ENTERPRIS   COM   369730106           1       2,235  SH     DEFINED     01         690       1,545           0
GENERAL EMPLOYMENT ENTERPRIS   COM   369730106           4       8,705  SH     DEFINED  01,08       2,508       6,197           0

GENERAL GROWTH PPTYS INC       COM   370021107       4,196      77,772  SH     DEFINED     01      46,003      29,021       2,748
GENERAL GROWTH PPTYS INC       COM   370021107         283       5,250  SH     OTHER       01       5,250           0           0
GENERAL GROWTH PPTYS INC       COM   370021107          12         220  SH     OTHER       02           0         220           0
GENERAL GROWTH PPTYS INC       COM   370021107         361       6,700  SH     DEFINED     04         700           0       6,000
GENERAL GROWTH PPTYS INC       COM   370021107         128       2,375  SH     OTHER       04       2,100           0         275
GENERAL GROWTH PPTYS INC       COM   370021107       7,075     131,149  SH     DEFINED  01,08      16,249     114,900           0
GENERAL GROWTH PPTYS INC       COM   370021107          81       1,500  SH     DEFINED     10           0       1,500           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    214
________

GENERAL MLS INC                COM   370334104     111,428   2,446,287  SH     DEFINED     01   1,367,663   1,035,981      42,643
GENERAL MLS INC                COM   370334104       7,919     173,859  SH     OTHER       01      70,776      98,908       4,175
GENERAL MLS INC                COM   370334104       5,059     111,066  SH     DEFINED     02      84,283      22,533       4,250
GENERAL MLS INC                COM   370334104       1,621      35,584  SH     OTHER       02      22,924      10,556       2,104
GENERAL MLS INC                COM   370334104       3,683      80,853  SH     DEFINED     03      44,846      24,830      11,177
GENERAL MLS INC                COM   370334104       1,474      32,352  SH     OTHER       03      27,227       2,075       3,050
GENERAL MLS INC                COM   370334104       5,830     127,996  SH     DEFINED     04     120,855           0       7,141
GENERAL MLS INC                COM   370334104       5,415     118,885  SH     OTHER       04     107,285           0      11,600
GENERAL MLS INC                COM   370334104       2,224      48,819  SH     DEFINED     05      47,279         875         665
GENERAL MLS INC                COM   370334104         103       2,255  SH     OTHER       05          55       2,200           0
GENERAL MLS INC                COM   370334104          43         950  SH     OTHER    01,06           0           0         950
GENERAL MLS INC                COM   370334104      73,522   1,614,095  SH     DEFINED  01,08     249,357   1,306,304      58,434
GENERAL MLS INC                COM   370334104       7,974     175,058  SH     DEFINED     10     134,703      37,880       2,475
GENERAL MLS INC                COM   370334104       2,309      50,683  SH     OTHER       10      24,973      25,335         375

GENERAL MTRS CORP              COM   370442105     106,428   3,165,601  SH     DEFINED     01   1,666,986   1,462,073      36,542
GENERAL MTRS CORP              COM   370442105         820      24,386  SH     OTHER       01       9,916       9,394       5,076
GENERAL MTRS CORP              COM   370442105         225       6,692  SH     DEFINED     02       3,676       2,850         166
GENERAL MTRS CORP              COM   370442105         127       3,772  SH     OTHER       02       2,508         657         607
GENERAL MTRS CORP              COM   370442105         275       8,191  SH     DEFINED     03       2,549       5,222         420
GENERAL MTRS CORP              COM   370442105         204       6,058  SH     OTHER       03       4,086       1,972           0
GENERAL MTRS CORP              COM   370442105         886      26,340  SH     DEFINED     04      25,838           0         502
GENERAL MTRS CORP              COM   370442105       1,038      30,885  SH     OTHER       04      17,350           0      13,535
GENERAL MTRS CORP              COM   370442105          47       1,400  SH     OTHER    01,06           0           0       1,400
GENERAL MTRS CORP              COM   370442105      56,985   1,694,965  SH     DEFINED  01,08     444,206   1,250,759           0
GENERAL MTRS CORP              COM   370442105         651      19,354  SH     DEFINED     10      11,827       7,527           0
GENERAL MTRS CORP              COM   370442105       1,469      43,687  SH     OTHER       10      37,709       5,578         400

GENERAL MTRS CORP              CONPF 370442733       2,315     102,000         DEFINED     01     100,000           0       2,000

GENERAL MTRS CORP              COM   370442832      15,930   1,422,364  SH     DEFINED     01     860,823     473,411      88,130
GENERAL MTRS CORP              COM   370442832         512      45,704  SH     OTHER       01      16,093       8,611      21,000
GENERAL MTRS CORP              COM   370442832          49       4,362  SH     DEFINED     02       1,851       1,311       1,200
GENERAL MTRS CORP              COM   370442832          11         956  SH     OTHER       02         102         578         276
GENERAL MTRS CORP              COM   370442832         764      68,227  SH     DEFINED     03      31,730      32,524       3,973
GENERAL MTRS CORP              COM   370442832         188      16,778  SH     OTHER       03       3,989       9,411       3,378
GENERAL MTRS CORP              COM   370442832          75       6,685  SH     DEFINED     04       6,091           0         594
GENERAL MTRS CORP              COM   370442832         430      38,370  SH     OTHER       04      33,822           0       4,548
GENERAL MTRS CORP              COM   370442832         238      21,274  SH     DEFINED     05      10,175      11,099           0
GENERAL MTRS CORP              COM   370442832      21,173   1,890,453  SH     DEFINED  01,08     291,242   1,599,211           0
GENERAL MTRS CORP              COM   370442832         228      20,401  SH     DEFINED     10      18,896       1,505           0
GENERAL MTRS CORP              COM   370442832         627      56,000  SH     OTHER       10      55,700         300           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    215
________

GENESCO INC                    COM   371532102       1,007      70,799  SH     DEFINED     01      35,760      33,689       1,350
GENESCO INC                    COM   371532102         123       8,633  SH     DEFINED     04       8,633           0           0
GENESCO INC                    COM   371532102           6         425  SH     OTHER    01,06           0           0         425
GENESCO INC                    COM   371532102       1,427     100,348  SH     DEFINED  01,08      12,206      88,142           0
GENESCO INC                    COM   371532102          28       2,000  SH     DEFINED     10       2,000           0           0

GENESEE & WYO INC              COM   371559105         562      36,269  SH     DEFINED     01      28,521       7,748           0
GENESEE & WYO INC              COM   371559105           6         375  SH     DEFINED     04           0           0         375
GENESEE & WYO INC              COM   371559105         407      26,244  SH     DEFINED  01,08       6,475      19,769           0

GENESIS HEALTH VENTURE INC N   COM   37183F107       1,646     110,739  SH     DEFINED     01      61,489      47,600       1,650
GENESIS HEALTH VENTURE INC N   COM   37183F107       1,174      78,995  SH     DEFINED  01,08      20,130      58,865           0

GENESIS MICROCHIP INC DEL      COM   37184C103       1,117      89,538  SH     DEFINED     01      49,362      38,476       1,700
GENESIS MICROCHIP INC DEL      COM   37184C103         542      43,406  SH     DEFINED  01,08       4,014      39,392           0

GENTEX CORP                    COM   371901109       6,440     253,052  SH     DEFINED     01      87,596     154,256      11,200
GENTEX CORP                    COM   371901109          76       2,985  SH     OTHER       02           0       2,985           0
GENTEX CORP                    COM   371901109          13         500  SH     OTHER       04         500           0           0
GENTEX CORP                    COM   371901109       5,698     223,893  SH     DEFINED  01,08      38,359     185,534           0
GENTEX CORP                    COM   371901109         117       4,600  SH     DEFINED     10       4,300           0         300

GENLYTE GROUP INC              COM   372302109       1,544      46,873  SH     DEFINED     01      24,665      21,508         700
GENLYTE GROUP INC              COM   372302109       1,119      33,981  SH     DEFINED  01,08       7,378      26,603           0

GENOME THERAPEUTICS CORP       COM   372430108          39      25,800  SH     DEFINED     01       4,500      21,300           0
GENOME THERAPEUTICS CORP       COM   372430108           2       1,000  SH     DEFINED     04       1,000           0           0
GENOME THERAPEUTICS CORP       COM   372430108          16      10,600  SH     OTHER       04      10,600           0           0
GENOME THERAPEUTICS CORP       COM   372430108          74      48,212  SH     DEFINED  01,08       6,840      41,372           0

GENTA INC                      COM   37245M207       1,206     169,031  SH     DEFINED     01      80,243      86,638       2,150
GENTA INC                      COM   37245M207           3         484  SH     OTHER       01           0           0         484
GENTA INC                      COM   37245M207         178      25,000  SH     DEFINED     04      25,000           0           0
GENTA INC                      COM   37245M207       1,526     213,851  SH     DEFINED  01,08      36,972     176,879           0

GENVEC INC                     COM   37246C109           4       2,700  SH     DEFINED     01       2,700           0           0
GENVEC INC                     COM   37246C109          49      37,400  SH     DEFINED  01,08       9,500      27,900           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    216
________

GENUINE PARTS CO               COM   372460105      38,277   1,254,563  SH     DEFINED     01     559,086     471,365     224,112
GENUINE PARTS CO               COM   372460105       1,916      62,813  SH     OTHER       01      22,979      17,302      22,532
GENUINE PARTS CO               COM   372460105         215       7,037  SH     DEFINED     02       4,962       2,075           0
GENUINE PARTS CO               COM   372460105         550      18,024  SH     OTHER       02      18,024           0           0
GENUINE PARTS CO               COM   372460105       2,360      77,362  SH     DEFINED     03      35,487      37,895       3,980
GENUINE PARTS CO               COM   372460105         439      14,389  SH     OTHER       03       9,889       3,000       1,500
GENUINE PARTS CO               COM   372460105       2,274      74,538  SH     DEFINED     04      74,538           0           0
GENUINE PARTS CO               COM   372460105         567      18,594  SH     OTHER       04      18,594           0           0
GENUINE PARTS CO               COM   372460105         254       8,318  SH     DEFINED     05           0       8,318           0
GENUINE PARTS CO               COM   372460105          15         500  SH     OTHER    01,06           0           0         500
GENUINE PARTS CO               COM   372460105      15,202     498,268  SH     DEFINED  01,08     133,567     364,701           0
GENUINE PARTS CO               COM   372460105         123       4,023  SH     DEFINED     10       2,717           0       1,306
GENUINE PARTS CO               COM   372460105          21         700  SH     OTHER       10         700           0           0

GENUS INC                      COM   372461103          10       6,350  SH     DEFINED     01       4,000       2,350           0
GENUS INC                      COM   372461103          69      43,234  SH     DEFINED  01,08      11,390      31,844           0

GENTIVA HEALTH SERVICES INC    COM   37247A102       1,080     128,685  SH     DEFINED     01      92,380      35,205       1,100
GENTIVA HEALTH SERVICES INC    COM   37247A102           1         175  SH     DEFINED     02           0           0         175
GENTIVA HEALTH SERVICES INC    COM   37247A102           2         295  SH     OTHER       04         295           0           0
GENTIVA HEALTH SERVICES INC    COM   37247A102         578      68,855  SH     DEFINED  01,08      14,323      54,532           0

GENZYME CORP                   COM   372917104      43,753   1,200,350  SH     DEFINED     01     621,387     558,511      20,452
GENZYME CORP                   COM   372917104          86       2,354  SH     OTHER       01           0           0       2,354
GENZYME CORP                   COM   372917104          44       1,196  SH     DEFINED     02       1,196           0           0
GENZYME CORP                   COM   372917104         145       3,975  SH     DEFINED     03         320       2,000       1,655
GENZYME CORP                   COM   372917104         190       5,200  SH     OTHER       03           0           0       5,200
GENZYME CORP                   COM   372917104         323       8,875  SH     DEFINED     04       8,875           0           0
GENZYME CORP                   COM   372917104         117       3,212  SH     OTHER       04       3,212           0           0
GENZYME CORP                   COM   372917104          22         600  SH     OTHER    01,06           0           0         600
GENZYME CORP                   COM   372917104      23,757     651,761  SH     DEFINED  01,08     171,176     480,585           0
GENZYME CORP                   COM   372917104          95       2,600  SH     DEFINED     10       1,600       1,000           0
GENZYME CORP                   COM   372917104          14         384  SH     OTHER       10         384           0           0

GENZYME CORP                   COM   372917500          33      22,700  SH     DEFINED     01       3,200      19,500           0
GENZYME CORP                   COM   372917500           0         116  SH     OTHER       01           0           0         116
GENZYME CORP                   COM   372917500          37      25,331  SH     DEFINED  01,08       4,010      21,321           0

GENZYME CORP                   COM   372917708         122     103,111  SH     DEFINED     01      75,602      27,509           0
GENZYME CORP                   COM   372917708           2       1,279  SH     OTHER       01           0           0       1,279
GENZYME CORP                   COM   372917708           0         366  SH     OTHER       03           0           0         366
GENZYME CORP                   COM   372917708          22      18,531  SH     DEFINED     04      18,531           0           0
GENZYME CORP                   COM   372917708          28      24,111  SH     DEFINED  01,08       5,200      18,911           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    217
________

GEORGIA GULF CORP              COM   373200203       2,076     103,138  SH     DEFINED     01      53,530      47,473       2,135
GEORGIA GULF CORP              COM   373200203          13         625  SH     OTHER    01,06           0           0         625
GEORGIA GULF CORP              COM   373200203       2,356     117,052  SH     DEFINED  01,08      16,900     100,152           0

GEORGIA PAC CORP               COM   373298108      19,755   1,421,197  SH     DEFINED     01     727,233     652,710      41,254
GEORGIA PAC CORP               COM   373298108          89       6,409  SH     OTHER       01       1,884       4,300         225
GEORGIA PAC CORP               COM   373298108          33       2,400  SH     DEFINED     02       2,400           0           0
GEORGIA PAC CORP               COM   373298108           1         100  SH     DEFINED     03           0           0         100
GEORGIA PAC CORP               COM   373298108          53       3,808  SH     DEFINED     04       3,808           0           0
GEORGIA PAC CORP               COM   373298108         376      27,051  SH     OTHER       04      26,926           0         125
GEORGIA PAC CORP               COM   373298108           8         600  SH     OTHER    01,06           0           0         600
GEORGIA PAC CORP               COM   373298108      10,283     739,782  SH     DEFINED  01,08     209,476     530,306           0
GEORGIA PAC CORP               COM   373298108          11         765  SH     DEFINED     10         765           0           0
GEORGIA PAC CORP               COM   373298108           3         200  SH     OTHER       10         200           0           0

GERBER SCIENTIFIC INC          COM   373730100         253      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         578      87,916  SH     DEFINED  01,08      17,111      70,805           0

GERMAN AMERN BANCORP           COM   373865104         348      19,851  SH     DEFINED     01      14,460       4,851         540
GERMAN AMERN BANCORP           COM   373865104           7         380  SH     DEFINED     04         380           0           0
GERMAN AMERN BANCORP           COM   373865104         241      13,734  SH     DEFINED  01,08       3,665      10,069           0

GERON CORP                     COM   374163103         430      81,378  SH     DEFINED     01      43,125      37,703         550
GERON CORP                     COM   374163103           2         300  SH     DEFINED     02           0         300           0
GERON CORP                     COM   374163103          11       2,100  SH     DEFINED     04       2,100           0           0
GERON CORP                     COM   374163103           4         800  SH     OTHER       04         800           0           0
GERON CORP                     COM   374163103         422      79,708  SH     DEFINED  01,08      12,869      66,839           0

GETTY IMAGES INC               COM   374276103       1,102      40,123  SH     DEFINED     01      25,221      13,537       1,365
GETTY IMAGES INC               COM   374276103       3,156     114,939  SH     DEFINED  01,08      26,399      88,540           0

GETTY RLTY CORP NEW            COM   374297109         973      51,789  SH     DEFINED     01      27,088      23,751         950
GETTY RLTY CORP NEW            COM   374297109         984      52,412  SH     DEFINED  01,08      11,310      41,102           0

GEVITY HR INC                  COM   374393106         161      23,095  SH     DEFINED     01       4,595      18,500           0
GEVITY HR INC                  COM   374393106         246      35,416  SH     DEFINED  01,08       8,900      26,516           0

GIANT INDS INC                 COM   374508109         111      22,700  SH     DEFINED     01       2,100      20,600           0
GIANT INDS INC                 COM   374508109          79      16,120  SH     DEFINED  01,08       3,935      12,185           0

GIBRALTAR STL CORP             COM   37476F103       1,537      82,436  SH     DEFINED     01      64,346      17,490         600
GIBRALTAR STL CORP             COM   37476F103         607      32,574  SH     DEFINED  01,08       7,891      24,683           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    218
________

GIGA TRONICS INC               COM   375175106           7       5,700  SH     DEFINED     01         600       5,100           0
GIGA TRONICS INC               COM   375175106          15      11,920  SH     DEFINED  01,08       1,410      10,510           0

GILEAD SCIENCES INC            COM   375558103      33,905     807,444  SH     DEFINED     01     399,686     381,158      26,600
GILEAD SCIENCES INC            COM   375558103         168       4,000  SH     OTHER       01           0       4,000           0
GILEAD SCIENCES INC            COM   375558103         105       2,500  SH     DEFINED     03       2,500           0           0
GILEAD SCIENCES INC            COM   375558103         127       3,030  SH     DEFINED     04       3,030           0           0
GILEAD SCIENCES INC            COM   375558103         185       4,416  SH     OTHER       04       4,416           0           0
GILEAD SCIENCES INC            COM   375558103      19,802     471,591  SH     DEFINED  01,08      67,088     404,503           0

GILLETTE CO                    COM   375766102     204,060   6,595,358  SH     DEFINED     01   3,534,135   2,940,468     120,755
GILLETTE CO                    COM   375766102      21,861     706,545  SH     OTHER       01     310,963     372,827      22,755
GILLETTE CO                    COM   375766102       4,753     153,619  SH     DEFINED     02      90,474      57,705       5,440
GILLETTE CO                    COM   375766102       2,393      77,346  SH     OTHER       02      52,010      12,736      12,600
GILLETTE CO                    COM   375766102       2,896      93,585  SH     DEFINED     03      49,310      34,470       9,805
GILLETTE CO                    COM   375766102       1,654      53,466  SH     OTHER       03      30,156      21,110       2,200
GILLETTE CO                    COM   375766102       5,917     191,251  SH     DEFINED     04     182,801           0       8,450
GILLETTE CO                    COM   375766102       7,255     234,471  SH     OTHER       04     223,029           0      11,442
GILLETTE CO                    COM   375766102       1,037      33,512  SH     DEFINED     05      21,561      11,451         500
GILLETTE CO                    COM   375766102         782      25,270  SH     OTHER       05      13,720       3,550       8,000
GILLETTE CO                    COM   375766102          84       2,700  SH     OTHER    01,06           0           0       2,700
GILLETTE CO                    COM   375766102      96,031   3,103,775  SH     DEFINED  01,08     737,155   2,366,620           0
GILLETTE CO                    COM   375766102       2,261      73,069  SH     DEFINED     10      63,593       8,916         560
GILLETTE CO                    COM   375766102         162       5,232  SH     OTHER       10       2,402       2,630         200

GISH BIOMEDICAL INC            COM   376360103           3       1,900  SH     DEFINED     01           0       1,900           0
GISH BIOMEDICAL INC            COM   376360103          20      13,900  SH     DEFINED  01,08       2,565      11,335           0

GLACIER BANCORP INC NEW        COM   37637Q105       1,475      55,109  SH     DEFINED     01      31,772      22,377         960
GLACIER BANCORP INC NEW        COM   37637Q105          31       1,160  SH     OTHER       04       1,160           0           0
GLACIER BANCORP INC NEW        COM   37637Q105         960      35,888  SH     DEFINED  01,08       9,453      26,435           0

GLADSTONE CAPITAL CORP         COM   376535100         331      20,470  SH     DEFINED     01      16,066       3,804         600
GLADSTONE CAPITAL CORP         COM   376535100          16       1,000  SH     DEFINED     04       1,000           0           0
GLADSTONE CAPITAL CORP         COM   376535100          87       5,384  SH     DEFINED  01,08       1,112       4,272           0

GLAMIS GOLD LTD                COM   376775102         257      24,900  SH     DEFINED     01      24,900           0           0
GLAMIS GOLD LTD                COM   376775102          52       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          21       2,000  SH     OTHER       02       2,000           0           0
GLAMIS GOLD LTD                COM   376775102           5         500  SH     DEFINED     04           0           0         500
GLAMIS GOLD LTD                COM   376775102          27       2,650  SH     OTHER       04       2,650           0           0
GLAMIS GOLD LTD                COM   376775102       2,062     199,400  SH     DEFINED  01,08      51,600     147,800           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    219
________

GLATFELTER                     COM   377316104       1,308     122,735  SH     DEFINED     01      48,535      73,100       1,100
GLATFELTER                     COM   377316104         734      68,889  SH     DEFINED  01,08       9,649      59,240           0

GLAXOSMITHKLINE PLC            COM   37733W105       3,232      91,850  SH     DEFINED     01      45,977      29,937      15,936
GLAXOSMITHKLINE PLC            COM   37733W105       2,455      69,765  SH     OTHER       01      44,489      25,276           0
GLAXOSMITHKLINE PLC            COM   37733W105         457      12,995  SH     DEFINED     02       7,958       4,003       1,034
GLAXOSMITHKLINE PLC            COM   37733W105         557      15,823  SH     OTHER       02      11,325       4,498           0
GLAXOSMITHKLINE PLC            COM   37733W105         356      10,121  SH     DEFINED     03       4,517       5,604           0
GLAXOSMITHKLINE PLC            COM   37733W105         295       8,370  SH     OTHER       03       7,115         200       1,055
GLAXOSMITHKLINE PLC            COM   37733W105       2,021      57,422  SH     DEFINED     04      56,822           0         600
GLAXOSMITHKLINE PLC            COM   37733W105       9,519     270,494  SH     OTHER       04     264,737           0       5,757
GLAXOSMITHKLINE PLC            COM   37733W105       1,463      41,568  SH     DEFINED     05      38,893       1,185       1,490
GLAXOSMITHKLINE PLC            COM   37733W105         368      10,456  SH     OTHER       05         715           0       9,741
GLAXOSMITHKLINE PLC            COM   37733W105         902      25,632  SH     DEFINED     10       8,339      10,631       6,662
GLAXOSMITHKLINE PLC            COM   37733W105         591      16,800  SH     OTHER       10       3,220      13,580           0

GLENAYRE TECHNOLOGIES INC      COM   377899109          61      70,438  SH     DEFINED     01      14,938      55,500           0
GLENAYRE TECHNOLOGIES INC      COM   377899109          98     112,490  SH     DEFINED  01,08      28,018      84,472           0

GLENBOROUGH RLTY TR INC        COM   37803P105       2,310     149,434  SH     DEFINED     01     116,059      33,025         350
GLENBOROUGH RLTY TR INC        COM   37803P105          77       5,000  SH     DEFINED     02       5,000           0           0
GLENBOROUGH RLTY TR INC        COM   37803P105          16       1,025  SH     DEFINED     04       1,025           0           0
GLENBOROUGH RLTY TR INC        COM   37803P105           8         500  SH     OTHER    01,06           0           0         500
GLENBOROUGH RLTY TR INC        COM   37803P105       1,206      78,029  SH     DEFINED  01,08      23,115      54,914           0

GLIMCHER RLTY TR               COM   379302102       1,945     101,323  SH     DEFINED     01      61,076      38,547       1,700
GLIMCHER RLTY TR               COM   379302102          56       2,900  SH     DEFINED     04       2,900           0           0
GLIMCHER RLTY TR               COM   379302102          19       1,000  SH     OTHER       04       1,000           0           0
GLIMCHER RLTY TR               COM   379302102       2,326     121,148  SH     DEFINED  01,08      18,641     102,507           0

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       1,191     255,635  SH     DEFINED     01     126,854     125,281       3,500
GLOBAL INDS LTD                COM   379336100       1,471     315,608  SH     DEFINED  01,08      52,530     263,078           0

GLOBAL IMAGING SYSTEMS         COM   37934A100         734      39,672  SH     DEFINED     01      16,459      22,913         300
GLOBAL IMAGING SYSTEMS         COM   37934A100           7         400  SH     OTHER    01,06           0           0         400
GLOBAL IMAGING SYSTEMS         COM   37934A100       1,594      86,172  SH     DEFINED  01,08      17,119      69,053           0

GLOBAL PMTS INC                COM   37940X102       2,343      76,764  SH     DEFINED     01      27,400      46,604       2,760
GLOBAL PMTS INC                COM   37940X102           8         250  SH     DEFINED     03           0           0         250
GLOBAL PMTS INC                COM   37940X102          85       2,800  SH     DEFINED     05           0       2,800           0
GLOBAL PMTS INC                COM   37940X102          22         724  SH     OTHER    01,06           0           0         724
GLOBAL PMTS INC                COM   37940X102       4,233     138,704  SH     DEFINED  01,08      20,163     118,541           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    220
________

GLOBAL POWER EQUIPMENT INC     COM   37941P108         323      63,394  SH     DEFINED     01      36,734      25,360       1,300
GLOBAL POWER EQUIPMENT INC     COM   37941P108         238      46,645  SH     DEFINED  01,08       6,238      40,407           0

GLOBECOMM SYSTEMS INC          COM   37956X103           8       2,400  SH     DEFINED     01       2,400           0           0
GLOBECOMM SYSTEMS INC          COM   37956X103          73      21,800  SH     DEFINED  01,08       5,800      16,000           0

GLOBESPANVIRATA INC            COM   37957V106       1,819     404,132  SH     DEFINED     01     219,988     177,944       6,200
GLOBESPANVIRATA INC            COM   37957V106           0          68  SH     OTHER       03          68           0           0
GLOBESPANVIRATA INC            COM   37957V106           0         100  SH     DEFINED     04           0           0         100
GLOBESPANVIRATA INC            COM   37957V106       2,089     464,298  SH     DEFINED  01,08      69,523     394,775           0

GLYCOGENESYS INC               COM   37989P101           6      18,800  SH     DEFINED     01       3,400      15,400           0
GLYCOGENESYS INC               COM   37989P101          11      34,075  SH     DEFINED  01,08      14,875      19,200           0

GOLD BANC CORP INC             COM   379907108       1,027     127,579  SH     DEFINED     01      75,543      51,476         560
GOLD BANC CORP INC             COM   379907108         751      93,327  SH     DEFINED  01,08      20,620      72,707           0

GOAMERICA INC                  COM   38020R106           2      10,300  SH     DEFINED     01      10,300           0           0
GOAMERICA INC                  COM   38020R106          14      60,847  SH     DEFINED  01,08      10,897      49,950           0

GOLDEN ENTERPRISES INC         COM   381010107          53      24,200  SH     DEFINED     01         200      24,000           0
GOLDEN ENTERPRISES INC         COM   381010107          71      32,483  SH     DEFINED  01,08       5,024      27,459           0

GOLDEN ST VINTNERS INC         COM   38121K208          13       6,700  SH     DEFINED     01         700       6,000           0
GOLDEN ST VINTNERS INC         COM   38121K208          12       5,918  SH     DEFINED  01,08         818       5,100           0

GOLDEN TELECOM INC             COM   38122G107       1,156      77,567  SH     DEFINED     01      68,981       8,426         160
GOLDEN TELECOM INC             COM   38122G107         143       9,588  SH     DEFINED  01,08       1,870       7,718           0

GOLDEN WEST FINL CORP DEL      COM   381317106      67,706     941,271  SH     DEFINED     01     532,719     395,453      13,099
GOLDEN WEST FINL CORP DEL      COM   381317106         148       2,059  SH     OTHER       01         759       1,000         300
GOLDEN WEST FINL CORP DEL      COM   381317106         594       8,260  SH     DEFINED     02       6,655       1,225         380
GOLDEN WEST FINL CORP DEL      COM   381317106          16         225  SH     OTHER       02         100         125           0
GOLDEN WEST FINL CORP DEL      COM   381317106       3,003      41,751  SH     DEFINED     03      19,898      13,198       8,655
GOLDEN WEST FINL CORP DEL      COM   381317106         348       4,835  SH     OTHER       03       3,485         470         880
GOLDEN WEST FINL CORP DEL      COM   381317106          35         485  SH     DEFINED     04         485           0           0
GOLDEN WEST FINL CORP DEL      COM   381317106          40         552  SH     OTHER       04         552           0           0
GOLDEN WEST FINL CORP DEL      COM   381317106         722      10,035  SH     DEFINED     05       9,475         400         160
GOLDEN WEST FINL CORP DEL      COM   381317106          29         400  SH     OTHER    01,06           0           0         400
GOLDEN WEST FINL CORP DEL      COM   381317106      31,981     444,608  SH     DEFINED  01,08     113,261     331,347           0
GOLDEN WEST FINL CORP DEL      COM   381317106          75       1,046  SH     DEFINED     10         546           0         500

GOLDFIELD CORP                 COM   381370105           6      13,800  SH     DEFINED     01       1,500      12,300           0
GOLDFIELD CORP                 COM   381370105          42      95,600  SH     DEFINED  01,08       1,553      94,047           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    221
________

GOLDMAN SACHS GROUP INC        COM   38141G104     197,147   2,895,810  SH     DEFINED     01   1,610,241   1,251,218      34,351
GOLDMAN SACHS GROUP INC        COM   38141G104       3,807      55,918  SH     OTHER       01      26,770      21,813       7,335
GOLDMAN SACHS GROUP INC        COM   38141G104       2,095      30,774  SH     DEFINED     02      18,497      10,107       2,170
GOLDMAN SACHS GROUP INC        COM   38141G104         616       9,050  SH     OTHER       02       6,700       1,950         400
GOLDMAN SACHS GROUP INC        COM   38141G104       8,215     120,661  SH     DEFINED     03      64,409      40,277      15,975
GOLDMAN SACHS GROUP INC        COM   38141G104       1,419      20,836  SH     OTHER       03      14,041       5,745       1,050
GOLDMAN SACHS GROUP INC        COM   38141G104      27,091     397,931  SH     DEFINED     04     382,541           0      15,390
GOLDMAN SACHS GROUP INC        COM   38141G104       3,711      54,511  SH     OTHER       04      52,156           0       2,355
GOLDMAN SACHS GROUP INC        COM   38141G104       5,091      74,783  SH     DEFINED     05      63,606       9,062       2,115
GOLDMAN SACHS GROUP INC        COM   38141G104         481       7,063  SH     OTHER       05       5,517       1,331         215
GOLDMAN SACHS GROUP INC        COM   38141G104          85       1,250  SH     OTHER    01,06           0           0       1,250
GOLDMAN SACHS GROUP INC        COM   38141G104      78,207   1,148,757  SH     DEFINED  01,08     346,546     802,211           0
GOLDMAN SACHS GROUP INC        COM   38141G104       1,853      27,225  SH     DEFINED     10      24,275       1,035       1,915
GOLDMAN SACHS GROUP INC        COM   38141G104         322       4,725  SH     OTHER       10       1,025       3,300         400

GOLF TR AMER INC               COM   38168B103          22       9,000  SH     DEFINED     01       1,700       7,300           0
GOLF TR AMER INC               COM   38168B103          29      11,800  SH     DEFINED  01,08       1,700      10,100           0

GOOD GUYS INC                  COM   382091106          31      20,400  SH     DEFINED     01       3,400      17,000           0
GOOD GUYS INC                  COM   382091106          70      46,548  SH     DEFINED  01,08      11,868      34,680           0

GOODRICH CORP                  COM   382388106       9,262     658,732  SH     DEFINED     01     355,282     299,125       4,325
GOODRICH CORP                  COM   382388106           1         100  SH     OTHER       01           0           0         100
GOODRICH CORP                  COM   382388106           1          50  SH     DEFINED     03           0           0          50
GOODRICH CORP                  COM   382388106          32       2,300  SH     DEFINED     04       2,300           0           0
GOODRICH CORP                  COM   382388106           4         300  SH     OTHER    01,06           0           0         300
GOODRICH CORP                  COM   382388106       4,806     341,807  SH     DEFINED  01,08      86,331     255,476           0
GOODRICH CORP                  COM   382388106           5         368  SH     DEFINED     10         368           0           0

GOODRICH PETE CORP             COM   382410405           5       1,400  SH     DEFINED     01           0       1,400           0
GOODRICH PETE CORP             COM   382410405          85      24,346  SH     DEFINED  01,08       7,373      16,973           0

GOODYEAR TIRE & RUBR CO        COM   382550101      86,032  16,640,559  SH     DEFINED     01  16,184,646     447,113       8,800
GOODYEAR TIRE & RUBR CO        COM   382550101           8       1,500  SH     OTHER       01       1,500           0           0
GOODYEAR TIRE & RUBR CO        COM   382550101           7       1,355  SH     DEFINED     02         500           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           0          50
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       2,528     489,033  SH     DEFINED  01,08     120,043     368,990           0
GOODYEAR TIRE & RUBR CO        COM   382550101           1         226  SH     DEFINED     10         226           0           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    222
________

GOODYS FAMILY CLOTHING INC     COM   382588101         309      76,695  SH     DEFINED     01      41,195      33,600       1,900
GOODYS FAMILY CLOTHING INC     COM   382588101         383      95,000  SH     OTHER       04      95,000           0           0
GOODYS FAMILY CLOTHING INC     COM   382588101           2         600  SH     OTHER    01,06           0           0         600
GOODYS FAMILY CLOTHING INC     COM   382588101         387      96,030  SH     DEFINED  01,08      26,745      69,285           0
GOODYS FAMILY CLOTHING INC     COM   382588101           0         100  SH     DEFINED     10         100           0           0

GORMAN RUPP CO                 COM   383082104         693      35,160  SH     DEFINED     01      16,156      18,904         100
GORMAN RUPP CO                 COM   383082104         478      24,258  SH     DEFINED  01,08       4,647      19,611           0

GOTTSCHALKS INC                COM   383485109          16      14,900  SH     DEFINED     01       2,700      12,200           0
GOTTSCHALKS INC                COM   383485109          33      30,420  SH     DEFINED  01,08       4,524      25,896           0

GRACE W R & CO DEL NEW         COM   38388F108         360     243,325  SH     DEFINED     01     155,957      84,068       3,300
GRACE W R & CO DEL NEW         COM   38388F108           1       1,000  SH     OTHER       04       1,000           0           0
GRACE W R & CO DEL NEW         COM   38388F108         201     135,674  SH     DEFINED  01,08      36,500      99,174           0
GRACE W R & CO DEL NEW         COM   38388F108           0          11  SH     DEFINED     10          11           0           0

GRACO INC                      COM   384109104       1,707      60,736  SH     DEFINED     01      34,816      21,470       4,450
GRACO INC                      COM   384109104         427      15,200  SH     OTHER       01           0           0      15,200
GRACO INC                      COM   384109104          28       1,012  SH     OTHER       04       1,012           0           0
GRACO INC                      COM   384109104          27         975  SH     OTHER    01,06           0           0         975
GRACO INC                      COM   384109104       5,563     197,976  SH     DEFINED  01,08      45,064     152,912           0

GRAFTECH INTL LTD              COM   384313102         448     157,276  SH     DEFINED     01     115,830      40,646         800
GRAFTECH INTL LTD              COM   384313102           6       2,000  SH     OTHER       01           0       2,000           0
GRAFTECH INTL LTD              COM   384313102         307     107,823  SH     DEFINED  01,08      11,280      96,543           0

GRAINGER W W INC               COM   384802104      32,132     749,008  SH     DEFINED     01     398,608     295,342      55,058
GRAINGER W W INC               COM   384802104       8,335     194,291  SH     OTHER       01      64,051      80,807      49,433
GRAINGER W W INC               COM   384802104         815      19,000  SH     DEFINED     02      12,050       5,650       1,300
GRAINGER W W INC               COM   384802104         154       3,600  SH     OTHER       02       3,200         400           0
GRAINGER W W INC               COM   384802104         596      13,900  SH     DEFINED     03       4,025       7,073       2,802
GRAINGER W W INC               COM   384802104         550      12,820  SH     OTHER       03      11,200       1,370         250
GRAINGER W W INC               COM   384802104         452      10,532  SH     DEFINED     04       9,532           0       1,000
GRAINGER W W INC               COM   384802104         356       8,305  SH     OTHER       04       8,305           0           0
GRAINGER W W INC               COM   384802104          21         500  SH     DEFINED     05         500           0           0
GRAINGER W W INC               COM   384802104          60       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      10,786     251,425  SH     DEFINED  01,08      67,046     184,379           0
GRAINGER W W INC               COM   384802104          70       1,631  SH     DEFINED     10       1,631           0           0
GRAINGER W W INC               COM   384802104         187       4,360  SH     OTHER       10       2,760       1,600           0

GRANITE BROADCASTING CORP      COM   387241102          26      16,500  SH     DEFINED     01       2,800      13,700           0
GRANITE BROADCASTING CORP      COM   387241102          46      28,993  SH     DEFINED  01,08       5,250      23,743           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    223
________

GRANITE CONSTR INC             COM   387328107       2,762     175,898  SH     DEFINED     01      87,654      85,769       2,475
GRANITE CONSTR INC             COM   387328107          42       2,700  SH     DEFINED     03       2,700           0           0
GRANITE CONSTR INC             COM   387328107       1,264      80,532  SH     DEFINED  01,08      12,246      68,286           0

GRANT PRIDECO INC              COM   38821G101       4,170     345,755  SH     DEFINED     01     120,173     220,582       5,000
GRANT PRIDECO INC              COM   38821G101           0          18  SH     OTHER       01           0          18           0
GRANT PRIDECO INC              COM   38821G101          42       3,500  SH     DEFINED     04       3,500           0           0
GRANT PRIDECO INC              COM   38821G101       3,177     263,402  SH     DEFINED  01,08      34,834     228,568           0

GRAPHIC PACKAGING INTL CORP    COM   388690109         597     108,465  SH     DEFINED     01      46,565      61,900           0
GRAPHIC PACKAGING INTL CORP    COM   388690109         371      67,424  SH     DEFINED  01,08      17,615      49,809           0

GRAPHON CORP                   COM   388707101           0       2,500  SH     DEFINED     01       2,500           0           0
GRAPHON CORP                   COM   388707101           2      15,651  SH     DEFINED  01,08       2,551      13,100           0

GRAY TELEVISION INC            COM   389375106         548      60,879  SH     DEFINED     01      29,579      31,300           0
GRAY TELEVISION INC            COM   389375106         481      53,410  SH     DEFINED  01,08      14,110      39,300           0

GRAY TELEVISION INC            COM   389375205         356      33,627  SH     DEFINED     01      17,511      15,716         400
GRAY TELEVISION INC            COM   389375205         182      17,175  SH     DEFINED  01,08       4,109      13,066           0

GREAT AMERN FINL RES INC       COM   389915109       1,676     110,552  SH     DEFINED     01      99,353      11,049         150
GREAT AMERN FINL RES INC       COM   389915109       1,390      91,689  SH     DEFINED  01,08      18,690      72,999           0

GREAT ATLANTIC & PAC TEA INC   COM   390064103         512     118,707  SH     DEFINED     01      76,144      40,863       1,700
GREAT ATLANTIC & PAC TEA INC   COM   390064103           0         100  SH     DEFINED     04         100           0           0
GREAT ATLANTIC & PAC TEA INC   COM   390064103           0          25  SH     DEFINED     05          25           0           0
GREAT ATLANTIC & PAC TEA INC   COM   390064103           3         750  SH     OTHER    01,06           0           0         750
GREAT ATLANTIC & PAC TEA INC   COM   390064103         578     134,061  SH     DEFINED  01,08      31,027     103,034           0
GREAT ATLANTIC & PAC TEA INC   COM   390064103           0           6  SH     DEFINED     10           6           0           0

GREAT LAKES CHEM CORP          COM   390568103       7,413     333,932  SH     DEFINED     01     192,059     138,623       3,250
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          64       2,880  SH     DEFINED     04         320           0       2,560
GREAT LAKES CHEM CORP          COM   390568103          24       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       3,305     148,863  SH     DEFINED  01,08      35,809     113,054           0
GREAT LAKES CHEM CORP          COM   390568103           0           9  SH     DEFINED     10           9           0           0
GREAT LAKES CHEM CORP          COM   390568103          20         900  SH     OTHER       10         900           0           0

GREAT LAKES REIT INC           COM   390752103         763      53,742  SH     DEFINED     01      32,842      20,200         700
GREAT LAKES REIT INC           COM   390752103         142      10,000  SH     DEFINED     04      10,000           0           0
GREAT LAKES REIT INC           COM   390752103         487      34,341  SH     DEFINED  01,08       8,808      25,533           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    224
________

GREAT SOUTHN BANCORP INC       COM   390905107         803      21,712  SH     DEFINED     01      10,034      11,278         400
GREAT SOUTHN BANCORP INC       COM   390905107         553      14,938  SH     DEFINED  01,08       3,837      11,101           0

GREAT NORTHN IRON ORE PPTYS    COM   391064102          28         400  SH     DEFINED     01         400           0           0
GREAT NORTHN IRON ORE PPTYS    COM   391064102         209       3,000  SH     OTHER       01       3,000           0           0
GREAT NORTHN IRON ORE PPTYS    COM   391064102          21         300  SH     DEFINED     02         300           0           0

GREAT PLAINS ENERGY INC        COM   391164100       5,271     220,830  SH     DEFINED     01      81,609     136,021       3,200
GREAT PLAINS ENERGY INC        COM   391164100          43       1,800  SH     OTHER       02       1,000         800           0
GREAT PLAINS ENERGY INC        COM   391164100          24       1,000  SH     DEFINED     03       1,000           0           0
GREAT PLAINS ENERGY INC        COM   391164100           7         300  SH     OTHER       03           0         300           0
GREAT PLAINS ENERGY INC        COM   391164100         130       5,430  SH     DEFINED     04       5,430           0           0
GREAT PLAINS ENERGY INC        COM   391164100          17         700  SH     DEFINED     05         700           0           0
GREAT PLAINS ENERGY INC        COM   391164100       4,019     168,362  SH     DEFINED  01,08      21,627     146,735           0
GREAT PLAINS ENERGY INC        COM   391164100          17         722  SH     DEFINED     10         722           0           0

GREATER BAY BANCORP            COM   391648102       2,889     201,348  SH     DEFINED     01      58,093     141,155       2,100
GREATER BAY BANCORP            COM   391648102           8         524  SH     OTHER       03         524           0           0
GREATER BAY BANCORP            COM   391648102       2,131     148,523  SH     DEFINED  01,08      15,592     132,931           0

GREATER COMMUNITY BANCORP      COM   39167M108           4         220  SH     DEFINED     01         220           0           0
GREATER COMMUNITY BANCORP      COM   39167M108         202      11,733  SH     DEFINED  01,08       3,023       8,710           0

GREATER DEL VY HLDGS           COM   391688108         135       4,130  SH     DEFINED     01         525       3,605           0
GREATER DEL VY HLDGS           COM   391688108         215       6,573  SH     DEFINED  01,08       2,082       4,491           0

GREEN MTN COFFEE ROASTERS IN   COM   393122106         346      18,819  SH     DEFINED     01       7,532      11,087         200
GREEN MTN COFFEE ROASTERS IN   COM   393122106         307      16,694  SH     DEFINED  01,08       3,370      13,324           0

GREEN MOUNTAIN PWR CORP        COM   393154109         238      11,800  SH     DEFINED     01       3,600       8,200           0
GREEN MOUNTAIN PWR CORP        COM   393154109          20       1,000  SH     DEFINED     04       1,000           0           0
GREEN MOUNTAIN PWR CORP        COM   393154109           2         100  SH     OTHER    01,06           0           0         100
GREEN MOUNTAIN PWR CORP        COM   393154109         281      13,907  SH     DEFINED  01,08       3,721      10,186           0

GREENBRIER COS INC             COM   393657101         292      35,600  SH     DEFINED     01       3,000      32,600           0
GREENBRIER COS INC             COM   393657101         203      24,698  SH     DEFINED  01,08       6,079      18,619           0

GREENPOINT FINL CORP           COM   395384100      13,621     303,976  SH     DEFINED     01     112,183     185,163       6,630
GREENPOINT FINL CORP           COM   395384100          36         800  SH     DEFINED     04         800           0           0
GREENPOINT FINL CORP           COM   395384100      10,229     228,272  SH     DEFINED  01,08      28,738     199,534           0

GREIF BROS CORP                COM   397624107       1,048      58,310  SH     DEFINED     01      29,007      28,903         400
GREIF BROS CORP                COM   397624107         259      14,400  SH     OTHER       02           0           0      14,400
GREIF BROS CORP                COM   397624107           9         500  SH     DEFINED     04         500           0           0
GREIF BROS CORP                COM   397624107       1,008      56,055  SH     DEFINED  01,08      11,434      44,621           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    225
________

GREY GLOBAL GROUP INC          COM   39787M108       1,757       2,847  SH     DEFINED     01       1,382       1,465           0
GREY GLOBAL GROUP INC          COM   39787M108          62         100  SH     OTHER       02           0         100           0
GREY GLOBAL GROUP INC          COM   39787M108       2,292       3,715  SH     DEFINED  01,08         595       3,120           0

GREY WOLF INC                  COM   397888108       2,350     596,424  SH     DEFINED     01     297,146     290,938       8,340
GREY WOLF INC                  COM   397888108           4       1,000  SH     OTHER       01       1,000           0           0
GREY WOLF INC                  COM   397888108          84      21,250  SH     DEFINED     04      21,250           0           0
GREY WOLF INC                  COM   397888108       1,904     483,296  SH     DEFINED  01,08     166,827     316,469           0
GREY WOLF INC                  COM   397888108          16       4,000  SH     DEFINED     10           0       4,000           0

GRIC COMMUNICATIONS INC        COM   398081109          10       4,400  SH     DEFINED     01       4,400           0           0
GRIC COMMUNICATIONS INC        COM   398081109          72      33,128  SH     DEFINED  01,08       8,228      24,900           0

GRIFFIN LD & NURSERIES INC     COM   398231100          48       4,100  SH     DEFINED     01         300       3,800           0
GRIFFIN LD & NURSERIES INC     COM   398231100          94       8,000  SH     DEFINED  01,08       2,100       5,900           0

GRIFFON CORP                   COM   398433102       1,317     102,078  SH     DEFINED     01      57,529      42,224       2,325
GRIFFON CORP                   COM   398433102          14       1,100  SH     DEFINED     04       1,100           0           0
GRIFFON CORP                   COM   398433102           8         642  SH     OTHER    01,06           0           0         642
GRIFFON CORP                   COM   398433102       2,096     162,506  SH     DEFINED  01,08      28,760     133,746           0

GROUP 1 AUTOMOTIVE INC         COM   398905109       1,394      65,159  SH     DEFINED     01      35,072      29,787         300
GROUP 1 AUTOMOTIVE INC         COM   398905109          10         450  SH     OTHER    01,06           0           0         450
GROUP 1 AUTOMOTIVE INC         COM   398905109       1,567      73,226  SH     DEFINED  01,08      19,714      53,512           0

GROUP 1 SOFTWARE INC NEW       COM   39943Y103       1,568      87,100  SH     DEFINED     01      74,500      12,600           0
GROUP 1 SOFTWARE INC NEW       COM   39943Y103         636      35,360  SH     DEFINED  01,08       6,110      29,250           0

GTECH HLDGS CORP               COM   400518106       7,667     234,737  SH     DEFINED     01     121,617     109,620       3,500
GTECH HLDGS CORP               COM   400518106       4,073     124,724  SH     DEFINED  01,08      15,128     109,596           0

GUARANTY FED BANCSHARES INC    COM   40108P101          89       5,700  SH     DEFINED     01         300       5,400           0
GUARANTY FED BANCSHARES INC    COM   40108P101          93       6,000  SH     DEFINED  01,08       1,300       4,700           0

GUESS INC                      COM   401617105         187      52,629  SH     DEFINED     01      20,470      31,809         350
GUESS INC                      COM   401617105         222      62,324  SH     DEFINED  01,08      20,105      42,219           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    226
________

GUIDANT CORP                   COM   401698105      70,916   1,958,995  SH     DEFINED     01   1,068,334     814,089      76,572
GUIDANT CORP                   COM   401698105       1,472      40,661  SH     OTHER       01      24,312      10,854       5,495
GUIDANT CORP                   COM   401698105       1,091      30,125  SH     DEFINED     02      20,813       3,000       6,312
GUIDANT CORP                   COM   401698105         431      11,910  SH     OTHER       02       6,800       4,910         200
GUIDANT CORP                   COM   401698105         616      17,028  SH     DEFINED     03       7,928       8,400         700
GUIDANT CORP                   COM   401698105         133       3,668  SH     OTHER       03       3,668           0           0
GUIDANT CORP                   COM   401698105       1,691      46,722  SH     DEFINED     04      46,472           0         250
GUIDANT CORP                   COM   401698105         685      18,921  SH     OTHER       04      17,471           0       1,450
GUIDANT CORP                   COM   401698105         312       8,610  SH     DEFINED     05       7,060       1,250         300
GUIDANT CORP                   COM   401698105          16         445  SH     OTHER       05         445           0           0
GUIDANT CORP                   COM   401698105          29         800  SH     OTHER    01,06           0           0         800
GUIDANT CORP                   COM   401698105      32,698     903,262  SH     DEFINED  01,08     215,898     687,364           0
GUIDANT CORP                   COM   401698105         117       3,225  SH     DEFINED     10       2,225           0       1,000
GUIDANT CORP                   COM   401698105         169       4,668  SH     OTHER       10       2,768       1,900           0

GUILFORD PHARMACEUTICALS INC   COM   401829106         381     102,884  SH     DEFINED     01      64,036      37,598       1,250
GUILFORD PHARMACEUTICALS INC   COM   401829106           3         700  SH     OTHER       01           0         700           0
GUILFORD PHARMACEUTICALS INC   COM   401829106         407     109,999  SH     DEFINED  01,08      16,180      93,819           0

GUITAR CTR MGMT INC            COM   402040109       1,224      60,087  SH     DEFINED     01      25,910      33,477         700
GUITAR CTR MGMT INC            COM   402040109          85       4,151  SH     DEFINED     05           0       4,151           0
GUITAR CTR MGMT INC            COM   402040109       1,793      87,998  SH     DEFINED  01,08      11,449      76,549           0

GULF ISLAND FABRICATION INC    COM   402307102         669      37,461  SH     DEFINED     01      18,026      19,035         400
GULF ISLAND FABRICATION INC    COM   402307102         419      23,460  SH     DEFINED  01,08       5,944      17,516           0

GULFMARK OFFSHORE INC          COM   402629109         711      52,857  SH     DEFINED     01      24,574      27,983         300
GULFMARK OFFSHORE INC          COM   402629109           1          56  SH     OTHER       01           0          56           0
GULFMARK OFFSHORE INC          COM   402629109         590      43,861  SH     DEFINED  01,08      10,326      33,535           0

GUNDLE/SLT ENVIRONMENTAL INC   COM   402809107         111      11,700  SH     DEFINED     01       1,800       9,900           0
GUNDLE/SLT ENVIRONMENTAL INC   COM   402809107           9       1,000  SH     OTHER       01           0       1,000           0
GUNDLE/SLT ENVIRONMENTAL INC   COM   402809107         231      24,389  SH     DEFINED  01,08       4,865      19,524           0

GYMBOREE CORP                  COM   403777105       1,388      92,304  SH     DEFINED     01      42,894      48,210       1,200
GYMBOREE CORP                  COM   403777105           2         100  SH     DEFINED     04         100           0           0
GYMBOREE CORP                  COM   403777105           9         600  SH     OTHER    01,06           0           0         600
GYMBOREE CORP                  COM   403777105       1,938     128,828  SH     DEFINED  01,08      15,621     113,207           0


FORM 13F                       DATE 03-31-03                    NORTHERN TRUST CORPORATION                       PAGE    227
________

HCA INC                        COM   404119109     151,806   3,670,351  SH     DEFINED     01   2,254,253   1,377,677      38,421
HCA INC                        COM   404119109         905      21,890  SH     OTHER       01      14,000         697       7,193
HCA INC                        COM   404119109          35         840  SH     DEFINED     02         840           0           0
HCA INC                        COM   404119109         372       9,000  SH     OTHER       02       9,000           0           0
HCA INC                        COM   404119109          37         887  SH     DEFINED     03         687           0         200
HCA INC                        COM   404119109           8         200  SH     OTHER       03           0         200           0
HCA INC                        COM   404119109         368       8,906  SH     DEFINED     04       8,906           0           0
HCA INC                        COM   404119109           8         190  SH     OTHER       04         190           0           0
HCA INC                        COM   404119109          54       1,300  SH     OTHER    01,06           0           0       1,300
HCA INC                        COM   404119109      63,692   1,539,944  SH     DEFINED  01,08     376,863   1,163,081           0
HCA INC                        COM   404119109          95       2,292  SH     DEFINED     10       2,292           0           0
HCA INC                        COM   404119109          62       1,500  SH     OTHER       10         800         200         500

HCC INS HLDGS INC              COM   404132102       5,228     204,528  SH     DEFINED     01      75,759     125,669       3,100
HCC INS HLDGS INC              COM   404132102       1,128      44,117  SH     OTHER       01      44,117           0           0
HCC INS HLDGS INC              COM   404132102          80       3,115  SH     DEFINED     02       3,000           0         115
HCC INS HLDGS INC              COM   404132102       3,185     124,613  SH     DEFINED  01,08      19,533     105,080           0

HEI INC                        COM   404160103          12       6,000  SH     DEFINED     01         800       5,200           0
HEI INC                        COM   404160103          21      10,414  SH     DEFINED  01,08       2,787       7,627           0

HF FINL CORP                   COM   404172108          91       5,700  SH     DEFINED     01         700       5,000           0
HF FINL CORP                   COM   404172108          98       6,100  SH     DEFINED  01,08       1,500       4,600           0

HMN FINL INC                   COM   40424G108         253      15,750  SH     DEFINED     01       7,950       7,800           0
HMN FINL INC                   COM   40424G108         133       8,300  SH     DEFINED  01,08       2,050       6,250           0

HMS HLDGS CORP                 COM   40425J101          43      19,300  SH     DEFINED     01       3,600      15,700           0
HMS HLDGS CORP                 COM   40425J101          77      34,525  SH     DEFINED  01,08       8,323      26,202           0

HRPT PPTYS TR                  COM   40426W101       4,376     514,216  SH     DEFINED     01     434,168      73,148       6,900
HRPT PPTYS TR                  COM   40426W101          18       2,073  SH     OTHER       04       2,073           0           0
HRPT PPTYS TR                  COM   40426W101       3,713     436,268  SH     DEFINED  01,08      70,924     365,344           0
HRPT PPTYS TR                  COM   40426W101          80       9,420  SH     DEFINED     10       4,420       5,000