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

                                   FORM 13F

                             FORM 13F COVER PAGE


Report for the Calendar Year or Quarter Ended: June 30, 2007


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: AMERICAN INTERNATIONAL GROUP, INC.


Address: 70 Pine Street

         New York, New York 10270


Form 13F File Number:  28-219



The Institutional Investment Manager filing this report and the person by whom
it is signed 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:  Win J. Neuger

Title: Executive Vice President and Chief Investment Officer

Phone: (212) 770-7000



Signature, Place, and Date of Signing:


/s/ Win J. Neuger                  New York, New York        August 23, 2007
-------------------------------    ------------------------  -----------------
(Signature)                        (City, State)             (Date)

Report Type (Check only one.):

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

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

[ ] 13F COMBINATION REPORT.  (Check 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:  4



Form 13F Information Table Entry Total: 4,757


Form 13F Information Table Value Total: $25,741,364 (thousands)


List of Other Included Managers:

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


No.       Form 13F File Number     Name
--        --------------------     -------------------------------------------

1         28-4637                  AIG GLOBAL INVESTMENT CORP.

2         28-2725                  AIG SUNAMERICA ASSET MANAGEMENT CORP.

3         28-3463                  JOHN MCSTAY INVESTMENT COUNSEL, L.P.

4         28-11910                 FSC SECURITIES CORPORATION





13F SECURITIES - 2Q 2007



          ISSUER NAME             TITLE OF     CUSIP    VALUE    SHARES/  SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
                                    CLASS      NUMBER  X $1000  PRINCIPAL PRN CALL DISCRETION  MGRS   SOLE (A)   SHARED (B) NONE (C)
------------------------------------------------------------------------------------------------------------------------------------
                                                                                           
1-800 CONTACTS INC              EQUITY       681977104     146      6,236 SH          SOLE       1        6,236           -       -
1-800-FLOWERS.COM INC           EQUITY       68243Q106     190     20,121 SH          SOLE       1       20,121           -       -
1ST SOURCE CORP                 EQUITY       336901103     264     10,582 SH          SOLE       1       10,582           -       -
21ST CENTURY INSURANCE GROUP    EQUITY       90130N103     627     28,691 SH          SOLE       1       28,691           -       -
21ST CENTURY INSURANCE GROUP    EQUITY       90130N103 1168321 53,445,620 SH          SOLE       1   53,445,620           -       -
24/7 REAL MEDIA INC             EQUITY       901314203    1996    170,161 SH          SOLE       1      170,161           -       -
3COM CORP                       EQUITY       885535104    5348  1,294,815 SH          SOLE       1    1,294,815           -       -
3D SYSTEMS CORP                 EQUITY       88554D205     315     12,663 SH          SOLE       1       12,663           -       -
3M CO                           EQUITY       88579Y101   18047    207,933 SH          SOLE       2      207,933           -       -
3M CO                           EQUITY       88579Y101   35370    407,532 SH          SOLE       1      407,532           -       -
3M CO                           EQUITY       88579Y101     699      8,053 SH         DEFINED     4            -           -   8,053
3M COMPANY                      FIXED INCOME 88579YAB7       4      4,000 PRN        DEFINED     4            -           -   4,000
3M COMPANY                      FIXED INCOME 88579YAB7     631    700,000 PRN         SOLE       1      700,000           -       -
40/86 STRATEGIC INCOME FUND     EQUITY       349739102      17      1,730 SH         DEFINED     4            -           -   1,730
99 CENTS ONLY STORES            EQUITY       65440K106    2009    153,212 SH          SOLE       1      153,212           -       -
AAON INC                        EQUITY       000360206     244      7,676 SH          SOLE       1        7,676           -       -
AAR CORP                        EQUITY       000361105    1024     31,031 SH          SOLE       1       31,031           -       -
AARON RENTS INC                 EQUITY       002535201    1123     38,457 SH          SOLE       1       38,457           -       -
ABAXIS INC                      EQUITY       002567105     363     17,388 SH          SOLE       1       17,388           -       -
ABB LTD                         EQUITY       000375204     644     28,500 SH          SOLE       2       28,500           -       -
ABBEY NATIONAL PLC              EQUITY       002920809      10        400 SH         DEFINED     4            -           -     400
ABBEY NATIONAL PLC              FIXED INCOME 002920809   22020    876,600 PRN         SOLE       1      876,600           -       -
ABBOTT LABORATORIES             EQUITY       002824100      42        781 SH         DEFINED     4            -           -     781
ABBOTT LABORATORIES             EQUITY       002824100   38219    713,714 SH          SOLE       1      713,714           -       -
ABBOTT LABORATORIES             EQUITY       002824100    8235    153,779 SH          SOLE       2      153,779           -       -
ABER DIAMOND CORP               EQUITY       002893105      35        920 SH          OTHER      1            -         920       -
ABERCROMBIE & FITCH CO          EQUITY       002896207    3160     43,300 SH          SOLE       3       43,300           -       -
ABERCROMBIE & FITCH CO          EQUITY       002896207       8        114 SH          SOLE       2          114           -       -
ABERCROMBIE & FITCH CO          EQUITY       002896207    3593     49,238 SH          SOLE       1       49,238           -       -
ABERDEEN ASIA-PACIFIC INCOME F  EQUITY       003009107      29      4,580 SH         DEFINED     4            -           -   4,580
ABERDEEN AUSTRALIA EQUITY FUND  EQUITY       003011103    3000    173,387 SH         DEFINED     4            -           - 173,387
ABIOMED INC                     EQUITY       003654100     259     24,047 SH          SOLE       1       24,047           -       -
ABITIBI-CONSOLIDATED INC        EQUITY       003924107      24      8,278 SH          OTHER      1            -       8,278       -
ABM INDUSTRIES INC              EQUITY       000957100      17        675 SH         DEFINED     4            -           -     675
ABM INDUSTRIES INC              EQUITY       000957100    2196     85,068 SH          SOLE       1       85,068           -       -
ABRAXIS BIOSCIENCE INC          EQUITY       00383E106     834     37,535 SH          SOLE       1       37,535           -       -
ABX AIR INC                     EQUITY       00080S101     394     48,825 SH          SOLE       1       48,825           -       -
AC MOORE ARTS & CRAFTS INC      EQUITY       00086T103     330     16,835 SH          SOLE       1       16,835           -       -
ACA CAPITAL HOLDINGS INC        EQUITY       000833103      81      6,817 SH          SOLE       1        6,817           -       -
ACACIA RESEARCH - ACACIA TECHN  EQUITY       003881307     383     23,689 SH          SOLE       1       23,689           -       -
ACADIA PHARMACEUTICALS INC      EQUITY       004225108     352     25,771 SH          SOLE       1       25,771           -       -
ACADIA REALTY TRUST             EQUITY       004239109     694     26,736 SH          SOLE       1       26,736           -       -
ACCENTURE LTD                   EQUITY       G1150G111       9        200 SH         DEFINED     4            -           -     200
ACCO BRANDS CORP                EQUITY       00081T108    1035     44,902 SH          SOLE       1       44,902           -       -
ACCREDITED HOME LENDERS HOLDIN  EQUITY       00437P107     243     17,802 SH          SOLE       1       17,802           -       -
ACCURAY INC                     EQUITY       004397105     304     13,692 SH          SOLE       1       13,692           -       -
ACCURIDE CORP                   EQUITY       004398103     302     19,597 SH          SOLE       1       19,597           -       -
ACE LTD                         EQUITY       G0070K103      26        419 SH          SOLE       2          419           -       -
ACI WORLDWIDE INC               EQUITY       893416107    4087    121,421 SH          SOLE       1      121,421           -       -
ACI WORLDWIDE INC               EQUITY       893416107    4268    126,800 SH          SOLE       2      126,800           -       -
ACME PACKET INC                 EQUITY       004764106     565     49,166 SH          SOLE       1       49,166           -       -





                                                                                           
ACORDA THERAPEUTICS INC         EQUITY       00484M106     301     17,666 SH          SOLE       1       17,666           -       -
ACORN INTERNATIONAL INC         EQUITY       004854105    8033    332,090 SH          SOLE       1      332,090           -       -
ACTEL CORP                      EQUITY       004934105     620     44,608 SH          SOLE       1       44,608           -       -
ACTIVISION INC                  EQUITY       004930202   12246    655,894 SH          SOLE       1      655,894           -       -
ACTIVISION INC                  EQUITY       004930202      19      1,000 SH         DEFINED     4            -           -   1,000
ACTIVISION INC                  EQUITY       004930202    1926    103,161 SH          SOLE       2      103,161           -       -
ACTIVISION INC                  EQUITY       004930202    6557    351,200 SH          SOLE       3      351,200           -       -
ACTUANT CORP                    EQUITY       00508X203    1438     22,807 SH          SOLE       1       22,807           -       -
ACTUATE CORP                    EQUITY       00508B102     342     50,386 SH          SOLE       1       50,386           -       -
ACUITY BRANDS INC               EQUITY       00508Y102    3023     50,145 SH          SOLE       1       50,145           -       -
ACXIOM CORP                     EQUITY       005125109    4477    169,247 SH          SOLE       1      169,247           -       -
ADAMS RESPIRATORY THERAPEUTICS  EQUITY       00635P107    1225     31,100 SH          SOLE       3       31,100           -       -
ADAMS RESPIRATORY THERAPEUTICS  EQUITY       00635P107     548     13,900 SH          SOLE       2       13,900           -       -
ADAMS RESPIRATORY THERAPEUTICS  EQUITY       00635P107    1806     45,839 SH          SOLE       1       45,839           -       -
ADAPTEC INC                     EQUITY       00651F108     375     98,471 SH          SOLE       1       98,471           -       -
ADC TELECOMMUNICATIONS INC      EQUITY       000886309       3        151 SH          SOLE       2          151           -       -
ADC TELECOMMUNICATIONS INC      EQUITY       000886309    6729    367,127 SH          SOLE       1      367,127           -       -
ADMINISTAFF INC                 EQUITY       007094105     652     19,458 SH          SOLE       1       19,458           -       -
ADOBE SYSTEMS INC               EQUITY       00724F101      30        757 SH          SOLE       2          757           -       -
ADOBE SYSTEMS INC               EQUITY       00724F101   23718    590,743 SH          SOLE       1      590,743           -       -
ADOLOR CORP                     EQUITY       00724X102      29      7,757 SH          SOLE       1        7,757           -       -
ADTRAN INC                      EQUITY       00738A106    5160    198,708 SH          SOLE       1      198,708           -       -
ADVANCE AMERICA CASH ADVANCE C  EQUITY       00739W107     987     55,631 SH          SOLE       1       55,631           -       -
ADVANCE AUTO PARTS INC          EQUITY       00751Y106     314      7,755 SH         DEFINED     4            -           -   7,755
ADVANCE AUTO PARTS INC          EQUITY       00751Y106   12132    299,332 SH          SOLE       1      299,332           -       -
ADVANCED ANALOGIC TECHNOLOGIES  EQUITY       00752J108     308     31,746 SH          SOLE       1       31,746           -       -
ADVANCED ENERGY INDUSTRIES INC  EQUITY       007973100    1448     63,904 SH          SOLE       1       63,904           -       -
ADVANCED MAGNETICS INC          EQUITY       00753P103     689     11,852 SH          SOLE       1       11,852           -       -
ADVANCED MEDICAL OPTICS INC     EQUITY       00763M108    6320    181,183 SH          SOLE       1      181,183           -       -
ADVANCED MICRO DEVICES INC      EQUITY       007903107     232     16,237 SH          SOLE       2       16,237           -       -
ADVANCED MICRO DEVICES INC      EQUITY       007903107    3649    255,173 SH          SOLE       1      255,173           -       -
ADVANCED SEMICONDUCTOR ENGINEE  EQUITY       00756M404   10930  1,600,330 SH          SOLE       1    1,600,330           -       -
ADVANTA CORP                    EQUITY       007942204     570     18,300 SH          SOLE       2       18,300           -       -
ADVANTA CORP                    EQUITY       007942204     640     20,563 SH          SOLE       1       20,563           -       -
ADVANTAGE ENERGY INCOME FUND    EQUITY       00762L101      48      3,409 SH         DEFINED     4            -           -   3,409
ADVENT SOFTWARE INC             EQUITY       007974108     553     17,000 SH          SOLE       2       17,000           -       -
ADVENT SOFTWARE INC             EQUITY       007974108    2049     62,964 SH          SOLE       1       62,964           -       -
ADVISORY BOARD CO/THE           EQUITY       00762W107     835     15,030 SH          SOLE       1       15,030           -       -
AECOM TECHNOLOGY CORP           EQUITY       00766T100     831     33,497 SH          SOLE       1       33,497           -       -
AEP INDUSTRIES INC              EQUITY       001031103     244      5,421 SH          SOLE       1        5,421           -       -
AERCAP HOLDINGS NV              EQUITY       N00985106    3990    124,700 SH          SOLE       2      124,700           -       -
AEROFLEX INC                    EQUITY       007768104     882     62,229 SH          SOLE       1       62,229           -       -
AEROPOSTALE INC                 EQUITY       007865108     563     13,500 SH          SOLE       2       13,500           -       -
AEROPOSTALE INC                 EQUITY       007865108    7036    168,804 SH          SOLE       1      168,804           -       -
AEROVIRONMENT INC               EQUITY       008073108     119      5,795 SH          SOLE       1        5,795           -       -
AES CORP/THE                    EQUITY       00130H105      11        500 SH         DEFINED     4            -           -     500
AES CORP/THE                    EQUITY       00130H105      19        860 SH          SOLE       2          860           -       -
AES CORP/THE                    EQUITY       00130H105    6570    300,252 SH          SOLE       1      300,252           -       -
AETNA INC                       EQUITY       00817Y108      33        665 SH          SOLE       2          665           -       -
AETNA INC                       EQUITY       00817Y108   22707    459,659 SH          SOLE       1      459,659           -       -
AFC ENTERPRISES                 EQUITY       00104Q107     422     24,420 SH          SOLE       1       24,420           -       -
AFFILIATED COMPUTER SERVICES I  EQUITY       008190100       3         50 SH         DEFINED     4            -           -      50
AFFILIATED COMPUTER SERVICES I  EQUITY       008190100       7        128 SH          SOLE       2          128           -       -
AFFILIATED COMPUTER SERVICES I  EQUITY       008190100    2575     45,398 SH          SOLE       1       45,398           -       -
AFFILIATED MANAGERS GROUP INC   EQUITY       008252108    4442     34,500 SH          SOLE       3       34,500           -       -
AFFILIATED MANAGERS GROUP INC   EQUITY       008252108       1          9 SH         DEFINED     4            -           -       9





                                                                                           
AFFILIATED MANAGERS GROUP INC   EQUITY       008252108     105        813 SH          SOLE       1          813           -       -
AFFILIATED MANAGERS GROUP INC   EQUITY       008252108     592      4,600 SH          SOLE       2        4,600           -       -
AFFYMAX INC                     EQUITY       00826A109      96      3,546 SH          SOLE       1        3,546           -       -
AFFYMETRIX INC                  EQUITY       00826T108     553     22,200 SH          SOLE       2       22,200           -       -
AFFYMETRIX INC                  EQUITY       00826T108    5580    224,188 SH          SOLE       1      224,188           -       -
AFLAC INC                       EQUITY       001055102       6        110 SH         DEFINED     4            -           -     110
AFLAC INC                       EQUITY       001055102      32        630 SH          SOLE       2          630           -       -
AFLAC INC                       EQUITY       001055102   13999    272,348 SH          SOLE       1      272,348           -       -
AFTERMARKET TECHNOLOGY CORP     EQUITY       008318107     540     18,178 SH          SOLE       1       18,178           -       -
AG EDWARDS INC                  EQUITY       281760108   19665    232,580 SH          SOLE       1      232,580           -       -
AGCO CORP                       EQUITY       001084102   12303    283,403 SH          SOLE       1      283,403           -       -
AGCO CORP                       EQUITY       001084102    8422    194,000 SH          SOLE       3      194,000           -       -
AGILE SOFTWARE CORP             EQUITY       00846X105     398     49,334 SH          SOLE       1       49,334           -       -
AGILENT TECHNOLOGIES INC        EQUITY       00846U101    6120    159,210 SH          SOLE       2      159,210           -       -
AGILENT TECHNOLOGIES INC        EQUITY       00846U101    8907    231,715 SH          SOLE       1      231,715           -       -
AGILYSYS INC                    EQUITY       00847J105    1412     62,763 SH          SOLE       1       62,763           -       -
AGL RESOURCES INC               EQUITY       001204106      12        301 SH         DEFINED     4            -           -     301
AGL RESOURCES INC               EQUITY       001204106    8236    203,470 SH          SOLE       1      203,470           -       -
AGNICO-EAGLE MINES LTD          EQUITY       008474108    6823    187,397 SH          OTHER      1            -     187,397       -
AGREE REALTY CORP               EQUITY       008492100     202      6,448 SH          SOLE       1        6,448           -       -
AGRIUM INC                      EQUITY       008916108    6696    152,497 SH          OTHER      1            -     152,497       -
AIR METHODS CORP                EQUITY       009128307     318      8,683 SH          SOLE       1        8,683           -       -
AIR PRODUCTS & CHEMICALS INC    EQUITY       009158106   71649    891,565 SH          SOLE       1      891,565           -       -
AIR PRODUCTS & CHEMICALS INC    EQUITY       009158106     263      3,269 SH         DEFINED     4            -           -   3,269
AIR PRODUCTS & CHEMICALS INC    EQUITY       009158106    2618     32,579 SH          SOLE       2       32,579           -       -
AIRGAS INC                      EQUITY       009363102    9168    191,390 SH          SOLE       1      191,390           -       -
AIRSPAN NETWORKS INC            EQUITY       00950H102      13      3,500 SH         DEFINED     4            -           -   3,500
AIRTRAN HOLDINGS INC            EQUITY       00949P108    3264    298,931 SH          SOLE       1      298,931           -       -
AK STEEL HOLDING CORP           EQUITY       001547108      88      2,365 SH          SOLE       1        2,365           -       -
AKAMAI TECHNOLOGIES INC         EQUITY       00971T101    5326    109,500 SH          SOLE       3      109,500           -       -
AKAMAI TECHNOLOGIES INC         EQUITY       00971T101      24        500 SH         DEFINED     4            -           -     500
AKAMAI TECHNOLOGIES INC         EQUITY       00971T101     546     11,223 SH          SOLE       1       11,223           -       -
AKORN INC                       EQUITY       009728106     320     45,808 SH          SOLE       1       45,808           -       -
ALABAMA NATIONAL BANCORPORATIO  EQUITY       010317105     876     14,161 SH          SOLE       1       14,161           -       -
ALADDIN KNOWLEDGE SYSTEMS LTD   EQUITY       M0392N101    3553    171,300 SH          SOLE       3      171,300           -       -
ALASKA AIR GROUP INC            EQUITY       011659109    3732    133,960 SH          SOLE       1      133,960           -       -
ALASKA AIR GROUP INC            EQUITY       011659109    8327    298,900 SH          SOLE       2      298,900           -       -
ALASKA COMMUNICATIONS SYSTEMS   EQUITY       01167P101     563     35,542 SH          SOLE       1       35,542           -       -
ALBANY INTERNATIONAL CORP       EQUITY       012348108     987     24,404 SH          SOLE       1       24,404           -       -
ALBANY MOLECULAR RESEARCH INC   EQUITY       012423109     320     21,565 SH          SOLE       1       21,565           -       -
ALBEMARLE CORP                  EQUITY       012653101     389     10,100 SH         DEFINED     4            -           -  10,100
ALBEMARLE CORP                  EQUITY       012653101    7591    197,015 SH          SOLE       1      197,015           -       -
ALBERTO-CULVER CO               EQUITY       013078100    4771    201,125 SH          SOLE       1      201,125           -       -
ALCAN INC                       EQUITY       013716105     654      8,002 SH          OTHER      1            -       8,002       -
ALCATEL-LUCENT                  EQUITY       013904305      24      1,729 SH         DEFINED     4            -           -   1,729
ALCOA INC                       EQUITY       013817101      27        665 SH         DEFINED     4            -           -     665
ALCOA INC                       EQUITY       013817101    4666    115,120 SH          SOLE       2      115,120           -       -
ALCOA INC                       EQUITY       013817101   17528    432,480 SH          SOLE       1      432,480           -       -
ALCON INC                       EQUITY       H01301102       4         30 SH         DEFINED     4            -           -      30
ALESCO FINANCIAL INC            EQUITY       014485106     375     46,146 SH          SOLE       1       46,146           -       -
ALEXANDER & BALDWIN INC         EQUITY       014482103    5636    106,116 SH          SOLE       1      106,116           -       -
ALEXANDRIA REAL ESTATE EQUITIE  EQUITY       015271109     484      5,000 SH          SOLE       2        5,000           -       -
ALEXANDRIA REAL ESTATE EQUITIE  EQUITY       015271109    2374     24,524 SH          SOLE       1       24,524           -       -
ALEXION PHARMACEUTICALS INC     EQUITY       015351109    1365     30,301 SH          SOLE       1       30,301           -       -
ALEXZA PHARMACEUTICALS INC      EQUITY       015384100     140     16,885 SH          SOLE       1       16,885           -       -
ALFA CORP                       EQUITY       015385107     425     27,268 SH          SOLE       1       27,268           -       -





                                                                                           
ALICO INC                       EQUITY       016230104     183      3,000 SH          SOLE       1        3,000           -       -
ALIGN TECHNOLOGY INC            EQUITY       016255101    1190     49,245 SH          SOLE       1       49,245           -       -
ALKERMES INC                    EQUITY       01642T108    1222     83,672 SH          SOLE       1       83,672           -       -
ALLEGHENY ENERGY INC            EQUITY       017361106      11        213 SH          SOLE       2          213           -       -
ALLEGHENY ENERGY INC            EQUITY       017361106    3884     75,063 SH          SOLE       1       75,063           -       -
ALLEGHENY TECHNOLOGIES INC      FIXED INCOME 01741R102     726    675,132 SH          SOLE       2      675,132           -       -
ALLEGHENY TECHNOLOGIES INC      EQUITY       01741R102       9         82 SH         DEFINED     4            -           -      82
ALLEGHENY TECHNOLOGIES INC      EQUITY       01741R102    4823     45,982 SH          SOLE       1       45,982           -       -
ALLEGIANT TRAVEL CO             EQUITY       01748X102     135      4,393 SH          SOLE       1        4,393           -       -
ALLERGAN INC/UNITED STATES      EQUITY       018490102      57        992 SH         DEFINED     4            -           -     992
ALLERGAN INC/UNITED STATES      EQUITY       018490102    1787     30,996 SH          SOLE       2       30,996           -       -
ALLERGAN INC/UNITED STATES      EQUITY       018490102   39304    681,736 SH          SOLE       1      681,736           -       -
ALLETE INC                      EQUITY       018522300      43        920 SH         DEFINED     4            -           -     920
ALLETE INC                      EQUITY       018522300    1004     21,336 SH          SOLE       1       21,336           -       -
ALLIANCE ALL-MARKET ADVANTAGE   EQUITY       01852M108     158     11,405 SH         DEFINED     4            -           -  11,405
ALLIANCE DATA SYSTEMS CORP      EQUITY       018581108   27731    358,842 SH          SOLE       1      358,842           -       -
ALLIANCE IMAGING INC            EQUITY       018606202     199     21,228 SH          SOLE       1       21,228           -       -
ALLIANCE ONE INTERNATIONAL INC  EQUITY       018772103    3684    366,602 SH          SOLE       1      366,602           -       -
ALLIANCEBERNSTEIN GLOBAL HIGH   EQUITY       01879R106       4        300 SH         DEFINED     4            -           -     300
ALLIANCEBERNSTEIN HOLDING LP    EQUITY       01881G106     109      1,255 SH         DEFINED     4            -           -   1,255
ALLIANCEBERNSTEIN INCOME FUND   EQUITY       01881E101     362     44,196 SH         DEFINED     4            -           -  44,196
ALLIANT ENERGY CORP             EQUITY       018802108   11206    288,455 SH          SOLE       1      288,455           -       -
ALLIANT TECHSYSTEMS INC         EQUITY       018804104       8         85 SH         DEFINED     4            -           -      85
ALLIANT TECHSYSTEMS INC         EQUITY       018804104    2042     20,600 SH          SOLE       2       20,600           -       -
ALLIANT TECHSYSTEMS INC         EQUITY       018804104    8064     81,329 SH          SOLE       1       81,329           -       -
ALLIED CAPITAL CORP             EQUITY       01903Q108       3        100 SH         DEFINED     4            -           -     100
ALLIED CAPITAL CORP             EQUITY       01903Q108     178      5,736 SH          SOLE       1        5,736           -       -
ALLIED HEALTHCARE INTERNATIONA  EQUITY       01923A109    1395    498,044 SH          SOLE       1      498,044           -       -
ALLIED WASTE INDUSTRIES INC     EQUITY       019589308       4        329 SH          SOLE       2          329           -       -
ALLIED WASTE INDUSTRIES INC     EQUITY       019589308       7        500 SH         DEFINED     4            -           -     500
ALLIED WASTE INDUSTRIES INC     EQUITY       019589308    1621    120,398 SH          SOLE       1      120,398           -       -
ALLIED WORLD ASSURANCE HOLDING  EQUITY       G0219G203  599283 11,693,333 SH          SOLE       1   11,693,333           -       -
ALLIS-CHALMERS ENERGY INC       EQUITY       019645506     480     20,899 SH          SOLE       1       20,899           -       -
ALLOS THERAPEUTICS INC          EQUITY       019777101     190     43,051 SH          SOLE       1       43,051           -       -
ALLSCRIPTS HEALTHCARE SOLUTION  EQUITY       01988P108     968     38,000 SH          SOLE       3       38,000           -       -
ALLSCRIPTS HEALTHCARE SOLUTION  EQUITY       01988P108    1673     65,661 SH          SOLE       1       65,661           -       -
ALLSTATE CORP/THE               EQUITY       020002101      58        942 SH         DEFINED     4            -           -     942
ALLSTATE CORP/THE               EQUITY       020002101    2422     39,382 SH          SOLE       2       39,382           -       -
ALLSTATE CORP/THE               EQUITY       020002101   54086    879,302 SH          SOLE       1      879,302           -       -
ALLTEL CORP                     EQUITY       020039103       7        100 SH         DEFINED     4            -           -     100
ALLTEL CORP                     EQUITY       020039103      30        445 SH          SOLE       2          445           -       -
ALLTEL CORP                     EQUITY       020039103   44082    652,582 SH          SOLE       1      652,582           -       -
ALNYLAM PHARMACEUTICALS INC     EQUITY       02043Q107     408     26,863 SH          SOLE       1       26,863           -       -
ALON USA ENERGY INC             EQUITY       020520102     475     10,788 SH          SOLE       1       10,788           -       -
ALON USA ENERGY INC             EQUITY       020520102     563     12,800 SH          SOLE       2       12,800           -       -
ALPHA NATURAL RESOURCES INC     EQUITY       02076X102    1134     54,535 SH          SOLE       1       54,535           -       -
ALPHARMA INC                    EQUITY       020813101     938     36,074 SH          SOLE       1       36,074           -       -
ALTERA CORP                     EQUITY       021441100      10        457 SH          SOLE       2          457           -       -
ALTERA CORP                     EQUITY       021441100    7243    327,284 SH          SOLE       1      327,284           -       -
ALTRA HOLDINGS INC              EQUITY       02208R106     144      8,318 SH          SOLE       1        8,318           -       -
ALTRIA GROUP INC                EQUITY       02209S103    1128     16,079 SH         DEFINED     4            -           -  16,079
ALTRIA GROUP INC                EQUITY       02209S103   15928    227,089 SH          SOLE       2      227,089           -       -
ALTRIA GROUP INC                EQUITY       02209S103   74146  1,057,113 SH          SOLE       1    1,057,113           -       -
ALTUS PHARMACEUTICALS INC       EQUITY       02216N105     204     17,661 SH          SOLE       1       17,661           -       -
ALUMINUM CORP OF CHINA LTD      EQUITY       022276109      41        970 SH         DEFINED     4            -           -     970
ALZA CORP                       FIXED INCOME 02261WAB5       3      3,000 SH         DEFINED     4            -           -   3,000





                                                                                           
AM CASTLE & CO                  EQUITY       148411101    1367     38,078 SH          SOLE       1       38,078           -       -
AMAZON.COM INC                  EQUITY       023135106       4         55 SH         DEFINED     4            -           -      55
AMAZON.COM INC                  EQUITY       023135106      27        401 SH          SOLE       2          401           -       -
AMAZON.COM INC                  EQUITY       023135106   10026    146,559 SH          SOLE       1      146,559           -       -
AMB PROPERTY CORP               EQUITY       00163T109   15297    287,433 SH          SOLE       1      287,433           -       -
AMBAC FINANCIAL GROUP INC       EQUITY       023139108      20        228 SH         DEFINED     4            -           -     228
AMBAC FINANCIAL GROUP INC       EQUITY       023139108     596      6,831 SH          SOLE       2        6,831           -       -
AMBAC FINANCIAL GROUP INC       EQUITY       023139108    8606     98,701 SH          SOLE       1       98,701           -       -
AMBASSADORS GROUP INC           EQUITY       023177108     465     13,077 SH          SOLE       1       13,077           -       -
AMBASSADORS INTERNATIONAL INC   EQUITY       023178106     247      7,430 SH          SOLE       1        7,430           -       -
AMCOL INTERNATIONAL CORP        EQUITY       02341W103     583     21,348 SH          SOLE       1       21,348           -       -
AMCORE FINANCIAL INC            EQUITY       023912108     557     19,217 SH          SOLE       1       19,217           -       -
AMDOCS LIMITED                  FIXED INCOME 02342TAD1       1      1,000 PRN        DEFINED     4            -           -   1,000
AMDOCS LTD                      EQUITY       G02602103       8        200 SH         DEFINED     4            -           -     200
AMEDISYS INC                    EQUITY       023436108     785     21,597 SH          SOLE       1       21,597           -       -
AMERCO INC                      EQUITY       023586100     667      8,837 SH          SOLE       1        8,837           -       -
AMEREN CORP                     EQUITY       023608102       2         32 SH         DEFINED     4            -           -      32
AMEREN CORP                     EQUITY       023608102      13        266 SH          SOLE       2          266           -       -
AMEREN CORP                     EQUITY       023608102    7842    160,014 SH          SOLE       1      160,014           -       -
AMERICA FIRST TAX EXEMPT INVES  EQUITY       02364V107       2        300 SH         DEFINED     4            -           -     300
AMERICA MOVIL SAB DE CV         EQUITY       02364W105     403      6,509 SH         DEFINED     4            -           -   6,509
AMERICA MOVIL SAB DE CV         EQUITY       02364W105   29161    470,873 SH          SOLE       1      470,873           -       -
AMERICAN AXLE & MANUFACTURING   EQUITY       024061103    1103     37,227 SH          SOLE       1       37,227           -       -
AMERICAN CAPITAL STRATEGIES LT  EQUITY       024937104      50      1,177 SH         DEFINED     4            -           -   1,177
AMERICAN CAPITAL STRATEGIES LT  EQUITY       024937104     190      4,466 SH          SOLE       1        4,466           -       -
AMERICAN COMMERCIAL LINES INC   EQUITY       025195207    1354     51,976 SH          SOLE       1       51,976           -       -
AMERICAN DAIRY INC              EQUITY       025334103     101      5,402 SH          SOLE       1        5,402           -       -
AMERICAN DENTAL PARTNERS INC    EQUITY       025353103     271     10,435 SH          SOLE       1       10,435           -       -
AMERICAN EAGLE OUTFITTERS INC   EQUITY       02553E106   11280    439,600 SH          SOLE       2      439,600           -       -
AMERICAN EAGLE OUTFITTERS INC   EQUITY       02553E106   12961    505,115 SH          SOLE       1      505,115           -       -
AMERICAN ECOLOGY CORP           EQUITY       025533407     289     13,496 SH          SOLE       1       13,496           -       -
AMERICAN ELECTRIC POWER CO INC  EQUITY       025537101      23        514 SH          SOLE       2          514           -       -
AMERICAN ELECTRIC POWER CO INC  EQUITY       025537101    8440    187,395 SH          SOLE       1      187,395           -       -
AMERICAN EQUITY INVESTMENT LIF  EQUITY       025676206     571     47,298 SH          SOLE       1       47,298           -       -
AMERICAN EQUITY INVESTMENT LIF  EQUITY       025676206    3375    279,400 SH          SOLE       2      279,400           -       -
AMERICAN EXPRESS CO             EQUITY       025816109      21        337 SH         DEFINED     4            -           -     337
AMERICAN EXPRESS CO             EQUITY       025816109   17490    285,880 SH          SOLE       2      285,880           -       -
AMERICAN EXPRESS CO             EQUITY       025816109   50471    824,965 SH          SOLE       1      824,965           -       -
AMERICAN FINANCIAL GROUP INC/O  EQUITY       025932104    6014    176,098 SH          SOLE       1      176,098           -       -
AMERICAN GREETINGS CORP         EQUITY       026375105    6255    220,788 SH          SOLE       1      220,788           -       -
AMERICAN HOME MORTGAGE INVESTM  EQUITY       02660R107     746     40,602 SH          SOLE       1       40,602           -       -
AMERICAN INTERNATIONAL GROUP I  EQUITY       026874107     234      3,342 SH          SOLE       2        3,342           -       -
AMERICAN INTERNATIONAL GROUP I  EQUITY       026874107     744     10,626 SH         DEFINED     4            -           -  10,626
AMERICAN INTERNATIONAL GROUP I  EQUITY       026874107  226626  3,236,128 SH          SOLE       1    3,236,128           -       -
AMERICAN MEDICAL SYSTEMS HOLDI  EQUITY       02744M108    1082     59,958 SH          SOLE       1       59,958           -       -
AMERICAN ORIENTAL BIOENGINEERI  EQUITY       028731107     344     38,707 SH          SOLE       1       38,707           -       -
AMERICAN PHYSICIANS CAPITAL IN  EQUITY       028884104     324      7,990 SH          SOLE       1        7,990           -       -
AMERICAN PHYSICIANS CAPITAL IN  EQUITY       028884104     381      9,400 SH          SOLE       2        9,400           -       -
AMERICAN RAILCAR INDUSTRIES IN  EQUITY       02916P103     318      8,148 SH          SOLE       1        8,148           -       -
AMERICAN REPROGRAPHICS CO       EQUITY       029263100     762     24,757 SH          SOLE       1       24,757           -       -
AMERICAN REPROGRAPHICS CO       EQUITY       029263100   13058    424,100 SH          SOLE       2      424,100           -       -
AMERICAN SCIENCE & ENGINEERING  EQUITY       029429107     434      7,636 SH          SOLE       1        7,636           -       -
AMERICAN STANDARD COS INC       EQUITY       029712106    4672     79,212 SH          SOLE       1       79,212           -       -
AMERICAN STANDARD COS INC       EQUITY       029712106      13        227 SH          SOLE       2          227           -       -
AMERICAN STATES WATER CO        EQUITY       029899101     505     14,196 SH          SOLE       1       14,196           -       -
AMERICAN SUPERCONDUCTOR CORP    EQUITY       030111108     558     28,913 SH          SOLE       1       28,913           -       -





                                                                                           
AMERICAN TOWER CORP             EQUITY       029912201    2441     58,127 SH          SOLE       1       58,127           -       -
AMERICAN VANGUARD CORP          EQUITY       030371108     217     15,139 SH          SOLE       1       15,139           -       -
AMERICAN WOODMARK CORP          EQUITY       030506109     340      9,830 SH          SOLE       1        9,830           -       -
AMERICANWEST BANCORP            EQUITY       03058P109     261     14,299 SH          SOLE       1       14,299           -       -
AMERICREDIT CORP                EQUITY       03060R101    7740    291,510 SH          SOLE       1      291,510           -       -
AMERIGAS PARTNERS LP            EQUITY       030975106      57      1,572 SH         DEFINED     4            -           -   1,572
AMERIGON INC                    EQUITY       03070L300     324     17,989 SH          SOLE       1       17,989           -       -
AMERIGROUP CORP                 EQUITY       03073T102    1045     43,904 SH          SOLE       1       43,904           -       -
AMERIPRISE FINANCIAL INC        EQUITY       03076C106   22690    356,922 SH          SOLE       1      356,922           -       -
AMERIPRISE FINANCIAL INC        EQUITY       03076C106      19        303 SH          SOLE       2          303           -       -
AMERIS BANCORP                  EQUITY       03076K108     253     11,264 SH          SOLE       1       11,264           -       -
AMERISAFE INC                   EQUITY       03071H100     307     15,639 SH          SOLE       1       15,639           -       -
AMERISOURCEBERGEN CORP          EQUITY       03073E105      12        246 SH          SOLE       2          246           -       -
AMERISOURCEBERGEN CORP          EQUITY       03073E105    4520     91,376 SH          SOLE       1       91,376           -       -
AMERISTAR CASINOS INC           EQUITY       03070Q101     731     21,035 SH          SOLE       1       21,035           -       -
AMERITYRE CORP                  EQUITY       03073V107       4      1,000 SH         DEFINED     4            -           -   1,000
AMERON INTERNATIONAL CORP       EQUITY       030710107     684      7,581 SH          SOLE       1        7,581           -       -
AMETEK INC                      EQUITY       031100100       7        187 SH         DEFINED     4            -           -     187
AMETEK INC                      EQUITY       031100100   10268    258,777 SH          SOLE       1      258,777           -       -
AMETEK INC                      EQUITY       031100100   22800    574,600 SH          SOLE       2      574,600           -       -
AMGEN INC                       EQUITY       031162100      99      1,794 SH         DEFINED     4            -           -   1,794
AMGEN INC                       EQUITY       031162100    5871    106,194 SH          SOLE       2      106,194           -       -
AMGEN INC                       EQUITY       031162100   70921  1,282,712 SH          SOLE       1    1,282,712           -       -
AMICUS THERAPEUTICS INC         EQUITY       03152W109      48      4,162 SH          SOLE       1        4,162           -       -
AMIS HOLDINGS INC               EQUITY       031538101     696     55,618 SH          SOLE       1       55,618           -       -
AMKOR TECHNOLOGY INC            EQUITY       031652100     425     27,000 SH          SOLE       2       27,000           -       -
AMKOR TECHNOLOGY INC            EQUITY       031652100    1371     87,039 SH          SOLE       1       87,039           -       -
AMN HEALTHCARE SERVICES INC     EQUITY       001744101     635     28,864 SH          SOLE       1       28,864           -       -
AMN HEALTHCARE SERVICES INC     EQUITY       001744101    4330    196,800 SH          SOLE       2      196,800           -       -
AMPAL AMERICAN ISRAEL           EQUITY       032015109      87     14,538 SH          SOLE       1       14,538           -       -
AMPCO-PITTSBURGH CORP           EQUITY       032037103     245      6,117 SH          SOLE       1        6,117           -       -
AMPHENOL CORP                   EQUITY       032095101    9886    277,300 SH          SOLE       2      277,300           -       -
AMPHENOL CORP                   EQUITY       032095101   15668    439,501 SH          SOLE       1      439,501           -       -
AMR CORP                        EQUITY       001765106     444     16,868 SH          SOLE       1       16,868           -       -
AMREP CORP                      EQUITY       032159105      87      1,838 SH          SOLE       1        1,838           -       -
AMSURG CORP                     EQUITY       03232P405     614     25,422 SH          SOLE       1       25,422           -       -
AMTRUST FINANCIAL SERVICES INC  EQUITY       032359309     400     21,303 SH          SOLE       1       21,303           -       -
AMYLIN PHARMACEUTICALS INC      EQUITY       032346108     272      6,600 SH          SOLE       2        6,600           -       -
AMYLIN PHARMACEUTICALS INC      EQUITY       032346108     370      8,988 SH          SOLE       1        8,988           -       -
ANADARKO PETROLEUM CORP         EQUITY       032511107      31        598 SH          SOLE       2          598           -       -
ANADARKO PETROLEUM CORP         EQUITY       032511107   10169    195,588 SH          SOLE       1      195,588           -       -
ANADIGICS INC                   EQUITY       032515108      14      1,000 SH         DEFINED     4            -           -   1,000
ANADIGICS INC                   EQUITY       032515108     675     48,969 SH          SOLE       1       48,969           -       -
ANALOG DEVICES INC              EQUITY       032654105       2         50 SH         DEFINED     4            -           -      50
ANALOG DEVICES INC              EQUITY       032654105      16        421 SH          SOLE       2          421           -       -
ANALOG DEVICES INC              EQUITY       032654105   28905    767,946 SH          SOLE       1      767,946           -       -
ANALOGIC CORP                   EQUITY       032657207    1706     23,214 SH          SOLE       1       23,214           -       -
ANAREN INC                      EQUITY       032744104     251     14,272 SH          SOLE       1       14,272           -       -
ANCHOR BANCORP WISCONSIN INC    EQUITY       032839102     427     16,290 SH          SOLE       1       16,290           -       -
ANDERSONS INC/THE               EQUITY       034164103     587     12,945 SH          SOLE       1       12,945           -       -
ANDERSONS INC/THE               EQUITY       034164103    6573    145,000 SH          SOLE       2      145,000           -       -
ANDREW CORP                     EQUITY       034425108    7347    508,774 SH          SOLE       1      508,774           -       -
ANGIODYNAMICS INC               EQUITY       03475V101     315     17,463 SH          SOLE       1       17,463           -       -
ANGLO AMERN PLC ADR             EQUITY       03485P102     277      9,440 SH         DEFINED     4            -           -   9,440
ANHEUSER-BUSCH COS INC          EQUITY       035229103      50        950 SH         DEFINED     4            -           -     950
ANHEUSER-BUSCH COS INC          EQUITY       035229103    3737     71,654 SH          SOLE       2       71,654           -       -





                                                                                           
ANHEUSER-BUSCH COS INC          EQUITY       035229103   17439    334,328 SH          SOLE       1      334,328           -       -
ANIMAL HEALTH INTERNATIONAL IN  EQUITY       03525N109    1091     75,300 SH          SOLE       3       75,300           -       -
ANIMAL HEALTH INTERNATIONAL IN  EQUITY       03525N109     142      9,819 SH          SOLE       1        9,819           -       -
ANIXTER INTERNATIONAL INC       EQUITY       035290105     431      5,730 SH         DEFINED     4            -           -   5,730
ANIXTER INTERNATIONAL INC       EQUITY       035290105    1933     25,699 SH          SOLE       1       25,699           -       -
ANIXTER INTERNATIONAL INC       EQUITY       035290105    6543     87,000 SH          SOLE       2       87,000           -       -
ANNALY CAPITAL MANAGEMENT INC   EQUITY       035710409     143      9,903 SH          SOLE       1        9,903           -       -
ANNTAYLOR STORES CORP           EQUITY       036115103    5898    166,516 SH          SOLE       1      166,516           -       -
ANSOFT CORP                     EQUITY       036384105     495     16,800 SH          SOLE       2       16,800           -       -
ANSOFT CORP                     EQUITY       036384105    1184     40,166 SH          SOLE       1       40,166           -       -
ANSWERTHINK INC                 EQUITY       036916104       3        700 SH         DEFINED     4            -           -     700
ANSYS INC                       EQUITY       03662Q105    1709     64,507 SH          SOLE       1       64,507           -       -
ANTARES PHARMA INC              EQUITY       036642106      14      8,900 SH         DEFINED     4            -           -   8,900
ANTHRACITE CAPITAL INC          EQUITY       037023108     684     58,447 SH          SOLE       1       58,447           -       -
ANWORTH MORTGAGE ASSET CORP     EQUITY       037347101     344     37,956 SH          SOLE       1       37,956           -       -
AO SMITH CORP                   EQUITY       831865209     683     17,119 SH          SOLE       1       17,119           -       -
AON CORP                        EQUITY       037389103      16        378 SH          SOLE       2          378           -       -
AON CORP                        EQUITY       037389103   12560    294,778 SH          SOLE       1      294,778           -       -
APACHE CORP                     EQUITY       037411105      22        265 SH         DEFINED     4            -           -     265
APACHE CORP                     EQUITY       037411105      35        427 SH          SOLE       2          427           -       -
APACHE CORP                     EQUITY       037411105   26054    319,327 SH          SOLE       1      319,327           -       -
APARTMENT INVESTMENT & MANAGEM  EQUITY       03748R101       6        125 SH          SOLE       2          125           -       -
APARTMENT INVESTMENT & MANAGEM  EQUITY       03748R101   10643    211,078 SH          SOLE       1      211,078           -       -
APCO ARGENTINA INC              EQUITY       037489101     161      1,898 SH          SOLE       1        1,898           -       -
APOGEE ENTERPRISES INC          EQUITY       037598109     666     23,956 SH          SOLE       1       23,956           -       -
APOGEE ENTERPRISES INC          EQUITY       037598109     450     16,166 SH         DEFINED     4            -           -  16,166
APOLLO GROUP INC                EQUITY       037604105      11        180 SH          SOLE       2          180           -       -
APOLLO GROUP INC                EQUITY       037604105    6892    117,955 SH          SOLE       1      117,955           -       -
APOLLO INVESTMENT CORP          EQUITY       03761U106    1797     83,500 SH          SOLE       1       83,500           -       -
APPLE INC                       EQUITY       037833100    2562     21,006 SH         DEFINED     4            -           -  21,006
APPLE INC                       EQUITY       037833100   95662    783,859 SH          SOLE       1      783,859           -       -
APPLE INC                       EQUITY       037833100   49393    404,730 SH          SOLE       2      404,730           -       -
APPLEBEES INTERNATIONAL INC     EQUITY       037899101       5        205 SH         DEFINED     4            -           -     205
APPLEBEES INTERNATIONAL INC     EQUITY       037899101    5878    243,916 SH          SOLE       1      243,916           -       -
APPLERA CORP - APPLIED BIOSYST  EQUITY       038020103       1         44 SH         DEFINED     4            -           -      44
APPLERA CORP - APPLIED BIOSYST  EQUITY       038020103       7        236 SH          SOLE       2          236           -       -
APPLERA CORP - APPLIED BIOSYST  EQUITY       038020103    2750     90,032 SH          SOLE       1       90,032           -       -
APPLERA CORP - CELERA GROUP     EQUITY       038020202     842     67,909 SH          SOLE       1       67,909           -       -
APPLIED INDUSTRIAL TECHNOLOGIE  EQUITY       03820C105    1057     35,837 SH          SOLE       1       35,837           -       -
APPLIED MATERIALS INC           EQUITY       038222105       9        430 SH         DEFINED     4            -           -     430
APPLIED MATERIALS INC           EQUITY       038222105      35      1,780 SH          SOLE       2        1,780           -       -
APPLIED MATERIALS INC           EQUITY       038222105   36503  1,836,981 SH          SOLE       1    1,836,981           -       -
APPLIED MICRO CIRCUITS CORP     EQUITY       03822W109     589    235,653 SH          SOLE       1      235,653           -       -
APPLIX INC                      EQUITY       038316105     215     13,100 SH          SOLE       2       13,100           -       -
APRIA HEALTHCARE GROUP INC      EQUITY       037933108    4609    160,216 SH          SOLE       1      160,216           -       -
APTARGROUP INC                  EQUITY       038336103    2048     57,593 SH          SOLE       1       57,593           -       -
AQUA AMERICA INC                EQUITY       03836W103      11        500 SH         DEFINED     4            -           -     500
AQUA AMERICA INC                EQUITY       03836W103    7371    327,747 SH          SOLE       1      327,747           -       -
AQUA AMERICA INC                EQUITY       03836W103   10896    484,500 SH          SOLE       2      484,500           -       -
AQUANTIVE INC                   EQUITY       03839G105   10655    167,002 SH          SOLE       1      167,002           -       -
AQUILA INC                      EQUITY       03840P102       4        933 SH         DEFINED     4            -           -     933
AQUILA INC                      EQUITY       03840P102    5007  1,224,165 SH          SOLE       1    1,224,165           -       -
ARACRUZ CELULOSE SA             EQUITY       038496204       4         58 SH         DEFINED     4            -           -      58
ARBITRON INC                    EQUITY       03875Q108       5         97 SH         DEFINED     4            -           -      97
ARBITRON INC                    EQUITY       03875Q108    2658     51,588 SH          SOLE       1       51,588           -       -
ARBOR REALTY TRUST INC          EQUITY       038923108     273     10,571 SH          SOLE       1       10,571           -       -





                                                                                           
ARCELOR MITTAL                  EQUITY       03937E101      31        500 SH         DEFINED     4            -           -     500
ARCH CHEMICALS INC              EQUITY       03937R102     711     20,226 SH          SOLE       1       20,226           -       -
ARCH COAL INC                   EQUITY       039380100    2923     84,000 SH          SOLE       3       84,000           -       -
ARCH COAL INC                   EQUITY       039380100       3         80 SH         DEFINED     4            -           -      80
ARCH COAL INC                   EQUITY       039380100   12191    350,330 SH          SOLE       1      350,330           -       -
ARCHER-DANIELS-MIDLAND CO       EQUITY       039483102      24        727 SH         DEFINED     4            -           -     727
ARCHER-DANIELS-MIDLAND CO       EQUITY       039483102      28        841 SH          SOLE       2          841           -       -
ARCHER-DANIELS-MIDLAND CO       EQUITY       039483102   11271    340,631 SH          SOLE       1      340,631           -       -
ARCHSTONE-SMITH TRUST           EQUITY       039583109   12433    210,344 SH          SOLE       1      210,344           -       -
ARCHSTONE-SMITH TRUST           EQUITY       039583109      17        287 SH          SOLE       2          287           -       -
ARCTIC CAT INC                  EQUITY       039670104     198      9,992 SH          SOLE       1        9,992           -       -
ARDEN GROUP INC                 EQUITY       039762109     129        943 SH          SOLE       1          943           -       -
ARENA PHARMACEUTICALS INC       EQUITY       040047102     557     50,718 SH          SOLE       1       50,718           -       -
ARENA RESOURCES INC             EQUITY       040049108     647     11,134 SH          SOLE       1       11,134           -       -
ARES CAPITAL CORP               EQUITY       04010L103     974     57,818 SH          SOLE       1       57,818           -       -
ARGON ST INC                    EQUITY       040149106     251     10,829 SH          SOLE       1       10,829           -       -
ARGONAUT GROUP INC              EQUITY       040157109     874     27,992 SH          SOLE       1       27,992           -       -
ARIAD PHARMACEUTICALS INC       EQUITY       04033A100     314     57,143 SH          SOLE       1       57,143           -       -
ARIBA INC                       EQUITY       04033V203     646     65,212 SH          SOLE       1       65,212           -       -
ARKANSAS BEST CORP              EQUITY       040790107     731     18,763 SH          SOLE       1       18,763           -       -
ARLINGTON TANKERS LTD           EQUITY       G04899103      49      1,700 SH         DEFINED     4            -           -   1,700
ARMOR HOLDINGS INC              EQUITY       042260109   11109    127,876 SH          SOLE       1      127,876           -       -
ARMSTRONG WORLD INDUSTRIES INC  EQUITY       04247X102      37        732 SH          SOLE       1          732           -       -
ARQULE INC                      EQUITY       04269E107     192     27,170 SH          SOLE       1       27,170           -       -
ARRAY BIOPHARMA INC             EQUITY       04269X105     456     39,109 SH          SOLE       1       39,109           -       -
ARRIS GROUP INC                 EQUITY       04269Q100     697     39,600 SH          SOLE       2       39,600           -       -
ARRIS GROUP INC                 EQUITY       04269Q100    1596     90,712 SH          SOLE       1       90,712           -       -
ARROW ELECTRONICS INC           EQUITY       042735100   11639    302,853 SH          SOLE       1      302,853           -       -
ARROW INTERNATIONAL INC         EQUITY       042764100     804     20,997 SH          SOLE       1       20,997           -       -
ARROWHEAD RESEARCH CORP         EQUITY       042797100     142     28,169 SH          SOLE       1       28,169           -       -
ART TECHNOLOGY GROUP INC        EQUITY       04289L107     283    106,436 SH          SOLE       1      106,436           -       -
ARTHROCARE CORP                 EQUITY       043136100    1005     22,887 SH          SOLE       1       22,887           -       -
ARTHUR J GALLAGHER & CO         EQUITY       363576109      13        449 SH         DEFINED     4            -           -     449
ARTHUR J GALLAGHER & CO         EQUITY       363576109   22315    800,412 SH          SOLE       1      800,412           -       -
ARUBA NETWORKS INC              EQUITY       043176106     133      6,627 SH          SOLE       1        6,627           -       -
ARVINMERITOR INC                EQUITY       043353101    5179    233,310 SH          SOLE       1      233,310           -       -
ASBURY AUTOMOTIVE GROUP INC     EQUITY       043436104     629     25,218 SH          SOLE       1       25,218           -       -
ASHFORD HOSPITALITY TRUST INC   EQUITY       044103109    1036     88,137 SH          SOLE       1       88,137           -       -
ASHLAND INC                     EQUITY       044209104       5         72 SH          SOLE       2           72           -       -
ASHLAND INC                     EQUITY       044209104   10209    159,640 SH          SOLE       1      159,640           -       -
ASIAINFO HOLDINGS INC           EQUITY       04518A104     256     26,357 SH          SOLE       1       26,357           -       -
ASPECT MEDICAL SYSTEMS INC      EQUITY       045235108     205     13,722 SH          SOLE       1       13,722           -       -
ASPEN INSURANCE HOLDINGS LTD    EQUITY       G05384105     601     21,400 SH          SOLE       2       21,400           -       -
ASPEN TECHNOLOGY INC            EQUITY       045327103    1026     73,295 SH          SOLE       1       73,295           -       -
ASPEN TECHNOLOGY INC            EQUITY       045327103    4112    293,700 SH          SOLE       2      293,700           -       -
ASPREVA PHARMACEUTICALS CORP    EQUITY       04538T109     498     28,769 SH          SOLE       1       28,769           -       -
ASSET ACCEPTANCE CAPITAL CORP   EQUITY       04543P100    3789    214,090 SH          SOLE       1      214,090           -       -
ASSISTED LIVING CONCEPTS INC    EQUITY       04544X102     533     50,091 SH          SOLE       1       50,091           -       -
ASSOCIATED BANC-CORP            EQUITY       045487105   10585    323,704 SH          SOLE       1      323,704           -       -
ASSOCIATED ESTATES REALTY CORP  EQUITY       045604105     204     13,087 SH          SOLE       1       13,087           -       -
ASSURANT INC                    EQUITY       04621X108       8        128 SH          SOLE       2          128           -       -
ASSURANT INC                    EQUITY       04621X108    2798     47,486 SH          SOLE       1       47,486           -       -
ASTA FUNDING INC                EQUITY       046220109     360      9,359 SH          SOLE       1        9,359           -       -
ASTEC INDUSTRIES INC            EQUITY       046224101     661     15,652 SH          SOLE       1       15,652           -       -
ASTORIA FINANCIAL CORP          EQUITY       046265104    5240    209,280 SH          SOLE       1      209,280           -       -
ASTRONICS CORP                  EQUITY       046433108    1262     39,600 SH          SOLE       3       39,600           -       -





                                                                                           
ASV INC                         EQUITY       001963107      35      2,000 SH         DEFINED     4            -           -   2,000
ASV INC                         EQUITY       001963107     293     16,945 SH          SOLE       1       16,945           -       -
ASYST TECHNOLOGIES INC          EQUITY       04648X107     296     40,965 SH          SOLE       1       40,965           -       -
AT&T INC                        EQUITY       00206R102  228384  5,503,630 SH          SOLE       1    5,503,630           -       -
AT&T INC                        EQUITY       00206R102   97684  2,353,823 SH          SOLE       2    2,353,823           -       -
AT&T INC                        EQUITY       00206R102    2922     70,420 SH         DEFINED     4            -           -  70,420
ATHEROS COMMUNICATIONS INC      EQUITY       04743P108    3136    101,700 SH          SOLE       3      101,700           -       -
ATHEROS COMMUNICATIONS INC      EQUITY       04743P108    2544     82,486 SH          SOLE       1       82,486           -       -
ATLANTIC TELE-NETWORK INC       EQUITY       049079205     224      7,836 SH          SOLE       1        7,836           -       -
ATLAS AIR WORLDWIDE HOLDINGS I  EQUITY       049164205     654     11,103 SH          SOLE       1       11,103           -       -
ATLAS AMERICA INC               EQUITY       049167109    1022     19,013 SH          SOLE       1       19,013           -       -
ATLAS PIPELINE PARTNERS LP      EQUITY       049392103      66      1,221 SH         DEFINED     4            -           -   1,221
ATMEL CORP                      EQUITY       049513104    5975  1,074,704 SH          SOLE       1    1,074,704           -       -
ATMI INC                        EQUITY       00207R101     862     28,719 SH          SOLE       1       28,719           -       -
ATMOS ENERGY CORP               EQUITY       049560105      15        500 SH         DEFINED     4            -           -     500
ATMOS ENERGY CORP               EQUITY       049560105    1466     48,765 SH          SOLE       1       48,765           -       -
ATP OIL & GAS CORP              EQUITY       00208J108     864     17,767 SH          SOLE       1       17,767           -       -
ATWOOD OCEANICS INC             EQUITY       050095108    1565     22,814 SH          SOLE       1       22,814           -       -
AU OPTRONICS CORP               EQUITY       002255107      33      1,912 SH         DEFINED     4            -           -   1,912
AUDIOVOX CORP                   EQUITY       050757103     181     13,969 SH          SOLE       1       13,969           -       -
AUTHORIZE.NET HOLDINGS INC      EQUITY       052686102     457     25,570 SH          SOLE       1       25,570           -       -
AUTODESK INC                    EQUITY       052769106    6927    147,137 SH          SOLE       1      147,137           -       -
AUTODESK INC                    EQUITY       052769106      13        280 SH         DEFINED     4            -           -     280
AUTODESK INC                    EQUITY       052769106   26294    558,498 SH          SOLE       2      558,498           -       -
AUTOLIV INC                     EQUITY       052800109     496      8,714 SH          SOLE       1        8,714           -       -
AUTOMATIC DATA PROCESSING INC   EQUITY       053015103      35        713 SH          SOLE       2          713           -       -
AUTOMATIC DATA PROCESSING INC   EQUITY       053015103      40        835 SH         DEFINED     4            -           -     835
AUTOMATIC DATA PROCESSING INC   EQUITY       053015103   11886    245,223 SH          SOLE       1      245,223           -       -
AUTONATION INC                  EQUITY       05329W102       4        195 SH          SOLE       2          195           -       -
AUTONATION INC                  EQUITY       05329W102    1599     71,243 SH          SOLE       1       71,243           -       -
AUTOZONE INC                    EQUITY       053332102       8         62 SH          SOLE       2           62           -       -
AUTOZONE INC                    EQUITY       053332102      59        429 SH         DEFINED     4            -           -     429
AUTOZONE INC                    EQUITY       053332102    9593     70,220 SH          SOLE       1       70,220           -       -
AUXILIUM PHARMACEUTICALS INC    EQUITY       05334D107     376     23,601 SH          SOLE       1       23,601           -       -
AVALON PHARMACEUTICALS INC      EQUITY       05346P106    1186    277,671 SH          SOLE       1      277,671           -       -
AVALONBAY COMMUNITIES INC       EQUITY       053484101      12        103 SH          SOLE       2          103           -       -
AVALONBAY COMMUNITIES INC       EQUITY       053484101    4726     39,753 SH          SOLE       1       39,753           -       -
AVANEX CORP                     EQUITY       05348W109     291    161,826 SH          SOLE       1      161,826           -       -
AVATAR HOLDINGS INC             EQUITY       053494100     366      4,761 SH          SOLE       1        4,761           -       -
AVAYA INC                       EQUITY       053499109      10        580 SH          SOLE       2          580           -       -
AVAYA INC                       EQUITY       053499109   11697    694,592 SH          SOLE       1      694,592           -       -
AVENTINE RENEWABLE ENERGY HOLD  EQUITY       05356X403     425     25,038 SH          SOLE       1       25,038           -       -
AVENTINE RENEWABLE ENERGY HOLD  EQUITY       05356X403    3564    210,000 SH          SOLE       2      210,000           -       -
AVERY DENNISON CORP             EQUITY       053611109    3235     48,655 SH          SOLE       2       48,655           -       -
AVERY DENNISON CORP             EQUITY       053611109    9468    142,424 SH          SOLE       1      142,424           -       -
AVI BIOPHARMA INC               EQUITY       002346104       1        500 SH         DEFINED     4            -           -     500
AVICI SYSTEMS INC               EQUITY       05367L802    2625    350,000 SH          SOLE       1      350,000           -       -
AVID TECHNOLOGY INC             EQUITY       05367P100    1215     34,357 SH          SOLE       1       34,357           -       -
AVIS BUDGET GROUP INC           EQUITY       053774105    7445    261,883 SH          SOLE       1      261,883           -       -
AVISTA CORP                     EQUITY       05379B107     946     43,895 SH          SOLE       1       43,895           -       -
AVNET INC                       EQUITY       053807103      30        745 SH         DEFINED     4            -           -     745
AVNET INC                       EQUITY       053807103   12827    323,589 SH          SOLE       1      323,589           -       -
AVOCENT CORP                    EQUITY       053893103    4783    164,885 SH          SOLE       1      164,885           -       -
AVOCENT CORP                    EQUITY       053893103    5872    202,400 SH          SOLE       2      202,400           -       -
AVON PRODUCTS INC               EQUITY       054303102       3         75 SH         DEFINED     4            -           -      75
AVON PRODUCTS INC               EQUITY       054303102      21        565 SH          SOLE       2          565           -       -





                                                                                           
AVON PRODUCTS INC               EQUITY       054303102    7275    197,950 SH          SOLE       1      197,950           -       -
AVX CORP                        EQUITY       002444107     696     41,590 SH          SOLE       1       41,590           -       -
AXA SA                          EQUITY       054536107     752     17,470 SH         DEFINED     4            -           -  17,470
AXCELIS TECHNOLOGIES INC        EQUITY       054540109     549     84,578 SH          SOLE       1       84,578           -       -
AXCELIS TECHNOLOGIES INC        EQUITY       054540109    2382    367,000 SH          SOLE       2      367,000           -       -
AXIS CAPITAL HOLDINGS LTD       EQUITY       G0692U109       9        232 SH         DEFINED     4            -           -     232
AZZ INC                         EQUITY       002474104     326      9,697 SH          SOLE       1        9,697           -       -
BADGER METER INC                EQUITY       056525108     335     11,839 SH          SOLE       1       11,839           -       -
BAKER HUGHES INC                EQUITY       057224107      51        604 SH         DEFINED     4            -           -     604
BAKER HUGHES INC                EQUITY       057224107     688      8,180 SH          SOLE       2        8,180           -       -
BAKER HUGHES INC                EQUITY       057224107   11862    140,998 SH          SOLE       1      140,998           -       -
BALCHEM CORP                    EQUITY       057665200     270     14,844 SH          SOLE       1       14,844           -       -
BALDOR ELECTRIC CO              EQUITY       057741100    2103     42,681 SH          SOLE       1       42,681           -       -
BALDWIN & LYONS INC             EQUITY       057755209     176      6,764 SH          SOLE       1        6,764           -       -
BALL CORP                       EQUITY       058498106       7        132 SH          SOLE       2          132           -       -
BALL CORP                       EQUITY       058498106    2412     45,361 SH          SOLE       1       45,361           -       -
BALLY TECHNOLOGIES INC          EQUITY       05874B107     579     21,900 SH          SOLE       2       21,900           -       -
BALLY TECHNOLOGIES INC          EQUITY       05874B107    1171     44,316 SH          SOLE       1       44,316           -       -
BANCFIRST CORP                  EQUITY       05945F103     284      6,635 SH          SOLE       1        6,635           -       -
BANCO SANTANDER CHILE SA        EQUITY       05965X109    5786    116,795 SH          SOLE       1      116,795           -       -
BANCOLOMBIA SA                  EQUITY       05968L102     302      9,200 SH          SOLE       1        9,200           -       -
BANCOLOMBIA SA                  EQUITY       05968L102    1380     42,043 SH         DEFINED     4            -           -  42,043
BANCORP INC/DE                  EQUITY       05969A105     200      8,942 SH          SOLE       1        8,942           -       -
BANCORPSOUTH INC                EQUITY       059692103      76      3,096 SH          SOLE       1        3,096           -       -
BANK MUTUAL CORP                EQUITY       063750103    1210    104,934 SH          SOLE       1      104,934           -       -
BANK OF AMERICA CORP            EQUITY       060505104     390      7,984 SH         DEFINED     4            -           -   7,984
BANK OF AMERICA CORP            EQUITY       060505104   15890    325,012 SH          SOLE       2      325,012           -       -
BANK OF AMERICA CORP            EQUITY       060505104  201531  4,122,122 SH          SOLE       1    4,122,122           -       -
BANK OF HAWAII CORP             EQUITY       062540109    6315    122,293 SH          SOLE       1      122,293           -       -
BANK OF MONTREAL                EQUITY       063671101    9069    140,998 SH          OTHER      1            -     140,998       -
BANK OF NEW YORK MELLON CORP/T  EQUITY       064057102     112      2,677 SH         DEFINED     4            -           -   2,677
BANK OF NEW YORK MELLON CORP/T  EQUITY       064057102   11563    279,023 SH          SOLE       2      279,023           -       -
BANK OF NEW YORK MELLON CORP/T  EQUITY       064057102   26252    633,487 SH          SOLE       1      633,487           -       -
BANK OF NOVA SCOTIA             EQUITY       064149107       5        106 SH         DEFINED     4            -           -     106
BANK OF NOVA SCOTIA             EQUITY       064149107   11667    239,103 SH          OTHER      1            -     239,103       -
BANK OF THE OZARKS INC          EQUITY       063904106     283     10,168 SH          SOLE       1       10,168           -       -
BANKATLANTIC BANCORP INC        EQUITY       065908501     321     37,266 SH          SOLE       1       37,266           -       -
BANKFINANCIAL CORP              EQUITY       06643P104     298     19,284 SH          SOLE       1       19,284           -       -
BANKRATE INC                    EQUITY       06646V108     449      9,364 SH          SOLE       1        9,364           -       -
BANKUNITED FINANCIAL CORP       EQUITY       06652B103     533     26,571 SH          SOLE       1       26,571           -       -
BANNER CORP                     EQUITY       06652V109     369     10,820 SH          SOLE       1       10,820           -       -
BARCLAYS BANK PLC               EQUITY       06738C778     822     16,198 SH         DEFINED     4            -           -  16,198
BARCLAYS PLC                    EQUITY       06738E204       3         52 SH         DEFINED     4            -           -      52
BARE ESCENTUALS INC             EQUITY       067511105      28        826 SH          SOLE       1          826           -       -
BARE ESCENTUALS INC             EQUITY       067511105     379     11,100 SH          SOLE       2       11,100           -       -
BARNES & NOBLE INC              EQUITY       067774109     369      9,600 SH          SOLE       2        9,600           -       -
BARNES & NOBLE INC              EQUITY       067774109    4888    127,063 SH          SOLE       1      127,063           -       -
BARNES GROUP INC                EQUITY       067806109    1215     38,341 SH          SOLE       1       38,341           -       -
BARR PHARMACEUTICALS INC        EQUITY       068306109     163      3,240 SH         DEFINED     4            -           -   3,240
BARR PHARMACEUTICALS INC        EQUITY       068306109    9154    182,241 SH          SOLE       2      182,241           -       -
BARR PHARMACEUTICALS INC        EQUITY       068306109    2482     49,412 SH          SOLE       1       49,412           -       -
BARRETT BUSINESS SERVICES INC   EQUITY       068463108     160      6,184 SH          SOLE       1        6,184           -       -
BARRETT BUSINESS SERVICES INC   EQUITY       068463108     511     19,800 SH          SOLE       2       19,800           -       -
BARRICK GOLD CORP               EQUITY       067901108    1001     34,439 SH          SOLE       2       34,439           -       -
BARRICK GOLD CORP               EQUITY       067901108     539     18,496 SH          OTHER      1            -      18,496       -
BASIC ENERGY SERVICES INC       EQUITY       06985P100      15        590 SH         DEFINED     4            -           -     590





                                                                                           
BASIC ENERGY SERVICES INC       EQUITY       06985P100     869     34,000 SH          SOLE       1       34,000           -       -
BAUSCH & LOMB INC               EQUITY       071707103       5         70 SH          SOLE       2           70           -       -
BAUSCH & LOMB INC               EQUITY       071707103    1733     24,955 SH          SOLE       1       24,955           -       -
BAXTER INTERNATIONAL INC        EQUITY       071813109      17        310 SH         DEFINED     4            -           -     310
BAXTER INTERNATIONAL INC        EQUITY       071813109    1096     19,454 SH          SOLE       2       19,454           -       -
BAXTER INTERNATIONAL INC        EQUITY       071813109   20216    358,816 SH          SOLE       1      358,816           -       -
BAYTEX ENERGY TRUST             EQUITY       073176109      46      2,289 SH         DEFINED     4            -           -   2,289
BB&T CORP                       EQUITY       054937107      28        699 SH          SOLE       2          699           -       -
BB&T CORP                       EQUITY       054937107   25815    634,579 SH          SOLE       1      634,579           -       -
BCE INC                         EQUITY       05534B760     214      5,642 SH          OTHER      1            -       5,642       -
BE AEROSPACE INC                EQUITY       073302101    3593     87,000 SH          SOLE       3       87,000           -       -
BE AEROSPACE INC                EQUITY       073302101      81      1,958 SH          SOLE       1        1,958           -       -
BE AEROSPACE INC                EQUITY       073302101     743     18,000 SH          SOLE       2       18,000           -       -
BEA SYSTEMS INC                 EQUITY       073325102     357     26,080 SH          SOLE       1       26,080           -       -
BEACON ROOFING SUPPLY INC       EQUITY       073685109     626     36,834 SH          SOLE       1       36,834           -       -
BEAR STEARNS COS INC/THE        EQUITY       073902108      21        153 SH          SOLE       2          153           -       -
BEAR STEARNS COS INC/THE        EQUITY       073902108    8594     61,384 SH          SOLE       1       61,384           -       -
BEARINGPOINT INC                EQUITY       074002106    1226    167,741 SH          SOLE       1      167,741           -       -
BEAZER HOMES USA INC            EQUITY       07556Q105    3156    127,936 SH          SOLE       1      127,936           -       -
BEBE STORES INC                 EQUITY       075571109     338     21,098 SH          SOLE       1       21,098           -       -
BECKMAN COULTER INC             EQUITY       075811109       6        100 SH         DEFINED     4            -           -     100
BECKMAN COULTER INC             EQUITY       075811109    9808    151,637 SH          SOLE       1      151,637           -       -
BECTON DICKINSON & CO           EQUITY       075887109      24        316 SH          SOLE       2          316           -       -
BECTON DICKINSON & CO           EQUITY       075887109    7822    104,996 SH          SOLE       1      104,996           -       -
BED BATH & BEYOND INC           EQUITY       075896100      12        320 SH         DEFINED     4            -           -     320
BED BATH & BEYOND INC           EQUITY       075896100      13        353 SH          SOLE       2          353           -       -
BED BATH & BEYOND INC           EQUITY       075896100    6216    172,704 SH          SOLE       1      172,704           -       -
BEIJING MED-PHARM CORP          EQUITY       077255107     237     22,167 SH          SOLE       1       22,167           -       -
BEL FUSE INC                    EQUITY       077347300     337      9,890 SH          SOLE       1        9,890           -       -
BELDEN INC                      EQUITY       077454106      32        578 SH         DEFINED     4            -           -     578
BELDEN INC                      EQUITY       077454106    3503     63,282 SH          SOLE       1       63,282           -       -
BELL MICROPRODUCTS INC          EQUITY       078137106     361     55,400 SH          SOLE       1       55,400           -       -
BELO CORP                       EQUITY       080555105    5859    284,546 SH          SOLE       1      284,546           -       -
BEMIS CO INC                    EQUITY       081437105    3100     93,428 SH          SOLE       2       93,428           -       -
BEMIS CO INC                    EQUITY       081437105    1631     49,165 SH          SOLE       1       49,165           -       -
BENCHMARK ELECTRONICS INC       EQUITY       08160H101    1367     60,435 SH          SOLE       1       60,435           -       -
BENIHANA INC                    EQUITY       082047200     137      6,835 SH          SOLE       1        6,835           -       -
BENTLEY PHARMACEUTICALS INC     EQUITY       082657107     193     15,901 SH          SOLE       1       15,901           -       -
BERKSHIRE HATHAWAY INC          EQUITY       084670207      32          9 SH         DEFINED     4            -           -       9
BERKSHIRE HATHAWAY INC          EQUITY       084670108     109          1 SH         DEFINED     4            -           -       1
BERKSHIRE HILLS BANCORP INC     EQUITY       084680107     231      7,346 SH          SOLE       1        7,346           -       -
BERRY PETROLEUM CO              EQUITY       085789105    2256     59,873 SH          SOLE       1       59,873           -       -
BERRY PETROLEUM CO              EQUITY       085789105    4145    110,000 SH          SOLE       3      110,000           -       -
BEST BUY                        FIXED INCOME 086516AF8       3      3,000 PRN        DEFINED     4            -           -   3,000
BEST BUY CO INC                 EQUITY       086516101    8740    187,266 SH          SOLE       2      187,266           -       -
BEST BUY CO INC                 EQUITY       086516101    8097    173,492 SH          SOLE       1      173,492           -       -
BHP BILLITON LTD                EQUITY       088606108       4         73 SH         DEFINED     4            -           -      73
BHP BILLITON LTD                EQUITY       088606108     896     15,000 SH          SOLE       2       15,000           -       -
BIG 5 SPORTING GOODS CORP       EQUITY       08915P101     482     18,883 SH          SOLE       1       18,883           -       -
BIG LOTS INC                    EQUITY       089302103       4        141 SH          SOLE       2          141           -       -
BIG LOTS INC                    EQUITY       089302103    6199    210,694 SH          SOLE       1      210,694           -       -
BIGBAND NETWORKS INC            EQUITY       089750509       4        300 SH         DEFINED     4            -           -     300
BIGBAND NETWORKS INC            EQUITY       089750509     134     10,259 SH          SOLE       1       10,259           -       -
BILL BARRETT CORP               EQUITY       06846N104     946     25,687 SH          SOLE       1       25,687           -       -
BIODEL INC                      EQUITY       09064M105      83      4,167 SH          SOLE       1        4,167           -       -
BIOENVISION INC                 EQUITY       09059N100     265     45,794 SH          SOLE       1       45,794           -       -





                                                                                           
BIOGEN IDEC INC                 EQUITY       09062X103      20        368 SH          SOLE       2          368           -       -
BIOGEN IDEC INC                 EQUITY       09062X103    7553    141,180 SH          SOLE       1      141,180           -       -
BIOMARIN PHARMACEUTICALS INC    EQUITY       09061G101     366     20,400 SH          SOLE       2       20,400           -       -
BIOMARIN PHARMACEUTICALS INC    EQUITY       09061G101    1430     79,714 SH          SOLE       1       79,714           -       -
BIOMED REALTY TRUST INC         EQUITY       09063H107    1368     54,461 SH          SOLE       1       54,461           -       -
BIOMET INC                      EQUITY       090613100      14        316 SH          SOLE       2          316           -       -
BIOMET INC                      EQUITY       090613100    5718    125,066 SH          SOLE       1      125,066           -       -
BIOMIMETIC THERAPEUTICS INC     EQUITY       09064X101     139      8,922 SH          SOLE       1        8,922           -       -
BIONOVO INC                     EQUITY       090643107     145     37,472 SH          SOLE       1       37,472           -       -
BIO-RAD LABORATORIES INC        EQUITY       090572207    1175     15,544 SH          SOLE       1       15,544           -       -
BIO-REFERENCE LABS INC          EQUITY       09057G602     252      9,232 SH          SOLE       1        9,232           -       -
BIOVAIL CORP                    EQUITY       09067J109      85      3,311 SH          OTHER      1            -       3,311       -
BIRCH MOUNTAIN RESOURCES LTD    EQUITY       09066X109      11      3,000 SH         DEFINED     4            -           -   3,000
BISYS GROUP INC/THE             EQUITY       055472104    4687    396,195 SH          SOLE       1      396,195           -       -
BJ SERVICES CO                  EQUITY       055482103    3753    131,969 SH          SOLE       1      131,969           -       -
BJ SERVICES CO                  EQUITY       055482103      11        378 SH          SOLE       2          378           -       -
BJ'S RESTAURANTS INC            EQUITY       09180C106     279     14,152 SH          SOLE       1       14,152           -       -
BJ'S WHOLESALE CLUB INC         EQUITY       05548J106    5695    158,060 SH          SOLE       1      158,060           -       -
BLACK & DECKER CORP             EQUITY       091797100       4         50 SH         DEFINED     4            -           -      50
BLACK & DECKER CORP             EQUITY       091797100       8         85 SH          SOLE       2           85           -       -
BLACK & DECKER CORP             EQUITY       091797100    2669     30,220 SH          SOLE       1       30,220           -       -
BLACK BOX CORP                  EQUITY       091826107     598     14,443 SH          SOLE       1       14,443           -       -
BLACK HILLS CORP                EQUITY       092113109    4891    123,042 SH          SOLE       1      123,042           -       -
BLACKBAUD INC                   EQUITY       09227Q100     807     36,570 SH          SOLE       1       36,570           -       -
BLACKBOARD INC                  EQUITY       091935502    1001     23,769 SH          SOLE       1       23,769           -       -
BLACKROCK CORE BOND TRUST       EQUITY       09249E101       2        195 SH         DEFINED     4            -           -     195
BLACKROCK CORPORATE HIGH YIELD  EQUITY       09255N102      11        845 SH         DEFINED     4            -           -     845
BLACKROCK GLOBAL ENERGY AND RE  EQUITY       09250U101      61      2,004 SH         DEFINED     4            -           -   2,004
BLACKROCK HIGH INCOME SHARES    EQUITY       09250E107      31     12,000 SH         DEFINED     4            -           -  12,000
BLACKROCK HIGH YIELD TRUST      EQUITY       09248N102      40      5,000 SH         DEFINED     4            -           -   5,000
BLACKROCK INC/NEW YORK          EQUITY       09247X101     283      1,807 SH          SOLE       1        1,807           -       -
BLACKROCK INCOME OPPORTUNITY T  EQUITY       092475102     634     64,013 SH         DEFINED     4            -           -  64,013
BLACKROCK INCOME TRUST INC      EQUITY       09247F100      42      7,000 SH         DEFINED     4            -           -   7,000
BLACKROCK MUNICIPAL INCOME TRU  EQUITY       09249N101      75      4,750 SH         DEFINED     4            -           -   4,750
BLACKROCK STRATEGIC MUNICIPAL   EQUITY       09248T109     475     28,075 SH         DEFINED     4            -           -  28,075
BLOCKBUSTER INC                 EQUITY       093679108     689    159,792 SH          SOLE       1      159,792           -       -
BLOUNT INTERNATIONAL INC        EQUITY       095180105     414     31,667 SH          SOLE       1       31,667           -       -
BLUE CHIP VALUE FUND INC        EQUITY       095333100     254     41,110 SH         DEFINED     4            -           -  41,110
BLUE COAT SYSTEMS INC           EQUITY       09534T508      37        741 SH         DEFINED     4            -           -     741
BLUE COAT SYSTEMS INC           EQUITY       09534T508     704     14,208 SH          SOLE       1       14,208           -       -
BLUE COAT SYSTEMS INC           EQUITY       09534T508    2684     54,200 SH          SOLE       2       54,200           -       -
BLUE NILE INC                   EQUITY       09578R103    1248     20,659 SH          SOLE       1       20,659           -       -
BLUEGREEN CORP                  EQUITY       096231105     206     17,660 SH          SOLE       1       17,660           -       -
BLUELINX HOLDINGS INC           EQUITY       09624H109     101      9,583 SH          SOLE       1        9,583           -       -
BLUEPHOENIX SOLUTIONS LTD       EQUITY       M20157109    4134    347,700 SH          SOLE       3      347,700           -       -
BLYTH INC                       EQUITY       09643P108    2192     82,452 SH          SOLE       1       82,452           -       -
BMC SOFTWARE INC                EQUITY       055921100       3        102 SH         DEFINED     4            -           -     102
BMC SOFTWARE INC                EQUITY       055921100       8        263 SH          SOLE       2          263           -       -
BMC SOFTWARE INC                EQUITY       055921100    3016     99,543 SH          SOLE       1       99,543           -       -
BOARDWALK PIPELINE PARTNERS LP  EQUITY       096627104    1930     54,400 SH          SOLE       1       54,400           -       -
BOB EVANS FARMS INC             EQUITY       096761101    4307    116,875 SH          SOLE       1      116,875           -       -
BOEING CO                       EQUITY       097023105   88210    917,445 SH          SOLE       1      917,445           -       -
BOEING CO                       EQUITY       097023105     542      5,632 SH         DEFINED     4            -           -   5,632
BOEING CO                       EQUITY       097023105   11612    120,752 SH          SOLE       2      120,752           -       -
BOIS D'ARC ENERGY INC           EQUITY       09738U103     258     15,145 SH          SOLE       1       15,145           -       -
BOK FINANCIAL CORP              EQUITY       05561Q201      45        838 SH          SOLE       1          838           -       -





                                                                                           
BOLT TECHNOLOGY CORP            EQUITY       097698104    1299     29,500 SH          SOLE       3       29,500           -       -
BON-TON STORES INC/THE          EQUITY       09776J101     341      8,523 SH          SOLE       1        8,523           -       -
BOOKS-A-MILLION INC             EQUITY       098570104     209     12,351 SH          SOLE       1       12,351           -       -
BORDERS GROUP INC               EQUITY       099709107    3687    193,433 SH          SOLE       1      193,433           -       -
BORGWARNER INC                  EQUITY       099724106   12570    146,095 SH          SOLE       1      146,095           -       -
BORLAND SOFTWARE CORP           EQUITY       099849101     359     60,490 SH          SOLE       1       60,490           -       -
BOSTON BEER CO INC              EQUITY       100557107     296      7,515 SH          SOLE       1        7,515           -       -
BOSTON PRIVATE FINANCIAL HOLDI  EQUITY       101119105     828     30,823 SH          SOLE       1       30,823           -       -
BOSTON PROPERTIES INC           EQUITY       101121101      16        153 SH          SOLE       2          153           -       -
BOSTON PROPERTIES INC           EQUITY       101121101    5655     55,373 SH          SOLE       1       55,373           -       -
BOSTON SCIENTIFIC CORP          EQUITY       101137107      16      1,072 SH         DEFINED     4            -           -   1,072
BOSTON SCIENTIFIC CORP          EQUITY       101137107      23      1,529 SH          SOLE       2        1,529           -       -
BOSTON SCIENTIFIC CORP          EQUITY       101137107    7756    505,579 SH          SOLE       1      505,579           -       -
BOTTOMLINE TECHNOLOGIES INC     EQUITY       101388106     223     18,027 SH          SOLE       1       18,027           -       -
BOULDER GROWTH & INCOME FUND I  EQUITY       101507101     106      9,611 SH          SOLE       1        9,611           -       -
BOWATER INC                     EQUITY       102183100    4583    183,677 SH          SOLE       1      183,677           -       -
BOWNE & CO INC                  EQUITY       103043105    1088     55,753 SH          SOLE       1       55,753           -       -
BOYD GAMING CORP                EQUITY       103304101    5184    105,395 SH          SOLE       1      105,395           -       -
BP PLC                          EQUITY       055622104      95      1,313 SH         DEFINED     4            -           -   1,313
BP PRUDHOE BAY ROYALTY TRUST    EQUITY       055630107      63        871 SH         DEFINED     4            -           -     871
BPZ ENERGY INC                  EQUITY       055639108     210     37,638 SH          SOLE       1       37,638           -       -
BRADLEY PHARMACEUTICALS INC     EQUITY       104576103     271     12,486 SH          SOLE       1       12,486           -       -
BRADY CORP                      EQUITY       104674106    1558     41,936 SH          SOLE       1       41,936           -       -
BRANDYWINE REALTY TRUST         EQUITY       105368203      94      3,279 SH          SOLE       1        3,279           -       -
BRE PROPERTIES INC              EQUITY       05564E106    8612    145,250 SH          SOLE       1      145,250           -       -
BRIGGS & STRATTON CORP          EQUITY       109043109    1299     41,152 SH          SOLE       1       41,152           -       -
BRIGHAM EXPLORATION CO          EQUITY       109178103     223     37,956 SH          SOLE       1       37,956           -       -
BRIGHT HORIZONS FAMILY SOLUTIO  EQUITY       109195107     847     21,766 SH          SOLE       1       21,766           -       -
BRIGHTPOINT INC                 EQUITY       109473405     584     42,316 SH          SOLE       1       42,316           -       -
BRINKER INTERNATIONAL INC       EQUITY       109641100    8161    278,811 SH          SOLE       1      278,811           -       -
BRINK'S CO/THE                  EQUITY       109696104    7367    119,026 SH          SOLE       1      119,026           -       -
BRISTOL WEST HOLDINGS INC       EQUITY       11037M105     265     11,848 SH          SOLE       1       11,848           -       -
BRISTOL-MYERS SQUIBB CO         EQUITY       110122108      20        620 SH         DEFINED     4            -           -     620
BRISTOL-MYERS SQUIBB CO         EQUITY       110122108   11006    348,746 SH          SOLE       2      348,746           -       -
BRISTOL-MYERS SQUIBB CO         EQUITY       110122108   46067  1,459,675 SH          SOLE       1    1,459,675           -       -
BRISTOW GROUP INC               EQUITY       110394103     834     16,837 SH          SOLE       1       16,837           -       -
BROADCOM CORP                   EQUITY       111320107       1         43 SH         DEFINED     4            -           -      43
BROADCOM CORP                   EQUITY       111320107      18        599 SH          SOLE       2          599           -       -
BROADCOM CORP                   EQUITY       111320107   14253    487,288 SH          SOLE       1      487,288           -       -
BROADRIDGE FINANCIAL SOLUTIONS  EQUITY       11133T103       3        167 SH         DEFINED     4            -           -     167
BROADRIDGE FINANCIAL SOLUTIONS  EQUITY       11133T103    6550    342,579 SH          SOLE       1      342,579           -       -
BRONCO DRILLING CO INC          EQUITY       112211107     355     21,650 SH          SOLE       1       21,650           -       -
BROOKDALE SENIOR LIVING INC     EQUITY       112463104    6972    153,000 SH          SOLE       2      153,000           -       -
BROOKDALE SENIOR LIVING INC     EQUITY       112463104    7080    155,368 SH          SOLE       1      155,368           -       -
BROOKFIELD ASSET MANAGEMENT IN  EQUITY       112585104     450     11,230 SH          OTHER      1            -      11,230       -
BROOKFIELD HOMES CORP           EQUITY       112723101     273      9,394 SH          SOLE       1        9,394           -       -
BROOKFIELD PROPERTIES CORP      EQUITY       112900105      73      3,003 SH          OTHER      1            -       3,003       -
BROOKLINE BANCORP INC           EQUITY       11373M107     604     52,467 SH          SOLE       1       52,467           -       -
BROOKS AUTOMATION INC           EQUITY       114340102    1145     63,089 SH          SOLE       1       63,089           -       -
BROWN & BROWN INC               EQUITY       115236101    7227    287,457 SH          SOLE       1      287,457           -       -
BROWN SHOE CO INC               EQUITY       115736100    1317     54,169 SH          SOLE       1       54,169           -       -
BROWN-FORMAN CORP               EQUITY       115637209       7        102 SH          SOLE       2          102           -       -
BROWN-FORMAN CORP               EQUITY       115637209    2571     35,174 SH          SOLE       1       35,174           -       -
BRT REALTY TRUST                EQUITY       055645303     152      5,841 SH          SOLE       1        5,841           -       -
BRUKER BIOSCIENCES CORP         EQUITY       116794108     487     54,062 SH          SOLE       1       54,062           -       -
BRUNSWICK CORP/DE               EQUITY       117043109       4        116 SH          SOLE       2          116           -       -





                                                                                           
BRUNSWICK CORP/DE               EQUITY       117043109    1533     46,990 SH          SOLE       1       46,990           -       -
BRUSH ENGINEERED MATERIALS INC  EQUITY       117421107     928     22,092 SH          SOLE       1       22,092           -       -
BRYN MAWR BANK CORP             EQUITY       117665109       7        300 SH         DEFINED     4            -           -     300
BUCKEYE PARTNERS LP             EQUITY       118230101     215      4,187 SH         DEFINED     4            -           -   4,187
BUCKEYE TECHNOLOGIES INC        EQUITY       118255108     778     50,316 SH          SOLE       1       50,316           -       -
BUCKLE INC/THE                  EQUITY       118440106     460     11,683 SH          SOLE       1       11,683           -       -
BUCYRUS INTERNATIONAL INC       EQUITY       118759109     411      5,805 SH         DEFINED     4            -           -   5,805
BUCYRUS INTERNATIONAL INC       EQUITY       118759109    2882     40,712 SH          SOLE       1       40,712           -       -
BUFFALO WILD WINGS INC          EQUITY       119848109     265      6,374 SH          SOLE       1        6,374           -       -
BUILD-A-BEAR WORKSHOP INC       EQUITY       120076104     341     13,049 SH          SOLE       1       13,049           -       -
BUILDERS FIRSTSOURCE INC        EQUITY       12008R107     204     12,716 SH          SOLE       1       12,716           -       -
BUILDING MATERIALS HOLDING COR  EQUITY       120113105     347     24,452 SH          SOLE       1       24,452           -       -
BURGER KING HOLDINGS INC        EQUITY       121208201      17        630 SH          SOLE       1          630           -       -
BURLINGTON NORTHERN SANTA FE C  EQUITY       12189T104   23179    272,249 SH          SOLE       1      272,249           -       -
BURLINGTON NORTHERN SANTA FE C  EQUITY       12189T104      39        459 SH          SOLE       2          459           -       -
BWAY HOLDING CO                 EQUITY       12429T104     568     38,400 SH          SOLE       2       38,400           -       -
CA INC                          FIXED INCOME 204912AQ2       1      1,000 PRN        DEFINED     4            -           -   1,000
CA INC                          EQUITY       12673P105       2         67 SH         DEFINED     4            -           -      67
CA INC                          EQUITY       12673P105      14        530 SH          SOLE       2          530           -       -
CA INC                          EQUITY       12673P105    4823    186,727 SH          SOLE       1      186,727           -       -
CABELA'S INC                    EQUITY       126804301     716     32,345 SH          SOLE       1       32,345           -       -
CABLEVISION SYSTEMS CORP        EQUITY       12686C109     257      7,111 SH          SOLE       1        7,111           -       -
CABOT CORP                      EQUITY       127055101    7535    158,034 SH          SOLE       1      158,034           -       -
CABOT MICROELECTRONICS CORP     EQUITY       12709P103     703     19,799 SH          SOLE       1       19,799           -       -
CABOT OIL & GAS CORP            EQUITY       127097103     850     23,058 SH          SOLE       1       23,058           -       -
CACHE INC                       EQUITY       127150308     136     10,251 SH          SOLE       1       10,251           -       -
CACI INTERNATIONAL INC          EQUITY       127190304    1256     25,714 SH          SOLE       1       25,714           -       -
CADENCE DESIGN SYSTEMS INC      EQUITY       127387108      10        478 SH         DEFINED     4            -           -     478
CADENCE DESIGN SYSTEMS INC      EQUITY       127387108   19617    893,292 SH          SOLE       1      893,292           -       -
CADENCE PHARMACEUTICALS INC     EQUITY       12738T100     163     13,451 SH          SOLE       1       13,451           -       -
CADIZ INC                       EQUITY       127537207     222      9,890 SH          SOLE       1        9,890           -       -
CAE INC                         EQUITY       124765108      80      5,996 SH          OTHER      1            -       5,996       -
CAL DIVE INTERNATIONAL INC      EQUITY       12802T101     309     18,593 SH          SOLE       1       18,593           -       -
CALAMOS ASSET MANAGEMENT INC    EQUITY       12811R104     496     19,408 SH          SOLE       1       19,408           -       -
CALAMOS CONVERTIBLE AND HIGH I  EQUITY       12811P108     125      7,674 SH         DEFINED     4            -           -   7,674
CALAMOS STRATEGIC TOTAL RETURN  EQUITY       128125101      40      2,666 SH         DEFINED     4            -           -   2,666
CALGON CARBON CORP              EQUITY       129603106     388     33,442 SH          SOLE       1       33,442           -       -
CALIFORNIA PIZZA KITCHEN INC    EQUITY       13054D109     346     16,130 SH          SOLE       1       16,130           -       -
CALIFORNIA WATER SERVICE GROUP  EQUITY       130788102       9        247 SH         DEFINED     4            -           -     247
CALIFORNIA WATER SERVICE GROUP  EQUITY       130788102     610     16,284 SH          SOLE       1       16,284           -       -
CALLAWAY GOLF CO                EQUITY       131193104    3730    209,439 SH          SOLE       1      209,439           -       -
CALLON PETROLEUM CO             EQUITY       13123X102     245     17,265 SH          SOLE       1       17,265           -       -
CAL-MAINE FOODS INC             EQUITY       128030202     172     10,487 SH          SOLE       1       10,487           -       -
CAMBREX CORP                    EQUITY       132011107     747     56,255 SH          SOLE       1       56,255           -       -
CAMECO CORP                     EQUITY       13321L108     507     10,000 SH          SOLE       2       10,000           -       -
CAMECO CORP                     EQUITY       13321L108       7        138 SH         DEFINED     4            -           -     138
CAMECO CORP                     EQUITY       13321L108     374      7,358 SH          OTHER      1            -       7,358       -
CAMERON INTERNATIONAL CORP      EQUITY       13342B105      31        431 SH         DEFINED     4            -           -     431
CAMERON INTERNATIONAL CORP      EQUITY       13342B105   19324    270,385 SH          SOLE       1      270,385           -       -
CAMERON INTERNATIONAL CORP      EQUITY       13342B105    3238     45,300 SH          SOLE       3       45,300           -       -
CAMERON INTL CORP               FIXED INCOME 216640AE2     730    350,000 PRN         SOLE       1      350,000           -       -
CAMPBELL SOUP CO                EQUITY       134429109     826     21,281 SH          SOLE       2       21,281           -       -
CAMPBELL SOUP CO                EQUITY       134429109   10128    260,958 SH          SOLE       1      260,958           -       -
CANADIAN IMPERIAL BANK OF COMM  EQUITY       136069101     668      7,400 SH          OTHER      1            -       7,400       -
CANADIAN NATIONAL RAILWAY CO    EQUITY       136375102     563     11,037 SH          OTHER      1            -      11,037       -
CANADIAN NATURAL RESOURCES LTD  EQUITY       136385101   11235    168,797 SH          OTHER      1            -     168,797       -





                                                                                           
CANADIAN PACIFIC RAILWAY LTD    EQUITY       13645T100     216      3,127 SH          OTHER      1            -       3,127       -
CANETIC RESOURCES TRUST         EQUITY       137513107      50      3,063 SH         DEFINED     4            -           -   3,063
CANETIC RESOURCES TRUST         EQUITY       137513107      65      3,999 SH          OTHER      1            -       3,999       -
CANTEL MEDICAL CORP             EQUITY       138098108     163      9,586 SH          SOLE       1        9,586           -       -
CAPELLA EDUCATION CO            EQUITY       139594105     412      8,940 SH          SOLE       1        8,940           -       -
CAPELLA EDUCATION CO            EQUITY       139594105     617     13,400 SH          SOLE       2       13,400           -       -
CAPITAL CITY BANK GROUP INC     EQUITY       139674105     331     10,560 SH          SOLE       1       10,560           -       -
CAPITAL CORP OF THE WEST        EQUITY       140065202     190      7,945 SH          SOLE       1        7,945           -       -
CAPITAL ONE FINANCIAL CORP      EQUITY       14040H105   13893    177,113 SH          SOLE       1      177,113           -       -
CAPITAL ONE FINANCIAL CORP      EQUITY       14040H105      42        532 SH          SOLE       2          532           -       -
CAPITAL SENIOR LIVING CORP      EQUITY       140475104     182     19,329 SH          SOLE       1       19,329           -       -
CAPITAL SOUTHWEST CORP          EQUITY       140501107     394      2,531 SH          SOLE       1        2,531           -       -
CAPITAL TRUST INC/NY            EQUITY       14052H506     388     11,355 SH          SOLE       1       11,355           -       -
CAPITALSOURCE INC               EQUITY       14055X102      86      3,515 SH          SOLE       1        3,515           -       -
CAPITALSOURCE INC               EQUITY       14055X102     872     35,442 SH         DEFINED     4            -           -  35,442
CAPITOL BANCORP LTD             EQUITY       14056D105      31      1,125 SH         DEFINED     4            -           -   1,125
CAPITOL BANCORP LTD             EQUITY       14056D105     324     11,852 SH          SOLE       1       11,852           -       -
CAPITOL FEDERAL FINANCIAL       EQUITY       14057C106    1925     52,130 SH          SOLE       1       52,130           -       -
CAPTARIS INC                    EQUITY       14071N104     887    173,188 SH          SOLE       1      173,188           -       -
CARACO PHARMACEUTICAL LABORATO  EQUITY       14075T107     175     11,528 SH          SOLE       1       11,528           -       -
CARBO CERAMICS INC              EQUITY       140781105     739     16,877 SH          SOLE       1       16,877           -       -
CARDIAC SCIENCE CORP            EQUITY       14141A108     728     66,400 SH          SOLE       1       66,400           -       -
CARDIAC SCIENCE CORP            EQUITY       14141A108    2929    267,200 SH          SOLE       3      267,200           -       -
CARDINAL HEALTH INC             EQUITY       14149Y108      35        496 SH          SOLE       2          496           -       -
CARDINAL HEALTH INC             EQUITY       14149Y108   28824    408,039 SH          SOLE       1      408,039           -       -
CARDIOME PHARMA CORP            EQUITY       14159U202     918    100,000 SH          OTHER      1            -     100,000       -
CAREER EDUCATION CORP           EQUITY       141665109       6        174 SH         DEFINED     4            -           -     174
CAREER EDUCATION CORP           EQUITY       141665109    7889    233,608 SH          SOLE       1      233,608           -       -
CARLISLE COS INC                EQUITY       142339100      24        506 SH         DEFINED     4            -           -     506
CARLISLE COS INC                EQUITY       142339100    7128    153,261 SH          SOLE       1      153,261           -       -
CARMAX INC                      EQUITY       143130102   13455    527,653 SH          SOLE       1      527,653           -       -
CARMIKE CINEMAS INC             EQUITY       143436400     230     10,488 SH          SOLE       1       10,488           -       -
CARNIVAL CORP                   EQUITY       143658300      15        305 SH         DEFINED     4            -           -     305
CARNIVAL CORP                   EQUITY       143658300    3282     67,288 SH          SOLE       2       67,288           -       -
CARNIVAL CORP                   EQUITY       143658300    9351    191,740 SH          SOLE       1      191,740           -       -
CARPENTER TECHNOLOGY CORP       EQUITY       144285103       3         25 SH         DEFINED     4            -           -      25
CARPENTER TECHNOLOGY CORP       EQUITY       144285103    8286     63,587 SH          SOLE       1       63,587           -       -
CARRIER ACCESS CORP             EQUITY       144460102       4        790 SH          SOLE       1          790           -       -
CARRIZO OIL & GAS INC           EQUITY       144577103    1533     36,966 SH          SOLE       1       36,966           -       -
CARROLS RESTAURANT GROUP INC    EQUITY       14574X104     126      8,284 SH          SOLE       1        8,284           -       -
CARTER'S INC                    EQUITY       146229109      35      1,359 SH         DEFINED     4            -           -   1,359
CARTER'S INC                    EQUITY       146229109    3095    119,299 SH          SOLE       1      119,299           -       -
CASCADE BANCORP                 EQUITY       147154108     523     22,586 SH          SOLE       1       22,586           -       -
CASCADE CORP                    EQUITY       147195101     771      9,827 SH          SOLE       1        9,827           -       -
CASCADE NATURAL GAS CORP        EQUITY       147339105     253      9,581 SH          SOLE       1        9,581           -       -
CASELLA WASTE SYSTEMS INC       EQUITY       147448104     204     18,916 SH          SOLE       1       18,916           -       -
CASEY'S GENERAL STORES INC      EQUITY       147528103    1146     42,039 SH          SOLE       1       42,039           -       -
CASH AMERICA INTERNATIONAL INC  EQUITY       14754D100     980     24,711 SH          SOLE       1       24,711           -       -
CASS INFORMATION SYSTEMS INC    EQUITY       14808P109     191      5,259 SH          SOLE       1        5,259           -       -
CASUAL MALE RETAIL GROUP INC    EQUITY       148711104     304     30,053 SH          SOLE       1       30,053           -       -
CATALINA MARKETING CORP         EQUITY       148867104    3767    119,579 SH          SOLE       1      119,579           -       -
CATERPILLAR INC                 EQUITY       149123101     180      2,296 SH         DEFINED     4            -           -   2,296
CATERPILLAR INC                 EQUITY       149123101    5192     66,305 SH          SOLE       2       66,305           -       -
CATERPILLAR INC                 EQUITY       149123101   42649    544,693 SH          SOLE       1      544,693           -       -
CATHAY GENERAL BANCORP          EQUITY       149150104    5607    167,184 SH          SOLE       1      167,184           -       -
CATO CORP/THE                   EQUITY       149205106     545     24,862 SH          SOLE       1       24,862           -       -





                                                                                           
CAVIUM NETWORKS INC             EQUITY       14965A101     127      5,614 SH          SOLE       1        5,614           -       -
CB RICHARD ELLIS GROUP INC      EQUITY       12497T101    3949    108,200 SH          SOLE       3      108,200           -       -
CB RICHARD ELLIS GROUP INC      EQUITY       12497T101       9        242 SH          SOLE       2          242           -       -
CB RICHARD ELLIS GROUP INC      EQUITY       12497T101    3095     84,800 SH          SOLE       1       84,800           -       -
CBEYOND INC                     EQUITY       149847105     661     17,173 SH          SOLE       1       17,173           -       -
CBIZ INC                        EQUITY       124805102     290     39,485 SH          SOLE       1       39,485           -       -
CBL & ASSOCIATES PROPERTIES IN  EQUITY       124830100      89      2,472 SH          SOLE       1        2,472           -       -
CBOT HOLDINGS INC               EQUITY       14984K106    1742      8,433 SH          SOLE       1        8,433           -       -
CBRE REALTY FINANCE INC         EQUITY       12498B307     288     24,257 SH          SOLE       1       24,257           -       -
CBRL GROUP INC                  EQUITY       12489V106    3403     80,105 SH          SOLE       1       80,105           -       -
CBS CORP                        EQUITY       124857202      31        944 SH          SOLE       2          944           -       -
CBS CORP                        EQUITY       124857202      70      2,110 SH         DEFINED     4            -           -   2,110
CBS CORP                        EQUITY       124857202   23480    704,673 SH          SOLE       1      704,673           -       -
C-COR INC                       EQUITY       125010108     612     43,500 SH          SOLE       2       43,500           -       -
C-COR INC                       EQUITY       125010108    1487    105,741 SH          SOLE       1      105,741           -       -
CDI CORP                        EQUITY       125071100     346     10,742 SH          SOLE       1       10,742           -       -
CDW CORP                        EQUITY       12512N105   24465    287,926 SH          SOLE       1      287,926           -       -
CEC ENTERTAINMENT INC           EQUITY       125137109    1651     46,914 SH          SOLE       1       46,914           -       -
CELADON GROUP INC               EQUITY       150838100     311     19,564 SH          SOLE       1       19,564           -       -
CELANESE CORP                   EQUITY       150870103     169      4,369 SH          SOLE       1        4,369           -       -
CELANESE CORP                   EQUITY       150870103     403     10,400 SH          SOLE       2       10,400           -       -
CELESTICA INC                   EQUITY       15101Q108      19      2,944 SH          OTHER      1            -       2,944       -
CELGENE CORP                    EQUITY       151020104    3588     62,589 SH          SOLE       2       62,589           -       -
CELGENE CORP                    EQUITY       151020104   10367    180,839 SH          SOLE       1      180,839           -       -
CELL GENESYS INC                EQUITY       150921104     203     60,703 SH          SOLE       1       60,703           -       -
CEMEX SAB DE CV                 EQUITY       151290889      44      1,201 SH         DEFINED     4            -           -   1,201
CENTENE CORP                    EQUITY       15135B101     777     36,290 SH          SOLE       1       36,290           -       -
CENTENNIAL BANK HOLDINGS INC    EQUITY       151345303     389     45,927 SH          SOLE       1       45,927           -       -
CENTENNIAL COMMUNICATIONS CORP  EQUITY       15133V208     503     53,040 SH          SOLE       1       53,040           -       -
CENTER FINANCIAL CORP           EQUITY       15146E102     141      8,359 SH          SOLE       1        8,359           -       -
CENTERLINE HOLDING CO           EQUITY       15188T108    5967    331,497 SH          SOLE       1      331,497           -       -
CENTERPOINT ENERGY INC          FIXED INCOME 15189TAM9     777    500,000 PRN         SOLE       1      500,000           -       -
CENTERPOINT ENERGY INC          EQUITY       15189T107       7        413 SH          SOLE       2          413           -       -
CENTERPOINT ENERGY INC          EQUITY       15189T107    7685    441,694 SH          SOLE       1      441,694           -       -
CENTEX CORP                     EQUITY       152312104    2333     58,178 SH          SOLE       1       58,178           -       -
CENTEX CORP                     EQUITY       152312104       6        154 SH          SOLE       2          154           -       -
CENTRAL EUROPEAN DISTRIBUTION   EQUITY       153435102    1018     29,406 SH          SOLE       1       29,406           -       -
CENTRAL GARDEN AND PET CO       EQUITY       153527205     682     58,110 SH          SOLE       1       58,110           -       -
CENTRAL PACIFIC FINANCIAL CORP  EQUITY       154760102     844     25,579 SH          SOLE       1       25,579           -       -
CENTRAL VERMONT PUBLIC SERVICE  EQUITY       155771108     798     21,173 SH          SOLE       1       21,173           -       -
CENTURY ALUMINUM CO             EQUITY       156431108    1058     19,358 SH          SOLE       1       19,358           -       -
CENTURYTEL INC                  EQUITY       156700106       7        141 SH          SOLE       2          141           -       -
CENTURYTEL INC                  EQUITY       156700106    5717    116,547 SH          SOLE       1      116,547           -       -
CENVEO INC                      EQUITY       15670S105    1036     44,670 SH          SOLE       1       44,670           -       -
CEPHALON INC                    EQUITY       156708109   14970    186,216 SH          SOLE       1      186,216           -       -
CEPHEID INC                     EQUITY       15670R107     669     45,842 SH          SOLE       1       45,842           -       -
CERADYNE INC                    EQUITY       156710105     976     13,200 SH          SOLE       2       13,200           -       -
CERADYNE INC                    EQUITY       156710105    1673     22,627 SH          SOLE       1       22,627           -       -
CERAGON NETWORKS LTD            EQUITY       M22013102    7091    618,200 SH          SOLE       3      618,200           -       -
CERIDIAN CORP                   EQUITY       156779100   12377    353,641 SH          SOLE       1      353,641           -       -
CERNER CORP                     EQUITY       156782104    8919    160,797 SH          SOLE       1      160,797           -       -
CF INDUSTRIES HOLDINGS INC      EQUITY       125269100    4431     73,980 SH          SOLE       1       73,980           -       -
CGI GROUP INC                   EQUITY       39945C109      56      4,997 SH          OTHER      1            -       4,997       -
CH ENERGY GROUP INC             EQUITY       12541M102     590     13,116 SH          SOLE       1       13,116           -       -
CH ROBINSON WORLDWIDE INC       EQUITY       12541W209      12        221 SH          SOLE       2          221           -       -
CH ROBINSON WORLDWIDE INC       EQUITY       12541W209    4471     85,136 SH          SOLE       1       85,136           -       -





                                                                                           
CHAMPION ENTERPRISES INC        EQUITY       158496109     628     63,869 SH          SOLE       1       63,869           -       -
CHAPARRAL STEEL CO              EQUITY       159423102      33        453 SH         DEFINED     4            -           -     453
CHAPARRAL STEEL CO              EQUITY       159423102      72        995 SH          SOLE       1          995           -       -
CHARLES RIVER LABORATORIES INT  EQUITY       159864107    8537    165,389 SH          SOLE       1      165,389           -       -
CHARLES SCHWAB CORP/THE         EQUITY       808513105       3        154 SH         DEFINED     4            -           -     154
CHARLES SCHWAB CORP/THE         EQUITY       808513105      27      1,303 SH          SOLE       2        1,303           -       -
CHARLES SCHWAB CORP/THE         EQUITY       808513105   24070  1,172,993 SH          SOLE       1    1,172,993           -       -
CHARLOTTE RUSSE HOLDING INC     EQUITY       161048103     566     21,071 SH          SOLE       1       21,071           -       -
CHARMING SHOPPES INC            EQUITY       161133103    4507    416,164 SH          SOLE       1      416,164           -       -
CHART INDUSTRIES INC            EQUITY       16115Q308     299     10,520 SH          SOLE       1       10,520           -       -
CHARTER COMMUNICATIONS INC      EQUITY       16117M107    1377    340,029 SH          SOLE       1      340,029           -       -
CHATTEM INC                     EQUITY       162456107     895     14,115 SH          SOLE       1       14,115           -       -
CHECKFREE CORP                  EQUITY       162813109      49      1,231 SH         DEFINED     4            -           -   1,231
CHECKFREE CORP                  EQUITY       162813109    8851    220,165 SH          SOLE       1      220,165           -       -
CHECKFREE CORP                  EQUITY       162813109   10826    269,300 SH          SOLE       2      269,300           -       -
CHECKPOINT SYSTEMS INC          EQUITY       162825103     828     32,811 SH          SOLE       1       32,811           -       -
CHEESECAKE FACTORY/THE          EQUITY       163072101    4247    173,199 SH          SOLE       1      173,199           -       -
CHEMED CORP                     EQUITY       16359R103     577      8,700 SH          SOLE       2        8,700           -       -
CHEMED CORP                     EQUITY       16359R103    1081     16,305 SH         DEFINED     4            -           -  16,305
CHEMED CORP                     EQUITY       16359R103    1395     21,051 SH          SOLE       1       21,051           -       -
CHEMICAL FINANCIAL CORP         EQUITY       163731102     534     20,648 SH          SOLE       1       20,648           -       -
CHEMTURA CORP                   EQUITY       163893100    6587    592,867 SH          SOLE       1      592,867           -       -
CHENIERE ENERGY INC             EQUITY       16411R208      42      1,075 SH          SOLE       1        1,075           -       -
CHEROKEE INC                    EQUITY       16444H102     871     23,839 SH          SOLE       1       23,839           -       -
CHESAPEAKE CORP                 EQUITY       165159104     208     16,576 SH          SOLE       1       16,576           -       -
CHESAPEAKE ENERGY CORP          EQUITY       165167107      18        527 SH          SOLE       2          527           -       -
CHESAPEAKE ENERGY CORP          EQUITY       165167107      23        659 SH         DEFINED     4            -           -     659
CHESAPEAKE ENERGY CORP          EQUITY       165167107    7617    220,140 SH          SOLE       1      220,140           -       -
CHEVRON CORP                    EQUITY       166764100  204234  2,424,452 SH          SOLE       1    2,424,452           -       -
CHEVRON CORP                    EQUITY       166764100   44108    523,597 SH          SOLE       2      523,597           -       -
CHEVRON CORP                    EQUITY       166764100     693      8,230 SH         DEFINED     4            -           -   8,230
CHICAGO MERCANTILE EXCHANG      EQUITY       167760107       2          3 SH         DEFINED     4            -           -       3
CHICAGO MERCANTILE EXCHANG      EQUITY       167760107      25         46 SH          SOLE       2           46           -       -
CHICAGO MERCANTILE EXCHANGE     EQUITY       167760107   25018     46,819 SH          SOLE       1       46,819           -       -
CHICO'S FAS INC                 EQUITY       168615102       5        200 SH         DEFINED     4            -           -     200
CHICO'S FAS INC                 EQUITY       168615102   10464    429,919 SH          SOLE       1      429,919           -       -
CHILDRENS PLACE RETAIL STORES   EQUITY       168905107     967     18,717 SH          SOLE       1       18,717           -       -
CHILDRENS PLACE RETAIL STORES   EQUITY       168905107   12869    249,200 SH          SOLE       2      249,200           -       -
CHINA PETROLEUM & CHEMICAL COR  EQUITY       16941R108      44        395 SH         DEFINED     4            -           -     395
CHIPOTLE MEXICAN GRILL INC      EQUITY       169656204    2145     27,284 SH          SOLE       1       27,284           -       -
CHIQUITA BRANDS INTERNATIONAL   EQUITY       170032809     670     35,325 SH          SOLE       1       35,325           -       -
CHITTENDEN CORP                 EQUITY       170228100    2746     78,568 SH          SOLE       1       78,568           -       -
CHOICE HOTELS INTERNATIONAL IN  EQUITY       169905106      52      1,304 SH          SOLE       1        1,304           -       -
CHOICEPOINT INC                 EQUITY       170388102    7930    186,815 SH          SOLE       1      186,815           -       -
CHORDIANT SOFTWARE INC          EQUITY       170404305     427     27,248 SH          SOLE       1       27,248           -       -
CHRISTOPHER & BANKS CORP        EQUITY       171046105     517     30,123 SH          SOLE       1       30,123           -       -
CHROMCRAFT REVINGTON INC        EQUITY       171117104       2        210 SH         DEFINED     4            -           -     210
CHUBB CORP                      EQUITY       171232101       4         69 SH         DEFINED     4            -           -      69
CHUBB CORP                      EQUITY       171232101    8344    154,117 SH          SOLE       2      154,117           -       -
CHUBB CORP                      EQUITY       171232101   32984    609,239 SH          SOLE       1      609,239           -       -
CHUNGHWA TELECOM CO LTD         EQUITY       17133Q205       7        397 SH         DEFINED     4            -           -     397
CHURCH & DWIGHT CO INC          EQUITY       171340102    7834    161,661 SH          SOLE       1      161,661           -       -
CHURCHILL DOWNS INC             EQUITY       171484108     412      7,864 SH          SOLE       1        7,864           -       -
CIA SIDERURGICA NACIONAL SA     EQUITY       20440W105     406      7,844 SH         DEFINED     4            -           -   7,844
CIA SIDERURGICA NACIONAL SA     EQUITY       20440W105    7256    140,290 SH          SOLE       1      140,290           -       -
CIA VALE DO RIO DOCE            EQUITY       204412209     394      8,851 SH         DEFINED     4            -           -   8,851





                                                                                           
CIA VALE DO RIO DOCE            EQUITY       204412209     668     15,000 SH          SOLE       2       15,000           -       -
CIBER INC                       EQUITY       17163B102     793     96,974 SH          SOLE       1       96,974           -       -
CIENA CORP                      EQUITY       171779309     615     17,010 SH          SOLE       2       17,010           -       -
CIENA CORP                      EQUITY       171779309    1330     36,815 SH          SOLE       1       36,815           -       -
CIGNA CORP                      EQUITY       125509109      13        257 SH         DEFINED     4            -           -     257
CIGNA CORP                      EQUITY       125509109      19        371 SH          SOLE       2          371           -       -
CIGNA CORP                      EQUITY       125509109   14551    278,647 SH          SOLE       1      278,647           -       -
CIMAREX ENERGY CO               EQUITY       171798101       4        107 SH         DEFINED     4            -           -     107
CIMAREX ENERGY CO               EQUITY       171798101    8116    205,937 SH          SOLE       1      205,937           -       -
CINCINNATI BELL INC             EQUITY       171871106    4677    809,177 SH          SOLE       1      809,177           -       -
CINCINNATI FINANCIAL CORP       EQUITY       172062101    4204     96,858 SH          SOLE       1       96,858           -       -
CINCINNATI FINANCIAL CORP       EQUITY       172062101      10        221 SH          SOLE       2          221           -       -
CINEMARK HOLDINGS INC           EQUITY       17243V102     417     23,299 SH          SOLE       1       23,299           -       -
CINTAS CORP                     EQUITY       172908105       7        174 SH          SOLE       2          174           -       -
CINTAS CORP                     EQUITY       172908105    2780     70,516 SH          SOLE       1       70,516           -       -
CIRCOR INTERNATIONAL INC        EQUITY       17273K109     551     13,617 SH          SOLE       1       13,617           -       -
CIRCUIT CITY STORES INC         EQUITY       172737108       3        178 SH          SOLE       2          178           -       -
CIRCUIT CITY STORES INC         EQUITY       172737108     986     65,376 SH          SOLE       1       65,376           -       -
CIRRUS LOGIC INC                EQUITY       172755100     609     73,358 SH          SOLE       1       73,358           -       -
CISCO SYSTEMS INC               EQUITY       17275R102     424     15,209 SH         DEFINED     4            -           -  15,209
CISCO SYSTEMS INC               EQUITY       17275R102   22655    813,473 SH          SOLE       2      813,473           -       -
CISCO SYSTEMS INC               EQUITY       17275R102  120276  4,318,719 SH          SOLE       1    4,318,719           -       -
CIT GROUP INC                   EQUITY       125581108      14        247 SH          SOLE       2          247           -       -
CIT GROUP INC                   EQUITY       125581108      57      1,040 SH         DEFINED     4            -           -   1,040
CIT GROUP INC                   EQUITY       125581108    9057    165,181 SH          SOLE       1      165,181           -       -
CITADEL BROADCASTING CORP       EQUITY       17285T106       1        162 SH         DEFINED     4            -           -     162
CITADEL BROADCASTING CORP       EQUITY       17285T106    1259    195,271 SH          SOLE       1      195,271           -       -
CITI TRENDS INC                 EQUITY       17306X102     438     11,537 SH          SOLE       1       11,537           -       -
CITIGROUP INC                   EQUITY       172967101   66928  1,304,884 SH          SOLE       2    1,304,884           -       -
CITIGROUP INC                   EQUITY       172967101     527     10,275 SH         DEFINED     4            -           -  10,275
CITIGROUP INC                   EQUITY       172967101  234492  4,571,682 SH          SOLE       1    4,571,682           -       -
CITIZENS COMMUNICATIONS CO      EQUITY       17453B101   50978  3,338,441 SH          SOLE       2    3,338,441           -       -
CITIZENS COMMUNICATIONS CO      EQUITY       17453B101   10667    698,539 SH          SOLE       1      698,539           -       -
CITIZENS INC/TX                 EQUITY       174740100     203     28,773 SH          SOLE       1       28,773           -       -
CITIZENS REPUBLIC BANCORP INC   EQUITY       174420109    1153     62,996 SH          SOLE       1       62,996           -       -
CITRIX SYSTEMS INC              EQUITY       177376100       8        233 SH          SOLE       2          233           -       -
CITRIX SYSTEMS INC              EQUITY       177376100      18        537 SH         DEFINED     4            -           -     537
CITRIX SYSTEMS INC              EQUITY       177376100    3087     91,679 SH          SOLE       1       91,679           -       -
CITY BANK/LYNNWOOD WA           EQUITY       17770A109     358     11,360 SH          SOLE       1       11,360           -       -
CITY HOLDING CO                 EQUITY       177835105     547     14,275 SH          SOLE       1       14,275           -       -
CITY NATIONAL CORP/CA           EQUITY       178566105       8        100 SH         DEFINED     4            -           -     100
CITY NATIONAL CORP/CA           EQUITY       178566105    7711    101,341 SH          SOLE       1      101,341           -       -
CKE RESTAURANTS INC             EQUITY       12561E105      16        810 SH         DEFINED     4            -           -     810
CKE RESTAURANTS INC             EQUITY       12561E105     692     34,500 SH          SOLE       2       34,500           -       -
CKE RESTAURANTS INC             EQUITY       12561E105    1053     52,459 SH          SOLE       1       52,459           -       -
CKX INC                         EQUITY       12562M106     435     31,496 SH          SOLE       1       31,496           -       -
CLARCOR INC                     EQUITY       179895107    1597     42,669 SH          SOLE       1       42,669           -       -
CLAYMONT STEEL INC              EQUITY       18382P104       2        100 SH          SOLE       2          100           -       -
CLAYMONT STEEL INC              EQUITY       18382P104     155      7,234 SH          SOLE       1        7,234           -       -
CLAYTON HOLDINGS INC            EQUITY       18418N107     114      9,978 SH          SOLE       1        9,978           -       -
CLAYTON WILLIAMS ENERGY INC     EQUITY       969490101     122      4,600 SH          SOLE       1        4,600           -       -
CLEAN ENERGY FUELS CORP         EQUITY       184499101     104      8,310 SH          SOLE       1        8,310           -       -
CLEAN HARBORS INC               EQUITY       184496107     682     13,795 SH          SOLE       1       13,795           -       -
CLEAR CHANNEL COMMUNICATIONS I  EQUITY       184502102       2         65 SH         DEFINED     4            -           -      65
CLEAR CHANNEL COMMUNICATIONS I  EQUITY       184502102      24        639 SH          SOLE       2          639           -       -
CLEAR CHANNEL COMMUNICATIONS I  EQUITY       184502102   27424    725,129 SH          SOLE       1      725,129           -       -





                                                                                           
CLEAR CHANNEL OUTDOOR HOLDINGS  EQUITY       18451C109      24        845 SH          SOLE       1          845           -       -
CLEARWIRE CORP                  EQUITY       185385309      21        874 SH          SOLE       1          874           -       -
CLECO CORP                      EQUITY       12561W105    1217     49,663 SH          SOLE       1       49,663           -       -
CLEVELAND-CLIFFS INC            EQUITY       185896107      34        439 SH         DEFINED     4            -           -     439
CLEVELAND-CLIFFS INC            EQUITY       185896107    1388     17,872 SH          SOLE       1       17,872           -       -
CLIFTON SAVINGS BANCORP INC     EQUITY       18712Q103     108      9,930 SH          SOLE       1        9,930           -       -
CLOROX CO                       EQUITY       189054109      12        196 SH          SOLE       2          196           -       -
CLOROX CO                       EQUITY       189054109      45        725 SH         DEFINED     4            -           -     725
CLOROX CO                       EQUITY       189054109   16449    264,880 SH          SOLE       1      264,880           -       -
CLOUGH GLOBAL OPPORTUNITIES FU  EQUITY       18914E106      21      1,148 SH         DEFINED     4            -           -   1,148
CMGI INC                        EQUITY       125750109     790    405,377 SH          SOLE       1      405,377           -       -
CMS ENERGY CORP                 EQUITY       125896100       5        289 SH          SOLE       2          289           -       -
CMS ENERGY CORP                 EQUITY       125896100    1815    105,526 SH          SOLE       1      105,526           -       -
CNA FINANCIAL CORP              EQUITY       126117100      51      1,079 SH          SOLE       1        1,079           -       -
CNA SURETY CORP                 EQUITY       12612L108     260     13,760 SH          SOLE       1       13,760           -       -
CNA SURETY CORP                 EQUITY       12612L108     312     16,500 SH          SOLE       2       16,500           -       -
CNET NETWORKS INC               EQUITY       12613R104    1030    125,824 SH          SOLE       1      125,824           -       -
CNH GLOBAL NV                   EQUITY       N20935206      20        395 SH         DEFINED     4            -           -     395
CNOOC LTD                       EQUITY       126132109       6         51 SH         DEFINED     4            -           -      51
CNX GAS CORP                    EQUITY       12618H309      18        593 SH          SOLE       1          593           -       -
COACH INC                       EQUITY       189754104     128      2,705 SH         DEFINED     4            -           -   2,705
COACH INC                       EQUITY       189754104    1360     28,689 SH          SOLE       2       28,689           -       -
COACH INC                       EQUITY       189754104   11013    232,382 SH          SOLE       1      232,382           -       -
COACHMEN INDUSTRIES INC         EQUITY       189873102      34      3,500 SH          SOLE       1        3,500           -       -
COBIZ FINANCIAL INC             EQUITY       190897108     279     15,390 SH          SOLE       1       15,390           -       -
COCA-COLA BOTTLING CO CONSOLID  EQUITY       191098102     249      4,950 SH          SOLE       1        4,950           -       -
COCA-COLA CO/THE                EQUITY       191216100    4988     95,361 SH          SOLE       2       95,361           -       -
COCA-COLA CO/THE                EQUITY       191216100   67544  1,291,231 SH          SOLE       1    1,291,231           -       -
COCA-COLA CO/THE                EQUITY       191216100      81      1,543 SH         DEFINED     4            -           -   1,543
COCA-COLA ENTERPRISES INC       EQUITY       191219104       2        100 SH         DEFINED     4            -           -     100
COCA-COLA ENTERPRISES INC       EQUITY       191219104       9        359 SH          SOLE       2          359           -       -
COCA-COLA ENTERPRISES INC       EQUITY       191219104    6219    259,139 SH          SOLE       1      259,139           -       -
COCA-COLA FEMSA SAB DE CV       EQUITY       191241108     639     14,427 SH         DEFINED     4            -           -  14,427
COEUR D'ALENE MINES CORP        EQUITY       192108108     832    231,719 SH          SOLE       1      231,719           -       -
COGENT COMMUNICATIONS GROUP IN  EQUITY       19239V302    1242     41,570 SH          SOLE       1       41,570           -       -
COGENT INC                      EQUITY       19239Y108     532     36,230 SH          SOLE       1       36,230           -       -
COGNEX CORP                     EQUITY       192422103     829     36,811 SH          SOLE       1       36,811           -       -
COGNIZANT TECHNOLOGY SOLUTIONS  EQUITY       192446102    5447     72,633 SH          SOLE       1       72,633           -       -
COGNIZANT TECHNOLOGY SOLUTIONS  EQUITY       192446102       8        100 SH         DEFINED     4            -           -     100
COGNIZANT TECHNOLOGY SOLUTIONS  EQUITY       192446102      14        185 SH          SOLE       2          185           -       -
COGNOS INC                      EQUITY       19244C109    2329     58,700 SH          SOLE       2       58,700           -       -
COGNOS INC                      EQUITY       19244C109    6058    151,655 SH          OTHER      1            -     151,655       -
COHEN & STEERS ADVANTAGE INCOM  EQUITY       19247W102      66      3,000 SH         DEFINED     4            -           -   3,000
COHEN & STEERS INC              EQUITY       19247A100     632     14,550 SH          SOLE       1       14,550           -       -
COHEN & STEERS PREMIUM INCOME   EQUITY       19247V104     207      9,395 SH         DEFINED     4            -           -   9,395
COHEN & STEERS QUALITY INCOME   EQUITY       19247L106      16        775 SH         DEFINED     4            -           -     775
COHEN & STEERS TOTAL RETURN RE  EQUITY       19247R103       9        500 SH         DEFINED     4            -           -     500
COHEN & STEERS WORLDWIDE REALT  EQUITY       19248J100      68      2,850 SH         DEFINED     4            -           -   2,850
COHERENT INC                    EQUITY       192479103    1679     55,037 SH          SOLE       1       55,037           -       -
COHU INC                        EQUITY       192576106     421     18,917 SH          SOLE       1       18,917           -       -
COINMACH SERVICE CORP           EQUITY       19259W206     320     24,218 SH          SOLE       1       24,218           -       -
COINSTAR INC                    EQUITY       19259P300     728     23,139 SH          SOLE       1       23,139           -       -
COLDWATER CREEK INC             EQUITY       193068103    3443    148,231 SH          SOLE       1      148,231           -       -
COLEMAN CABLE INC               EQUITY       193459302     181      6,984 SH          SOLE       1        6,984           -       -
COLGATE-PALMOLIVE CO            EQUITY       194162103     321      4,956 SH         DEFINED     4            -           -   4,956
COLGATE-PALMOLIVE CO            EQUITY       194162103    4782     73,737 SH          SOLE       2       73,737           -       -





                                                                                           
COLGATE-PALMOLIVE CO            EQUITY       194162103   52513    809,686 SH          SOLE       1      809,686           -       -
COLONIAL BANCGROUP INC/THE      EQUITY       195493309      12        500 SH         DEFINED     4            -           -     500
COLONIAL BANCGROUP INC/THE      EQUITY       195493309    9487    379,947 SH          SOLE       1      379,947           -       -
COLONIAL PROPERTIES TRUST       EQUITY       195872106     130      3,569 SH         DEFINED     4            -           -   3,569
COLONIAL PROPERTIES TRUST       EQUITY       195872106     433     11,881 SH          SOLE       1       11,881           -       -
COLOR KINETICS INC              EQUITY       19624P100      17        500 SH         DEFINED     4            -           -     500
COLOR KINETICS INC              EQUITY       19624P100     491     14,692 SH          SOLE       1       14,692           -       -
COLUMBIA BANKING SYSTEM INC     EQUITY       197236102     393     13,447 SH          SOLE       1       13,447           -       -
COLUMBIA SPORTSWEAR CO          EQUITY       198516106     790     11,507 SH          SOLE       1       11,507           -       -
COLUMBUS MCKINNON CORP/NY       EQUITY       199333105     505     15,670 SH          SOLE       1       15,670           -       -
COMCAST CORP                    EQUITY       20030N101  131681  4,683,199 SH          SOLE       2    4,683,199           -       -
COMCAST CORP                    EQUITY       20030N200       5        187 SH         DEFINED     4            -           -     187
COMCAST CORP                    EQUITY       20030N101      23        805 SH         DEFINED     4            -           -     805
COMCAST CORP                    EQUITY       20030N101   57287  2,037,233 SH          SOLE       1    2,037,233           -       -
COMERICA INC                    EQUITY       200340107      12        201 SH          SOLE       2          201           -       -
COMERICA INC                    EQUITY       200340107    4361     73,335 SH          SOLE       1       73,335           -       -
COMFORT SYSTEMS USA INC         EQUITY       199908104     483     34,076 SH          SOLE       1       34,076           -       -
COMMERCE BANCORP INC/NJ         EQUITY       200519106       9        247 SH          SOLE       2          247           -       -
COMMERCE BANCORP INC/NJ         EQUITY       200519106    3450     93,272 SH          SOLE       1       93,272           -       -
COMMERCE BANCSHARES INC/KANSAS  EQUITY       200525103     119      2,622 SH          SOLE       1        2,622           -       -
COMMERCE GROUP INC              EQUITY       200641108    5595    161,132 SH          SOLE       1      161,132           -       -
COMMERCIAL METALS CO            EQUITY       201723103    9874    292,391 SH          SOLE       1      292,391           -       -
COMMERCIAL VEHICLE GROUP INC    EQUITY       202608105     332     17,802 SH          SOLE       1       17,802           -       -
COMMSCOPE INC                   EQUITY       203372107     619     10,600 SH          SOLE       2       10,600           -       -
COMMSCOPE INC                   EQUITY       203372107    1086     18,608 SH         DEFINED     4            -           -  18,608
COMMSCOPE INC                   EQUITY       203372107    8776    150,401 SH          SOLE       1      150,401           -       -
COMMUNITY BANCORP/NV            EQUITY       20343T100     243      8,670 SH          SOLE       1        8,670           -       -
COMMUNITY BANK SYSTEM INC       EQUITY       203607106      60      3,000 SH         DEFINED     4            -           -   3,000
COMMUNITY BANK SYSTEM INC       EQUITY       203607106     501     25,038 SH          SOLE       1       25,038           -       -
COMMUNITY BANKS INC             EQUITY       203628102     664     20,594 SH          SOLE       1       20,594           -       -
COMMUNITY HEALTH SYSTEMS INC    EQUITY       203668108      12        300 SH         DEFINED     4            -           -     300
COMMUNITY HEALTH SYSTEMS INC    EQUITY       203668108    9407    232,571 SH          SOLE       1      232,571           -       -
COMMUNITY TRUST BANCORP INC     EQUITY       204149108     409     12,662 SH          SOLE       1       12,662           -       -
COMMVAULT SYSTEMS INC           EQUITY       204166102     599     34,700 SH          SOLE       2       34,700           -       -
COMMVAULT SYSTEMS INC           EQUITY       204166102    1082     62,632 SH          SOLE       1       62,632           -       -
COMPASS BANCSHARES INC          EQUITY       20449H109      12        170 SH          SOLE       2          170           -       -
COMPASS BANCSHARES INC          EQUITY       20449H109    4098     59,411 SH          SOLE       1       59,411           -       -
COMPASS DIVERSIFIED TRUST       EQUITY       20451Q104    1526     85,612 SH          SOLE       1       85,612           -       -
COMPASS MINERALS INTERNATIONAL  EQUITY       20451N101      15        445 SH         DEFINED     4            -           -     445
COMPASS MINERALS INTERNATIONAL  EQUITY       20451N101     928     26,764 SH          SOLE       1       26,764           -       -
COMPLETE PRODUCTION SERVICES I  EQUITY       20453E109     919     35,561 SH          SOLE       1       35,561           -       -
COMPTON PETROLEUM CORP          EQUITY       204940100      15      1,500 SH         DEFINED     4            -           -   1,500
COMPUCREDIT CORP                EQUITY       20478N100     593     16,927 SH          SOLE       1       16,927           -       -
COMPUTER PROGRAMS & SYSTEMS IN  EQUITY       205306103     234      7,554 SH          SOLE       1        7,554           -       -
COMPUTER SCIENCES CORP          EQUITY       205363104       8        141 SH         DEFINED     4            -           -     141
COMPUTER SCIENCES CORP          EQUITY       205363104      13        223 SH          SOLE       2          223           -       -
COMPUTER SCIENCES CORP          EQUITY       205363104    5080     85,878 SH          SOLE       1       85,878           -       -
COMPUWARE CORP                  EQUITY       205638109       5        388 SH          SOLE       2          388           -       -
COMPUWARE CORP                  EQUITY       205638109    1631    137,520 SH          SOLE       1      137,520           -       -
COMPX INTERNATIONAL INC         EQUITY       20563P101      23      1,245 SH          SOLE       1        1,245           -       -
COMSTOCK RESOURCES INC          EQUITY       205768203    1107     36,950 SH          SOLE       1       36,950           -       -
COMSYS IT PARTNERS INC          EQUITY       20581E104     333     14,589 SH          SOLE       1       14,589           -       -
COMTECH GROUP INC               EQUITY       205821200     270     16,350 SH          SOLE       1       16,350           -       -
COMTECH GROUP INC               EQUITY       205821200     380     23,000 SH          SOLE       2       23,000           -       -
COMTECH TELECOMMUNICATIONS COR  EQUITY       205826209     608     13,100 SH          SOLE       2       13,100           -       -
COMTECH TELECOMMUNICATIONS COR  EQUITY       205826209     894     19,266 SH          SOLE       1       19,266           -       -





                                                                                           
COMVERGE INC                    EQUITY       205859101     141      4,554 SH          SOLE       1        4,554           -       -
CONAGRA FOODS INC               EQUITY       205887102      17        642 SH          SOLE       2          642           -       -
CONAGRA FOODS INC               EQUITY       205887102   26347    980,916 SH          SOLE       1      980,916           -       -
CONCEPTUS INC                   EQUITY       206016107    1683     86,867 SH          SOLE       1       86,867           -       -
CONCUR TECHNOLOGIES INC         EQUITY       206708109     718     31,417 SH          SOLE       1       31,417           -       -
CONEXANT SYSTEMS INC            EQUITY       207142100     563    408,124 SH          SOLE       1      408,124           -       -
CONMED CORP                     EQUITY       207410101    1919     65,539 SH          SOLE       1       65,539           -       -
CONN'S INC                      EQUITY       208242107     290     10,137 SH          SOLE       1       10,137           -       -
CONOCOPHILLIPS                  EQUITY       20825C104      11        146 SH         DEFINED     4            -           -     146
CONOCOPHILLIPS                  EQUITY       20825C104   15973    203,473 SH          SOLE       2      203,473           -       -
CONOCOPHILLIPS                  EQUITY       20825C104   64893    826,661 SH          SOLE       1      826,661           -       -
CONSECO INC                     EQUITY       208464883     148      7,104 SH          SOLE       1        7,104           -       -
CONSOL ENERGY INC               EQUITY       20854P109      11        235 SH          SOLE       2          235           -       -
CONSOL ENERGY INC               EQUITY       20854P109      73      1,590 SH         DEFINED     4            -           -   1,590
CONSOL ENERGY INC               EQUITY       20854P109    3648     79,119 SH          SOLE       1       79,119           -       -
CONSOLIDATED COMMUNICATIONS HO  EQUITY       209034107    2059     91,115 SH          SOLE       1       91,115           -       -
CONSOLIDATED EDISON INC         EQUITY       209115104      16        348 SH          SOLE       2          348           -       -
CONSOLIDATED EDISON INC         EQUITY       209115104   39145    867,585 SH          SOLE       1      867,585           -       -
CONSOLIDATED EDISON INC         EQUITY       209115104      63      1,394 SH         DEFINED     4            -           -   1,394
CONSOLIDATED GRAPHICS INC       EQUITY       209341106      17        244 SH         DEFINED     4            -           -     244
CONSOLIDATED GRAPHICS INC       EQUITY       209341106     607      8,764 SH          SOLE       1        8,764           -       -
CONSOLIDATED-TOMOKA LAND CO     EQUITY       210226106     330      4,756 SH          SOLE       1        4,756           -       -
CONSTELLATION BRANDS INC        EQUITY       21036P108       6        249 SH          SOLE       2          249           -       -
CONSTELLATION BRANDS INC        EQUITY       21036P108      45      1,850 SH         DEFINED     4            -           -   1,850
CONSTELLATION BRANDS INC        EQUITY       21036P108    2193     90,310 SH          SOLE       1       90,310           -       -
CONSTELLATION ENERGY GROUP INC  EQUITY       210371100      20        233 SH          SOLE       2          233           -       -
CONSTELLATION ENERGY GROUP INC  EQUITY       210371100      26        299 SH         DEFINED     4            -           -     299
CONSTELLATION ENERGY GROUP INC  EQUITY       210371100   26596    305,101 SH          SOLE       1      305,101           -       -
CONSUMER DISCRETIONARY SELECT   EQUITY       81369Y407     817     20,780 SH         DEFINED     4            -           -  20,780
CONSUMER STAPLES SELECT SECTOR  EQUITY       81369Y308     244      9,020 SH         DEFINED     4            -           -   9,020
CONTANGO OIL & GAS CO           EQUITY       21075N204     396     10,911 SH          SOLE       1       10,911           -       -
CONTINENTAL AIRLINES INC        EQUITY       210795308    4184    123,541 SH          SOLE       1      123,541           -       -
CONTINENTAL RESOURCES INC/OK    EQUITY       212015101      14        887 SH          SOLE       1          887           -       -
CONVERGYS CORP                  EQUITY       212485106       4        176 SH          SOLE       2          176           -       -
CONVERGYS CORP                  EQUITY       212485106    3386    139,703 SH          SOLE       1      139,703           -       -
CON-WAY INC                     EQUITY       205944101    5722    113,894 SH          SOLE       1      113,894           -       -
COOPER COS INC/THE              EQUITY       216648402      74      1,386 SH          SOLE       1        1,386           -       -
COOPER INDUSTRIES LTD           EQUITY       G24182100   15371    269,236 SH          SOLE       2      269,236           -       -
COOPER TIRE & RUBBER CO         EQUITY       216831107    1083     39,198 SH         DEFINED     4            -           -  39,198
COOPER TIRE & RUBBER CO         EQUITY       216831107    2022     73,221 SH          SOLE       1       73,221           -       -
COPART INC                      EQUITY       217204106    5390    176,198 SH          SOLE       1      176,198           -       -
CORE LABORATORIES NV            EQUITY       N22717107      33        320 SH         DEFINED     4            -           -     320
CORE LABORATORIES NV            EQUITY       N22717107     824      8,100 SH          SOLE       2        8,100           -       -
CORE-MARK HOLDING CO INC        EQUITY       218681104   11971    332,720 SH          SOLE       1      332,720           -       -
CORINTHIAN COLLEGES INC         EQUITY       218868107    4612    283,094 SH          SOLE       1      283,094           -       -
CORN PRODUCTS INTERNATIONAL IN  EQUITY       219023108     177      3,884 SH          SOLE       1        3,884           -       -
CORNELL COS INC                 EQUITY       219141108    2803    114,145 SH          SOLE       1      114,145           -       -
CORNING INC                     EQUITY       219350105      42      1,662 SH         DEFINED     4            -           -   1,662
CORNING INC                     EQUITY       219350105   13751    538,201 SH          SOLE       2      538,201           -       -
CORNING INC                     EQUITY       219350105   74465  2,914,345 SH          SOLE       1    2,914,345           -       -
CORPORATE EXECUTIVE BOARD CO    EQUITY       21988R102      13        202 SH         DEFINED     4            -           -     202
CORPORATE EXECUTIVE BOARD CO    EQUITY       21988R102    6121     94,306 SH          SOLE       1       94,306           -       -
CORPORATE OFFICE PROPERTIES TR  EQUITY       22002T108    7693    187,578 SH          SOLE       1      187,578           -       -
CORRECTIONS CORP OF AMERICA     EQUITY       22025Y407    2395     37,955 SH          SOLE       1       37,955           -       -
CORRECTIONS CORP OF AMERICA     EQUITY       22025Y407   10830    171,600 SH          SOLE       3      171,600           -       -
CORUS BANKSHARES INC            EQUITY       220873103    3441    199,386 SH          SOLE       1      199,386           -       -





                                                                                           
CORVEL CORP                     EQUITY       221006109     166      6,336 SH          SOLE       1        6,336           -       -
COSTAR GROUP INC                EQUITY       22160N109     845     15,972 SH          SOLE       1       15,972           -       -
COSTCO WHOLESALE CORP           FIXED INCOME 22160QAC6       4      3,000 PRN        DEFINED     4            -           -   3,000
COSTCO WHOLESALE CORP           EQUITY       22160K105       6        100 SH         DEFINED     4            -           -     100
COSTCO WHOLESALE CORP           EQUITY       22160K105      34        575 SH          SOLE       2          575           -       -
COSTCO WHOLESALE CORP           EQUITY       22160K105   11984    204,777 SH          SOLE       1      204,777           -       -
COTT CORP                       EQUITY       22163N106      27      1,839 SH          OTHER      1            -       1,839       -
COUNTRYWIDE FINANCIAL CORP      EQUITY       222372104      28        764 SH          SOLE       2          764           -       -
COUNTRYWIDE FINANCIAL CORP      EQUITY       222372104   10121    278,435 SH          SOLE       1      278,435           -       -
COURIER CORP                    EQUITY       222660102     347      8,664 SH          SOLE       1        8,664           -       -
COUSINS PROPERTIES INC          EQUITY       222795106    2740     94,434 SH          SOLE       1       94,434           -       -
COVANCE INC                     EQUITY       222816100   10898    158,950 SH          SOLE       1      158,950           -       -
COVANSYS CORP                   EQUITY       22281W103    2721     80,202 SH          SOLE       1       80,202           -       -
COVANTA HOLDING CORP            EQUITY       22282E102      63      2,552 SH          SOLE       1        2,552           -       -
COVENTRY HEALTH CARE INC        EQUITY       222862104      12        201 SH          SOLE       2          201           -       -
COVENTRY HEALTH CARE INC        EQUITY       222862104      48        832 SH         DEFINED     4            -           -     832
COVENTRY HEALTH CARE INC        EQUITY       222862104    9382    162,749 SH          SOLE       1      162,749           -       -
COWEN GROUP INC                 EQUITY       223621103     236     13,151 SH          SOLE       1       13,151           -       -
COX RADIO INC                   EQUITY       224051102     394     27,666 SH          SOLE       1       27,666           -       -
CPFL ENERGIA SA                 EQUITY       126153105     900     14,813 SH         DEFINED     4            -           -  14,813
CPI CORP                        EQUITY       125902106    1333     19,184 SH          SOLE       1       19,184           -       -
CPI INTERNATIONAL INC           EQUITY       12618M100     118      5,973 SH          SOLE       1        5,973           -       -
CR BARD INC                     EQUITY       067383109    2644     32,000 SH          SOLE       3       32,000           -       -
CR BARD INC                     EQUITY       067383109       8        100 SH         DEFINED     4            -           -     100
CR BARD INC                     EQUITY       067383109   14587    176,533 SH          SOLE       2      176,533           -       -
CR BARD INC                     EQUITY       067383109    3842     46,502 SH          SOLE       1       46,502           -       -
CRA INTERNATIONAL INC           EQUITY       12618T105      68      1,421 SH         DEFINED     4            -           -   1,421
CRA INTERNATIONAL INC           EQUITY       12618T105     469      9,738 SH          SOLE       1        9,738           -       -
CRA INTERNATIONAL INC           EQUITY       12618T105    2159     44,800 SH          SOLE       2       44,800           -       -
CRANE CO                        EQUITY       224399105    5646    124,218 SH          SOLE       1      124,218           -       -
CRAWFORD & CO                   EQUITY       224633107     143     21,122 SH          SOLE       1       21,122           -       -
CRAY INC                        EQUITY       225223304     206     27,012 SH          SOLE       1       27,012           -       -
CREDENCE SYSTEMS CORP           EQUITY       225302108     303     84,167 SH          SOLE       1       84,167           -       -
CREDIT ACCEPTANCE CORP          EQUITY       225310101     122      4,559 SH          SOLE       1        4,559           -       -
CREDIT SUISSE HIGH YIELD BOND   EQUITY       22544F103     292     67,792 SH         DEFINED     4            -           -  67,792
CREE INC                        EQUITY       225447101       5        200 SH         DEFINED     4            -           -     200
CREE INC                        EQUITY       225447101    5378    208,030 SH          SOLE       1      208,030           -       -
CRESCENT REAL ESTATE EQT CO     EQUITY       225756105    3596    160,237 SH          SOLE       1      160,237           -       -
CRESUD SA                       EQUITY       226406106     863     40,357 SH          SOLE       1       40,357           -       -
CRITICAL THERAPEUTICS INC       EQUITY       22674T105      36     16,432 SH          SOLE       1       16,432           -       -
CROCS INC                       EQUITY       227046109      34        800 SH         DEFINED     4            -           -     800
CROCS INC                       EQUITY       227046109    1956     45,498 SH          SOLE       1       45,498           -       -
CROCS INC                       EQUITY       227046109     615     14,300 SH          SOLE       2       14,300           -       -
CROSS COUNTRY HEALTHCARE INC    EQUITY       227483104     445     26,679 SH          SOLE       1       26,679           -       -
CROSSTEX ENERGY INC             EQUITY       22765Y104     881     30,681 SH          SOLE       1       30,681           -       -
CROWN CASTLE INTERNATIONAL COR  EQUITY       228227104       3         84 SH         DEFINED     4            -           -      84
CROWN CASTLE INTERNATIONAL COR  EQUITY       228227104     129      3,548 SH          SOLE       1        3,548           -       -
CROWN HOLDINGS INC              EQUITY       228368106      25      1,000 SH         DEFINED     4            -           -   1,000
CROWN HOLDINGS INC              EQUITY       228368106    7395    296,159 SH          SOLE       1      296,159           -       -
CROWN MEDIA HOLDINGS INC        EQUITY       228411104      97     13,427 SH          SOLE       1       13,427           -       -
CRYOLIFE INC                    EQUITY       228903100     244     18,721 SH          SOLE       1       18,721           -       -
CRYOLIFE INC                    EQUITY       228903100    1065     81,892 SH         DEFINED     4            -           -  81,892
CRYSTAL RIVER CAPITAL INC       EQUITY       229393301       7        300 SH         DEFINED     4            -           -     300
CRYSTAL RIVER CAPITAL INC       EQUITY       229393301    3507    144,424 SH          SOLE       1      144,424           -       -
CSG SYSTEMS INTERNATIONAL INC   EQUITY       126349109    3759    141,799 SH          SOLE       1      141,799           -       -
CSK AUTO CORP                   EQUITY       125965103     673     36,570 SH          SOLE       1       36,570           -       -





                                                                                           
CSS INDUSTRIES INC              EQUITY       125906107     258      6,523 SH          SOLE       1        6,523           -       -
CSX CORP                        EQUITY       126408103      25        563 SH          SOLE       2          563           -       -
CSX CORP                        EQUITY       126408103   23607    523,672 SH          SOLE       1      523,672           -       -
CT COMMUNICATIONS INC           EQUITY       126426402    1247     40,887 SH          SOLE       1       40,887           -       -
CTC MEDIA INC                   EQUITY       12642X106    1371     50,528 SH          SOLE       1       50,528           -       -
CTS CORP                        EQUITY       126501105     378     29,858 SH          SOLE       1       29,858           -       -
CUBIC CORP                      EQUITY       229669106     496     16,439 SH          SOLE       1       16,439           -       -
CUBIST PHARMACEUTICALS INC      EQUITY       229678107     908     46,048 SH          SOLE       1       46,048           -       -
CULLEN/FROST BANKERS INC        EQUITY       229899109       5        100 SH         DEFINED     4            -           -     100
CULLEN/FROST BANKERS INC        EQUITY       229899109    7933    148,361 SH          SOLE       1      148,361           -       -
CUMMINS INC                     EQUITY       231021106      14        134 SH          SOLE       2          134           -       -
CUMMINS INC                     EQUITY       231021106      38        378 SH         DEFINED     4            -           -     378
CUMMINS INC                     EQUITY       231021106    4784     47,269 SH          SOLE       1       47,269           -       -
CUMULUS MEDIA INC               EQUITY       231082108     221     23,627 SH          SOLE       1       23,627           -       -
CURRENCYSHARES AUSTRALIAN DOLL  EQUITY       23129U101      30        350 SH         DEFINED     4            -           -     350
CURRENCYSHARES BRITISH POUND S  EQUITY       23129S106       2         10 SH         DEFINED     4            -           -      10
CURRENCYSHARES CANADIAN DOLLAR  EQUITY       23129X105      31        325 SH         DEFINED     4            -           -     325
CURRENCYSHARES EURO TRUST       EQUITY       23130C108    1198      8,830 SH         DEFINED     4            -           -   8,830
CURRENCYSHARES JAPANESE YEN TR  EQUITY       23130A102       2         25 SH         DEFINED     4            -           -      25
CURRENCYSHARES SWEDISH KRONA T  EQUITY       23129R108       2         15 SH         DEFINED     4            -           -      15
CURRENCYSHARES SWISS FRANC TRU  EQUITY       23129V109       2         25 SH         DEFINED     4            -           -      25
CURTISS-WRIGHT CORP             EQUITY       231561101    1718     36,855 SH          SOLE       1       36,855           -       -
CUTERA INC                      EQUITY       232109108     281     11,276 SH          SOLE       1       11,276           -       -
CV THERAPEUTICS INC             EQUITY       126667104     653     49,399 SH          SOLE       1       49,399           -       -
CVB FINANCIAL CORP              EQUITY       126600105     614     55,185 SH          SOLE       1       55,185           -       -
CVS CAREMARK CORP               EQUITY       126650100      86      2,352 SH         DEFINED     4            -           -   2,352
CVS CAREMARK CORP               EQUITY       126650100   13520    370,911 SH          SOLE       2      370,911           -       -
CVS CAREMARK CORP               EQUITY       126650100   70815  1,942,754 SH          SOLE       1    1,942,754           -       -
CYBERONICS INC                  EQUITY       23251P102     311     18,472 SH          SOLE       1       18,472           -       -
CYBERSOURCE CORP                EQUITY       23251J106     316     26,186 SH          SOLE       1       26,186           -       -
CYBEX INTERNATIONAL INC         EQUITY       23252E106       1        150 SH         DEFINED     4            -           -     150
CYBEX INTERNATIONAL INC         EQUITY       23252E106    1589    227,000 SH          SOLE       3      227,000           -       -
CYMER INC                       EQUITY       232572107    1206     30,011 SH          SOLE       1       30,011           -       -
CYNOSURE INC                    EQUITY       232577205     230      6,318 SH          SOLE       1        6,318           -       -
CYPRESS BIOSCIENCE INC          EQUITY       232674507     356     26,872 SH          SOLE       1       26,872           -       -
CYPRESS SEMICONDUCTOR CORP      EQUITY       232806109       6        250 SH         DEFINED     4            -           -     250
CYPRESS SEMICONDUCTOR CORP      EQUITY       232806109    8650    371,412 SH          SOLE       1      371,412           -       -
CYTEC INDUSTRIES INC            EQUITY       232820100    5612     88,000 SH          SOLE       2       88,000           -       -
CYTEC INDUSTRIES INC            EQUITY       232820100    6706    105,156 SH          SOLE       1      105,156           -       -
CYTOKINETICS INC                EQUITY       23282W100     154     27,266 SH          SOLE       1       27,266           -       -
CYTRX CORP                      EQUITY       232828301     225     72,235 SH          SOLE       1       72,235           -       -
CYTRX CORP                      EQUITY       232828301      47     15,000 SH         DEFINED     4            -           -  15,000
CYTYC CORP                      EQUITY       232946103      19        445 SH         DEFINED     4            -           -     445
CYTYC CORP                      EQUITY       232946103   12936    300,076 SH          SOLE       1      300,076           -       -
DADE BEHRING HOLDINGS INC       EQUITY       23342J206      95      1,785 SH          SOLE       1        1,785           -       -
DAKTRONICS INC                  EQUITY       234264109       4        200 SH         DEFINED     4            -           -     200
DAKTRONICS INC                  EQUITY       234264109     568     26,448 SH          SOLE       1       26,448           -       -
DAKTRONICS INC                  EQUITY       234264109    6917    322,000 SH          SOLE       2      322,000           -       -
DANAHER CORP                    EQUITY       235851102       8        100 SH         DEFINED     4            -           -     100
DANAHER CORP                    EQUITY       235851102    6320     83,707 SH          SOLE       2       83,707           -       -
DANAHER CORP                    EQUITY       235851102   10343    136,997 SH          SOLE       1      136,997           -       -
DARDEN RESTAURANTS INC          EQUITY       237194105       8        182 SH          SOLE       2          182           -       -
DARDEN RESTAURANTS INC          EQUITY       237194105    2801     63,665 SH          SOLE       1       63,665           -       -
DARLING INTERNATIONAL INC       EQUITY       237266101    2554    279,485 SH          SOLE       1      279,485           -       -
DARWIN PROFESSIONAL UNDERWRITE  EQUITY       237502109     161      6,388 SH          SOLE       1        6,388           -       -
DATASCOPE CORP                  EQUITY       238113104     409     10,695 SH          SOLE       1       10,695           -       -





                                                                                           
DAVITA INC                      EQUITY       23918K108     121      2,237 SH          SOLE       1        2,237           -       -
DAWSON GEOPHYSICAL CO           EQUITY       239359102    1176     19,143 SH          SOLE       1       19,143           -       -
DAWSON GEOPHYSICAL CO           EQUITY       239359102       5         77 SH         DEFINED     4            -           -      77
DCT INDUSTRIAL TRUST INC        EQUITY       233153105     496     46,120 SH         DEFINED     4            -           -  46,120
DEALERTRACK HOLDINGS INC        EQUITY       242309102    1023     27,780 SH          SOLE       1       27,780           -       -
DEAN FOODS CO                   EQUITY       242370104    2995     93,967 SH          SOLE       2       93,967           -       -
DEAN FOODS CO                   EQUITY       242370104    6349    199,203 SH          SOLE       1      199,203           -       -
DEB SHOPS INC                   EQUITY       242728103     116      4,185 SH          SOLE       1        4,185           -       -
DECKERS OUTDOOR CORP            EQUITY       243537107      68        671 SH         DEFINED     4            -           -     671
DECKERS OUTDOOR CORP            EQUITY       243537107     615      6,100 SH          SOLE       2        6,100           -       -
DECKERS OUTDOOR CORP            EQUITY       243537107    2358     23,368 SH          SOLE       1       23,368           -       -
DEERE & CO                      EQUITY       244199105      35        290 SH          SOLE       2          290           -       -
DEERE & CO                      EQUITY       244199105      97        807 SH         DEFINED     4            -           -     807
DEERE & CO                      EQUITY       244199105   16474    136,440 SH          SOLE       1      136,440           -       -
DEJOUR ENTERPRISES LTD          EQUITY       244866208     224    100,000 SH          OTHER      1            -     100,000       -
DEL MONTE FOODS CO              EQUITY       24522P103      62      5,116 SH          SOLE       1        5,116           -       -
DELEK US HOLDINGS INC           EQUITY       246647101     261      9,787 SH          SOLE       1        9,787           -       -
DELHAIZE GROUP                  EQUITY       29759W101      26        269 SH         DEFINED     4            -           -     269
DELL INC                        EQUITY       24702R101   35353  1,238,277 SH          SOLE       1    1,238,277           -       -
DELL INC                        EQUITY       24702R101      84      2,926 SH          SOLE       2        2,926           -       -
DELL INC                        EQUITY       24702R101     211      7,379 SH         DEFINED     4            -           -   7,379
DELPHI FINANCIAL GROUP INC      EQUITY       247131105    1511     36,137 SH          SOLE       1       36,137           -       -
DELTA AIR LINES INC             EQUITY       247361702      20      1,000 SH         DEFINED     4            -           -   1,000
DELTA AIR LINES INC             EQUITY       247361702    2538    128,838 SH          SOLE       1      128,838           -       -
DELTA FINANCIAL CORP            EQUITY       247918105     169     13,754 SH          SOLE       1       13,754           -       -
DELTA NATURAL GAS CO INC        EQUITY       247748106       3        100 SH         DEFINED     4            -           -     100
DELTA PETROLEUM CORP            EQUITY       247907207    1098     54,657 SH          SOLE       1       54,657           -       -
DELTIC TIMBER CORP              EQUITY       247850100     479      8,731 SH          SOLE       1        8,731           -       -
DELUXE CORP                     EQUITY       248019101     556     13,700 SH          SOLE       2       13,700           -       -
DELUXE CORP                     EQUITY       248019101    6854    168,785 SH          SOLE       1      168,785           -       -
DENBURY RESOURCES INC           EQUITY       247916208   11155    297,472 SH          SOLE       1      297,472           -       -
DENDREON CORP                   EQUITY       24823Q107     490     69,484 SH          SOLE       1       69,484           -       -
DENNY'S CORP                    EQUITY       24869P104     347     77,945 SH          SOLE       1       77,945           -       -
DENTSPLY INTERNATIONAL INC      EQUITY       249030107      90      2,355 SH         DEFINED     4            -           -   2,355
DENTSPLY INTERNATIONAL INC      EQUITY       249030107   16844    440,250 SH          SOLE       1      440,250           -       -
DESARROLLADORA HOMEX SAB DE CV  EQUITY       25030W100   28692    473,610 SH          SOLE       1      473,610           -       -
DESARROLLADORA HOMEX SAB DE CV  EQUITY       25030W100       3         45 SH         DEFINED     4            -           -      45
DEUTSCHE TELEKOM AG             EQUITY       251566105       3        155 SH         DEFINED     4            -           -     155
DEVELOPERS DIVERSIFIED REALTY   EQUITY       251591103       8        161 SH          SOLE       2          161           -       -
DEVELOPERS DIVERSIFIED REALTY   EQUITY       251591103     154      2,924 SH         DEFINED     4            -           -   2,924
DEVELOPERS DIVERSIFIED REALTY   EQUITY       251591103    3099     58,788 SH          SOLE       1       58,788           -       -
DEVON ENERGY CORP               EQUITY       25179M103      26        338 SH         DEFINED     4            -           -     338
DEVON ENERGY CORP               EQUITY       25179M103      45        573 SH          SOLE       2          573           -       -
DEVON ENERGY CORP               EQUITY       25179M103   14924    190,623 SH          SOLE       1      190,623           -       -
DEVRY INC                       EQUITY       251893103    6633    194,982 SH          SOLE       1      194,982           -       -
DG FASTCHANNEL INC              EQUITY       23326R109     224     11,007 SH          SOLE       1       11,007           -       -
DIAGEO PLC                      EQUITY       25243Q205       8        100 SH         DEFINED     4            -           -     100
DIAMOND MANAGEMENT & TECHNOLOG  EQUITY       25269L106     310     23,499 SH          SOLE       1       23,499           -       -
DIAMOND OFFSHORE DRILLING INC   EQUITY       25271C102    7150     70,401 SH          SOLE       1       70,401           -       -
DIAMONDROCK HOSPITALITY CO      EQUITY       252784301    1501     78,660 SH          SOLE       1       78,660           -       -
DIAMONDS TRUST SERIES I         EQUITY       252787106      13        100 SH         DEFINED     4            -           -     100
DIANA SHIPPING INC              EQUITY       Y2066G104     433     19,320 SH         DEFINED     4            -           -  19,320
DICK'S SPORTING GOODS INC       EQUITY       253393102       6        100 SH         DEFINED     4            -           -     100
DICK'S SPORTING GOODS INC       EQUITY       253393102    8675    149,127 SH          SOLE       1      149,127           -       -
DIEBOLD INC                     EQUITY       253651103    8425    161,398 SH          SOLE       1      161,398           -       -
DIGENE CORP                     EQUITY       253752109    1069     17,808 SH          SOLE       1       17,808           -       -





                                                                                           
DIGI INTERNATIONAL INC          EQUITY       253798102     310     21,011 SH          SOLE       1       21,011           -       -
DIGITAL REALTY TRUST INC        EQUITY       253868103    9510    252,386 SH          SOLE       1      252,386           -       -
DIGITAL RIVER INC               EQUITY       25388B104    6014    132,907 SH          SOLE       1      132,907           -       -
DILLARD'S INC                   EQUITY       254067101       3         78 SH          SOLE       2           78           -       -
DILLARD'S INC                   EQUITY       254067101    1028     28,624 SH          SOLE       1       28,624           -       -
DIME COMMUNITY BANCSHARES       EQUITY       253922108     285     21,601 SH          SOLE       1       21,601           -       -
DIODES INC                      EQUITY       254543101     690     16,521 SH          SOLE       1       16,521           -       -
DIODES INC                      EQUITY       254543101     365      8,749 SH         DEFINED     4            -           -   8,749
DIONEX CORP                     EQUITY       254546104    1124     15,829 SH          SOLE       1       15,829           -       -
DIRECTV GROUP INC/THE           EQUITY       25459L106      23        993 SH          SOLE       2          993           -       -
DIRECTV GROUP INC/THE           EQUITY       25459L106    8869    383,783 SH          SOLE       1      383,783           -       -
DISCOVER FINANCIAL SERVICES     EQUITY       254709108     134      4,690 SH          SOLE       1        4,690           -       -
DISCOVERY HOLDING CO            EQUITY       25468Y107     390     16,964 SH          SOLE       1       16,964           -       -
DISCOVERY LABORATORIES INC      EQUITY       254668106     199     70,388 SH          SOLE       1       70,388           -       -
DISTRIBUCION Y SERVICIO D&S SA  EQUITY       254753106   10199    318,820 SH          SOLE       1      318,820           -       -
DISTRIBUTED ENERGY SYSTEMS COR  EQUITY       25475V104       1      1,000 SH         DEFINED     4            -           -   1,000
DITECH NETWORKS INC             EQUITY       25500T108     225     27,443 SH          SOLE       1       27,443           -       -
DIVX INC                        EQUITY       255413106     643     42,878 SH          SOLE       1       42,878           -       -
DJO INC                         EQUITY       23325G104     809     19,601 SH          SOLE       1       19,601           -       -
DOBSON COMMUNICATIONS CORP      EQUITY       256069105     629     56,600 SH          SOLE       2       56,600           -       -
DOBSON COMMUNICATIONS CORP      EQUITY       256069105    1351    121,610 SH          SOLE       1      121,610           -       -
DOLBY LABORATORIES INC          EQUITY       25659T107     428     12,100 SH          SOLE       2       12,100           -       -
DOLBY LABORATORIES INC          EQUITY       25659T107    2950     83,308 SH          SOLE       1       83,308           -       -
DOLLAR FINANCIAL CORP           EQUITY       256664103     381     13,357 SH          SOLE       1       13,357           -       -
DOLLAR GENERAL CORP             EQUITY       256669102       9        406 SH          SOLE       2          406           -       -
DOLLAR GENERAL CORP             EQUITY       256669102      37      1,696 SH         DEFINED     4            -           -   1,696
DOLLAR GENERAL CORP             EQUITY       256669102   19919    908,725 SH          SOLE       1      908,725           -       -
DOLLAR THRIFTY AUTOMOTIVE GROU  EQUITY       256743105     805     19,721 SH          SOLE       1       19,721           -       -
DOLLAR TREE STORES INC          EQUITY       256747106   14310    328,591 SH          SOLE       1      328,591           -       -
DOMINION RESOURCES INC/VA       EQUITY       25746U109      17        201 SH         DEFINED     4            -           -     201
DOMINION RESOURCES INC/VA       EQUITY       25746U109    1062     12,305 SH          SOLE       2       12,305           -       -
DOMINION RESOURCES INC/VA       EQUITY       25746U109   13079    151,531 SH          SOLE       1      151,531           -       -
DOMINO'S PIZZA INC              EQUITY       25754A201    1079     59,083 SH          SOLE       1       59,083           -       -
DOMTAR CORP                     EQUITY       257559104     131     11,700 SH          OTHER      1            -      11,700       -
DONALDSON CO INC                EQUITY       257651109    5990    168,508 SH          SOLE       1      168,508           -       -
DONEGAL GROUP INC               EQUITY       257701201     165     11,055 SH          SOLE       1       11,055           -       -
DORCHESTER MINERALS LP          EQUITY       25820R105      92      4,200 SH          SOLE       1        4,200           -       -
DOUBLE-TAKE SOFTWARE INC        EQUITY       258598101     115      6,981 SH          SOLE       1        6,981           -       -
DOUGLAS EMMETT INC              EQUITY       25960P109      96      3,899 SH          SOLE       1        3,899           -       -
DOVER CORP                      EQUITY       260003108    8169    159,707 SH          SOLE       1      159,707           -       -
DOVER CORP                      EQUITY       260003108    9225    180,353 SH          SOLE       2      180,353           -       -
DOVER DOWNS GAMING & ENTERTAIN  EQUITY       260095104     195     13,009 SH          SOLE       1       13,009           -       -
DOW CHEMICAL CO/THE             EQUITY       260543103       2         55 SH         DEFINED     4            -           -      55
DOW CHEMICAL CO/THE             EQUITY       260543103   11932    269,828 SH          SOLE       2      269,828           -       -
DOW CHEMICAL CO/THE             EQUITY       260543103   28150    636,588 SH          SOLE       1      636,588           -       -
DOW JONES & CO INC              EQUITY       260561105    1695     29,501 SH          SOLE       1       29,501           -       -
DOW JONES & CO INC              EQUITY       260561105    8640    150,384 SH          SOLE       2      150,384           -       -
DOWNEY FINANCIAL CORP           EQUITY       261018105    2403     36,427 SH          SOLE       1       36,427           -       -
DPL INC                         EQUITY       233293109       6        200 SH         DEFINED     4            -           -     200
DPL INC                         EQUITY       233293109    7892    278,470 SH          SOLE       1      278,470           -       -
DR HORTON INC                   EQUITY       23331A109       3        150 SH         DEFINED     4            -           -     150
DR HORTON INC                   EQUITY       23331A109    2570    128,944 SH          SOLE       1      128,944           -       -
DR HORTON INC                   EQUITY       23331A109    2831    142,052 SH          SOLE       2      142,052           -       -
DREAMWORKS ANIMATION SKG INC    EQUITY       26153C103     519     18,000 SH          SOLE       2       18,000           -       -
DRESS BARN INC                  EQUITY       261570105     803     39,140 SH          SOLE       1       39,140           -       -
DRESSER-RAND GROUP INC          EQUITY       261608103     875     22,143 SH          SOLE       1       22,143           -       -





                                                                                           
DREW INDUSTRIES INC             EQUITY       26168L205     500     15,100 SH          SOLE       1       15,100           -       -
DREYFUS MUNICIPAL INCOME INC    EQUITY       26201R102     103     11,561 SH         DEFINED     4            -           -  11,561
DRIL-QUIP INC                   EQUITY       262037104      27        608 SH         DEFINED     4            -           -     608
DRIL-QUIP INC                   EQUITY       262037104     997     22,173 SH          SOLE       1       22,173           -       -
DRS TECHNOLOGIES INC            EQUITY       23330X100    5738    100,197 SH          SOLE       1      100,197           -       -
DRYSHIPS INC                    EQUITY       Y2109Q101     850     19,600 SH          SOLE       2       19,600           -       -
DSP GROUP INC                   EQUITY       23332B106     485     23,710 SH          SOLE       1       23,710           -       -
DST SYSTEMS INC                 FIXED INCOME 233326AB3       2      1,000 PRN        DEFINED     4            -           -   1,000
DST SYSTEMS INC                 EQUITY       233326107   10539    133,047 SH          SOLE       1      133,047           -       -
DSW INC                         EQUITY       23334L102     469     13,483 SH          SOLE       1       13,483           -       -
DTE ENERGY CO                   EQUITY       233331107      11        227 SH          SOLE       2          227           -       -
DTE ENERGY CO                   EQUITY       233331107    3992     82,789 SH          SOLE       1       82,789           -       -
DTS INC/DE                      EQUITY       23335C101     329     15,134 SH          SOLE       1       15,134           -       -
DUKE ENERGY CORP                EQUITY       26441C105      29      1,596 SH         DEFINED     4            -           -   1,596
DUKE ENERGY CORP                EQUITY       26441C105    7189    392,823 SH          SOLE       2      392,823           -       -
DUKE ENERGY CORP                EQUITY       26441C105   27211  1,486,952 SH          SOLE       1    1,486,952           -       -
DUN & BRADSTREET CORP           EQUITY       26483E100   14970    145,372 SH          SOLE       1      145,372           -       -
DURECT CORP                     EQUITY       266605104     222     57,748 SH          SOLE       1       57,748           -       -
DYCOM INDUSTRIES INC            EQUITY       267475101    3986    132,969 SH          SOLE       1      132,969           -       -
DYNAMEX INC                     EQUITY       26784F103     228      8,923 SH          SOLE       1        8,923           -       -
DYNAMIC MATERIALS CORP          EQUITY       267888105     377     10,066 SH          SOLE       1       10,066           -       -
DYNAMIC MATERIALS CORP          EQUITY       267888105    3874    103,300 SH          SOLE       2      103,300           -       -
DYNCORP INTERNATIONAL INC       EQUITY       26817C101     813     36,974 SH          SOLE       1       36,974           -       -
DYNEGY INC                      EQUITY       26817G102       5        518 SH          SOLE       2          518           -       -
DYNEGY INC                      EQUITY       26817G102    4612    488,528 SH          SOLE       1      488,528           -       -
E*TRADE FINANCIAL CORP          EQUITY       269246104       3        155 SH         DEFINED     4            -           -     155
E*TRADE FINANCIAL CORP          EQUITY       269246104    4355    197,154 SH          SOLE       1      197,154           -       -
E*TRADE FINANCIAL CORP          EQUITY       269246104    6809    308,250 SH          SOLE       2      308,250           -       -
EAGLE MATERIALS INC             EQUITY       26969P108      66      1,348 SH          SOLE       1        1,348           -       -
EAGLE TEST SYSTEMS INC          EQUITY       270006109     164     10,201 SH          SOLE       1       10,201           -       -
EARTHLINK INC                   EQUITY       270321102       2        300 SH         DEFINED     4            -           -     300
EARTHLINK INC                   EQUITY       270321102     766    102,610 SH          SOLE       1      102,610           -       -
EAST WEST BANCORP INC           EQUITY       27579R104    1050     27,000 SH          SOLE       1       27,000           -       -
EASTGROUP PROPERTIES INC        EQUITY       277276101    4715    107,590 SH          SOLE       1      107,590           -       -
EASTMAN CHEMICAL CO             EQUITY       277432100       7        108 SH          SOLE       2          108           -       -
EASTMAN CHEMICAL CO             EQUITY       277432100    2543     39,527 SH          SOLE       1       39,527           -       -
EASTMAN KODAK CO                EQUITY       277461109       1         45 SH         DEFINED     4            -           -      45
EASTMAN KODAK CO                EQUITY       277461109      10        371 SH          SOLE       2          371           -       -
EASTMAN KODAK CO                EQUITY       277461109    3824    137,418 SH          SOLE       1      137,418           -       -
EATON CORP                      EQUITY       278058102      18        189 SH          SOLE       2          189           -       -
EATON CORP                      EQUITY       278058102      34        365 SH         DEFINED     4            -           -     365
EATON CORP                      EQUITY       278058102    6376     68,563 SH          SOLE       1       68,563           -       -
EATON VANCE CORP                EQUITY       278265103   13640    308,734 SH          SOLE       1      308,734           -       -
EATON VANCE ENHANCED EQUITY IN  EQUITY       278274105      29      1,400 SH         DEFINED     4            -           -   1,400
EATON VANCE LIMITED DURATION I  EQUITY       27828H105      88      4,900 SH         DEFINED     4            -           -   4,900
EATON VANCE MUNICIPAL INCOME T  EQUITY       27826U108     500     32,800 SH         DEFINED     4            -           -  32,800
EATON VANCE SENIOR FLOATING-RA  EQUITY       27828Q105     786     41,625 SH         DEFINED     4            -           -  41,625
EATON VANCE TAX-ADVANTAGED DIV  EQUITY       27828G107      15        500 SH         DEFINED     4            -           -     500
EATON VANCE TAX-ADVANTAGED GLO  EQUITY       27828S101      14        520 SH         DEFINED     4            -           -     520
EATON VANCE TAX-MANAGED BUY-WR  EQUITY       27828Y108      69      3,542 SH         DEFINED     4            -           -   3,542
EBAY INC                        EQUITY       278642103      15        452 SH         DEFINED     4            -           -     452
EBAY INC                        EQUITY       278642103    4385    136,258 SH          SOLE       2      136,258           -       -
EBAY INC                        EQUITY       278642103   31918    991,871 SH          SOLE       1      991,871           -       -
ECHELON CORP                    EQUITY       27874N105     389     24,903 SH          SOLE       1       24,903           -       -
ECHOSTAR COMMUNICATIONS CORP    EQUITY       278762109     647     14,928 SH          SOLE       1       14,928           -       -
ECLIPSYS CORP                   EQUITY       278856109     753     38,010 SH          SOLE       1       38,010           -       -





                                                                                           
ECOLAB INC                      EQUITY       278865100      10        226 SH          SOLE       2          226           -       -
ECOLAB INC                      EQUITY       278865100    3553     83,209 SH          SOLE       1       83,209           -       -
ECOLLEGE.COM INC                EQUITY       27887E100     338     15,199 SH          SOLE       1       15,199           -       -
EDDIE BAUER HOLDINGS INC        EQUITY       071625107     326     25,342 SH          SOLE       1       25,342           -       -
EDGE PETROLEUM CORP             EQUITY       279862106     332     23,681 SH          SOLE       1       23,681           -       -
EDGE PETROLEUM CORP             EQUITY       279862106    5435    387,947 SH          SOLE       2      387,947           -       -
EDISON INTERNATIONAL            EQUITY       281020107      24        420 SH          SOLE       2          420           -       -
EDISON INTERNATIONAL            EQUITY       281020107   19304    343,972 SH          SOLE       1      343,972           -       -
EDO CORP                        EQUITY       281347104     482     14,672 SH          SOLE       1       14,672           -       -
EDWARDS LIFESCIENCES CORP       EQUITY       28176E108    8071    163,584 SH          SOLE       1      163,584           -       -
EFUNDS CORP                     EQUITY       28224R101    4296    121,724 SH          SOLE       1      121,724           -       -
EGL INC                         EQUITY       268484102    1282     27,575 SH          SOLE       1       27,575           -       -
EHEALTH INC                     EQUITY       28238P109     197     10,330 SH          SOLE       1       10,330           -       -
EI DU PONT DE NEMOURS & CO      EQUITY       263534109     122      2,406 SH         DEFINED     4            -           -   2,406
EI DU PONT DE NEMOURS & CO      EQUITY       263534109   22847    449,390 SH          SOLE       1      449,390           -       -
EI DU PONT DE NEMOURS & CO      EQUITY       263534109   10142    199,484 SH          SOLE       2      199,484           -       -
EL PASO CORP                    EQUITY       28336L109      10        580 SH         DEFINED     4            -           -     580
EL PASO CORP                    EQUITY       28336L109      16        902 SH          SOLE       2          902           -       -
EL PASO CORP                    EQUITY       28336L109   10511    610,060 SH          SOLE       1      610,060           -       -
EL PASO ELECTRIC CO             EQUITY       283677854     992     40,395 SH          SOLE       1       40,395           -       -
ELBIT SYSTEMS LTD               EQUITY       M3760D101     368      8,600 SH          SOLE       2        8,600           -       -
ELDORADO GOLD CORP              EQUITY       284902103    6299  1,073,518 SH          OTHER      1            -   1,073,518       -
ELECTRO RENT CORP               EQUITY       285218103     210     14,414 SH          SOLE       1       14,414           -       -
ELECTRO SCIENTIFIC INDUSTRIES   EQUITY       285229100     506     24,314 SH          SOLE       1       24,314           -       -
ELECTRONIC ARTS INC             EQUITY       285512109      45        949 SH         DEFINED     4            -           -     949
ELECTRONIC ARTS INC             EQUITY       285512109    4699     99,310 SH          SOLE       2       99,310           -       -
ELECTRONIC ARTS INC             EQUITY       285512109   44829    947,313 SH          SOLE       1      947,313           -       -
ELECTRONIC DATA SYSTEMS CORP    EQUITY       285661104      18        656 SH          SOLE       2          656           -       -
ELECTRONIC DATA SYSTEMS CORP    EQUITY       285661104   35931  1,295,737 SH          SOLE       1    1,295,737           -       -
ELECTRONICS FOR IMAGING         EQUITY       286082102    1334     47,279 SH          SOLE       1       47,279           -       -
ELI LILLY & CO                  EQUITY       532457108      71      1,271 SH          SOLE       2        1,271           -       -
ELI LILLY & CO                  EQUITY       532457108   55784    998,246 SH          SOLE       1      998,246           -       -
ELIZABETH ARDEN INC             EQUITY       28660G106     492     20,291 SH          SOLE       1       20,291           -       -
EMBARQ CORP                     EQUITY       29078E105       1         23 SH         DEFINED     4            -           -      23
EMBARQ CORP                     EQUITY       29078E105    7401    116,795 SH          SOLE       2      116,795           -       -
EMBARQ CORP                     EQUITY       29078E105   31419    495,801 SH          SOLE       1      495,801           -       -
EMC CORP/MASSACHUSETTS          EQUITY       268648102      49      2,703 SH          SOLE       2        2,703           -       -
EMC CORP/MASSACHUSETTS          EQUITY       268648102     401     22,169 SH         DEFINED     4            -           -  22,169
EMC CORP/MASSACHUSETTS          EQUITY       268648102   22555  1,246,113 SH          SOLE       1    1,246,113           -       -
EMC INSURANCE GROUP INC         EQUITY       268664109     123      4,969 SH          SOLE       1        4,969           -       -
EMCOR GROUP INC                 EQUITY       29084Q100    3538     48,534 SH          SOLE       1       48,534           -       -
EMERGENCY MEDICAL SERVICES COR  EQUITY       29100P102     192      4,900 SH          SOLE       2        4,900           -       -
EMERGENCY MEDICAL SERVICES COR  EQUITY       29100P102     302      7,730 SH          SOLE       1        7,730           -       -
EMERGENT BIOSOLUTIONS INC       EQUITY       29089Q105      48      4,688 SH          SOLE       1        4,688           -       -
EMERITUS CORP                   EQUITY       291005106     154      4,971 SH          SOLE       1        4,971           -       -
EMERSON ELECTRIC CO             EQUITY       291011104   13889    296,770 SH          SOLE       2      296,770           -       -
EMERSON ELECTRIC CO             EQUITY       291011104   20878    446,113 SH          SOLE       1      446,113           -       -
EMERSON ELECTRIC CO             EQUITY       291011104     408      8,716 SH         DEFINED     4            -           -   8,716
EMMIS COMMUNICATIONS CORP       EQUITY       291525103     244     26,478 SH          SOLE       1       26,478           -       -
EMPIRE DISTRICT ELECTRIC CO/TH  EQUITY       291641108     837     37,404 SH         DEFINED     4            -           -  37,404
EMPIRE DISTRICT ELECTRIC CO/TH  EQUITY       291641108    2243    100,275 SH          SOLE       1      100,275           -       -
EMPLOYERS HOLDINGS INC          EQUITY       292218104     946     44,540 SH          SOLE       1       44,540           -       -
EMS TECHNOLOGIES INC            EQUITY       26873N108     282     12,775 SH          SOLE       1       12,775           -       -
EMULEX CORP                     EQUITY       292475209     616     28,200 SH          SOLE       2       28,200           -       -
EMULEX CORP                     EQUITY       292475209    1551     71,017 SH          SOLE       1       71,017           -       -
ENBRIDGE ENERGY PARTNERS LP     EQUITY       29250R106     229      4,122 SH         DEFINED     4            -           -   4,122





                                                                                           
ENBRIDGE INC                    EQUITY       29250N105     253      7,503 SH          OTHER      1            -       7,503       -
ENCANA CORP                     EQUITY       292505104   14509    235,486 SH          OTHER      1            -     235,486       -
ENCORE ACQUISITION CO           EQUITY       29255W100    7218    259,644 SH          SOLE       1      259,644           -       -
ENCORE CAPITAL GROUP INC        EQUITY       292554102     167     13,375 SH          SOLE       1       13,375           -       -
ENCORE WIRE CORP                EQUITY       292562105     572     19,431 SH          SOLE       1       19,431           -       -
ENCYSIVE PHARMACEUTICALS INC    EQUITY       29256X107      89     50,128 SH          SOLE       1       50,128           -       -
ENDO PHARMACEUTICALS HOLDINGS   EQUITY       29264F205       6        175 SH         DEFINED     4            -           -     175
ENDO PHARMACEUTICALS HOLDINGS   EQUITY       29264F205   13826    403,919 SH          SOLE       1      403,919           -       -
ENERGEN CORP                    EQUITY       29265N108     672     12,232 SH          SOLE       1       12,232           -       -
ENERGIZER HOLDINGS INC          EQUITY       29266R108   18626    187,008 SH          SOLE       1      187,008           -       -
ENERGY CONVERSION DEVICES INC   EQUITY       292659109       9        300 SH         DEFINED     4            -           -     300
ENERGY CONVERSION DEVICES INC   EQUITY       292659109     354     11,500 SH          SOLE       2       11,500           -       -
ENERGY CONVERSION DEVICES INC   EQUITY       292659109    1016     32,950 SH          SOLE       1       32,950           -       -
ENERGY EAST CORP                EQUITY       29266M109      55      2,102 SH         DEFINED     4            -           -   2,102
ENERGY EAST CORP                EQUITY       29266M109   14108    540,753 SH          SOLE       1      540,753           -       -
ENERGY INCOME AND GROWTH FUND   EQUITY       292697109     826     29,599 SH         DEFINED     4            -           -  29,599
ENERGY INFRASTRUCTURE ACQUISIT  EQUITY       29269P109     181     18,574 SH          SOLE       1       18,574           -       -
ENERGY PARTNERS LTD             EQUITY       29270U105     392     23,510 SH          SOLE       1       23,510           -       -
ENERGY SELECT SECTOR SPDR FUND  EQUITY       81369Y506     568      8,232 SH         DEFINED     4            -           -   8,232
ENERGY TRANSFER EQUITY LP       EQUITY       29273V100    5700    134,156 SH          SOLE       1      134,156           -       -
ENERGYSOUTH INC                 EQUITY       292970100     301      5,901 SH          SOLE       1        5,901           -       -
ENERNOC INC                     EQUITY       292764107     119      3,113 SH          SOLE       1        3,113           -       -
ENERPLUS RESOURCES FUND         EQUITY       29274D604     587     12,459 SH         DEFINED     4            -           -  12,459
ENERPLUS RESOURCES FUND         EQUITY       29274D604     113      2,392 SH          OTHER      1            -       2,392       -
ENERSYS                         EQUITY       29275Y102     326     17,802 SH          SOLE       1       17,802           -       -
ENGLOBAL CORP                   EQUITY       293306106     169     13,920 SH          SOLE       1       13,920           -       -
ENNIS INC                       EQUITY       293389102     277     11,760 SH         DEFINED     4            -           -  11,760
ENNIS INC                       EQUITY       293389102     501     21,289 SH          SOLE       1       21,289           -       -
ENPRO INDUSTRIES INC            EQUITY       29355X107     974     22,753 SH          SOLE       1       22,753           -       -
ENSCO INTERNATIONAL INC         EQUITY       26874Q100      12        192 SH          SOLE       2          192           -       -
ENSCO INTERNATIONAL INC         EQUITY       26874Q100   14528    238,132 SH          SOLE       1      238,132           -       -
ENTEGRIS INC                    EQUITY       29362U104    1336    112,464 SH          SOLE       1      112,464           -       -
ENTERCOM COMMUNICATIONS CORP    EQUITY       293639100     338     13,589 SH         DEFINED     4            -           -  13,589
ENTERCOM COMMUNICATIONS CORP    EQUITY       293639100    2370     95,233 SH          SOLE       1       95,233           -       -
ENTERGY CORP                    EQUITY       29364G103      27        254 SH          SOLE       2          254           -       -
ENTERGY CORP                    EQUITY       29364G103     897      8,352 SH         DEFINED     4            -           -   8,352
ENTERGY CORP                    EQUITY       29364G103    9157     85,304 SH          SOLE       1       85,304           -       -
ENTERPRISE FINANCIAL SERVICES   EQUITY       293712105     213      8,572 SH          SOLE       1        8,572           -       -
ENTERPRISE PRODUCTS PARTNERS L  EQUITY       293792107      22        700 SH         DEFINED     4            -           -     700
ENTERPRISE PRODUCTS PARTNERS L  EQUITY       293792107    2810     88,350 SH          SOLE       1       88,350           -       -
ENTERTAINMENT PROPERTIES TRUST  EQUITY       29380T105    6561    122,001 SH          SOLE       1      122,001           -       -
ENTRAVISION COMMUNICATIONS COR  EQUITY       29382R107     600     57,528 SH          SOLE       1       57,528           -       -
ENZO BIOCHEM INC                EQUITY       294100102     386     25,830 SH          SOLE       1       25,830           -       -
ENZON PHARMACEUTICALS INC       EQUITY       293904108     288     36,663 SH          SOLE       1       36,663           -       -
EOG RESOURCES INC               EQUITY       26875P101      15        200 SH         DEFINED     4            -           -     200
EOG RESOURCES INC               EQUITY       26875P101      23        315 SH          SOLE       2          315           -       -
EOG RESOURCES INC               EQUITY       26875P101   20956    286,835 SH          SOLE       1      286,835           -       -
EPICOR SOFTWARE CORP            EQUITY       29426L108     404     27,200 SH          SOLE       2       27,200           -       -
EPICOR SOFTWARE CORP            EQUITY       29426L108     719     48,345 SH          SOLE       1       48,345           -       -
EPIQ SYSTEMS INC                EQUITY       26882D109     349     21,571 SH          SOLE       1       21,571           -       -
EPOCH HOLDING CORP              EQUITY       29428R103      97      7,235 SH          SOLE       1        7,235           -       -
EQUIFAX INC                     EQUITY       294429105       8        187 SH          SOLE       2          187           -       -
EQUIFAX INC                     EQUITY       294429105    3899     87,777 SH          SOLE       1       87,777           -       -
EQUINIX INC                     EQUITY       29444U502    1262     13,800 SH          SOLE       2       13,800           -       -
EQUINIX INC                     EQUITY       29444U502    2403     26,267 SH          SOLE       1       26,267           -       -
EQUITABLE RESOURCES INC         EQUITY       294549100   15017    302,998 SH          SOLE       1      302,998           -       -





                                                                                           
EQUITY INNS INC                 EQUITY       294703103     915     40,853 SH          SOLE       1       40,853           -       -
EQUITY LIFESTYLE PROPERTIES IN  EQUITY       29472R108    3912     74,953 SH          SOLE       1       74,953           -       -
EQUITY RESIDENTIAL              EQUITY       29476L107      17        375 SH          SOLE       2          375           -       -
ERESEARCH TECHNOLOGY INC        EQUITY       29481V108     310     32,588 SH          SOLE       1       32,588           -       -
ERICSSON                        EQUITY       294821608       2         40 SH         DEFINED     4            -           -      40
ERICSSON                        EQUITY       294821608     259      6,487 SH          SOLE       1        6,487           -       -
ERIE INDEMNITY CO               EQUITY       29530P102      90      1,669 SH          SOLE       1        1,669           -       -
ESCHELON TELECOM INC            EQUITY       296290109     264      8,918 SH          SOLE       1        8,918           -       -
ESCO TECHNOLOGIES INC           EQUITY       296315104     783     21,587 SH          SOLE       1       21,587           -       -
ESPEED INC                      EQUITY       296643109     140     16,200 SH          SOLE       1       16,200           -       -
ESSEX PROPERTY TRUST INC        EQUITY       297178105    8435     72,529 SH          SOLE       1       72,529           -       -
ESTEE LAUDER COS INC/THE        EQUITY       518439104       7        152 SH          SOLE       2          152           -       -
ESTEE LAUDER COS INC/THE        EQUITY       518439104   14706    323,143 SH          SOLE       1      323,143           -       -
ESTERLINE TECHNOLOGIES CORP     EQUITY       297425100    1028     21,285 SH          SOLE       1       21,285           -       -
ETHAN ALLEN INTERIORS INC       EQUITY       297602104     754     22,023 SH          SOLE       1       22,023           -       -
ETRIALS WORLDWIDE INC           EQUITY       29786P103     709    147,500 SH          SOLE       3      147,500           -       -
EURONET WORLDWIDE INC           EQUITY       298736109    1112     38,148 SH          SOLE       1       38,148           -       -
EURONET WORLDWIDE INC           EQUITY       298736109    9305    319,100 SH          SOLE       2      319,100           -       -
EV3 INC                         EQUITY       26928A200     248     14,670 SH          SOLE       1       14,670           -       -
EV3 INC                         EQUITY       26928A200     302     17,900 SH          SOLE       2       17,900           -       -
EVERCORE PARTNERS INC           EQUITY       29977A105     217      7,296 SH          SOLE       1        7,296           -       -
EVERGREEN ENERGY INC            EQUITY       30024B104     420     69,610 SH          SOLE       1       69,610           -       -
EVERGREEN INCOME ADVANTAGE FUN  EQUITY       30023Y105     127      9,009 SH         DEFINED     4            -           -   9,009
EVERGREEN SOLAR INC             EQUITY       30033R108     731     78,591 SH          SOLE       1       78,591           -       -
EW SCRIPPS CO                   EQUITY       811054204       5        107 SH          SOLE       2          107           -       -
EW SCRIPPS CO                   EQUITY       811054204    2748     60,142 SH          SOLE       1       60,142           -       -
EXAR CORP                       EQUITY       300645108    1239     92,442 SH          SOLE       1       92,442           -       -
EXCEL TECHNOLOGY INC            EQUITY       30067T103     283     10,122 SH          SOLE       1       10,122           -       -
EXCO RESOURCES INC              EQUITY       269279402     895     51,294 SH          SOLE       1       51,294           -       -
EXELIXIS INC                    EQUITY       30161Q104     428     35,400 SH          SOLE       2       35,400           -       -
EXELIXIS INC                    EQUITY       30161Q104     975     80,538 SH          SOLE       1       80,538           -       -
EXELON CORP                     EQUITY       30161N101      39        540 SH         DEFINED     4            -           -     540
EXELON CORP                     EQUITY       30161N101      63        867 SH          SOLE       2          867           -       -
EXELON CORP                     EQUITY       30161N101   21362    294,247 SH          SOLE       1      294,247           -       -
EXIDE TECHNOLOGIES              EQUITY       302051206     470     50,513 SH          SOLE       1       50,513           -       -
EXLSERVICE HOLDINGS INC         EQUITY       302081104     352     18,803 SH          SOLE       1       18,803           -       -
EXPEDIA INC                     EQUITY       30212P105     664     22,684 SH          SOLE       1       22,684           -       -
EXPEDITORS INTERNATIONAL WASHI  EQUITY       302130109   22044    533,749 SH          SOLE       1      533,749           -       -
EXPONENT INC                    EQUITY       30214U102     276     12,347 SH          SOLE       1       12,347           -       -
EXPRESS SCRIPTS INC             EQUITY       302182100    1148     22,950 SH          SOLE       2       22,950           -       -
EXPRESS SCRIPTS INC             EQUITY       302182100    7380    147,580 SH          SOLE       1      147,580           -       -
EXPRESSJET HOLDINGS INC         EQUITY       30218U108     270     45,207 SH          SOLE       1       45,207           -       -
EXTRA SPACE STORAGE INC         EQUITY       30225T102    1769    107,226 SH          SOLE       1      107,226           -       -
EXTREME NETWORKS                EQUITY       30226D106     399     98,559 SH          SOLE       1       98,559           -       -
EXXON MOBIL CORP                EQUITY       30231G102  368709  4,395,722 SH          SOLE       1    4,395,722           -       -
EXXON MOBIL CORP                EQUITY       30231G102    1366     16,285 SH         DEFINED     4            -           -  16,285
EXXON MOBIL CORP                EQUITY       30231G102   74454    887,624 SH          SOLE       2      887,624           -       -
EZCORP INC                      EQUITY       302301106     408     30,820 SH          SOLE       1       30,820           -       -
F5 NETWORKS INC                 EQUITY       315616102     790      9,800 SH          SOLE       2        9,800           -       -
F5 NETWORKS INC                 EQUITY       315616102    8508    105,556 SH          SOLE       1      105,556           -       -
FACTSET RESEARCH SYSTEMS INC    EQUITY       303075105      62        912 SH          SOLE       1          912           -       -
FACTSET RESEARCH SYSTEMS INC    EQUITY       303075105     848     12,400 SH          SOLE       2       12,400           -       -
FAIR ISAAC CORP                 EQUITY       303250104    5709    142,288 SH          SOLE       1      142,288           -       -
FAIRCHILD SEMICONDUCTOR INTERN  EQUITY       303726103    5895    305,124 SH          SOLE       1      305,124           -       -
FAIRFAX FINANCIAL HOLDINGS LTD  EQUITY       303901102      60        313 SH          OTHER      1            -         313       -
FAIRPOINT COMMUNICATIONS INC    EQUITY       305560104   10699    602,762 SH          SOLE       1      602,762           -       -





                                                                                           
FALCONSTOR SOFTWARE INC         EQUITY       306137100     281     26,628 SH          SOLE       1       26,628           -       -
FAMILY DOLLAR STORES INC        EQUITY       307000109       7        194 SH          SOLE       2          194           -       -
FAMILY DOLLAR STORES INC        EQUITY       307000109    5610    163,463 SH          SOLE       1      163,463           -       -
FANNIE MAE                      EQUITY       313586109      11        162 SH         DEFINED     4            -           -     162
FANNIE MAE                      EQUITY       313586109    9623    147,301 SH          SOLE       2      147,301           -       -
FANNIE MAE                      EQUITY       313586109   41046    628,288 SH          SOLE       1      628,288           -       -
FARMER BROS CO                  EQUITY       307675108     127      5,604 SH          SOLE       1        5,604           -       -
FARMER MAC                      EQUITY       313148306     294      8,587 SH          SOLE       1        8,587           -       -
FARMERS CAPITAL BANK CORP       EQUITY       309562106      75      2,600 SH          SOLE       1        2,600           -       -
FARO TECHNOLOGIES INC           EQUITY       311642102     389     12,213 SH          SOLE       1       12,213           -       -
FASTENAL CO                     EQUITY       311900104     449     10,732 SH         DEFINED     4            -           -  10,732
FASTENAL CO                     EQUITY       311900104   13141    313,923 SH          SOLE       1      313,923           -       -
FBL FINANCIAL GROUP INC         EQUITY       30239F106     471     11,971 SH          SOLE       1       11,971           -       -
FCSTONE GROUP INC               EQUITY       31308T100     928     16,200 SH          SOLE       3       16,200           -       -
FCSTONE GROUP INC               EQUITY       31308T100     280      4,886 SH          SOLE       1        4,886           -       -
FEDERAL REALTY INVS TRUST       EQUITY       313747206     127      1,642 SH          SOLE       1        1,642           -       -
FEDERAL SIGNAL CORP             EQUITY       313855108    2474    155,987 SH          SOLE       1      155,987           -       -
FEDERATED INVESTORS INC         EQUITY       314211103       4        114 SH          SOLE       2          114           -       -
FEDERATED INVESTORS INC         EQUITY       314211103     355      9,262 SH         DEFINED     4            -           -   9,262
FEDERATED INVESTORS INC         EQUITY       314211103    2226     58,085 SH          SOLE       1       58,085           -       -
FEDEX CORP                      EQUITY       31428X106      44        397 SH          SOLE       2          397           -       -
FEDEX CORP                      EQUITY       31428X106   32712    294,784 SH          SOLE       1      294,784           -       -
FEI CO                          EQUITY       30241L109     961     29,605 SH          SOLE       1       29,605           -       -
FELCOR LODGING TRUST INC        EQUITY       31430F101    7946    305,276 SH          SOLE       1      305,276           -       -
FERRELLGAS PARTNERS-LP          EQUITY       315293100      29      1,200 SH         DEFINED     4            -           -   1,200
FERRO CORP                      EQUITY       315405100    3520    141,206 SH          SOLE       1      141,206           -       -
FIBERTOWER CORP                 EQUITY       31567R100     527    121,639 SH          SOLE       1      121,639           -       -
FIDELITY NATIONAL FINANCIAL IN  EQUITY       31620R105   13008    548,879 SH          SOLE       1      548,879           -       -
FIDELITY NATIONAL INFORMATION   EQUITY       31620M106      11        211 SH          SOLE       2          211           -       -
FIDELITY NATIONAL INFORMATION   EQUITY       31620M106    4052     74,648 SH          SOLE       1       74,648           -       -
FIFTH THIRD BANCORP             EQUITY       316773100      28        709 SH          SOLE       2          709           -       -
FIFTH THIRD BANCORP             EQUITY       316773100      50      1,246 SH         DEFINED     4            -           -   1,246
FIFTH THIRD BANCORP             EQUITY       316773100   63241  1,590,174 SH          SOLE       1    1,590,174           -       -
FINANCIAL FEDERAL CORP          EQUITY       317492106     667     22,383 SH          SOLE       1       22,383           -       -
FINANCIAL SELECT SECTOR SPDR F  EQUITY       81369Y605     163      4,500 SH         DEFINED     4            -           -   4,500
FINANCIAL SELECT SECTOR SPDR F  EQUITY       81369Y605   22579    624,065 SH          SOLE       1      624,065           -       -
FINISAR CORP                    EQUITY       31787A101     843    222,907 SH          SOLE       1      222,907           -       -
FINISH LINE                     EQUITY       317923100     322     35,375 SH          SOLE       1       35,375           -       -
FIRST ACCEPTANCE CORP           EQUITY       318457108     144     14,219 SH          SOLE       1       14,219           -       -
FIRST ADVANTAGE CORP            EQUITY       31845F100      11        476 SH         DEFINED     4            -           -     476
FIRST ADVANTAGE CORP            EQUITY       31845F100     142      6,182 SH          SOLE       1        6,182           -       -
FIRST AMERICAN CORP             EQUITY       318522307   11828    238,940 SH          SOLE       1      238,940           -       -
FIRST BANCORP/PUERTO RICO       EQUITY       318672102     761     69,273 SH          SOLE       1       69,273           -       -
FIRST BANCORP/TROY NC           EQUITY       318910106     188     10,015 SH          SOLE       1       10,015           -       -
FIRST BUSEY CORP                EQUITY       319383105     250     12,518 SH          SOLE       1       12,518           -       -
FIRST CASH FINANCIAL SERVICES   EQUITY       31942D107     512     21,854 SH          SOLE       1       21,854           -       -
FIRST CHARTER CORP              EQUITY       319439105     569     29,249 SH          SOLE       1       29,249           -       -
FIRST CITIZENS BANCSHARES INC/  EQUITY       31946M103      44        226 SH          SOLE       1          226           -       -
FIRST COMMONWEALTH FINANCIAL C  EQUITY       319829107     672     61,579 SH          SOLE       1       61,579           -       -
FIRST COMMUNITY BANCORP INC/CA  EQUITY       31983B101    4847     84,730 SH          SOLE       1       84,730           -       -
FIRST COMMUNITY BANCSHARES INC  EQUITY       31983A103     261      8,356 SH          SOLE       1        8,356           -       -
FIRST DATA CORP                 EQUITY       319963104      32        972 SH          SOLE       2          972           -       -
FIRST DATA CORP                 EQUITY       319963104   39869  1,220,348 SH          SOLE       1    1,220,348           -       -
FIRST FINANCIAL BANCORP         EQUITY       320209109     414     27,625 SH          SOLE       1       27,625           -       -
FIRST FINANCIAL BANKSHARES INC  EQUITY       32020R109     670     17,270 SH          SOLE       1       17,270           -       -
FIRST FINANCIAL CORP/IN         EQUITY       320218100     323     10,987 SH          SOLE       1       10,987           -       -





                                                                                           
FIRST FINANCIAL HOLDINGS INC    EQUITY       320239106     325      9,929 SH          SOLE       1        9,929           -       -
FIRST HORIZON NATIONAL CORP     EQUITY       320517105       6        162 SH          SOLE       2          162           -       -
FIRST HORIZON NATIONAL CORP     EQUITY       320517105      10        260 SH         DEFINED     4            -           -     260
FIRST HORIZON NATIONAL CORP     EQUITY       320517105    2307     59,159 SH          SOLE       1       59,159           -       -
FIRST INDIANA CORP              EQUITY       32054R108     227     10,284 SH          SOLE       1       10,284           -       -
FIRST INDUSTRIAL REALTY TRUST   EQUITY       32054K103    2730     70,438 SH          SOLE       1       70,438           -       -
FIRST MARBLEHEAD CORP/THE       EQUITY       320771108    7285    188,528 SH          SOLE       1      188,528           -       -
FIRST MERCHANTS CORP            EQUITY       320817109     366     15,240 SH          SOLE       1       15,240           -       -
FIRST MERCURY FINANCIAL CORP    EQUITY       320841109     216     10,284 SH          SOLE       1       10,284           -       -
FIRST MIDWEST BANCORP INC/IL    EQUITY       320867104    1469     41,370 SH          SOLE       1       41,370           -       -
FIRST NIAGARA FINANCIAL GROUP   EQUITY       33582V108    4707    359,321 SH          SOLE       1      359,321           -       -
FIRST PLACE FINANCIAL CORP/OH   EQUITY       33610T109     306     14,507 SH          SOLE       1       14,507           -       -
FIRST REGIONAL BANCORP/LOS ANG  EQUITY       33615C101     177      6,942 SH          SOLE       1        6,942           -       -
FIRST REPUBLIC BANK/SAN FRANCI  EQUITY       336158100    1391     25,921 SH          SOLE       1       25,921           -       -
FIRST SOLAR INC                 EQUITY       336433107      64        712 SH          SOLE       1          712           -       -
FIRST SOUTH BANCORP INC/WASHIN  EQUITY       33646W100     190      7,078 SH          SOLE       1        7,078           -       -
FIRST STATE BANCORPORATION/NM   EQUITY       336453105     362     17,014 SH          SOLE       1       17,014           -       -
FIRST TRUST DOW JONES INTERNET  EQUITY       33733E302     347     13,365 SH         DEFINED     4            -           -  13,365
FIRST TRUST VALUE LINE DIVIDEN  EQUITY       33734H106      21      1,228 SH         DEFINED     4            -           -   1,228
FIRST TRUST/FOUR CORNERS SENIO  EQUITY       33733U108      24      1,254 SH         DEFINED     4            -           -   1,254
FIRSTENERGY CORP                EQUITY       337932107   34533    533,545 SH          SOLE       1      533,545           -       -
FIRSTENERGY CORP                EQUITY       337932107      12        190 SH         DEFINED     4            -           -     190
FIRSTENERGY CORP                EQUITY       337932107      25        393 SH          SOLE       2          393           -       -
FIRSTFED FINANCIAL CORP         EQUITY       337907109     780     13,745 SH          SOLE       1       13,745           -       -
FIRSTMERIT CORP                 EQUITY       337915102    5502    262,853 SH          SOLE       1      262,853           -       -
FISERV INC                      EQUITY       337738108      12        217 SH          SOLE       2          217           -       -
FISERV INC                      EQUITY       337738108    4880     85,907 SH          SOLE       1       85,907           -       -
FISHER COMMUNICATIONS INC       EQUITY       337756209     264      5,195 SH          SOLE       1        5,195           -       -
FISHER SCIENTIFIC INTL          FIXED INCOME 338032AW5       2      1,000 PRN        DEFINED     4            -           -   1,000
FISHER SCIENTIFIC INTL          FIXED INCOME 338032AX3     714    500,000 PRN         SOLE       1      500,000           -       -
FIVE STAR QUALITY CARE INC      EQUITY       33832D106    2401    300,900 SH          SOLE       2      300,900           -       -
FLAGSTAR BANCORP INC            EQUITY       337930101     446     37,017 SH          SOLE       1       37,017           -       -
FLAHERTY & CRUMRINE PREFERRED   EQUITY       338480106     860     53,309 SH         DEFINED     4            -           -  53,309
FLEETWOOD ENTERPRISES INC       EQUITY       339099103     482     53,298 SH          SOLE       1       53,298           -       -
FLIR SYSTEMS INC                EQUITY       302445101     611     13,200 SH          SOLE       2       13,200           -       -
FLIR SYSTEMS INC                EQUITY       302445101    2921     63,161 SH          SOLE       1       63,161           -       -
FLORIDA EAST COAST INDUSTRIES   EQUITY       340632108    2552     30,758 SH          SOLE       1       30,758           -       -
FLORIDA ROCK INDUSTRIES INC     EQUITY       341140101    8185    121,256 SH          SOLE       1      121,256           -       -
FLOTEK INDUSTRIES INC           EQUITY       343389102     453      7,557 SH          SOLE       1        7,557           -       -
FLOW INTERNATIONAL CORP         EQUITY       343468104     391     31,008 SH          SOLE       1       31,008           -       -
FLOW INTERNATIONAL CORP         EQUITY       343468104    1562    124,000 SH          SOLE       2      124,000           -       -
FLOWERS FOODS INC               EQUITY       343498101    1751     52,476 SH          SOLE       1       52,476           -       -
FLOWSERVE CORP                  EQUITY       34354P105    9996    139,607 SH          SOLE       1      139,607           -       -
FLUOR CORP                      EQUITY       343412102     592      5,314 SH          SOLE       2        5,314           -       -
FLUOR CORP                      EQUITY       343412102    4270     38,337 SH          SOLE       1       38,337           -       -
FLUSHING FINANCIAL CORP         EQUITY       343873105     282     17,569 SH          SOLE       1       17,569           -       -
FMC CORP                        EQUITY       302491303       7         77 SH         DEFINED     4            -           -      77
FMC CORP                        EQUITY       302491303   12070    135,021 SH          SOLE       1      135,021           -       -
FMC TECHNOLOGIES INC            EQUITY       30249U101      95      1,200 SH         DEFINED     4            -           -   1,200
FMC TECHNOLOGIES INC            EQUITY       30249U101   12634    159,479 SH          SOLE       1      159,479           -       -
FNB CORP/PA                     EQUITY       302520101     841     50,227 SH          SOLE       1       50,227           -       -
FOCUS MEDIA HOLDING LTD         EQUITY       34415V109    2747     54,400 SH          SOLE       3       54,400           -       -
FOMENTO ECONOMICO MEXICANO SAB  EQUITY       344419106      25        646 SH         DEFINED     4            -           -     646
FOMENTO ECONOMICO MEXICANO SAB  EQUITY       344419106    9774    248,581 SH          SOLE       1      248,581           -       -
FOOT LOCKER INC                 EQUITY       344849104    8340    382,549 SH          SOLE       1      382,549           -       -
FORCE PROTECTION INC            EQUITY       345203202     345     16,700 SH          SOLE       2       16,700           -       -





                                                                                           
FORCE PROTECTION INC            EQUITY       345203202    1169     56,635 SH          SOLE       1       56,635           -       -
FORD MOTOR CO                   EQUITY       345370860      23      2,422 SH          SOLE       2        2,422           -       -
FORD MOTOR CO                   EQUITY       345370860    8301    881,215 SH          SOLE       1      881,215           -       -
FORD MOTOR CO                   EQUITY       345370860      18      1,894 SH         DEFINED     4            -           -   1,894
FORD MOTOR CO CAP TR II         FIXED INCOME 345395206      10        260 PRN        DEFINED     4            -           -     260
FORDING CANADIAN COAL TRUST     EQUITY       345425102     629     19,111 SH         DEFINED     4            -           -  19,111
FORDING CANADIAN COAL TRUST     EQUITY       345425102      99      3,000 SH          OTHER      1            -       3,000       -
FOREST LABORATORIES INC         EQUITY       345838106      19        409 SH          SOLE       2          409           -       -
FOREST LABORATORIES INC         EQUITY       345838106   32592    713,959 SH          SOLE       1      713,959           -       -
FOREST OIL CORP                 EQUITY       346091705    8012    189,591 SH          SOLE       1      189,591           -       -
FORMFACTOR INC                  EQUITY       346375108    1523     39,753 SH          SOLE       1       39,753           -       -
FORRESTER RESEARCH INC          EQUITY       346563109     354     12,572 SH          SOLE       1       12,572           -       -
FORTUNE BRANDS INC              EQUITY       349631101      16        197 SH          SOLE       2          197           -       -
FORTUNE BRANDS INC              EQUITY       349631101      29        350 SH         DEFINED     4            -           -     350
FORTUNE BRANDS INC              EQUITY       349631101    5825     70,712 SH          SOLE       1       70,712           -       -
FORWARD AIR CORP                EQUITY       349853101     856     25,101 SH          SOLE       1       25,101           -       -
FOSSIL INC                      EQUITY       349882100    1071     36,312 SH          SOLE       1       36,312           -       -
FOSTER WHEELER LTD              EQUITY       G36535139     599      5,600 SH          SOLE       2        5,600           -       -
FOUNDATION COAL HOLDINGS INC    EQUITY       35039W100    2897     71,288 SH          SOLE       1       71,288           -       -
FOUNDRY NETWORKS INC            EQUITY       35063R100     570     34,200 SH          SOLE       2       34,200           -       -
FOUNDRY NETWORKS INC            EQUITY       35063R100    2544    152,725 SH          SOLE       1      152,725           -       -
FOUNDRY NETWORKS INC            EQUITY       35063R100    1010     60,600 SH          SOLE       3       60,600           -       -
FOXHOLLOW TECHNOLOGIES INC      EQUITY       35166A103     350     16,459 SH          SOLE       1       16,459           -       -
FPIC INSURANCE GROUP INC        EQUITY       302563101     330      8,098 SH          SOLE       1        8,098           -       -
FPL GROUP INC                   EQUITY       302571104    4507     79,429 SH          SOLE       2       79,429           -       -
FPL GROUP INC                   EQUITY       302571104    9825    173,154 SH          SOLE       1      173,154           -       -
FRANKLIN BANK CORP/HOUSTON TX   EQUITY       352451108     293     19,649 SH          SOLE       1       19,649           -       -
FRANKLIN ELECTRIC CO INC        EQUITY       353514102     758     16,057 SH          SOLE       1       16,057           -       -
FRANKLIN RESOURCES INC          EQUITY       354613101      28        212 SH          SOLE       2          212           -       -
FRANKLIN RESOURCES INC          EQUITY       354613101     103        777 SH         DEFINED     4            -           -     777
FRANKLIN RESOURCES INC          EQUITY       354613101   14146    106,784 SH          SOLE       1      106,784           -       -
FREDDIE MAC                     EQUITY       313400301      45        747 SH         DEFINED     4            -           -     747
FREDDIE MAC                     EQUITY       313400301     614     10,109 SH          SOLE       2       10,109           -       -
FREDDIE MAC                     EQUITY       313400301   30778    507,059 SH          SOLE       1      507,059           -       -
FRED'S INC                      EQUITY       356108100     446     33,339 SH          SOLE       1       33,339           -       -
FREEDOM ACQUISITION HOLDING IN  EQUITY       35645F103     484     43,944 SH          SOLE       1       43,944           -       -
FREEPORT-MCMORAN COPPER & GOLD  EQUITY       35671D857    8162     98,552 SH          SOLE       2       98,552           -       -
FREEPORT-MCMORAN COPPER & GOLD  EQUITY       35671D857   16337    197,264 SH          SOLE       1      197,264           -       -
FREIGHTCAR AMERICA INC          EQUITY       357023100     488     10,197 SH          SOLE       1       10,197           -       -
FREMONT GENERAL CORP            EQUITY       357288109     607     56,378 SH          SOLE       1       56,378           -       -
FRIEDMAN BILLINGS RAMSEY GROUP  EQUITY       358434108     732    134,105 SH          SOLE       1      134,105           -       -
FRONTEER DEVELOPMENT GROUP INC  EQUITY       35903Q106      87      7,312 SH         DEFINED     4            -           -   7,312
FRONTIER FINANCIAL CORP         EQUITY       35907K105     734     32,588 SH          SOLE       1       32,588           -       -
FRONTIER OIL CORP               EQUITY       35914P105   11826    270,180 SH          SOLE       1      270,180           -       -
FTD GROUP INC                   EQUITY       30267U108     293     15,918 SH          SOLE       1       15,918           -       -
FTI CONSULTING INC              EQUITY       302941109     787     20,700 SH          SOLE       2       20,700           -       -
FTI CONSULTING INC              EQUITY       302941109    1352     35,553 SH          SOLE       1       35,553           -       -
FUEL TECH INC                   EQUITY       359523107      20        576 SH         DEFINED     4            -           -     576
FUEL TECH INC                   EQUITY       359523107     493     14,407 SH          SOLE       1       14,407           -       -
FUELCELL ENERGY INC             EQUITY       35952H106       6        800 SH         DEFINED     4            -           -     800
FUELCELL ENERGY INC             EQUITY       35952H106     437     55,124 SH          SOLE       1       55,124           -       -
FULTON FINANCIAL CORP           EQUITY       360271100      42      2,943 SH          SOLE       1        2,943           -       -
FURNITURE BRANDS INTERNATIONAL  EQUITY       360921100    2243    157,931 SH          SOLE       1      157,931           -       -
FX ENERGY INC                   EQUITY       302695101     272     29,708 SH          SOLE       1       29,708           -       -
G&K SERVICES INC                EQUITY       361268105     707     17,906 SH          SOLE       1       17,906           -       -
GABELLI EQUITY TRUST INC        EQUITY       362397101     784     79,649 SH         DEFINED     4            -           -  79,649





                                                                                           
GAIAM INC                       EQUITY       36268Q103     263     14,400 SH          SOLE       1       14,400           -       -
GAMCO INVESTORS INC             EQUITY       361438104     257      4,594 SH          SOLE       1        4,594           -       -
GAMESTOP CORP                   EQUITY       36467W109    2636     67,408 SH          SOLE       2       67,408           -       -
GAMESTOP CORP                   EQUITY       36467W109   14660    374,944 SH          SOLE       1      374,944           -       -
GANDER MOUNTAIN CO              EQUITY       36471P108      48      4,249 SH          SOLE       1        4,249           -       -
GANNETT CO INC                  EQUITY       364730101    3062     55,724 SH          SOLE       2       55,724           -       -
GANNETT CO INC                  EQUITY       364730101   37338    679,482 SH          SOLE       1      679,482           -       -
GAP INC/THE                     EQUITY       364760108      53      2,789 SH         DEFINED     4            -           -   2,789
GAP INC/THE                     EQUITY       364760108      13        683 SH          SOLE       2          683           -       -
GAP INC/THE                     EQUITY       364760108   13732    718,928 SH          SOLE       1      718,928           -       -
GARDNER DENVER INC              EQUITY       365558105     115      2,712 SH          SOLE       1        2,712           -       -
GARMIN LTD                      EQUITY       G37260109       9        120 SH         DEFINED     4            -           -     120
GARTNER INC                     EQUITY       366651107    4527    184,096 SH          SOLE       1      184,096           -       -
GASCO ENERGY INC                EQUITY       367220100       3      1,200 SH         DEFINED     4            -           -   1,200
GATEHOUSE MEDIA INC             EQUITY       367348109     233     12,571 SH          SOLE       1       12,571           -       -
GATEWAY INC                     EQUITY       367626108      11      7,000 SH         DEFINED     4            -           -   7,000
GATEWAY INC                     EQUITY       367626108     405    254,993 SH          SOLE       1      254,993           -       -
GATX CORP                       EQUITY       361448103    6205    125,997 SH          SOLE       1      125,997           -       -
GAYLORD ENTERTAINMENT CO        EQUITY       367905106    1828     34,085 SH          SOLE       1       34,085           -       -
GEHL CO                         EQUITY       368483103     265      8,715 SH          SOLE       1        8,715           -       -
GEMSTAR-TV GUIDE INTERNATIONAL  EQUITY       36866W106    1025    208,350 SH          SOLE       1      208,350           -       -
GENCO SHIPPING & TRADING LTD    EQUITY       Y2685T107      51      1,226 SH         DEFINED     4            -           -   1,226
GENCO SHIPPING & TRADING LTD    EQUITY       Y2685T107    2847     69,000 SH          SOLE       2       69,000           -       -
GENCORP INC                     EQUITY       368682100     610     46,680 SH          SOLE       1       46,680           -       -
GENENTECH INC                   EQUITY       368710406   61068    807,135 SH          SOLE       1      807,135           -       -
GENENTECH INC                   EQUITY       368710406      14        190 SH         DEFINED     4            -           -     190
GENENTECH INC                   EQUITY       368710406   39174    517,767 SH          SOLE       2      517,767           -       -
GENERAL CABLE CORP              EQUITY       369300108     765     10,100 SH          SOLE       2       10,100           -       -
GENERAL CABLE CORP              EQUITY       369300108    1159     15,303 SH         DEFINED     4            -           -  15,303
GENERAL CABLE CORP              EQUITY       369300108    1236     16,311 SH          SOLE       1       16,311           -       -
GENERAL COMMUNICATION INC       EQUITY       369385109     611     47,722 SH          SOLE       1       47,722           -       -
GENERAL DYNAMICS CORP           EQUITY       369550108   21788    278,550 SH          SOLE       1      278,550           -       -
GENERAL DYNAMICS CORP           EQUITY       369550108     391      4,993 SH         DEFINED     4            -           -   4,993
GENERAL DYNAMICS CORP           EQUITY       369550108   37851    483,904 SH          SOLE       2      483,904           -       -
GENERAL ELECTRIC CO             EQUITY       369604103  296724  7,751,499 SH          SOLE       1    7,751,499           -       -
GENERAL ELECTRIC CO             EQUITY       369604103    1309     34,201 SH         DEFINED     4            -           -  34,201
GENERAL ELECTRIC CO             EQUITY       369604103   39324  1,027,280 SH          SOLE       2    1,027,280           -       -
GENERAL GROWTH PROPERTIES INC   EQUITY       370021107   13758    259,836 SH          SOLE       1      259,836           -       -
GENERAL MILLS INC               EQUITY       370334104       2         30 SH         DEFINED     4            -           -      30
GENERAL MILLS INC               EQUITY       370334104      26        446 SH          SOLE       2          446           -       -
GENERAL MILLS INC               EQUITY       370334104   13946    238,726 SH          SOLE       1      238,726           -       -
GENERAL MOTORS CORP             EQUITY       370442105   10592    280,213 SH          SOLE       2      280,213           -       -
GENERAL MOTORS CORP             EQUITY       370442105      25        657 SH         DEFINED     4            -           -     657
GENERAL MOTORS CORP             EQUITY       370442105   24795    655,953 SH          SOLE       1      655,953           -       -
GENESCO INC                     EQUITY       371532102     991     18,943 SH          SOLE       1       18,943           -       -
GENESEE & WYOMING INC           EQUITY       371559105     882     29,558 SH          SOLE       1       29,558           -       -
GENESIS ENERGY LP               EQUITY       371927104      14        400 SH         DEFINED     4            -           -     400
GENESIS HEALTHCARE CORP         EQUITY       37184D101    1123     16,409 SH          SOLE       1       16,409           -       -
GENESIS LEASE LTD               EQUITY       37183T107    1800     65,700 SH          SOLE       3       65,700           -       -
GENESIS LEASE LTD               EQUITY       37183T107     934     34,100 SH          SOLE       1       34,100           -       -
GENESIS MICROCHIP INC           EQUITY       37184C103     288     30,820 SH          SOLE       1       30,820           -       -
GENLYTE GROUP INC               EQUITY       372302109    1859     23,667 SH          SOLE       1       23,667           -       -
GENOMIC HEALTH INC              EQUITY       37244C101     214     11,362 SH          SOLE       1       11,362           -       -
GENOMIC HEALTH INC              EQUITY       37244C101     784     41,700 SH          SOLE       2       41,700           -       -
GEN-PROBE INC                   EQUITY       36866T103    3631     60,100 SH          SOLE       3       60,100           -       -
GEN-PROBE INC                   EQUITY       36866T103    7783    128,814 SH          SOLE       1      128,814           -       -





                                                                                           
GENTEK INC                      EQUITY       37245X203     254      7,204 SH          SOLE       1        7,204           -       -
GENTEX CORP                     EQUITY       371901109    6902    350,532 SH          SOLE       1      350,532           -       -
GENTEX CORP                     EQUITY       371901109    7441    377,900 SH          SOLE       2      377,900           -       -
GENTIUM SPA                     EQUITY       37250B104      17      1,000 SH          SOLE       2        1,000           -       -
GENTIVA HEALTH SERVICES INC     EQUITY       37247A102     461     22,976 SH          SOLE       1       22,976           -       -
GENUINE PARTS CO                EQUITY       372460105    3193     64,383 SH          SOLE       2       64,383           -       -
GENUINE PARTS CO                EQUITY       372460105    3816     76,927 SH          SOLE       1       76,927           -       -
GENVEC INC                      EQUITY       37246C109     130     55,125 SH          SOLE       1       55,125           -       -
GENWORTH FINANCIAL INC          EQUITY       37247D106       3        100 SH         DEFINED     4            -           -     100
GENWORTH FINANCIAL INC          EQUITY       37247D106      19        539 SH          SOLE       2          539           -       -
GENWORTH FINANCIAL INC          EQUITY       37247D106   23551    684,612 SH          SOLE       1      684,612           -       -
GENZYME CORP                    EQUITY       372917104       8        120 SH         DEFINED     4            -           -     120
GENZYME CORP                    EQUITY       372917104   23268    361,306 SH          SOLE       2      361,306           -       -
GENZYME CORP                    EQUITY       372917104   18694    290,281 SH          SOLE       1      290,281           -       -
GEO GROUP INC/THE               EQUITY       36159R103     385     13,240 SH         DEFINED     4            -           -  13,240
GEO GROUP INC/THE               EQUITY       36159R103    4224    145,157 SH          SOLE       1      145,157           -       -
GEO GROUP INC/THE               EQUITY       36159R103   12615    433,500 SH          SOLE       3      433,500           -       -
GEOEYE INC                      EQUITY       37250W108     316     14,565 SH          SOLE       1       14,565           -       -
GEOGLOBAL RESOURCES INC         EQUITY       37249T109     137     26,837 SH          SOLE       1       26,837           -       -
GEOKINETICS INC                 EQUITY       372910307     980     31,588 SH          SOLE       1       31,588           -       -
GEOMET INC                      EQUITY       37250U201     115     15,045 SH          SOLE       1       15,045           -       -
GEORGIA GULF CORP               EQUITY       373200203     518     28,620 SH          SOLE       1       28,620           -       -
GERBER SCIENTIFIC INC           EQUITY       373730100     330     28,397 SH          SOLE       1       28,397           -       -
GERON CORP                      EQUITY       374163103      14      2,000 SH         DEFINED     4            -           -   2,000
GERON CORP                      EQUITY       374163103     427     60,635 SH          SOLE       1       60,635           -       -
GETTY IMAGES INC                EQUITY       374276103      25        524 SH         DEFINED     4            -           -     524
GETTY IMAGES INC                EQUITY       374276103      55      1,157 SH          SOLE       1        1,157           -       -
GEVITY HR INC                   EQUITY       374393106     393     20,342 SH          SOLE       1       20,342           -       -
GFI GROUP INC                   EQUITY       361652209     942     13,000 SH          SOLE       2       13,000           -       -
GFI GROUP INC                   EQUITY       361652209     966     13,334 SH          SOLE       1       13,334           -       -
GIBRALTAR INDUSTRIES INC        EQUITY       374689107     461     20,810 SH          SOLE       1       20,810           -       -
GIGAMEDIA LTD                   EQUITY       Y2711Y104     367     27,200 SH          SOLE       2       27,200           -       -
G-III APPAREL GROUP LTD         EQUITY       36237H101     171     10,827 SH          SOLE       1       10,827           -       -
GILDAN ACTIVEWEAR INC           EQUITY       375916103       9        254 SH         DEFINED     4            -           -     254
GILDAN ACTIVEWEAR INC           EQUITY       375916103      87      2,532 SH          OTHER      1            -       2,532       -
GILEAD SCIENCES INC             EQUITY       375558103    6871    177,234 SH          SOLE       2      177,234           -       -
GILEAD SCIENCES INC             EQUITY       375558103       8        200 SH         DEFINED     4            -           -     200
GILEAD SCIENCES INC             EQUITY       375558103   40039  1,031,629 SH          SOLE       1    1,031,629           -       -
GLACIER BANCORP INC             EQUITY       37637Q105     892     43,841 SH          SOLE       1       43,841           -       -
GLADSTONE CAPITAL CORP          EQUITY       376535100     254     11,857 SH          SOLE       1       11,857           -       -
GLATFELTER                      EQUITY       377316104     509     37,465 SH          SOLE       1       37,465           -       -
GLAXOSMITHKLINE PLC             EQUITY       37733W105      13        250 SH         DEFINED     4            -           -     250
GLOBAL CASH ACCESS HOLDINGS IN  EQUITY       378967103     589     36,757 SH          SOLE       1       36,757           -       -
GLOBAL INDUSTRIES LTD           EQUITY       379336100     405     15,100 SH          SOLE       2       15,100           -       -
GLOBAL INDUSTRIES LTD           EQUITY       379336100     461     17,190 SH         DEFINED     4            -           -  17,190
GLOBAL INDUSTRIES LTD           EQUITY       379336100     723     26,946 SH          SOLE       1       26,946           -       -
GLOBAL PAYMENTS INC             EQUITY       37940X102    5614    141,600 SH          SOLE       2      141,600           -       -
GLOBAL PAYMENTS INC             EQUITY       37940X102    6678    168,415 SH          SOLE       1      168,415           -       -
GLOBAL PAYMENTS INC             EQUITY       37940X102     259      6,537 SH         DEFINED     4            -           -   6,537
GLOBAL SOURCES LTD              EQUITY       G39300101      32      1,420 SH         DEFINED     4            -           -   1,420
GLOBALSANTAFE CORP              EQUITY       G3930E101    2955     40,900 SH         DEFINED     4            -           -  40,900
GLOBALSTAR INC                  EQUITY       378973408     167     16,123 SH          SOLE       1       16,123           -       -
GLOBECOMM SYSTEMS INC           EQUITY       37956X103    1570    107,400 SH          SOLE       3      107,400           -       -
GLU MOBILE INC                  EQUITY       379890106      86      6,162 SH          SOLE       1        6,162           -       -
GMX RESOURCES INC               EQUITY       38011M108     332      9,593 SH          SOLE       1        9,593           -       -
GOLD FIELDS LTD                 EQUITY       38059T106      13        799 SH         DEFINED     4            -           -     799





                                                                                           
GOLDCORP INC                    EQUITY       380956409    6376    268,081 SH          OTHER      1            -     268,081       -
GOLDEN TELECOM INC              EQUITY       38122G107     720     13,085 SH          SOLE       1       13,085           -       -
GOLDMAN SACHS GROUP INC/THE     EQUITY       38141G104     244      1,126 SH         DEFINED     4            -           -   1,126
GOLDMAN SACHS GROUP INC/THE     EQUITY       38141G104    9626     44,410 SH          SOLE       2       44,410           -       -
GOLDMAN SACHS GROUP INC/THE     EQUITY       38141G104   38228    176,368 SH          SOLE       1      176,368           -       -
GOODMAN GLOBAL INC              EQUITY       38239A100     696     31,306 SH          SOLE       1       31,306           -       -
GOODRICH CORP                   EQUITY       382388106    3291     55,250 SH          SOLE       1       55,250           -       -
GOODRICH CORP                   EQUITY       382388106      10        161 SH          SOLE       2          161           -       -
GOODRICH CORP                   EQUITY       382388106     910     15,275 SH         DEFINED     4            -           -  15,275
GOODRICH PETROLEUM CORP         EQUITY       382410405     447     12,905 SH          SOLE       1       12,905           -       -
GOODYEAR TIRE & RUBBER CO/THE   EQUITY       382550101       5        153 SH         DEFINED     4            -           -     153
GOODYEAR TIRE & RUBBER CO/THE   EQUITY       382550101       9        266 SH          SOLE       2          266           -       -
GOODYEAR TIRE & RUBBER CO/THE   EQUITY       382550101    3577    102,911 SH          SOLE       1      102,911           -       -
GOOGLE INC                      EQUITY       38259P508   96881    185,348 SH          SOLE       1      185,348           -       -
GOOGLE INC                      EQUITY       38259P508    1413      2,700 SH          SOLE       3        2,700           -       -
GOOGLE INC                      EQUITY       38259P508      18         34 SH         DEFINED     4            -           -      34
GOOGLE INC                      EQUITY       38259P508   16372     31,281 SH          SOLE       2       31,281           -       -
GORMAN-RUPP CO/THE              EQUITY       383082104     304      9,549 SH          SOLE       1        9,549           -       -
GRACO INC                       EQUITY       384109104    6582    163,413 SH          SOLE       1      163,413           -       -
GRAFTECH INTERNATIONAL LTD      EQUITY       384313102     608     36,100 SH          SOLE       2       36,100           -       -
GRAFTECH INTERNATIONAL LTD      EQUITY       384313102    1392     82,632 SH          SOLE       1       82,632           -       -
GRAMERCY CAPITAL CORP/NEW YORK  EQUITY       384871109    1702     61,801 SH          SOLE       1       61,801           -       -
GRANITE CITY FOOD & BREWERY LT  EQUITY       38724Q107    1226    225,000 SH          SOLE       3      225,000           -       -
GRANITE CONSTRUCTION INC        EQUITY       387328107    7231    112,674 SH          SOLE       1      112,674           -       -
GRANT PRIDECO INC               EQUITY       38821G101       3         63 SH         DEFINED     4            -           -      63
GRANT PRIDECO INC               EQUITY       38821G101   22631    420,422 SH          SOLE       1      420,422           -       -
GRAPHIC PACKAGING CORP          EQUITY       388688103     277     57,177 SH          SOLE       1       57,177           -       -
GRAY TELEVISION INC             EQUITY       389375106     323     34,832 SH          SOLE       1       34,832           -       -
GREAT AMERICAN FINANCIAL RESOU  EQUITY       389915109     182      7,513 SH          SOLE       1        7,513           -       -
GREAT ATLANTIC & PACIFIC TEA C  EQUITY       390064103     548     16,336 SH          SOLE       1       16,336           -       -
GREAT LAKES DREDGE & DOCK CORP  EQUITY       390607109      64      6,744 SH          SOLE       1        6,744           -       -
GREAT PLAINS ENERGY INC         EQUITY       391164100    6186    212,439 SH          SOLE       1      212,439           -       -
GREAT SOUTHERN BANCORP INC      EQUITY       390905107     234      8,658 SH          SOLE       1        8,658           -       -
GREAT WOLF RESORTS INC          EQUITY       391523107     364     25,529 SH          SOLE       1       25,529           -       -
GREATBATCH INC                  EQUITY       39153L106     890     27,478 SH          SOLE       1       27,478           -       -
GREATER BAY BANCORP             EQUITY       391648102    4650    167,031 SH          SOLE       1      167,031           -       -
GREEN BANKSHARES INC            EQUITY       394361208     226      7,223 SH          SOLE       1        7,223           -       -
GREEN MOUNTAIN COFFEE ROASTERS  EQUITY       393122106     376      4,773 SH          SOLE       1        4,773           -       -
GREENBRIER COS INC              EQUITY       393657101     402     13,301 SH          SOLE       1       13,301           -       -
GREENFIELD ONLINE INC           EQUITY       395150105     287     18,061 SH          SOLE       1       18,061           -       -
GREENHILL & CO INC              EQUITY       395259104    1089     15,846 SH          SOLE       1       15,846           -       -
GREIF INC                       EQUITY       397624107      12        200 SH         DEFINED     4            -           -     200
GREIF INC                       EQUITY       397624107    2934     49,218 SH          SOLE       1       49,218           -       -
GREY WOLF INC                   EQUITY       397888108    1268    153,825 SH          SOLE       1      153,825           -       -
GRIFFON CORP                    EQUITY       398433102     540     24,815 SH          SOLE       1       24,815           -       -
GROUP 1 AUTOMOTIVE INC          EQUITY       398905109     815     20,202 SH          SOLE       1       20,202           -       -
GRUBB & ELLIS CO                EQUITY       400095204     153     13,150 SH          SOLE       1       13,150           -       -
GRUPO AEROPORTUARIO DEL CENTRO  EQUITY       400501102      28      1,019 SH         DEFINED     4            -           -   1,019
GRUPO AEROPORTUARIO DEL PACIFI  EQUITY       400506101    3895     78,970 SH          SOLE       1       78,970           -       -
GSI COMMERCE INC                EQUITY       36238G102     378     16,627 SH          SOLE       1       16,627           -       -
GSI COMMERCE INC                EQUITY       36238G102     961     42,300 SH          SOLE       2       42,300           -       -
GTX INC                         EQUITY       40052B108     227     14,020 SH          SOLE       1       14,020           -       -
GUESS ? INC                     EQUITY       401617105    1545     32,155 SH          SOLE       1       32,155           -       -
GUIDANCE SOFTWARE INC           EQUITY       401692108      39      2,733 SH          SOLE       1        2,733           -       -
GUITAR CENTER INC               EQUITY       402040109    1470     24,584 SH          SOLE       1       24,584           -       -
GULF ISLAND FABRICATION INC     EQUITY       402307102     310      8,921 SH          SOLE       1        8,921           -       -





                                                                                           
GULFMARK OFFSHORE INC           EQUITY       402629109     975     19,031 SH          SOLE       1       19,031           -       -
GULFPORT ENERGY CORP            EQUITY       402635304     328     16,436 SH          SOLE       1       16,436           -       -
GYMBOREE CORP                   EQUITY       403777105    1072     27,213 SH          SOLE       1       27,213           -       -
H&E EQUIPMENT SERVICES INC      EQUITY       404030108       8        300 SH         DEFINED     4            -           -     300
H&E EQUIPMENT SERVICES INC      EQUITY       404030108     411     14,802 SH          SOLE       1       14,802           -       -
H&R BLOCK INC                   EQUITY       093671105    3338    142,836 SH          SOLE       1      142,836           -       -
H&R BLOCK INC                   EQUITY       093671105    5971    255,516 SH          SOLE       2      255,516           -       -
HAEMONETICS CORP                EQUITY       405024100    1162     22,087 SH          SOLE       1       22,087           -       -
HAIN CELESTIAL GROUP INC        EQUITY       405217100     896     33,019 SH          SOLE       1       33,019           -       -
HALLIBURTON CO                  EQUITY       406216101      36      1,029 SH         DEFINED     4            -           -   1,029
HALLIBURTON CO                  EQUITY       406216101    8548    247,778 SH          SOLE       2      247,778           -       -
HALLIBURTON CO                  EQUITY       406216101   16166    468,577 SH          SOLE       1      468,577           -       -
HALLIBURTON COMPANY             FIXED INCOME 406216AM3       6      3,000 PRN        DEFINED     4            -           -   3,000
HALLIBURTON COMPANY             FIXED INCOME 406216AM3     926    500,000 PRN         SOLE       1      500,000           -       -
HALLMARK FINANCIAL SERVICES     EQUITY       40624Q203      46      3,818 SH          SOLE       1        3,818           -       -
HALOZYME THERAPEUTICS INC       EQUITY       40637H109     495     53,577 SH          SOLE       1       53,577           -       -
HANCOCK HOLDING CO              EQUITY       410120109     836     22,262 SH          SOLE       1       22,262           -       -
HANDLEMAN CO                    EQUITY       410252100       1        200 SH         DEFINED     4            -           -     200
HANESBRANDS INC                 EQUITY       410345102       9        332 SH         DEFINED     4            -           -     332
HANESBRANDS INC                 EQUITY       410345102    6402    236,849 SH          SOLE       1      236,849           -       -
HANMI FINANCIAL CORP            EQUITY       410495105    1232     72,232 SH          SOLE       1       72,232           -       -
HANOVER COMPRESSOR CO           EQUITY       410768105    7833    328,427 SH          SOLE       1      328,427           -       -
HANOVER INSURANCE GROUP INC/TH  EQUITY       410867105    6211    127,296 SH          SOLE       1      127,296           -       -
HANSEN MEDICAL INC              EQUITY       411307101     150      7,966 SH          SOLE       1        7,966           -       -
HANSEN NATURAL CORP             EQUITY       411310105    6369    148,178 SH          SOLE       1      148,178           -       -
HARDINGE INC                    EQUITY       412324303     315      9,245 SH          SOLE       1        9,245           -       -
HARLEY-DAVIDSON INC             EQUITY       412822108      20        332 SH          SOLE       2          332           -       -
HARLEY-DAVIDSON INC             EQUITY       412822108    7387    123,919 SH          SOLE       1      123,919           -       -
HARLEY-DAVIDSON INC             EQUITY       412822108      43        726 SH         DEFINED     4            -           -     726
HARLEYSVILLE GROUP INC          EQUITY       412824104     433     12,992 SH          SOLE       1       12,992           -       -
HARLEYSVILLE NATIONAL CORP      EQUITY       412850109     389     24,104 SH          SOLE       1       24,104           -       -
HARMAN INTERNATIONAL INDUSTRIE  EQUITY       413086109      10         84 SH          SOLE       2           84           -       -
HARMAN INTERNATIONAL INDUSTRIE  EQUITY       413086109      46        397 SH         DEFINED     4            -           -     397
HARMAN INTERNATIONAL INDUSTRIE  EQUITY       413086109   11079     94,858 SH          SOLE       1       94,858           -       -
HARMONIC INC                    EQUITY       413160102     586     66,029 SH          SOLE       1       66,029           -       -
HARRAH'S ENTERTAINMENT INC      EQUITY       413619107       9        100 SH         DEFINED     4            -           -     100
HARRAH'S ENTERTAINMENT INC      EQUITY       413619107      20        240 SH          SOLE       2          240           -       -
HARRAH'S ENTERTAINMENT INC      EQUITY       413619107   24165    283,432 SH          SOLE       1      283,432           -       -
HARRIS CORP                     EQUITY       413875105   17993    329,853 SH          SOLE       1      329,853           -       -
HARRIS INTERACTIVE INC          EQUITY       414549105     235     43,877 SH          SOLE       1       43,877           -       -
HARRIS STRATEX NETWORKS INC     EQUITY       41457P106     378     21,017 SH          SOLE       1       21,017           -       -
HARSCO CORP                     EQUITY       415864107       3         64 SH         DEFINED     4            -           -      64
HARSCO CORP                     EQUITY       415864107   10727    206,298 SH          SOLE       1      206,298           -       -
HARTE-HANKS INC                 EQUITY       416196103    2998    116,759 SH          SOLE       1      116,759           -       -
HARTFORD FINANCIAL SERVICES GR  EQUITY       416515104      56        567 SH         DEFINED     4            -           -     567
HARTFORD FINANCIAL SERVICES GR  EQUITY       416515104    1160     11,778 SH          SOLE       2       11,778           -       -
HARTFORD FINANCIAL SERVICES GR  EQUITY       416515104   79857    810,650 SH          SOLE       1      810,650           -       -
HARVEST ENERGY TRUST            EQUITY       41752X101      74      2,384 SH         DEFINED     4            -           -   2,384
HARVEST ENERGY TRUST            EQUITY       41752X101      77      2,498 SH          OTHER      1            -       2,498       -
HARVEST NATURAL RESOURCES INC   EQUITY       41754V103     372     31,243 SH          SOLE       1       31,243           -       -
HASBRO INC                      EQUITY       418056107    2337     74,396 SH          SOLE       1       74,396           -       -
HASBRO INC                      EQUITY       418056107    8390    267,105 SH          SOLE       2      267,105           -       -
HAVERTY FURNITURE COS INC       EQUITY       419596101     215     18,425 SH          SOLE       1       18,425           -       -
HAWAIIAN ELECTRIC INDUSTRIES I  EQUITY       419870100    8438    356,187 SH          SOLE       1      356,187           -       -
HAYES LEMMERZ INTERNATIONAL IN  EQUITY       420781304     423     79,075 SH          SOLE       1       79,075           -       -
HAYNES INTERNATIONAL INC        EQUITY       420877201   15895    188,265 SH          SOLE       1      188,265           -       -





                                                                                           
HB FULLER CO                    EQUITY       359694106      24        795 SH         DEFINED     4            -           -     795
HB FULLER CO                    EQUITY       359694106    1509     50,473 SH          SOLE       1       50,473           -       -
HCC INSURANCE HOLDINGS INC      EQUITY       404132102   15960    477,700 SH          SOLE       2      477,700           -       -
HCC INSURANCE HOLDINGS INC      EQUITY       404132102    9828    294,164 SH          SOLE       1      294,164           -       -
HEADWATERS INC                  EQUITY       42210P102     566     32,794 SH          SOLE       1       32,794           -       -
HEALTH CARE PROPERTY INVESTORS  EQUITY       421915109      65      2,248 SH         DEFINED     4            -           -   2,248
HEALTH CARE PROPERTY INVESTORS  EQUITY       421915109    2828     97,761 SH          SOLE       1       97,761           -       -
HEALTH CARE SELECT SECTOR SPDR  EQUITY       81369Y209     133      3,753 SH         DEFINED     4            -           -   3,753
HEALTH MANAGEMENT ASSOCIATES I  EQUITY       421933102      65      5,765 SH         DEFINED     4            -           -   5,765
HEALTH MANAGEMENT ASSOCIATES I  EQUITY       421933102    6717    591,287 SH          SOLE       1      591,287           -       -
HEALTH MANAGEMENT ASSOCIATES I  EQUITY       421933102   10308    907,400 SH          SOLE       2      907,400           -       -
HEALTH NET INC                  EQUITY       42222G108   14579    276,115 SH          SOLE       1      276,115           -       -
HEALTHCARE REALTY TRUST INC     EQUITY       421946104     175      6,314 SH         DEFINED     4            -           -   6,314
HEALTHCARE SERVICES GROUP       EQUITY       421906108     681     23,069 SH          SOLE       1       23,069           -       -
HEALTHEXTRAS INC                EQUITY       422211102    1295     43,767 SH          SOLE       1       43,767           -       -
HEALTHSOUTH CORP                EQUITY       421924309    1186     65,514 SH          SOLE       1       65,514           -       -
HEALTHSOUTH CORP                EQUITY       421924309   10792    595,900 SH          SOLE       2      595,900           -       -
HEALTHSPRING INC                EQUITY       42224N101     198     10,395 SH         DEFINED     4            -           -  10,395
HEALTHSPRING INC                EQUITY       42224N101     758     39,791 SH          SOLE       1       39,791           -       -
HEALTHWAYS INC                  EQUITY       422245100    1382     29,169 SH          SOLE       1       29,169           -       -
HEARST-ARGYLE TELEVISION INC    EQUITY       422317107      50      2,081 SH          SOLE       1        2,081           -       -
HEARTLAND EXPRESS INC           EQUITY       422347104     786     48,234 SH          SOLE       1       48,234           -       -
HEARTLAND FINANCIAL USA INC     EQUITY       42234Q102     257     10,570 SH          SOLE       1       10,570           -       -
HEARTLAND PAYMENT SYSTEMS INC   EQUITY       42235N108     398     13,584 SH          SOLE       1       13,584           -       -
HEARTLAND PAYMENT SYSTEMS INC   EQUITY       42235N108    3748    127,800 SH          SOLE       2      127,800           -       -
HECLA MINING CO                 EQUITY       422704106     855    100,069 SH          SOLE       1      100,069           -       -
HEELYS INC                      EQUITY       42279M107     139      5,356 SH          SOLE       1        5,356           -       -
HEICO CORP                      EQUITY       422806109    2132     50,669 SH          SOLE       1       50,669           -       -
HEIDRICK & STRUGGLES INTERNATI  EQUITY       422819102     594     11,600 SH          SOLE       2       11,600           -       -
HEIDRICK & STRUGGLES INTERNATI  EQUITY       422819102     772     15,071 SH          SOLE       1       15,071           -       -
HELIX ENERGY SOLUTIONS GROUP I  EQUITY       42330P107      14        343 SH          SOLE       1          343           -       -
HELMERICH & PAYNE INC           EQUITY       423452101    8971    253,272 SH          SOLE       1      253,272           -       -
HENRY SCHEIN INC                EQUITY       806407102   11658    218,187 SH          SOLE       1      218,187           -       -
HERCULES INC                    EQUITY       427056106       3        150 SH          SOLE       2          150           -       -
HERCULES INC                    EQUITY       427056106    2892    147,184 SH          SOLE       1      147,184           -       -
HERCULES OFFSHORE INC           EQUITY       427093109     714     22,036 SH          SOLE       1       22,036           -       -
HERCULES TECHNOLOGY GROWTH CAP  EQUITY       427096508     260     19,223 SH          SOLE       1       19,223           -       -
HERCULES TECHNOLOGY GROWTH CAP  EQUITY       427096508    5404    400,000 SH          SOLE       2      400,000           -       -
HERITAGE COMMERCE CORP          EQUITY       426927109     229      9,683 SH          SOLE       1        9,683           -       -
HERLEY INDUSTRIES INC           EQUITY       427398102       6        388 SH         DEFINED     4            -           -     388
HERMAN MILLER INC               EQUITY       600544100      12        376 SH         DEFINED     4            -           -     376
HERMAN MILLER INC               EQUITY       600544100    6555    207,434 SH          SOLE       1      207,434           -       -
HERSHEY CO/THE                  EQUITY       427866108    2598     51,321 SH          SOLE       2       51,321           -       -
HERSHEY CO/THE                  EQUITY       427866108    9199    181,727 SH          SOLE       1      181,727           -       -
HERTZ GLOBAL HOLDINGS INC       EQUITY       42805T105     216      8,144 SH          SOLE       1        8,144           -       -
HESS CORP                       EQUITY       42809H107      21        352 SH          SOLE       2          352           -       -
HESS CORP                       EQUITY       42809H107    7573    128,440 SH          SOLE       1      128,440           -       -
HEWITT ASSOCIATES INC           EQUITY       42822Q100      30        944 SH          SOLE       1          944           -       -
HEWLETT-PACKARD CO              EQUITY       428236103  153682  3,444,255 SH          SOLE       1    3,444,255           -       -
HEWLETT-PACKARD CO              EQUITY       428236103      35        788 SH         DEFINED     4            -           -     788
HEWLETT-PACKARD CO              EQUITY       428236103   16662    373,428 SH          SOLE       2      373,428           -       -
HEXCEL CORP                     EQUITY       428291108    1654     78,477 SH          SOLE       1       78,477           -       -
HFF INC                         EQUITY       40418F108     212     13,684 SH          SOLE       1       13,684           -       -
HIBBETT SPORTS INC              EQUITY       428567101     720     26,304 SH          SOLE       1       26,304           -       -
HIGHLAND HOSPITALITY CORP       EQUITY       430141101   10947    570,132 SH          SOLE       1      570,132           -       -
HIGHWOODS PROPERTIES INC        EQUITY       431284108    6969    185,828 SH          SOLE       1      185,828           -       -





                                                                                           
HILB ROGAL & HOBBS CO           EQUITY       431294107    1311     30,597 SH          SOLE       1       30,597           -       -
HILLENBRAND INDUSTRIES INC      EQUITY       431573104    9903    152,350 SH          SOLE       1      152,350           -       -
HILLTOP HOLDINGS INC            EQUITY       008273104     466     39,467 SH          SOLE       1       39,467           -       -
HILTON HOTELS CORP              FIXED INCOME 432848AZ2       6      4,000 PRN        DEFINED     4            -           -   4,000
HILTON HOTELS CORP              EQUITY       432848109      17        502 SH          SOLE       2          502           -       -
HILTON HOTELS CORP              EQUITY       432848109    5898    176,232 SH          SOLE       1      176,232           -       -
HITTITE MICROWAVE CORP          EQUITY       43365Y104     582     13,622 SH          SOLE       1       13,622           -       -
HJ HEINZ CO                     EQUITY       423074103       2         50 SH         DEFINED     4            -           -      50
HJ HEINZ CO                     EQUITY       423074103      20        418 SH          SOLE       2          418           -       -
HJ HEINZ CO                     EQUITY       423074103   20983    442,034 SH          SOLE       1      442,034           -       -
HLTH CORP                       EQUITY       40422Y101    1350     96,325 SH          SOLE       1       96,325           -       -
HMS HOLDINGS CORP               EQUITY       40425J101    8670    453,000 SH          SOLE       3      453,000           -       -
HMS HOLDINGS CORP               EQUITY       40425J101    2002    104,572 SH          SOLE       1      104,572           -       -
HNI CORP                        EQUITY       404251100    4826    117,718 SH          SOLE       1      117,718           -       -
HOLLY CORP                      EQUITY       435758305    1688     22,747 SH          SOLE       1       22,747           -       -
HOLLY CORP                      EQUITY       435758305     890     11,990 SH         DEFINED     4            -           -  11,990
HOLOGIC INC                     EQUITY       436440101    2480     44,839 SH          SOLE       1       44,839           -       -
HOLOGIC INC                     EQUITY       436440101    7611    137,600 SH          SOLE       2      137,600           -       -
HOME BANCSHARES INC/CONWAY AR   EQUITY       436893200     216      9,565 SH          SOLE       1        9,565           -       -
HOME DEPOT INC                  EQUITY       437076102     157      4,001 SH         DEFINED     4            -           -   4,001
HOME DEPOT INC                  EQUITY       437076102   16375    416,136 SH          SOLE       2      416,136           -       -
HOME DEPOT INC                  EQUITY       437076102   36085    917,032 SH          SOLE       1      917,032           -       -
HOME DIAGNOSTICS INC            EQUITY       437080104    4245    360,700 SH          SOLE       2      360,700           -       -
HOME INNS & HOTELS MANAGEMENT   EQUITY       43713W107    1739     54,000 SH          SOLE       2       54,000           -       -
HOME PROPERTIES INC             EQUITY       437306103    1436     27,661 SH          SOLE       1       27,661           -       -
HOME SOLUTIONS OF AMERICA INC   EQUITY       437355100     196     32,804 SH          SOLE       1       32,804           -       -
HOMEBANC CORP/ATLANTA GA        EQUITY       43738R109       2      1,249 SH         DEFINED     4            -           -   1,249
HONEYWELL INTERNATIONAL INC     EQUITY       438516106     532      9,460 SH         DEFINED     4            -           -   9,460
HONEYWELL INTERNATIONAL INC     EQUITY       438516106     712     12,648 SH          SOLE       2       12,648           -       -
HONEYWELL INTERNATIONAL INC     EQUITY       438516106   33145    588,938 SH          SOLE       1      588,938           -       -
HOOKER FURNITURE CORP           EQUITY       439038100     222      9,904 SH          SOLE       1        9,904           -       -
HORACE MANN EDUCATORS CORP      EQUITY       440327104    2998    141,139 SH          SOLE       1      141,139           -       -
HORIZON FINANCIAL CORP          EQUITY       44041F105     222     10,197 SH          SOLE       1       10,197           -       -
HORIZON LINES INC               EQUITY       44044K101     917     27,988 SH          SOLE       1       27,988           -       -
HORIZON OFFSHORE INC            EQUITY       44043J204   10602    552,194 SH          SOLE       1      552,194           -       -
HORMEL FOODS CORP               EQUITY       440452100    6836    183,015 SH          SOLE       1      183,015           -       -
HORNBECK OFFSHORE SERVICES INC  EQUITY       440543106    1253     32,322 SH          SOLE       1       32,322           -       -
HOSPIRA INC                     EQUITY       441060100       8        201 SH          SOLE       2          201           -       -
HOSPIRA INC                     EQUITY       441060100    2736     70,078 SH          SOLE       1       70,078           -       -
HOSPITALITY PROPERTIES TRUST    EQUITY       44106M102      58      1,390 SH         DEFINED     4            -           -   1,390
HOSPITALITY PROPERTIES TRUST    EQUITY       44106M102    9631    232,136 SH          SOLE       1      232,136           -       -
HOST HOTELS & RESORTS INC       EQUITY       44107P104      16        673 SH          SOLE       2          673           -       -
HOST HOTELS & RESORTS INC       EQUITY       44107P104   20926    905,098 SH          SOLE       1      905,098           -       -
HOT TOPIC INC                   EQUITY       441339108     400     36,817 SH          SOLE       1       36,817           -       -
HOUSTON WIRE & CABLE CO         EQUITY       44244K109     398     14,001 SH          SOLE       1       14,001           -       -
HOVNANIAN ENTERPRISES INC       EQUITY       442487203    1988    120,250 SH          SOLE       1      120,250           -       -
HSBC HOLDINGS PLC               EQUITY       404280406      51        551 SH         DEFINED     4            -           -     551
HSBC HOLDINGS PLC               FIXED INCOME 404280604    1288     54,000 PRN         SOLE       1       54,000           -       -
HUANENG POWER INTERNATIONAL IN  EQUITY       443304100       5        100 SH         DEFINED     4            -           -     100
HUB GROUP INC                   EQUITY       443320106      18        520 SH         DEFINED     4            -           -     520
HUB GROUP INC                   EQUITY       443320106    2298     65,364 SH          SOLE       1       65,364           -       -
HUBBELL INC                     EQUITY       443510201    7977    147,118 SH          SOLE       1      147,118           -       -
HUDSON CITY BANCORP INC         EQUITY       443683107       8        624 SH          SOLE       2          624           -       -
HUDSON CITY BANCORP INC         EQUITY       443683107    2624    214,753 SH          SOLE       1      214,753           -       -
HUDSON HIGHLAND GROUP INC       EQUITY       443792106     449     20,993 SH          SOLE       1       20,993           -       -
HUGHES COMMUNICATIONS INC       EQUITY       444398101     279      5,350 SH          SOLE       1        5,350           -       -





                                                                                           
HUMAN GENOME SCIENCES INC       EQUITY       444903108     997    111,723 SH          SOLE       1      111,723           -       -
HUMANA INC                      EQUITY       444859102      13        216 SH          SOLE       2          216           -       -
HUMANA INC                      EQUITY       444859102    7047    115,696 SH          SOLE       1      115,696           -       -
HUNGARIAN TELEPHONE & CABLE     EQUITY       445542103      60      2,993 SH          SOLE       1        2,993           -       -
HUNTINGTON BANCSHARES INC/OH    EQUITY       446150104       6        282 SH         DEFINED     4            -           -     282
HUNTINGTON BANCSHARES INC/OH    EQUITY       446150104       7        304 SH          SOLE       2          304           -       -
HUNTINGTON BANCSHARES INC/OH    EQUITY       446150104   25739  1,131,884 SH          SOLE       1    1,131,884           -       -
HUNTSMAN CORP                   EQUITY       447011107      83      3,402 SH          SOLE       1        3,402           -       -
HURCO COS INC                   EQUITY       447324104     232      4,646 SH          SOLE       1        4,646           -       -
HURON CONSULTING GROUP INC      EQUITY       447462102     606      8,300 SH          SOLE       2        8,300           -       -
HURON CONSULTING GROUP INC      EQUITY       447462102    1133     15,516 SH          SOLE       1       15,516           -       -
HUTCHINSON TECHNOLOGY INC       EQUITY       448407106     407     21,659 SH          SOLE       1       21,659           -       -
HYPERCOM CORP                   EQUITY       44913M105     262     44,309 SH          SOLE       1       44,309           -       -
HYTHIAM INC                     EQUITY       44919F104     219     25,350 SH          SOLE       1       25,350           -       -
I2 TECHNOLOGIES INC             EQUITY       465754208     240     12,878 SH          SOLE       1       12,878           -       -
IAC/INTERACTIVECORP             EQUITY       44919P300      10        281 SH          SOLE       2          281           -       -
IAC/INTERACTIVECORP             EQUITY       44919P300      42      1,215 SH         DEFINED     4            -           -   1,215
IAC/INTERACTIVECORP             EQUITY       44919P300    6634    191,685 SH          SOLE       1      191,685           -       -
IBASIS INC                      EQUITY       450732201     277     27,601 SH          SOLE       1       27,601           -       -
IBERIABANK CORP                 EQUITY       450828108     477      9,655 SH          SOLE       1        9,655           -       -
IBM                             EQUITY       459200101   16527    157,024 SH          SOLE       2      157,024           -       -
IBM                             EQUITY       459200101  129294  1,228,446 SH          SOLE       1    1,228,446           -       -
IBM                             EQUITY       459200101     356      3,386 SH         DEFINED     4            -           -   3,386
ICF INTERNATIONAL INC           EQUITY       44925C103    1177     58,500 SH          SOLE       3       58,500           -       -
ICO GLOBAL COMMUNICATIONS HOLD  EQUITY       44930K108     298     85,582 SH          SOLE       1       85,582           -       -
ICONIX BRAND GROUP INC          EQUITY       451055107     937     42,189 SH          SOLE       1       42,189           -       -
ICOP DIGITAL INC                EQUITY       44930M203    1242    148,400 SH          SOLE       3      148,400           -       -
ICT GROUP INC                   EQUITY       44929Y101     126      6,743 SH          SOLE       1        6,743           -       -
ICU MEDICAL INC                 EQUITY       44930G107     464     10,814 SH          SOLE       1       10,814           -       -
IDACORP INC                     EQUITY       451107106    4579    142,900 SH          SOLE       1      142,900           -       -
IDAHO GENERAL MINES INC         EQUITY       451272306     256     40,395 SH          SOLE       1       40,395           -       -
IDEARC INC                      EQUITY       451663108       9        267 SH         DEFINED     4            -           -     267
IDEARC INC                      EQUITY       451663108     205      5,791 SH          SOLE       1        5,791           -       -
IDENIX PHARMACEUTICALS INC      EQUITY       45166R204     122     20,705 SH          SOLE       1       20,705           -       -
IDEX CORP                       EQUITY       45167R104    4361    113,164 SH          SOLE       2      113,164           -       -
IDEXX LABORATORIES INC          EQUITY       45168D104      61        644 SH         DEFINED     4            -           -     644
IDEXX LABORATORIES INC          EQUITY       45168D104       6         68 SH          SOLE       1           68           -       -
IDT CORP                        EQUITY       448947309     426     41,290 SH          SOLE       1       41,290           -       -
I-FLOW CORP                     EQUITY       449520303     286     17,068 SH          SOLE       1       17,068           -       -
IGATE CORP                      EQUITY       45169U105     146     18,173 SH          SOLE       1       18,173           -       -
IHOP CORP                       EQUITY       449623107     790     14,506 SH          SOLE       1       14,506           -       -
IHS INC                         EQUITY       451734107    1204     26,173 SH          SOLE       1       26,173           -       -
II-VI INC                       EQUITY       902104108     536     19,718 SH          SOLE       1       19,718           -       -
IKON OFFICE SOLUTIONS INC       EQUITY       451713101    1397     89,472 SH          SOLE       1       89,472           -       -
ILLINOIS TOOL WORKS INC         EQUITY       452308109      29        531 SH          SOLE       2          531           -       -
ILLINOIS TOOL WORKS INC         EQUITY       452308109   15684    289,421 SH          SOLE       1      289,421           -       -
ILLUMINA INC                    EQUITY       452327109    1811     44,605 SH          SOLE       1       44,605           -       -
ILLUMINA INC                    EQUITY       452327109       4        100 SH         DEFINED     4            -           -     100
IMATION CORP                    EQUITY       45245A107    4238    114,977 SH          SOLE       1      114,977           -       -
IMCLONE SYSTEMS INC             EQUITY       45245W109      22        632 SH          SOLE       1          632           -       -
IMCLONE SYSTEMS INC             EQUITY       45245W109     615     17,385 SH          SOLE       2       17,385           -       -
IMERGENT INC                    EQUITY       45247Q100      19        771 SH         DEFINED     4            -           -     771
IMERGENT INC                    EQUITY       45247Q100     251     10,251 SH          SOLE       1       10,251           -       -
IMMERSION CORP                  EQUITY       452521107     324     21,632 SH          SOLE       1       21,632           -       -
IMMUCOR INC                     EQUITY       452526106     736     26,300 SH          SOLE       2       26,300           -       -
IMMUCOR INC                     EQUITY       452526106    2859    102,215 SH          SOLE       1      102,215           -       -





                                                                                           
IMMUNOMEDICS INC                EQUITY       452907108     200     48,309 SH          SOLE       1       48,309           -       -
IMPAC MORTGAGE HOLDINGS INC     EQUITY       45254P102     292     63,308 SH          SOLE       1       63,308           -       -
IMPERIAL OIL LTD                EQUITY       453038408     326      6,990 SH          OTHER      1            -       6,990       -
IMPERIAL SUGAR CO               EQUITY       453096208     301      9,777 SH          SOLE       1        9,777           -       -
IMPERIAL TOBACCO GROUP PLC      EQUITY       453142101      14        150 SH         DEFINED     4            -           -     150
IMS HEALTH INC                  EQUITY       449934108       4        125 SH         DEFINED     4            -           -     125
IMS HEALTH INC                  EQUITY       449934108       8        253 SH          SOLE       2          253           -       -
IMS HEALTH INC                  EQUITY       449934108    2847     88,617 SH          SOLE       1       88,617           -       -
INCYTE CORP                     EQUITY       45337C102     419     69,890 SH          SOLE       1       69,890           -       -
INDEPENDENCE HOLDING CO         EQUITY       453440307     107      5,258 SH          SOLE       1        5,258           -       -
INDEPENDENT BANK CORP/MI        EQUITY       453838104     323     18,792 SH          SOLE       1       18,792           -       -
INDEPENDENT BANK CORP/ROCKLAND  EQUITY       453836108     349     11,813 SH          SOLE       1       11,813           -       -
INDEVUS PHARMACEUTICALS INC     EQUITY       454072109     341     50,722 SH          SOLE       1       50,722           -       -
INDIA FUND INC                  EQUITY       454089103      97      2,230 SH         DEFINED     4            -           -   2,230
INDUSTRIAL SELECT SECTOR SPDR   EQUITY       81369Y704     194      4,970 SH         DEFINED     4            -           -   4,970
INDYMAC BANCORP INC             EQUITY       456607100    5218    178,872 SH          SOLE       1      178,872           -       -
INFINERA CORP                   EQUITY       45667G103     304     12,200 SH          SOLE       2       12,200           -       -
INFINITY PROPERTY & CASUALTY C  EQUITY       45665Q103     553     10,900 SH          SOLE       2       10,900           -       -
INFINITY PROPERTY & CASUALTY C  EQUITY       45665Q103     818     16,134 SH          SOLE       1       16,134           -       -
INFOCROSSING INC                EQUITY       45664X109     340     18,395 SH          SOLE       1       18,395           -       -
INFORMATICA CORP                EQUITY       45666Q102     390     26,400 SH          SOLE       2       26,400           -       -
INFORMATICA CORP                EQUITY       45666Q102    1075     72,815 SH          SOLE       1       72,815           -       -
INFORMATION SERVICES GROUP INC  EQUITY       45675Y104     206     26,913 SH          SOLE       1       26,913           -       -
INFOSPACE INC                   EQUITY       45678T201    1672     72,040 SH          SOLE       1       72,040           -       -
INFOSYS TECHNOLOGIES LTD        EQUITY       456788108     274      5,437 SH          SOLE       1        5,437           -       -
INFOUSA INC                     EQUITY       456818301     276     27,051 SH          SOLE       1       27,051           -       -
INFRASOURCE SERVICES INC        EQUITY       45684P102    1250     33,692 SH          SOLE       1       33,692           -       -
INGERSOLL-RAND CO LTD           EQUITY       G4776G101      21        389 SH          SOLE       2          389           -       -
INGERSOLL-RAND CO LTD           EQUITY       G4776G101      84      1,527 SH         DEFINED     4            -           -   1,527
INGLES MARKETS INC              EQUITY       457030104     355     10,319 SH          SOLE       1       10,319           -       -
INGRAM MICRO INC                EQUITY       457153104      10        475 SH         DEFINED     4            -           -     475
INGRAM MICRO INC                EQUITY       457153104    7545    347,535 SH          SOLE       1      347,535           -       -
INLAND REAL ESTATE CORP         EQUITY       457461200     821     48,336 SH          SOLE       1       48,336           -       -
INNERWORKINGS INC               EQUITY       45773Y105     311     19,392 SH          SOLE       1       19,392           -       -
INNOPHOS HOLDINGS INC           EQUITY       45774N108     247     17,295 SH          SOLE       1       17,295           -       -
INNOSPEC INC                    EQUITY       45768S105     597     10,091 SH          SOLE       1       10,091           -       -
INNOVATIVE SOLUTIONS & SUPPORT  EQUITY       45769N105     244     10,492 SH          SOLE       1       10,492           -       -
INOVIO BIOMEDICAL CORP          EQUITY       45773H102       7      2,600 SH         DEFINED     4            -           -   2,600
INPHONIC INC                    EQUITY       45772G105      96     20,579 SH          SOLE       1       20,579           -       -
INPUT/OUTPUT INC                EQUITY       457652105     923     59,160 SH          SOLE       1       59,160           -       -
INSIGHT ENTERPRISES INC         EQUITY       45765U103     908     40,226 SH          SOLE       1       40,226           -       -
INSITUFORM TECHNOLOGIES INC     EQUITY       457667103     495     22,696 SH          SOLE       1       22,696           -       -
INSTEEL INDUSTRIES INC          EQUITY       45774W108     274     15,211 SH          SOLE       1       15,211           -       -
INSULET CORP                    EQUITY       45784P101      93      6,526 SH          SOLE       1        6,526           -       -
INSWEB CORP                     EQUITY       45809K202      70      9,194 SH          SOLE       1        9,194           -       -
INTEGRA BANK CORP               EQUITY       45814P105     371     17,282 SH          SOLE       1       17,282           -       -
INTEGRA LIFESCIENCES HOLDINGS   EQUITY       457985208    1462     29,579 SH          SOLE       1       29,579           -       -
INTEGRAL SYSTEMS INC/MD         EQUITY       45810H107     225      9,244 SH          SOLE       1        9,244           -       -
INTEGRATED DEVICE TECHNOLOGY I  EQUITY       458118106    7453    488,060 SH          SOLE       1      488,060           -       -
INTEGRATED DEVICE TECHNOLOGY I  EQUITY       458118106   23577  1,544,000 SH          SOLE       2    1,544,000           -       -
INTEGRATED ELECTRICAL SERVICES  EQUITY       45811E301     367     11,134 SH          SOLE       1       11,134           -       -
INTEGRYS ENERGY GROUP INC       EQUITY       45822P105       5         97 SH          SOLE       2           97           -       -
INTEGRYS ENERGY GROUP INC       EQUITY       45822P105    8849    174,438 SH          SOLE       1      174,438           -       -
INTEL CORP                      EQUITY       458140100   80459  3,389,178 SH          SOLE       1    3,389,178           -       -
INTEL CORP                      EQUITY       458140100     603     25,358 SH         DEFINED     4            -           -  25,358
INTEL CORP                      EQUITY       458140100   16161    680,167 SH          SOLE       2      680,167           -       -





                                                                                           
INTER PARFUMS INC               EQUITY       458334109     191      7,158 SH          SOLE       1        7,158           -       -
INTERACTIVE BROKERS GROUP INC   EQUITY       45841N107    1361     50,182 SH          SOLE       1       50,182           -       -
INTERACTIVE DATA CORP           EQUITY       45840J107     804     30,025 SH          SOLE       1       30,025           -       -
INTERACTIVE INTELLIGENCE INC    EQUITY       45839M103     223     10,840 SH          SOLE       1       10,840           -       -
INTERACTIVE INTELLIGENCE INC    EQUITY       45839M103     406     19,700 SH          SOLE       2       19,700           -       -
INTERCONTINENTALEXCHANGE INC    EQUITY       45865V100     390      2,636 SH          SOLE       1        2,636           -       -
INTERCONTINENTALEXCHANGE INC    EQUITY       45865V100     532      3,600 SH          SOLE       2        3,600           -       -
INTERCONTINENTALEXCHANGE INC    EQUITY       45865V100    6210     42,000 SH          SOLE       3       42,000           -       -
INTERDIGITAL COMMUNICATION      EQUITY       45866A105    1256     39,030 SH          SOLE       1       39,030           -       -
INTERFACE INC                   EQUITY       458665106    1837     97,428 SH          SOLE       1       97,428           -       -
INTERLINE BRANDS INC            EQUITY       458743101     600     23,022 SH          SOLE       1       23,022           -       -
INTERMEC INC                    EQUITY       458786100    1276     50,419 SH          SOLE       1       50,419           -       -
INTERMUNE INC                   EQUITY       45884X103     337     13,000 SH          SOLE       2       13,000           -       -
INTERMUNE INC                   EQUITY       45884X103     584     22,498 SH          SOLE       1       22,498           -       -
INTERNAP NETWORK SERVICES CORP  EQUITY       45885A300     587     40,707 SH          SOLE       1       40,707           -       -
INTERNATIONAL BANCSHARES CORP   EQUITY       459044103    1092     42,629 SH          SOLE       1       42,629           -       -
INTERNATIONAL COAL GROUP INC    EQUITY       45928H106     632    105,724 SH          SOLE       1      105,724           -       -
INTERNATIONAL FLAVORS & FRAGRA  EQUITY       459506101       5        100 SH         DEFINED     4            -           -     100
INTERNATIONAL FLAVORS & FRAGRA  EQUITY       459506101       5        100 SH          SOLE       2          100           -       -
INTERNATIONAL FLAVORS & FRAGRA  EQUITY       459506101    1853     35,530 SH          SOLE       1       35,530           -       -
INTERNATIONAL GAME TECHNOLOGY   EQUITY       459902102    1255     31,612 SH         DEFINED     4            -           -  31,612
INTERNATIONAL GAME TECHNOLOGY   EQUITY       459902102    2200     55,428 SH          SOLE       2       55,428           -       -
INTERNATIONAL GAME TECHNOLOGY   EQUITY       459902102    5936    149,510 SH          SOLE       1      149,510           -       -
INTERNATIONAL PAPER CO          EQUITY       460146103       3         65 SH         DEFINED     4            -           -      65
INTERNATIONAL PAPER CO          EQUITY       460146103    5942    152,161 SH          SOLE       2      152,161           -       -
INTERNATIONAL PAPER CO          EQUITY       460146103    7354    188,321 SH          SOLE       1      188,321           -       -
INTERNATIONAL RECTIFIER CORP    EQUITY       460254105    6629    177,922 SH          SOLE       1      177,922           -       -
INTERNATIONAL SECURITIES EXCHA  EQUITY       46031W204    2114     32,355 SH          SOLE       1       32,355           -       -
INTERNATIONAL SPEEDWAY CORP     EQUITY       460335201       4         80 SH         DEFINED     4            -           -      80
INTERNATIONAL SPEEDWAY CORP     EQUITY       460335201    5275    100,067 SH          SOLE       1      100,067           -       -
INTERNET CAPITAL GROUP INC      EQUITY       46059C205     399     32,159 SH          SOLE       1       32,159           -       -
INTERPOOL INC                   EQUITY       46062R108     250      9,306 SH          SOLE       1        9,306           -       -
INTERPUBLIC GROUP OF COS INC    EQUITY       460690100       3        289 SH         DEFINED     4            -           -     289
INTERPUBLIC GROUP OF COS INC    EQUITY       460690100       7        604 SH          SOLE       2          604           -       -
INTERPUBLIC GROUP OF COS INC    EQUITY       460690100    2432    213,295 SH          SOLE       1      213,295           -       -
INTERSIL CORP                   EQUITY       46069S109    8019    254,900 SH          SOLE       2      254,900           -       -
INTERSIL CORP                   EQUITY       46069S109   10853    344,992 SH          SOLE       1      344,992           -       -
INTERSIL CORP                   EQUITY       46069S109    5226    166,100 SH          SOLE       3      166,100           -       -
INTER-TEL INC                   EQUITY       458372109     439     18,355 SH          SOLE       1       18,355           -       -
INTERVOICE INC                  EQUITY       461142101     269     32,322 SH          SOLE       1       32,322           -       -
INTERWOVEN INC                  EQUITY       46114T508     644     45,865 SH          SOLE       1       45,865           -       -
INTEVAC INC                     EQUITY       461148108     378     17,802 SH          SOLE       1       17,802           -       -
INTUIT INC                      EQUITY       461202103      13        441 SH          SOLE       2          441           -       -
INTUIT INC                      EQUITY       461202103   12425    413,062 SH          SOLE       1      413,062           -       -
INTUITIVE SURGICAL INC          EQUITY       46120E602   13020     93,824 SH          SOLE       1       93,824           -       -
INTUITIVE SURGICAL INC          EQUITY       46120E602    5565     40,100 SH          SOLE       3       40,100           -       -
INVACARE CORP                   EQUITY       461203101     439     23,946 SH          SOLE       1       23,946           -       -
INVENTIV HEALTH INC             EQUITY       46122E105     794     21,700 SH          SOLE       2       21,700           -       -
INVENTIV HEALTH INC             EQUITY       46122E105     948     25,898 SH          SOLE       1       25,898           -       -
INVERNESS MEDICAL INNOVATIONS   EQUITY       46126P106    1978     38,763 SH          SOLE       1       38,763           -       -
INVERNESS MEDICAL INNOVATIONS   EQUITY       46126P106    4694     92,000 SH          SOLE       2       92,000           -       -
INVESCO PLC                     EQUITY       46127U104    6344    245,400 SH          SOLE       2      245,400           -       -
INVESTMENT GRADE MUNICIPAL INC  EQUITY       461368102      11        773 SH         DEFINED     4            -           -     773
INVESTMENT TECHNOLOGY GROUP IN  EQUITY       46145F105      37        862 SH          SOLE       1          862           -       -
INVESTMENT TECHNOLOGY GROUP IN  EQUITY       46145F105     568     13,100 SH          SOLE       2       13,100           -       -
INVESTOOLS INC                  EQUITY       46145P103     433     43,520 SH          SOLE       1       43,520           -       -





                                                                                           
INVESTORS BANCORP INC           EQUITY       46146P102     570     42,478 SH          SOLE       1       42,478           -       -
INVESTORS FINANCIAL SERVICES C  EQUITY       461915100   24367    395,127 SH          SOLE       1      395,127           -       -
INVESTORS REAL ESTATE TRUST     EQUITY       461730103     414     40,124 SH          SOLE       1       40,124           -       -
INVITROGEN CORP                 EQUITY       46185R100    8600    116,612 SH          SOLE       1      116,612           -       -
IONATRON INC                    EQUITY       462070103     104     26,546 SH          SOLE       1       26,546           -       -
IOWA TELECOMMUNICATIONS SERVIC  EQUITY       462594201     672     29,586 SH          SOLE       1       29,586           -       -
IPASS INC                       EQUITY       46261V108     228     41,997 SH          SOLE       1       41,997           -       -
IPATH GOLDMAN SACHS CRUDE OIL   EQUITY       06738C786      39      1,000 SH         DEFINED     4            -           -   1,000
IPATH MSCI INDIA INDEX ETN      EQUITY       06739F291      12        200 SH         DEFINED     4            -           -     200
IPCS INC                        EQUITY       44980Y305   91267  2,694,614 SH          SOLE       1    2,694,614           -       -
IPCS INC                        EQUITY       44980Y305   14471    427,262 SH          SOLE       2      427,262           -       -
IPG PHOTONICS CORP              EQUITY       44980X109     167      8,356 SH          SOLE       1        8,356           -       -
IPSCO INC                       EQUITY       462622101     146        920 SH          OTHER      1            -         920       -
IROBOT CORP                     EQUITY       462726100     254     12,784 SH          SOLE       1       12,784           -       -
IRON MOUNTAIN INC               EQUITY       462846106    6838    261,700 SH          SOLE       2      261,700           -       -
IRON MOUNTAIN INC               EQUITY       462846106      98      3,760 SH          SOLE       1        3,760           -       -
IRWIN FINANCIAL CORP            EQUITY       464119106     234     15,656 SH          SOLE       1       15,656           -       -
ISHARES COHEN & STEERS REALTY   EQUITY       464287564    1096     12,113 SH         DEFINED     4            -           -  12,113
ISHARES COMEX GOLD TRUST        EQUITY       464285105     631      9,806 SH         DEFINED     4            -           -   9,806
ISHARES DOW JONES SELECT DIVID  EQUITY       464287168    8167    113,607 SH         DEFINED     4            -           - 113,607
ISHARES DOW JONES TRANSPORTATI  EQUITY       464287192     972     10,655 SH         DEFINED     4            -           -  10,655
ISHARES DOW JONES US AEROSPACE  EQUITY       464288760     924     14,707 SH         DEFINED     4            -           -  14,707
ISHARES DOW JONES US BASIC MAT  EQUITY       464287838    1994     28,394 SH         DEFINED     4            -           -  28,394
ISHARES DOW JONES US BROKER DE  EQUITY       464288794     325      5,945 SH         DEFINED     4            -           -   5,945
ISHARES DOW JONES US CONSUMER   EQUITY       464287812    1087     17,448 SH         DEFINED     4            -           -  17,448
ISHARES DOW JONES US CONSUMER   EQUITY       464287580    1213     17,285 SH         DEFINED     4            -           -  17,285
ISHARES DOW JONES US ENERGY SE  EQUITY       464287796    1716     14,315 SH         DEFINED     4            -           -  14,315
ISHARES DOW JONES US FINANCIAL  EQUITY       464287770     852      6,568 SH         DEFINED     4            -           -   6,568
ISHARES DOW JONES US FINANCIAL  EQUITY       464287788    1315     11,413 SH         DEFINED     4            -           -  11,413
ISHARES DOW JONES US HEALTH CA  EQUITY       464288828    1352     23,160 SH         DEFINED     4            -           -  23,160
ISHARES DOW JONES US HEALTHCAR  EQUITY       464287762    1475     21,206 SH         DEFINED     4            -           -  21,206
ISHARES DOW JONES US INDUSTRIA  EQUITY       464287754    1312     17,857 SH         DEFINED     4            -           -  17,857
ISHARES DOW JONES US OIL & GAS  EQUITY       464288851     586     10,015 SH         DEFINED     4            -           -  10,015
ISHARES DOW JONES US OIL EQUIP  EQUITY       464288844     104      1,810 SH         DEFINED     4            -           -   1,810
ISHARES DOW JONES US PHARMACEU  EQUITY       464288836    1266     22,610 SH         DEFINED     4            -           -  22,610
ISHARES DOW JONES US REAL ESTA  EQUITY       464287739     857     11,070 SH         DEFINED     4            -           -  11,070
ISHARES DOW JONES US TECHNOLOG  EQUITY       464287721     528      8,864 SH         DEFINED     4            -           -   8,864
ISHARES DOW JONES US UTILITIES  EQUITY       464287697    1013     10,516 SH         DEFINED     4            -           -  10,516
ISHARES FTSE/XINHUA CHINA 25 I  EQUITY       464287184     163      1,262 SH         DEFINED     4            -           -   1,262
ISHARES IBOXX $ HIGH YIELD COR  EQUITY       464288513       7         67 SH         DEFINED     4            -           -      67
ISHARES IBOXX $ INVESTMT        EQUITY       464287242      43        407 SH         DEFINED     4            -           -     407
ISHARES LEHMAN 1-3 YEAR TREASU  EQUITY       464287457    1527     19,053 SH         DEFINED     4            -           -  19,053
ISHARES LEHMAN 20+ YEAR TREASU  EQUITY       464287432    1582     18,570 SH         DEFINED     4            -           -  18,570
ISHARES LEHMAN 7-10 YEAR TREAS  EQUITY       464287440     451      5,563 SH         DEFINED     4            -           -   5,563
ISHARES LEHMAN AGGREGATE BOND   EQUITY       464287226    1382     14,050 SH         DEFINED     4            -           -  14,050
ISHARES LEHMAN TREASURY INFLAT  EQUITY       464287176    1395     14,090 SH         DEFINED     4            -           -  14,090
ISHARES MORNINGSTAR LARGE GROW  EQUITY       464287119      34        489 SH         DEFINED     4            -           -     489
ISHARES MORNINGSTAR LARGE VALU  EQUITY       464288109    1543     17,623 SH         DEFINED     4            -           -  17,623
ISHARES MORNINGSTAR MID CORE I  EQUITY       464288208      13        140 SH         DEFINED     4            -           -     140
ISHARES MORNINGSTAR MID GROWTH  EQUITY       464288307      42        443 SH         DEFINED     4            -           -     443
ISHARES MORNINGSTAR MID VALUE   EQUITY       464288406      40        438 SH         DEFINED     4            -           -     438
ISHARES MORNINGSTAR SMALL CORE  EQUITY       464288505     339      3,655 SH         DEFINED     4            -           -   3,655
ISHARES MORNINGSTAR SMALL GROW  EQUITY       464288604      27        328 SH         DEFINED     4            -           -     328
ISHARES MORNINGSTAR SMALL VALU  EQUITY       464288703    1296     15,303 SH         DEFINED     4            -           -  15,303
ISHARES MSCI AUSTRALIA INDEX F  EQUITY       464286103      24        834 SH         DEFINED     4            -           -     834
ISHARES MSCI AUSTRIA INDEX FUN  EQUITY       464286202    1798     44,940 SH         DEFINED     4            -           -  44,940





                                                                                           
ISHARES MSCI BELGIUM INDEX FUN  EQUITY       464286301       8        305 SH         DEFINED     4            -           -     305
ISHARES MSCI BRAZIL INDEX FUND  EQUITY       464286400      51        835 SH         DEFINED     4            -           -     835
ISHARES MSCI EAFE GROWTH INDEX  EQUITY       464288885     738      9,728 SH         DEFINED     4            -           -   9,728
ISHARES MSCI EAFE INDEX FUND    EQUITY       464287465    2839     35,212 SH         DEFINED     4            -           -  35,212
ISHARES MSCI EAFE INDEX FUND    EQUITY       464287465   63065    780,800 SH          SOLE       1      780,800           -       -
ISHARES MSCI EAFE VALUE INDEX   EQUITY       464288877      57        729 SH         DEFINED     4            -           -     729
ISHARES MSCI EMERGING MARKETS   EQUITY       464287234    3499     26,620 SH         DEFINED     4            -           -  26,620
ISHARES MSCI EMU INDEX FUND     EQUITY       464286608     188      1,595 SH         DEFINED     4            -           -   1,595
ISHARES MSCI FRANCE INDEX FUND  EQUITY       464286707       8        200 SH         DEFINED     4            -           -     200
ISHARES MSCI GERMANY INDEX FUN  EQUITY       464286806      46      1,400 SH         DEFINED     4            -           -   1,400
ISHARES MSCI HONG KONG INDEX F  EQUITY       464286871     102      6,018 SH         DEFINED     4            -           -   6,018
ISHARES MSCI HONG KONG INDEX F  EQUITY       464286871    2851    167,500 SH          SOLE       1      167,500           -       -
ISHARES MSCI JAPAN INDEX FUND   EQUITY       464286848   21081  1,453,050 SH          SOLE       1    1,453,050           -       -
ISHARES MSCI JAPAN INDEX FUND   EQUITY       464286848      52      3,601 SH         DEFINED     4            -           -   3,601
ISHARES MSCI MALAYSIA INDEX FU  EQUITY       464286830      42      3,543 SH         DEFINED     4            -           -   3,543
ISHARES MSCI MEXICO INDEX FUND  EQUITY       464286822      98      1,590 SH         DEFINED     4            -           -   1,590
ISHARES MSCI NETHERLANDS INDEX  EQUITY       464286814       6        200 SH         DEFINED     4            -           -     200
ISHARES MSCI PACIFIC EX-JAPAN   EQUITY       464286665     114        780 SH         DEFINED     4            -           -     780
ISHARES MSCI SOUTH AFRICA INDE  EQUITY       464286780      15        120 SH         DEFINED     4            -           -     120
ISHARES MSCI SOUTH KOREA INDEX  EQUITY       464286772    2017     33,424 SH         DEFINED     4            -           -  33,424
ISHARES MSCI SPAIN INDEX FUND   EQUITY       464286764      20        340 SH         DEFINED     4            -           -     340
ISHARES MSCI SWEDEN INDEX FUND  EQUITY       464286756    1805     50,030 SH         DEFINED     4            -           -  50,030
ISHARES MSCI SWITZERLAND INDEX  EQUITY       464286749       5        200 SH         DEFINED     4            -           -     200
ISHARES MSCI UNITED KINGDOM IN  EQUITY       464286699      10        400 SH         DEFINED     4            -           -     400
ISHARES NASDAQ BIOTECHNOLOGY I  EQUITY       464287556     631      8,074 SH         DEFINED     4            -           -   8,074
ISHARES RUSSELL 1000 GROWTH IN  EQUITY       464287614    1541     26,026 SH         DEFINED     4            -           -  26,026
ISHARES RUSSELL 1000 VALUE IND  EQUITY       464287598    3131     36,096 SH         DEFINED     4            -           -  36,096
ISHARES RUSSELL 2000 GROWTH IN  EQUITY       464287648      60        700 SH         DEFINED     4            -           -     700
ISHARES RUSSELL 2000 INDEX FUN  EQUITY       464287655    5803     70,000 SH          SOLE       1       70,000           -       -
ISHARES RUSSELL 2000 INDEX FUN  EQUITY       464287655     362      4,364 SH         DEFINED     4            -           -   4,364
ISHARES RUSSELL 2000 VALUE IND  EQUITY       464287630    1450     17,604 SH         DEFINED     4            -           -  17,604
ISHARES RUSSELL 3000 GROWTH IN  EQUITY       464287671       9        177 SH         DEFINED     4            -           -     177
ISHARES RUSSELL 3000 VALUE IND  EQUITY       464287663     144      1,279 SH         DEFINED     4            -           -   1,279
ISHARES RUSSELL MICROCAP INDEX  EQUITY       464288869      47        770 SH         DEFINED     4            -           -     770
ISHARES RUSSELL MIDCAP GROWTH   EQUITY       464287481     629      5,522 SH         DEFINED     4            -           -   5,522
ISHARES RUSSELL MIDCAP INDEX F  EQUITY       464287499      72        661 SH         DEFINED     4            -           -     661
ISHARES RUSSELL MIDCAP VALUE I  EQUITY       464287473    1395      8,860 SH         DEFINED     4            -           -   8,860
ISHARES S&P 100 INDEX FUND      EQUITY       464287101     384      5,550 SH         DEFINED     4            -           -   5,550
ISHARES S&P 500 GROWTH INDEX F  EQUITY       464287309    1638     23,852 SH         DEFINED     4            -           -  23,852
ISHARES S&P 500 INDEX FUND/US   EQUITY       464287200     563      3,743 SH         DEFINED     4            -           -   3,743
ISHARES S&P 500 VALUE INDEX FU  EQUITY       464287408    1751     21,432 SH         DEFINED     4            -           -  21,432
ISHARES S&P GLOBAL 100 INDEX F  EQUITY       464287572     281      3,500 SH          SOLE       1        3,500           -       -
ISHARES S&P GLOBAL 100 INDEX F  EQUITY       464287572      47        585 SH         DEFINED     4            -           -     585
ISHARES S&P GLOBAL ENERGY SECT  EQUITY       464287341    1447     11,190 SH         DEFINED     4            -           -  11,190
ISHARES S&P GLOBAL FINANCIALS   EQUITY       464287333     872      9,515 SH         DEFINED     4            -           -   9,515
ISHARES S&P GLOBAL HEALTHCARE   EQUITY       464287325     866     14,640 SH         DEFINED     4            -           -  14,640
ISHARES S&P GLOBAL MATERIALS S  EQUITY       464288695       7        100 SH         DEFINED     4            -           -     100
ISHARES S&P GLOBAL TECHNOLOGY   EQUITY       464287291     115      1,835 SH         DEFINED     4            -           -   1,835
ISHARES S&P GLOBAL TELECOMMUNI  EQUITY       464287275    1137     15,825 SH         DEFINED     4            -           -  15,825
ISHARES S&P GLOBAL UTILITIES S  EQUITY       464288711    1422     22,545 SH         DEFINED     4            -           -  22,545
ISHARES S&P GSCI COMMODITY IND  EQUITY       46428R107       3         81 SH         DEFINED     4            -           -      81
ISHARES S&P GSSI NATURAL RESOU  EQUITY       464287374    1064      8,877 SH         DEFINED     4            -           -   8,877
ISHARES S&P GSTI NETWORKING IN  EQUITY       464287531     557     15,612 SH         DEFINED     4            -           -  15,612
ISHARES S&P GSTI SEMICONDUCTOR  EQUITY       464287523     533      8,093 SH         DEFINED     4            -           -   8,093
ISHARES S&P GSTI SOFTWARE INDE  EQUITY       464287515     426      8,955 SH         DEFINED     4            -           -   8,955
ISHARES S&P GSTI TECHNOLOGY IN  EQUITY       464287549     556      9,824 SH         DEFINED     4            -           -   9,824





                                                                                           
ISHARES S&P LATIN AMERICA 40 I  EQUITY       464287390    2227     10,463 SH         DEFINED     4            -           -  10,463
ISHARES S&P MIDCAP 400 GROWTH   EQUITY       464287606      39        430 SH         DEFINED     4            -           -     430
ISHARES S&P MIDCAP 400 INDEX F  EQUITY       464287507       9        100 SH         DEFINED     4            -           -     100
ISHARES S&P MIDCAP 400/BARRA V  EQUITY       464287705      94      1,080 SH         DEFINED     4            -           -   1,080
ISHARES S&P SMALLCAP 600 INDEX  EQUITY       464287804     762     10,717 SH         DEFINED     4            -           -  10,717
ISHARES S&P SMALLCAP 600 VALUE  EQUITY       464287879    1739     21,898 SH         DEFINED     4            -           -  21,898
ISHARES S&P SMALLCAP 600/BARRA  EQUITY       464287887    1749     12,368 SH         DEFINED     4            -           -  12,368
ISHARES S&P/TOPIX 150 INDEX FU  EQUITY       464287382       7         54 SH         DEFINED     4            -           -      54
ISHARES SILVER TRUST            EQUITY       46428Q109      51        414 SH         DEFINED     4            -           -     414
ISILON SYSTEMS INC              EQUITY       46432L104     109      7,085 SH          SOLE       1        7,085           -       -
ISILON SYSTEMS INC              EQUITY       46432L104    2418    156,800 SH          SOLE       2      156,800           -       -
ISIS PHARMACEUTICALS INC        EQUITY       464330109      15      1,600 SH         DEFINED     4            -           -   1,600
ISIS PHARMACEUTICALS INC        EQUITY       464330109     665     68,675 SH          SOLE       1       68,675           -       -
ISLE OF CAPRI CASINOS INC       EQUITY       464592104     320     13,371 SH          SOLE       1       13,371           -       -
ISOLAGEN INC                    EQUITY       46488N103       5      1,225 SH         DEFINED     4            -           -   1,225
ISTAR FINANCIAL INC             EQUITY       45031U101     218      4,928 SH          SOLE       1        4,928           -       -
ITC HOLDINGS CORP               EQUITY       465685105    1437     35,364 SH          SOLE       1       35,364           -       -
ITLA CAP CORP                   EQUITY       450565106     238      4,573 SH          SOLE       1        4,573           -       -
ITRON INC                       EQUITY       465741106    1013     13,000 SH          SOLE       2       13,000           -       -
ITRON INC                       EQUITY       465741106    1946     24,974 SH          SOLE       1       24,974           -       -
ITT CORP                        EQUITY       450911102   21774    318,937 SH          SOLE       1      318,937           -       -
ITT CORP                        EQUITY       450911102      16        234 SH          SOLE       2          234           -       -
ITT CORP                        EQUITY       450911102      35        518 SH         DEFINED     4            -           -     518
ITT EDUCATIONAL SERVICES INC    EQUITY       45068B109     563      4,800 SH          SOLE       2        4,800           -       -
ITT EDUCATIONAL SERVICES INC    EQUITY       45068B109    1085      9,241 SH         DEFINED     4            -           -   9,241
ITT EDUCATIONAL SERVICES INC    EQUITY       45068B109   10674     90,935 SH          SOLE       1       90,935           -       -
IVANHOE ENERGY INC              EQUITY       465790103      19     10,000 SH         DEFINED     4            -           -  10,000
IVANHOE MINES LTD/CA            EQUITY       46579N103    9078    639,297 SH          OTHER      1            -     639,297       -
IXIA                            EQUITY       45071R109     338     36,460 SH          SOLE       1       36,460           -       -
IXYS CORP                       EQUITY       46600W106     180     21,540 SH          SOLE       1       21,540           -       -
J CREW GROUP INC                EQUITY       46612H402    1753     32,412 SH          SOLE       1       32,412           -       -
J&J SNACK FOODS CORP            EQUITY       466032109     440     11,653 SH          SOLE       1       11,653           -       -
J2 GLOBAL COMMUNICATIONS INC    EQUITY       46626E205    1434     41,076 SH          SOLE       1       41,076           -       -
JA SOLAR HOLDINGS CO LTD        EQUITY       466090107    1278     37,900 SH          SOLE       1       37,900           -       -
JABIL CIRCUIT INC               EQUITY       466313103       5        231 SH          SOLE       2          231           -       -
JABIL CIRCUIT INC               EQUITY       466313103    1806     81,819 SH          SOLE       1       81,819           -       -
JACK HENRY & ASSOCIATES INC     EQUITY       426281101    6523    253,306 SH          SOLE       1      253,306           -       -
JACK IN THE BOX INC             EQUITY       466367109      30        424 SH         DEFINED     4            -           -     424
JACK IN THE BOX INC             EQUITY       466367109     362      5,100 SH          SOLE       2        5,100           -       -
JACK IN THE BOX INC             EQUITY       466367109    2603     36,692 SH          SOLE       1       36,692           -       -
JACKSON HEWITT TAX SERVICE INC  EQUITY       468202106     756     26,889 SH          SOLE       1       26,889           -       -
JACKSON HEWITT TAX SERVICE INC  EQUITY       468202106   11716    416,800 SH          SOLE       2      416,800           -       -
JACOBS ENGINEERING GROUP INC    EQUITY       469814107     721     12,531 SH         DEFINED     4            -           -  12,531
JACOBS ENGINEERING GROUP INC    EQUITY       469814107   16714    290,633 SH          SOLE       1      290,633           -       -
JAKKS PACIFIC INC               EQUITY       47012E106     659     23,418 SH          SOLE       1       23,418           -       -
JAMBA INC                       EQUITY       47023A101     396     43,284 SH          SOLE       1       43,284           -       -
JAMES RIVER GROUP INC           EQUITY       470359100     161      4,849 SH          SOLE       1        4,849           -       -
JANUS CAPITAL GROUP INC         EQUITY       47102X105    2354     84,543 SH          SOLE       1       84,543           -       -
JARDEN CORP                     EQUITY       471109108      77      1,801 SH          SOLE       1        1,801           -       -
JAVELIN PHARMACEUTICALS INC     EQUITY       471894105     219     35,371 SH          SOLE       1       35,371           -       -
JB HUNT TRANSPORT SERVICES INC  EQUITY       445658107    7283    248,389 SH          SOLE       1      248,389           -       -
JC PENNEY CO INC                EQUITY       708160106    7794    107,687 SH          SOLE       1      107,687           -       -
JC PENNEY CO INC                EQUITY       708160106      21        290 SH          SOLE       2          290           -       -
JDA SOFTWARE GROUP INC          EQUITY       46612K108     419     21,364 SH          SOLE       1       21,364           -       -
JDS UNIPHASE CORP               EQUITY       46612J507       4        272 SH          SOLE       2          272           -       -
JDS UNIPHASE CORP               EQUITY       46612J507    1257     93,624 SH          SOLE       1       93,624           -       -





                                                                                           
JEFFERIES GROUP INC             EQUITY       472319102    7097    263,065 SH          SOLE       1      263,065           -       -
JER INVESTORS TRUST INC         EQUITY       46614H301     323     21,534 SH          SOLE       1       21,534           -       -
JETBLUE AIRWAYS CORP            EQUITY       477143101    6855    583,370 SH          SOLE       1      583,370           -       -
JM SMUCKER CO/THE               EQUITY       832696405       7        112 SH         DEFINED     4            -           -     112
JM SMUCKER CO/THE               EQUITY       832696405    8915    140,033 SH          SOLE       1      140,033           -       -
JO-ANN STORES INC               EQUITY       47758P307    1361     47,861 SH          SOLE       1       47,861           -       -
JOHN HANCOCK PATRIOT PREMIUM D  EQUITY       41013T105      69      6,296 SH         DEFINED     4            -           -   6,296
JOHN HANCOCK PREFERRED INCOME   EQUITY       41013X106     530     22,280 SH         DEFINED     4            -           -  22,280
JOHN HANCOCK TAX-ADVANTAGED DI  EQUITY       41013V100      20      1,041 SH         DEFINED     4            -           -   1,041
JOHN WILEY & SONS INC           EQUITY       968223206    5253    108,778 SH          SOLE       1      108,778           -       -
JOHNSON & JOHNSON               EQUITY       478160104   67603  1,097,092 SH          SOLE       2    1,097,092           -       -
JOHNSON & JOHNSON               EQUITY       478160104  144982  2,352,845 SH          SOLE       1    2,352,845           -       -
JOHNSON & JOHNSON               EQUITY       478160104     577      9,366 SH         DEFINED     4            -           -   9,366
JOHNSON CONTROLS INC            EQUITY       478366107       5         42 SH         DEFINED     4            -           -      42
JOHNSON CONTROLS INC            EQUITY       478366107      29        254 SH          SOLE       2          254           -       -
JOHNSON CONTROLS INC            EQUITY       478366107    9901     85,524 SH          SOLE       1       85,524           -       -
JONES APPAREL GROUP INC         EQUITY       480074103       4        140 SH          SOLE       2          140           -       -
JONES APPAREL GROUP INC         EQUITY       480074103    1405     49,722 SH          SOLE       1       49,722           -       -
JONES LANG LASALLE INC          EQUITY       48020Q107      38        334 SH         DEFINED     4            -           -     334
JONES LANG LASALLE INC          EQUITY       48020Q107      89        782 SH          SOLE       1          782           -       -
JONES SODA CO                   EQUITY       48023P106     302     21,519 SH          SOLE       1       21,519           -       -
JOS A BANK CLOTHIERS INC        EQUITY       480838101     624     15,046 SH          SOLE       1       15,046           -       -
JOURNAL COMMUNICATIONS INC      EQUITY       481130102     510     39,190 SH          SOLE       1       39,190           -       -
JOY GLOBAL INC                  EQUITY       481165108   15829    271,378 SH          SOLE       1      271,378           -       -
JPMORGAN CHASE & CO             EQUITY       46625H100    1246     25,720 SH         DEFINED     4            -           -  25,720
JPMORGAN CHASE & CO             EQUITY       46625H100   17544    362,109 SH          SOLE       2      362,109           -       -
JPMORGAN CHASE & CO             EQUITY       46625H100  212082  4,377,075 SH          SOLE       1    4,377,075           -       -
JUNIPER NETWORKS INC            EQUITY       48203R104      18        730 SH          SOLE       2          730           -       -
JUNIPER NETWORKS INC            EQUITY       48203R104   18901    750,920 SH          SOLE       1      750,920           -       -
K2 INC                          EQUITY       482732104     625     41,156 SH          SOLE       1       41,156           -       -
KADANT INC                      EQUITY       48282T104     362     11,595 SH          SOLE       1       11,595           -       -
KAISER ALUMINUM CORP            EQUITY       483007704     916     12,566 SH          SOLE       1       12,566           -       -
KAMAN CORP                      EQUITY       483548103     632     20,258 SH          SOLE       1       20,258           -       -
KANSAS CITY LIFE INSURANCE CO   EQUITY       484836101     180      3,868 SH          SOLE       1        3,868           -       -
KANSAS CITY SOUTHERN            EQUITY       485170302      80      2,135 SH          SOLE       1        2,135           -       -
KAYDON CORP                     EQUITY       486587108    1227     23,535 SH          SOLE       1       23,535           -       -
KAYNE ANDERSON ENERGY DEVELOPM  EQUITY       48660Q102     210      8,321 SH          SOLE       1        8,321           -       -
KB HOME                         EQUITY       48666K109    1416     35,969 SH          SOLE       1       35,969           -       -
KB HOME                         EQUITY       48666K109    2866     72,799 SH          SOLE       2       72,799           -       -
KBR INC                         EQUITY       48242W106   10874    414,558 SH          SOLE       1      414,558           -       -
KBW INC                         EQUITY       482423100     715     24,352 SH          SOLE       1       24,352           -       -
KEARNY FINANCIAL CORP           EQUITY       487169104     240     17,814 SH          SOLE       1       17,814           -       -
KELLOGG CO                      EQUITY       487836108     713     13,761 SH          SOLE       2       13,761           -       -
KELLOGG CO                      EQUITY       487836108   31479    607,817 SH          SOLE       1      607,817           -       -
KELLWOOD CO                     EQUITY       488044108    1542     54,825 SH          SOLE       1       54,825           -       -
KELLY SERVICES INC              EQUITY       488152208    1977     71,983 SH          SOLE       1       71,983           -       -
KEMET CORP                      EQUITY       488360108    1930    273,762 SH          SOLE       1      273,762           -       -
KENDLE INTERNATIONAL INC        EQUITY       48880L107     388     10,563 SH          SOLE       1       10,563           -       -
KENEXA CORP                     EQUITY       488879107     793     21,025 SH          SOLE       1       21,025           -       -
KENNAMETAL INC                  EQUITY       489170100    8015     97,704 SH          SOLE       1       97,704           -       -
KENNETH COLE PRODUCTIONS INC    EQUITY       193294105     204      8,269 SH          SOLE       1        8,269           -       -
KENSEY NASH CORP                EQUITY       490057106     266      9,924 SH          SOLE       1        9,924           -       -
KERYX BIOPHARMACEUTICALS INC    EQUITY       492515101     354     36,250 SH          SOLE       1       36,250           -       -
KEYCORP                         EQUITY       493267108      17        505 SH          SOLE       2          505           -       -
KEYCORP                         EQUITY       493267108   18040    525,494 SH          SOLE       1      525,494           -       -
KEYNOTE SYSTEMS INC             EQUITY       493308100     214     13,055 SH          SOLE       1       13,055           -       -





                                                                                           
KEYSPAN CORP                    EQUITY       49337W100       1         25 SH         DEFINED     4            -           -      25
KEYSPAN CORP                    EQUITY       49337W100       9        226 SH          SOLE       2          226           -       -
KEYSPAN CORP                    EQUITY       49337W100   33947    808,655 SH          SOLE       1      808,655           -       -
KEYSTONE AUTOMOTIVE INDUSTRIES  EQUITY       49338N109     563     13,610 SH          SOLE       1       13,610           -       -
K-FED BANCORP                   EQUITY       48246S101      64      4,080 SH          SOLE       1        4,080           -       -
KFORCE INC                      EQUITY       493732101     431     26,952 SH          SOLE       1       26,952           -       -
KIMBALL INTERNATIONAL INC       EQUITY       494274103     308     21,987 SH          SOLE       1       21,987           -       -
KIMBERLY-CLARK CORP             EQUITY       494368103    3335     49,856 SH          SOLE       2       49,856           -       -
KIMBERLY-CLARK CORP             EQUITY       494368103   13424    200,693 SH          SOLE       1      200,693           -       -
KIMBERLY-CLARK CORP             EQUITY       494368103      14        211 SH         DEFINED     4            -           -     211
KIMCO REALTY CORP               EQUITY       49446R109      11        292 SH          SOLE       2          292           -       -
KIMCO REALTY CORP               EQUITY       49446R109    9680    254,280 SH          SOLE       1      254,280           -       -
KINDER MORGAN ENERGY PARTNERS   EQUITY       494550106      86      1,558 SH         DEFINED     4            -           -   1,558
KINDER MORGAN MANAGEMENT LLC    EQUITY       49455U100     363      6,988 SH         DEFINED     4            -           -   6,988
KINDRED HEALTHCARE INC          EQUITY       494580103    3907    127,167 SH          SOLE       1      127,167           -       -
KINETIC CONCEPTS INC            EQUITY       49460W208      67      1,291 SH          SOLE       1        1,291           -       -
KING PHARMACEUTICALS INC        EQUITY       495582108       6        314 SH          SOLE       2          314           -       -
KING PHARMACEUTICALS INC        EQUITY       495582108   14680    717,513 SH          SOLE       1      717,513           -       -
KINROSS GOLD CORP               EQUITY       496902404    5367    460,670 SH          OTHER      1            -     460,670       -
KIRBY CORP                      EQUITY       497266106     750     19,532 SH          SOLE       1       19,532           -       -
KLA-TENCOR CORP                 EQUITY       482480100      14        247 SH          SOLE       2          247           -       -
KLA-TENCOR CORP                 EQUITY       482480100    6936    126,231 SH          SOLE       1      126,231           -       -
KNBT BANCORP INC                EQUITY       482921103     337     22,952 SH          SOLE       1       22,952           -       -
KNIGHT CAPITAL GROUP INC        EQUITY       499005106    1435     86,417 SH          SOLE       1       86,417           -       -
KNIGHT CAPITAL GROUP INC        EQUITY       499005106    4806    289,500 SH          SOLE       2      289,500           -       -
KNIGHT TRANSPORTATION INC       EQUITY       499064103     922     47,599 SH          SOLE       1       47,599           -       -
KNOLL INC                       EQUITY       498904200     926     41,342 SH          SOLE       1       41,342           -       -
KNOLOGY INC                     EQUITY       499183804     376     21,665 SH          SOLE       1       21,665           -       -
KNOT INC/THE                    EQUITY       499184109     464     22,982 SH          SOLE       1       22,982           -       -
KOHLBERG CAPITAL CORP           EQUITY       500233101     220     11,882 SH          SOLE       1       11,882           -       -
KOHL'S CORP                     EQUITY       500255104    4879     68,683 SH          SOLE       2       68,683           -       -
KOHL'S CORP                     EQUITY       500255104   35827    504,395 SH          SOLE       1      504,395           -       -
KOMAG INC                       EQUITY       500453204    2379     74,597 SH          SOLE       1       74,597           -       -
KONA GRILL INC                  EQUITY       50047H201    1004     55,100 SH          SOLE       3       55,100           -       -
KOPPERS HOLDINGS INC            EQUITY       50060P106     491     14,592 SH          SOLE       1       14,592           -       -
KORN/FERRY INTERNATIONAL        EQUITY       500643200    4021    153,125 SH          SOLE       1      153,125           -       -
KOSAN BIOSCIENCES INC           EQUITY       50064W107     185     35,384 SH          SOLE       1       35,384           -       -
KRAFT FOODS INC                 EQUITY       50075N104     542     15,385 SH         DEFINED     4            -           -  15,385
KRAFT FOODS INC                 EQUITY       50075N104   12887    365,582 SH          SOLE       2      365,582           -       -
KRAFT FOODS INC                 EQUITY       50075N104   45097  1,279,338 SH          SOLE       1    1,279,338           -       -
KRISPY KREME DOUGHNUTS INC      EQUITY       501014104     499     53,892 SH          SOLE       1       53,892           -       -
KROGER CO/THE                   EQUITY       501044101      16        570 SH         DEFINED     4            -           -     570
KROGER CO/THE                   EQUITY       501044101    1643     58,395 SH          SOLE       2       58,395           -       -
KROGER CO/THE                   EQUITY       501044101    9663    343,502 SH          SOLE       1      343,502           -       -
KRONOS WORLDWIDE INC            EQUITY       50105F105      50      1,996 SH          SOLE       1        1,996           -       -
K-SWISS INC                     EQUITY       482686102     609     21,506 SH          SOLE       1       21,506           -       -
KULICKE & SOFFA INDUSTRIES INC  EQUITY       501242101     504     48,114 SH          SOLE       1       48,114           -       -
KV PHARMACEUTICAL CO            EQUITY       482740206    2635     96,725 SH          SOLE       1       96,725           -       -
KYPHON INC                      EQUITY       501577100     775     16,100 SH          SOLE       2       16,100           -       -
KYPHON INC                      EQUITY       501577100    1825     37,910 SH          SOLE       1       37,910           -       -
L-1 IDENTITY SOLUTIONS INC      EQUITY       50212A106    1008     49,276 SH          SOLE       1       49,276           -       -
L-3 COMMUNICATIONS HOLDINGS IN  EQUITY       502424104      15        150 SH         DEFINED     4            -           -     150
L-3 COMMUNICATIONS HOLDINGS IN  EQUITY       502424104    4651     47,761 SH          SOLE       2       47,761           -       -
L-3 COMMUNICATIONS HOLDINGS IN  EQUITY       502424104    5611     57,614 SH          SOLE       1       57,614           -       -
LABOR READY INC                 EQUITY       505401208     893     38,625 SH          SOLE       1       38,625           -       -
LABORATORY CORP OF AMERICA HOL  EQUITY       50540R409      12        151 SH          SOLE       2          151           -       -





                                                                                           
LABORATORY CORP OF AMERICA HOL  EQUITY       50540R409      39        495 SH         DEFINED     4            -           -     495
LABORATORY CORP OF AMERICA HOL  EQUITY       50540R409   14588    186,402 SH          SOLE       1      186,402           -       -
LABRANCHE & CO INC              EQUITY       505447102     327     44,243 SH          SOLE       1       44,243           -       -
LACLEDE GROUP INC/THE           EQUITY       505597104     573     17,974 SH          SOLE       1       17,974           -       -
LADENBURG THALMANN FINANCIAL S  EQUITY       50575Q102     187     81,493 SH          SOLE       1       81,493           -       -
LADISH CO INC                   EQUITY       505754200     519     12,070 SH          SOLE       1       12,070           -       -
LAIDLAW INTERNATIONAL INC       EQUITY       50730R102   23566    682,079 SH          SOLE       1      682,079           -       -
LAKELAND BANCORP INC            EQUITY       511637100     211     15,892 SH          SOLE       1       15,892           -       -
LAKELAND FINANCIAL CORP         EQUITY       511656100     216     10,142 SH          SOLE       1       10,142           -       -
LAKES ENTERTAINMENT INC         EQUITY       51206P109     175     14,820 SH          SOLE       1       14,820           -       -
LAM RESEARCH CORP               EQUITY       512807108   17900    348,242 SH          SOLE       1      348,242           -       -
LAMAR ADVERTISING CO            EQUITY       512815101    5608     89,362 SH          SOLE       1       89,362           -       -
LAMSON & SESSIONS CO/THE        EQUITY       513696104     313     11,775 SH          SOLE       1       11,775           -       -
LANCASTER COLONY CORP           EQUITY       513847103    3166     75,590 SH          SOLE       1       75,590           -       -
LANCASTER COLONY CORP           EQUITY       513847103    4817    115,000 SH          SOLE       2      115,000           -       -
LANCE INC                       EQUITY       514606102     608     25,788 SH          SOLE       1       25,788           -       -
LANDAMERICA FINANCIAL GROUP IN  EQUITY       514936103    2396     24,834 SH          SOLE       1       24,834           -       -
LANDAUER INC                    EQUITY       51476K103     377      7,648 SH          SOLE       1        7,648           -       -
LANDEC CORP                     EQUITY       514766104     242     18,075 SH          SOLE       1       18,075           -       -
LANDRY'S RESTAURANTS INC        EQUITY       51508L103    1289     42,583 SH          SOLE       1       42,583           -       -
LANDSTAR SYSTEM INC             EQUITY       515098101     127      2,640 SH          SOLE       1        2,640           -       -
LANOPTICS LTD                   EQUITY       M6706C103      14      1,000 SH         DEFINED     4            -           -   1,000
LAS VEGAS SANDS CORP            EQUITY       517834107   35462    464,226 SH          SOLE       2      464,226           -       -
LASALLE HOTEL PROPERTIES        EQUITY       517942108    1449     33,370 SH          SOLE       1       33,370           -       -
LATTICE SEMICONDUCTOR CORP      EQUITY       518415104    2145    374,997 SH          SOLE       1      374,997           -       -
LAUREATE EDUCATION INC          EQUITY       518613104   11267    182,733 SH          SOLE       1      182,733           -       -
LAWSON PRODUCTS                 EQUITY       520776105     135      3,481 SH          SOLE       1        3,481           -       -
LAWSON SOFTWARE INC             EQUITY       52078P102    1071    108,295 SH          SOLE       1      108,295           -       -
LAWSON SOFTWARE INC             EQUITY       52078P102    3560    360,000 SH          SOLE       2      360,000           -       -
LAYNE CHRISTENSEN CO            EQUITY       521050104     473     11,544 SH          SOLE       1       11,544           -       -
LA-Z-BOY INC                    EQUITY       505336107     490     42,746 SH          SOLE       1       42,746           -       -
LB FOSTER CO                    EQUITY       350060109     252      8,795 SH          SOLE       1        8,795           -       -
LB FOSTER CO                    EQUITY       350060109     758     26,428 SH         DEFINED     4            -           -  26,428
LCA-VISION INC                  EQUITY       501803308     789     16,697 SH          SOLE       1       16,697           -       -
LEAP WIRELESS INTERNATIONAL IN  EQUITY       521863308     115      1,362 SH          SOLE       1        1,362           -       -
LEAPFROG ENTERPRISES INC        EQUITY       52186N106     294     28,652 SH          SOLE       1       28,652           -       -
LEAR CORP                       EQUITY       521865105       7        205 SH         DEFINED     4            -           -     205
LEAR CORP                       EQUITY       521865105    8921    250,508 SH          SOLE       1      250,508           -       -
LECG CORP                       EQUITY       523234102     318     21,013 SH          SOLE       1       21,013           -       -
LECG CORP                       EQUITY       523234102    3753    248,400 SH          SOLE       2      248,400           -       -
LEE ENTERPRISES INC             EQUITY       523768109    3138    150,418 SH          SOLE       1      150,418           -       -
LEGG MASON INC                  EQUITY       524901105    5813     59,091 SH          SOLE       1       59,091           -       -
LEGG MASON INC                  EQUITY       524901105      17        169 SH          SOLE       2          169           -       -
LEGGETT & PLATT INC             EQUITY       524660107       5        228 SH          SOLE       2          228           -       -
LEGGETT & PLATT INC             EQUITY       524660107    5475    248,311 SH          SOLE       1      248,311           -       -
LEHMAN BROTHERS HOLDINGS INC    EQUITY       524908100       9        126 SH         DEFINED     4            -           -     126
LEHMAN BROTHERS HOLDINGS INC    EQUITY       524908100     580      7,786 SH          SOLE       2        7,786           -       -
LEHMAN BROTHERS HOLDINGS INC    EQUITY       524908100   21196    279,626 SH          SOLE       1      279,626           -       -
LENNAR CORP                     EQUITY       526057104       7        179 SH          SOLE       2          179           -       -
LENNAR CORP                     EQUITY       526057104    3358     91,851 SH          SOLE       1       91,851           -       -
LENNOX INTERNATIONAL INC        EQUITY       526107107      70      2,050 SH          SOLE       1        2,050           -       -
LEUCADIA NATIONAL CORP          EQUITY       527288104     106      3,000 SH         DEFINED     4            -           -   3,000
LEUCADIA NATIONAL CORP          EQUITY       527288104   14163    401,776 SH          SOLE       1      401,776           -       -
LEVEL 3 COMMUNICATIONS INC      EQUITY       52729N100     606    103,659 SH          SOLE       1      103,659           -       -
LEXMARK INTERNATIONAL INC       EQUITY       529771107       6        122 SH          SOLE       2          122           -       -
LEXMARK INTERNATIONAL INC       EQUITY       529771107       7        150 SH         DEFINED     4            -           -     150





                                                                                           
LEXMARK INTERNATIONAL INC       EQUITY       529771107   10322    209,333 SH          SOLE       1      209,333           -       -
LHC GROUP INC                   EQUITY       50187A107     316     12,070 SH          SOLE       1       12,070           -       -
LIBBEY INC                      EQUITY       529898108      44      2,020 SH         DEFINED     4            -           -   2,020
LIBBEY INC                      EQUITY       529898108     258     11,979 SH          SOLE       1       11,979           -       -
LIBERTY GLOBAL INC              EQUITY       530555101     851     20,727 SH          SOLE       1       20,727           -       -
LIBERTY MEDIA CORP - CAPITAL    EQUITY       53071M302     572      4,860 SH          SOLE       1        4,860           -       -
LIBERTY MEDIA CORP - INTERACTI  EQUITY       53071M104    1059     47,414 SH          SOLE       1       47,414           -       -
LIBERTY MEDIA LLC               FIXED INCOME 530718AF2       4      3,000 PRN        DEFINED     4            -           -   3,000
LIBERTY PROPERTY TRUST          EQUITY       531172104      15        350 SH         DEFINED     4            -           -     350
LIBERTY PROPERTY TRUST          EQUITY       531172104   10152    231,094 SH          SOLE       1      231,094           -       -
LIFE TIME FITNESS INC           EQUITY       53217R207     383      7,200 SH          SOLE       2        7,200           -       -
LIFE TIME FITNESS INC           EQUITY       53217R207    1406     26,410 SH          SOLE       1       26,410           -       -
LIFECELL CORP                   EQUITY       531927101     861     28,204 SH          SOLE       1       28,204           -       -
LIFEPOINT HOSPITALS INC         EQUITY       53219L109      38        975 SH         DEFINED     4            -           -     975
LIFEPOINT HOSPITALS INC         EQUITY       53219L109    5490    141,935 SH          SOLE       1      141,935           -       -
LIFETIME BRANDS INC             EQUITY       53222Q103     185      9,058 SH          SOLE       1        9,058           -       -
LIGAND PHARMACEUTICALS INC      EQUITY       53220K207     516     75,035 SH          SOLE       1       75,035           -       -
LIMELIGHT NETWORKS INC          EQUITY       53261M104     307     15,500 SH          SOLE       2       15,500           -       -
LIN TV CORP                     EQUITY       532774106     427     22,687 SH          SOLE       1       22,687           -       -
LINCARE HOLDINGS INC            EQUITY       532791100    8208    205,981 SH          SOLE       1      205,981           -       -
LINCOLN EDUCATIONAL SERVICES C  EQUITY       533535100      58      3,899 SH          SOLE       1        3,899           -       -
LINCOLN ELECTRIC HOLDINGS INC   EQUITY       533900106    7790    104,934 SH          SOLE       1      104,934           -       -
LINCOLN NATIONAL CORP           EQUITY       534187109       3         40 SH         DEFINED     4            -           -      40
LINCOLN NATIONAL CORP           EQUITY       534187109      25        349 SH          SOLE       2          349           -       -
LINCOLN NATIONAL CORP           EQUITY       534187109   24206    341,173 SH          SOLE       1      341,173           -       -
LINDSAY CORP                    EQUITY       535555106     429      9,683 SH          SOLE       1        9,683           -       -
LINEAR TECHNOLOGY CORP          EQUITY       535678106    3608     99,727 SH          SOLE       2       99,727           -       -
LINEAR TECHNOLOGY CORP          EQUITY       535678106    4743    131,081 SH          SOLE       1      131,081           -       -
LIONBRIDGE TECHNOLOGIES         EQUITY       536252109     297     50,352 SH          SOLE       1       50,352           -       -
LIQUIDITY SERVICES INC          EQUITY       53635B107     166      8,829 SH          SOLE       1        8,829           -       -
LITHIA MOTORS INC               EQUITY       536797103     335     13,207 SH          SOLE       1       13,207           -       -
LITTELFUSE INC                  EQUITY       537008104     625     18,498 SH          SOLE       1       18,498           -       -
LIVE NATION INC                 EQUITY       538034109    1220     54,520 SH          SOLE       1       54,520           -       -
LIVEPERSON INC                  EQUITY       538146101     163     30,539 SH          SOLE       1       30,539           -       -
LIZ CLAIBORNE INC               EQUITY       539320101       5        135 SH          SOLE       2          135           -       -
LIZ CLAIBORNE INC               EQUITY       539320101    1812     48,576 SH          SOLE       1       48,576           -       -
LKQ CORP                        EQUITY       501889208     932     37,783 SH          SOLE       1       37,783           -       -
LLOYDS TSB GROUP PLC            EQUITY       539439109    1302     29,116 SH         DEFINED     4            -           -  29,116
LMI AEROSPACE INC               EQUITY       502079106    2089     86,000 SH          SOLE       2       86,000           -       -
LOCKHEED MARTIN CORP            FIXED INCOME 539830AP4       4      3,000 SH         DEFINED     4            -           -   3,000
LOCKHEED MARTIN CORP            EQUITY       539830109       7         75 SH         DEFINED     4            -           -      75
LOCKHEED MARTIN CORP            EQUITY       539830109   17453    185,417 SH          SOLE       1      185,417           -       -
LOCKHEED MARTIN CORP            EQUITY       539830109   38259    406,445 SH          SOLE       2      406,445           -       -
LODGENET ENTERTAINMENT CORP     EQUITY       540211109     606     18,909 SH          SOLE       1       18,909           -       -
LODGIAN INC                     EQUITY       54021P403     236     15,723 SH          SOLE       1       15,723           -       -
LOEWS CORP                      EQUITY       540424108      29        574 SH          SOLE       2          574           -       -
LOEWS CORP                      EQUITY       540424108      55      1,084 SH         DEFINED     4            -           -   1,084
LOEWS CORP                      EQUITY       540424108    9828    192,784 SH          SOLE       1      192,784           -       -
LOEWS CORP - CAROLINA GROUP     EQUITY       540424207       5         65 SH         DEFINED     4            -           -      65
LOEWS CORP - CAROLINA GROUP     EQUITY       540424207     234      3,028 SH          SOLE       1        3,028           -       -
LOJACK CORP                     EQUITY       539451104    1950     87,493 SH          SOLE       1       87,493           -       -
LONGS DRUG STORES CORP          EQUITY       543162101    2354     44,827 SH          SOLE       1       44,827           -       -
LOOPNET INC                     EQUITY       543524300    1567     67,177 SH          SOLE       1       67,177           -       -
LORAL SPACE & COMMUNICATIONS I  EQUITY       543881106   11270    228,694 SH          SOLE       1      228,694           -       -
LOUISIANA-PACIFIC CORP          EQUITY       546347105    4880    257,930 SH          SOLE       1      257,930           -       -
LOUISIANA-PACIFIC CORP          EQUITY       546347105    5286    279,400 SH          SOLE       2      279,400           -       -





                                                                                           
LOWE'S COS INC                  EQUITY       548661107      18        600 SH         DEFINED     4            -           -     600
LOWE'S COS INC                  EQUITY       548661107      69      2,239 SH          SOLE       2        2,239           -       -
LOWE'S COS INC                  EQUITY       548661107   19818    645,759 SH          SOLE       1      645,759           -       -
LSB INDUSTRIES INC              EQUITY       502160104     263     12,286 SH          SOLE       1       12,286           -       -
LSI CORP                        EQUITY       502161102       7        992 SH          SOLE       2          992           -       -
LSI CORP                        EQUITY       502161102    2655    353,531 SH          SOLE       1      353,531           -       -
LSI INDUSTRIES INC              EQUITY       50216C108     273     15,273 SH          SOLE       1       15,273           -       -
LTC PROPERTIES INC              EQUITY       502175102     448     19,686 SH          SOLE       1       19,686           -       -
LTD BRANDS INC                  EQUITY       532716107    4267    155,441 SH          SOLE       1      155,441           -       -
LTD BRANDS INC                  EQUITY       532716107    5705    207,841 SH          SOLE       2      207,841           -       -
LTX CORP                        EQUITY       502392103     287     51,690 SH          SOLE       1       51,690           -       -
LUBRIZOL CORP                   EQUITY       549271104      19        300 SH         DEFINED     4            -           -     300
LUBRIZOL CORP                   EQUITY       549271104   11083    171,699 SH          SOLE       1      171,699           -       -
LUFKIN INDUSTRIES INC           EQUITY       549764108    2190     33,920 SH          SOLE       1       33,920           -       -
LUMINEX CORP                    EQUITY       55027E102     367     29,812 SH          SOLE       1       29,812           -       -
LUNA INNOVATIONS INC            EQUITY       550351100       6      1,351 SH         DEFINED     4            -           -   1,351
LUNDIN MINING CORP              EQUITY       550372106    1524    126,000 SH          OTHER      1            -     126,000       -
LYDALL INC                      EQUITY       550819106     295     20,200 SH          SOLE       1       20,200           -       -
LYONDELL CHEMICAL CO            EQUITY       552078107   19756    532,216 SH          SOLE       1      532,216           -       -
M&F WORLDWIDE CORP              EQUITY       552541104     672     10,092 SH          SOLE       1       10,092           -       -
M&T BANK CORP                   EQUITY       55261F104      10         98 SH          SOLE       2           98           -       -
M&T BANK CORP                   EQUITY       55261F104   10253     95,913 SH          SOLE       1       95,913           -       -
M/I HOMES INC                   EQUITY       55305B101     267     10,035 SH          SOLE       1       10,035           -       -
MACATAWA BANK CORP              EQUITY       554225102     205     12,873 SH          SOLE       1       12,873           -       -
MACERICH CO/THE                 EQUITY       554382101    6141     74,513 SH          SOLE       1       74,513           -       -
MACK-CALI REALTY CORP           EQUITY       554489104      17        400 SH         DEFINED     4            -           -     400
MACK-CALI REALTY CORP           EQUITY       554489104    3132     72,008 SH          SOLE       1       72,008           -       -
MACROVISION CORP                EQUITY       555904101     830     27,600 SH          SOLE       2       27,600           -       -
MACROVISION CORP                EQUITY       555904101    5207    173,228 SH          SOLE       1      173,228           -       -
MACY'S INC                      EQUITY       55616P104     590     14,826 SH          SOLE       2       14,826           -       -
MACY'S INC                      EQUITY       55616P104   31671    796,156 SH          SOLE       1      796,156           -       -
MADISON STRATEGIC SECTOR PREMI  EQUITY       558268108     261     13,000 SH         DEFINED     4            -           -  13,000
MAF BANCORP INC                 EQUITY       55261R108    1488     27,416 SH          SOLE       1       27,416           -       -
MAGELLAN HEALTH SERVICES INC    EQUITY       559079207    1512     32,538 SH          SOLE       1       32,538           -       -
MAGELLAN HEALTH SERVICES INC    EQUITY       559079207    7849    168,900 SH          SOLE       2      168,900           -       -
MAGELLAN MIDSTREAM HOLDINGS LP  EQUITY       55907R108    1788     59,600 SH          SOLE       1       59,600           -       -
MAGMA DESIGN AUTOMATION INC     EQUITY       559181102     450     32,068 SH          SOLE       1       32,068           -       -
MAGNA ENTERTAINMENT CORP        EQUITY       559211107      98     33,506 SH          SOLE       1       33,506           -       -
MAGNA INTERNATIONAL INC         EQUITY       559222401     202      2,207 SH          OTHER      1            -       2,207       -
MAIDENFORM BRANDS INC           EQUITY       560305104     380     19,124 SH          SOLE       1       19,124           -       -
MAINSOURCE FINANCIAL GROUP INC  EQUITY       56062Y102     262     15,582 SH          SOLE       1       15,582           -       -
MANHATTAN ASSOCIATES INC        EQUITY       562750109     391     14,000 SH          SOLE       2       14,000           -       -
MANHATTAN ASSOCIATES INC        EQUITY       562750109    1062     38,036 SH          SOLE       1       38,036           -       -
MANITOWOC CO INC/THE            EQUITY       563571108      34        428 SH         DEFINED     4            -           -     428
MANITOWOC CO INC/THE            EQUITY       563571108     197      2,445 SH          SOLE       1        2,445           -       -
MANNATECH INC                   EQUITY       563771104     207     13,017 SH          SOLE       1       13,017           -       -
MANNKIND CORP                   EQUITY       56400P201     428     34,699 SH          SOLE       1       34,699           -       -
MANOR CARE INC                  EQUITY       564055101       6         94 SH          SOLE       2           94           -       -
MANOR CARE INC                  EQUITY       564055101    2156     33,028 SH          SOLE       1       33,028           -       -
MANPOWER INC                    EQUITY       56418H100   19149    207,596 SH          SOLE       1      207,596           -       -
MANTECH INTERNATIONAL CORP      EQUITY       564563104     501     16,249 SH          SOLE       1       16,249           -       -
MANULIFE FINANCIAL CORP         EQUITY       56501R106    1266     33,802 SH          OTHER      1            -      33,802       -
MARATHON ACQUISITION CORP       EQUITY       565756103     248     31,492 SH          SOLE       1       31,492           -       -
MARATHON OIL CORP               EQUITY       565849106   30759    512,987 SH          SOLE       1      512,987           -       -
MARATHON OIL CORP               EQUITY       565849106       7        122 SH         DEFINED     4            -           -     122
MARATHON OIL CORP               EQUITY       565849106      53        884 SH          SOLE       2          884           -       -





                                                                                           
MARCHEX INC                     EQUITY       56624R108     380     23,281 SH          SOLE       1       23,281           -       -
MARCUS CORP                     EQUITY       566330106     418     17,611 SH          SOLE       1       17,611           -       -
MARINE PRODUCTS CORP            EQUITY       568427108      81      9,863 SH          SOLE       1        9,863           -       -
MARINEMAX INC                   EQUITY       567908108     272     13,599 SH          SOLE       1       13,599           -       -
MARINER ENERGY INC              EQUITY       56845T305    1758     72,500 SH          SOLE       1       72,500           -       -
MARKEL CORP                     EQUITY       570535104     182        375 SH          SOLE       1          375           -       -
MARKETAXESS HOLDINGS INC        EQUITY       57060D108     465     25,830 SH          SOLE       1       25,830           -       -
MARKWEST HYDROCARBON INC        EQUITY       570762104     306      5,329 SH          SOLE       1        5,329           -       -
MARRIOTT INTERNATIONAL INC/DE   EQUITY       571903202       7        170 SH         DEFINED     4            -           -     170
MARRIOTT INTERNATIONAL INC/DE   EQUITY       571903202      18        423 SH          SOLE       2          423           -       -
MARRIOTT INTERNATIONAL INC/DE   EQUITY       571903202    6111    141,323 SH          SOLE       1      141,323           -       -
MARSH & MCLENNAN COS INC        EQUITY       571748102      22        716 SH          SOLE       2          716           -       -
MARSH & MCLENNAN COS INC        EQUITY       571748102    7363    238,436 SH          SOLE       1      238,436           -       -
MARSHALL & ILSLEY CORP          EQUITY       571834100     120      2,524 SH          SOLE       2        2,524           -       -
MARSHALL & ILSLEY CORP          EQUITY       571834100    5881    123,464 SH          SOLE       1      123,464           -       -
MARTEK BIOSCIENCES CORP         EQUITY       572901106     697     26,836 SH          SOLE       1       26,836           -       -
MARTEN TRANSPORT LTD            EQUITY       573075108     229     12,719 SH          SOLE       1       12,719           -       -
MARTHA STEWART LIVING OMNIMEDI  EQUITY       573083102       2        100 SH         DEFINED     4            -           -     100
MARTHA STEWART LIVING OMNIMEDI  EQUITY       573083102     380     22,104 SH          SOLE       1       22,104           -       -
MARTIN MARIETTA MATERIALS INC   EQUITY       573284106   16924    104,455 SH          SOLE       1      104,455           -       -
MARVEL ENTERTAINMENT INC        EQUITY       57383T103    1149     45,097 SH          SOLE       1       45,097           -       -
MASCO CORP                      EQUITY       574599106      14        500 SH         DEFINED     4            -           -     500
MASCO CORP                      EQUITY       574599106    5580    195,987 SH          SOLE       2      195,987           -       -
MASCO CORP                      EQUITY       574599106   20607    723,814 SH          SOLE       1      723,814           -       -
MASSEY ENERGY CO                EQUITY       576206106      46      1,723 SH          SOLE       1        1,723           -       -
MASTEC INC                      EQUITY       576323109     559     35,319 SH          SOLE       1       35,319           -       -
MASTERCARD INC                  EQUITY       57636Q104    8111     48,900 SH          SOLE       3       48,900           -       -
MASTERCARD INC                  EQUITY       57636Q104    6025     36,323 SH          SOLE       1       36,323           -       -
MATERIALS SELECT SECTOR SPDR F  EQUITY       81369Y100      65      1,615 SH         DEFINED     4            -           -   1,615
MATRIA HEALTHCARE INC           EQUITY       576817209     937     30,944 SH          SOLE       1       30,944           -       -
MATRIX SERVICE CO               EQUITY       576853105     686     27,591 SH          SOLE       1       27,591           -       -
MATTEL INC                      EQUITY       577081102      13        507 SH          SOLE       2          507           -       -
MATTEL INC                      EQUITY       577081102    5874    232,261 SH          SOLE       1      232,261           -       -
MATTEL INC                      EQUITY       577081102      51      2,036 SH         DEFINED     4            -           -   2,036
MATTHEWS INTERNATIONAL CORP     EQUITY       577128101    4500    103,190 SH          SOLE       1      103,190           -       -
MATTSON TECHNOLOGY INC          EQUITY       577223100     425     43,838 SH          SOLE       1       43,838           -       -
MAUI LAND & PINEAPPLE CO INC    EQUITY       577345101     135      3,689 SH          SOLE       1        3,689           -       -
MAXIM INTEGRATED PRODUCTS INC   EQUITY       57772K101      14        413 SH          SOLE       2          413           -       -
MAXIM INTEGRATED PRODUCTS INC   EQUITY       57772K101    5586    167,193 SH          SOLE       1      167,193           -       -
MAXIMUS INC                     EQUITY       577933104     790     18,202 SH          SOLE       1       18,202           -       -
MAXYGEN INC                     EQUITY       577776107     174     20,295 SH          SOLE       1       20,295           -       -
MB FINANCIAL INC                EQUITY       55264U108    1055     30,359 SH          SOLE       1       30,359           -       -
MBIA INC                        EQUITY       55262C100      11        169 SH          SOLE       2          169           -       -
MBIA INC                        EQUITY       55262C100    5473     87,966 SH          SOLE       1       87,966           -       -
MCAFEE INC                      EQUITY       579064106      15        430 SH         DEFINED     4            -           -     430
MCAFEE INC                      EQUITY       579064106   13803    392,129 SH          SOLE       1      392,129           -       -
MCCLATCHY CO                    EQUITY       579489105      43      1,702 SH          SOLE       1        1,702           -       -
MCCORMICK & CO INC/MD           EQUITY       579780206       6        168 SH          SOLE       2          168           -       -
MCCORMICK & CO INC/MD           EQUITY       579780206    2264     59,297 SH          SOLE       1       59,297           -       -
MCCORMICK & SCHMICK'S SEAFOOD   EQUITY       579793100     316     12,186 SH          SOLE       1       12,186           -       -
MCDERMOTT INTERNATIONAL INC     EQUITY       580037109     196      2,364 SH          SOLE       1        2,364           -       -
MCDONALD'S CORP                 EQUITY       580135101      73      1,445 SH         DEFINED     4            -           -   1,445
MCDONALD'S CORP                 EQUITY       580135101   30930    609,335 SH          SOLE       2      609,335           -       -
MCDONALD'S CORP                 EQUITY       580135101   71671  1,411,956 SH          SOLE       1    1,411,956           -       -
MCG CAPITAL CORP                EQUITY       58047P107    2379    148,532 SH          SOLE       1      148,532           -       -
MCGRATH RENTCORP                EQUITY       580589109     706     20,957 SH          SOLE       1       20,957           -       -





                                                                                           
MCGRAW-HILL COS INC/THE         EQUITY       580645109      20        300 SH         DEFINED     4            -           -     300
MCGRAW-HILL COS INC/THE         EQUITY       580645109      30        442 SH          SOLE       2          442           -       -
MCGRAW-HILL COS INC/THE         EQUITY       580645109   33723    495,338 SH          SOLE       1      495,338           -       -
MCKESSON CORP                   EQUITY       58155Q103      23        381 SH          SOLE       2          381           -       -
MCKESSON CORP                   EQUITY       58155Q103    9852    165,191 SH          SOLE       1      165,191           -       -
MCMORAN EXPLORATION CO          EQUITY       582411104     275     19,611 SH          SOLE       1       19,611           -       -
MDC HOLDINGS INC                EQUITY       552676108    4208     87,016 SH          SOLE       1       87,016           -       -
MDS INC                         EQUITY       55269P302      56      2,759 SH          OTHER      1            -       2,759       -
MDU RESOURCES GROUP INC         EQUITY       552690109   12608    449,650 SH          SOLE       1      449,650           -       -
MEADOWBROOK INSURANCE GROUP IN  EQUITY       58319P108     241     22,015 SH          SOLE       1       22,015           -       -
MEADWESTVACO CORP               EQUITY       583334107       8        238 SH          SOLE       2          238           -       -
MEADWESTVACO CORP               EQUITY       583334107     151      4,282 SH         DEFINED     4            -           -   4,282
MEADWESTVACO CORP               EQUITY       583334107    3061     86,676 SH          SOLE       1       86,676           -       -
MEASUREMENT SPECIALTIES INC     EQUITY       583421102     281     11,871 SH          SOLE       1       11,871           -       -
MECHEL                          EQUITY       583840103    2192     60,000 SH          SOLE       1       60,000           -       -
MEDAREX INC                     EQUITY       583916101    1498    104,798 SH          SOLE       1      104,798           -       -
MEDCATH CORP                    EQUITY       58404W109     359     11,294 SH          SOLE       1       11,294           -       -
MEDCO HEALTH SOLUTIONS INC      EQUITY       58405U102   19944    255,725 SH          SOLE       1      255,725           -       -
MEDCO HEALTH SOLUTIONS INC      EQUITY       58405U102      20        256 SH         DEFINED     4            -           -     256
MEDCO HEALTH SOLUTIONS INC      EQUITY       58405U102     677      8,676 SH          SOLE       2        8,676           -       -
MEDIA GENERAL INC               EQUITY       584404107    2445     73,495 SH          SOLE       1       73,495           -       -
MEDIACOM COMMUNICATIONS CORP    EQUITY       58446K105     437     45,125 SH          SOLE       1       45,125           -       -
MEDICAL ACTION INDUSTRIES INC   EQUITY       58449L100     209     11,579 SH          SOLE       1       11,579           -       -
MEDICAL PROPERTIES TRUST INC    EQUITY       58463J304     991     74,880 SH          SOLE       1       74,880           -       -
MEDICINES CO/THE                EQUITY       584688105     758     43,039 SH          SOLE       1       43,039           -       -
MEDICIS PHARMACEUTICAL CORP     EQUITY       584690309     354     11,600 SH          SOLE       2       11,600           -       -
MEDICIS PHARMACEUTICAL CORP     EQUITY       584690309    5573    182,467 SH          SOLE       1      182,467           -       -
MEDIS TECHNOLOGIES LTD          EQUITY       58500P107     280     19,047 SH          SOLE       1       19,047           -       -
MEDIVATION INC                  EQUITY       58501N101     363     17,755 SH          SOLE       1       17,755           -       -
MEDTRONIC INC                   FIXED INCOME 585055AM8    2625  2,500,000 PRN         SOLE       1    2,500,000           -       -
MEDTRONIC INC                   EQUITY       585055106      41        789 SH         DEFINED     4            -           -     789
MEDTRONIC INC                   EQUITY       585055106   43194    832,894 SH          SOLE       1      832,894           -       -
MEDTRONIC INC                   EQUITY       585055106   11454    220,862 SH          SOLE       2      220,862           -       -
MELLON FINANCIAL CORP           EQUITY       58551A108      36        807 SH         DEFINED     4            -           -     807
MELLON FINANCIAL CORP           EQUITY       58551A108      24        536 SH          SOLE       2          536           -       -
MELLON FINANCIAL CORP           EQUITY       58551A108    8012    182,087 SH          SOLE       1      182,087           -       -
MEMC ELECTRONIC MATERIALS INC   EQUITY       552715104      18        289 SH          SOLE       2          289           -       -
MEMC ELECTRONIC MATERIALS INC   EQUITY       552715104     236      3,868 SH         DEFINED     4            -           -   3,868
MEMC ELECTRONIC MATERIALS INC   EQUITY       552715104   16369    267,822 SH          SOLE       1      267,822           -       -
MEN'S WEARHOUSE INC             EQUITY       587118100      27        530 SH         DEFINED     4            -           -     530
MEN'S WEARHOUSE INC             EQUITY       587118100    2304     45,105 SH          SOLE       1       45,105           -       -
MENTOR CORP                     EQUITY       587188103    1345     33,060 SH          SOLE       1       33,060           -       -
MENTOR GRAPHICS CORP            EQUITY       587200106    3673    278,898 SH          SOLE       1      278,898           -       -
MERCER INTERNATIONAL INC        EQUITY       588056101     270     26,516 SH          SOLE       1       26,516           -       -
MERCK & CO INC                  EQUITY       589331107      52      1,039 SH         DEFINED     4            -           -   1,039
MERCK & CO INC                  EQUITY       589331107   11513    231,186 SH          SOLE       2      231,186           -       -
MERCK & CO INC                  EQUITY       589331107   75351  1,513,073 SH          SOLE       1    1,513,073           -       -
MERCURY COMPUTER SYSTEMS INC    EQUITY       589378108     226     18,487 SH          SOLE       1       18,487           -       -
MERCURY GENERAL CORP            EQUITY       589400100    4828     87,601 SH          SOLE       1       87,601           -       -
MEREDITH CORP                   EQUITY       589433101     379      6,150 SH          SOLE       2        6,150           -       -
MEREDITH CORP                   EQUITY       589433101    2154     34,972 SH          SOLE       1       34,972           -       -
MERIDIAN BIOSCIENCE INC         EQUITY       589584101     716     33,050 SH          SOLE       1       33,050           -       -
MERIDIAN GOLD INC               EQUITY       589975101    6317    229,041 SH          OTHER      1            -     229,041       -
MERIDIAN RESOURCE CORP          EQUITY       58977Q109     225     74,351 SH          SOLE       1       74,351           -       -
MERIT MEDICAL SYSTEMS INC       EQUITY       589889104    1954    163,412 SH          SOLE       2      163,412           -       -
MERIT MEDICAL SYSTEMS INC       EQUITY       589889104     272     22,783 SH          SOLE       1       22,783           -       -





                                                                                           
MERITAGE HOMES CORP             EQUITY       59001A102     584     21,821 SH          SOLE       1       21,821           -       -
MERRILL LYNCH & CO INC          EQUITY       590188108      87      1,043 SH         DEFINED     4            -           -   1,043
MERRILL LYNCH & CO INC          EQUITY       590188108   18966    226,922 SH          SOLE       2      226,922           -       -
MERRILL LYNCH & CO INC          EQUITY       590188108   54193    648,399 SH          SOLE       1      648,399           -       -
MERUELO MADDUX PROPERTIES INC   EQUITY       590473104     311     38,056 SH          SOLE       1       38,056           -       -
METABOLIX INC                   EQUITY       591018809     301     12,017 SH          SOLE       1       12,017           -       -
METABOLIX INC                   EQUITY       591018809     436     17,400 SH          SOLE       2       17,400           -       -
METAL MANAGEMENT INC            EQUITY       591097209      17        395 SH         DEFINED     4            -           -     395
METAL MANAGEMENT INC            EQUITY       591097209     939     21,312 SH          SOLE       1       21,312           -       -
METHANEX CORP                   EQUITY       59151K108      14        558 SH         DEFINED     4            -           -     558
METHANEX CORP                   EQUITY       59151K108      55      2,202 SH          OTHER      1            -       2,202       -
METHODE ELECTRONICS INC         EQUITY       591520200     662     42,320 SH          SOLE       1       42,320           -       -
METLIFE INC                     EQUITY       59156R108    5696     88,332 SH          SOLE       2       88,332           -       -
METLIFE INC                     EQUITY       59156R108   41212    639,150 SH          SOLE       1      639,150           -       -
METRETEK TECHNOLOGIES INC       EQUITY       59159Q107    6374    412,800 SH          SOLE       2      412,800           -       -
METROPCS COMMUNICATIONS INC     EQUITY       591708102      40      1,222 SH          SOLE       1        1,222           -       -
METSO OYJ                       EQUITY       592671101      32        551 SH         DEFINED     4            -           -     551
METTLER TOLEDO INTERNATIONAL I  EQUITY       592688105      86        902 SH          SOLE       1          902           -       -
METTLER TOLEDO INTERNATIONAL I  EQUITY       592688105     573      6,000 SH          SOLE       2        6,000           -       -
MFA MORTGAGE INVESTMENTS INC    EQUITY       55272X102     492     67,536 SH          SOLE       1       67,536           -       -
MFS MULTIMARKET INCOME TRUST    EQUITY       552737108      29      4,800 SH         DEFINED     4            -           -   4,800
MGE ENERGY INC                  EQUITY       55277P104     577     17,653 SH          SOLE       1       17,653           -       -
MGI PHARMA INC                  EQUITY       552880106      17        760 SH         DEFINED     4            -           -     760
MGI PHARMA INC                  EQUITY       552880106    1485     66,379 SH          SOLE       1       66,379           -       -
MGIC INVESTMENT CORP            EQUITY       552848103       6        107 SH          SOLE       2          107           -       -
MGIC INVESTMENT CORP            EQUITY       552848103   10260    180,437 SH          SOLE       1      180,437           -       -
MGP INGREDIENTS INC             EQUITY       55302G103     139      8,233 SH          SOLE       1        8,233           -       -
MI DEVELOPMENTS INC             EQUITY       55304X104      27        735 SH          OTHER      1            -         735       -
MICHAEL BAKER CORP              EQUITY       057149106     223      6,008 SH          SOLE       1        6,008           -       -
MICREL INC                      EQUITY       594793101    2342    184,115 SH          SOLE       1      184,115           -       -
MICROCHIP TECHNOLOGY INC        EQUITY       595017104      11        300 SH         DEFINED     4            -           -     300
MICROCHIP TECHNOLOGY INC        EQUITY       595017104   26396    712,596 SH          SOLE       1      712,596           -       -
MICRON TECHNOLOGY INC           EQUITY       595112103      12        974 SH          SOLE       2          974           -       -
MICRON TECHNOLOGY INC           EQUITY       595112103    4404    351,455 SH          SOLE       1      351,455           -       -
MICROS SYSTEMS INC              EQUITY       594901100     794     14,600 SH          SOLE       2       14,600           -       -
MICROS SYSTEMS INC              EQUITY       594901100    1834     33,715 SH          SOLE       1       33,715           -       -
MICROSEMI CORP                  EQUITY       595137100     575     24,000 SH          SOLE       2       24,000           -       -
MICROSEMI CORP                  EQUITY       595137100    1520     63,461 SH          SOLE       1       63,461           -       -
MICROSOFT CORP                  EQUITY       594918104     925     31,395 SH         DEFINED     4            -           -  31,395
MICROSOFT CORP                  EQUITY       594918104   22194    753,091 SH          SOLE       2      753,091           -       -
MICROSOFT CORP                  EQUITY       594918104  200611  6,806,908 SH          SOLE       1    6,806,908           -       -
MICROSTRATEGY INC               EQUITY       594972408     752      7,957 SH          SOLE       1        7,957           -       -
MICROTUNE INC                   EQUITY       59514P109     233     44,592 SH          SOLE       1       44,592           -       -
MICRUS ENDOVASCULAR CORP        EQUITY       59518V102       3        140 SH         DEFINED     4            -           -     140
MICRUS ENDOVASCULAR CORP        EQUITY       59518V102     307     12,485 SH          SOLE       1       12,485           -       -
MICRUS ENDOVASCULAR CORP        EQUITY       59518V102     450     18,300 SH          SOLE       2       18,300           -       -
MICRUS ENDOVASCULAR CORP        EQUITY       59518V102    2052     83,400 SH          SOLE       3       83,400           -       -
MIDAS INC                       EQUITY       595626102    1048     46,242 SH          SOLE       1       46,242           -       -
MIDCAP SPDR TRUST SERIES 1      EQUITY       595635103     547      3,357 SH         DEFINED     4            -           -   3,357
MIDDLEBY CORP                   EQUITY       596278101     340      5,692 SH          SOLE       1        5,692           -       -
MIDLAND CO/THE                  EQUITY       597486109     385      8,203 SH          SOLE       1        8,203           -       -
MIDWAY GAMES INC                EQUITY       598148104     122     19,238 SH          SOLE       1       19,238           -       -
MIDWEST AIR GROUP INC           EQUITY       597911106     307     20,459 SH          SOLE       1       20,459           -       -
MIDWEST BANC HOLDINGS INC       EQUITY       598251106     236     16,244 SH          SOLE       1       16,244           -       -
MILLENNIUM PHARMACEUTICALS INC  EQUITY       599902103       3        240 SH         DEFINED     4            -           -     240
MILLENNIUM PHARMACEUTICALS INC  EQUITY       599902103    9269    876,871 SH          SOLE       1      876,871           -       -





                                                                                           
MILLER INDUSTRIES INC/TN        EQUITY       600551204     209      8,324 SH          SOLE       1        8,324           -       -
MILLICOM INTERNATIONAL CELLULA  EQUITY       L6388F110      59        643 SH         DEFINED     4            -           -     643
MILLIPORE CORP                  EQUITY       601073109       5         70 SH          SOLE       2           70           -       -
MILLIPORE CORP                  EQUITY       601073109    1703     22,677 SH          SOLE       1       22,677           -       -
MINE SAFETY APPLIANCES CO       EQUITY       602720104    4201     96,006 SH          SOLE       1       96,006           -       -
MINERALS TECHNOLOGIES INC       EQUITY       603158106    4176     62,382 SH          SOLE       1       62,382           -       -
MINRAD INTERNATIONAL INC        EQUITY       60443P103     232     39,185 SH          SOLE       1       39,185           -       -
MIPS TECHNOLOGIES INC           EQUITY       604567107     317     36,094 SH          SOLE       1       36,094           -       -
MIRAMAR MINING CORP             EQUITY       60466E100    6951  1,603,400 SH          OTHER      1            -   1,603,400       -
MIRANT CORP                     EQUITY       60467R118       1         55 SH         DEFINED     4            -           -      55
MIRANT CORP                     EQUITY       60467R100   26770    627,672 SH          SOLE       1      627,672           -       -
MISSION WEST PROPERTIES         EQUITY       605203108     228     16,342 SH          SOLE       1       16,342           -       -
MKS INSTRUMENTS INC             EQUITY       55306N104       5        179 SH         DEFINED     4            -           -     179
MKS INSTRUMENTS INC             EQUITY       55306N104    1166     42,094 SH          SOLE       1       42,094           -       -
MOBILE MINI INC                 EQUITY       60740F105     872     29,874 SH          SOLE       1       29,874           -       -
MOBILE TELESYSTEMS OJSC         EQUITY       607409109   15242    251,640 SH          SOLE       1      251,640           -       -
MODINE MANUFACTURING CO         EQUITY       607828100    2418    106,974 SH          SOLE       1      106,974           -       -
MOHAWK INDUSTRIES INC           EQUITY       608190104   13423    133,174 SH          SOLE       1      133,174           -       -
MOLDFLOW CORP                   EQUITY       608507109    1081     49,177 SH         DEFINED     4            -           -  49,177
MOLECULAR INSIGHT PHARMACEUTIC  EQUITY       60852M104      40      4,185 SH          SOLE       1        4,185           -       -
MOLEX INC                       EQUITY       608554101    1954     65,118 SH          SOLE       1       65,118           -       -
MOLEX INC                       EQUITY       608554101    3763    125,383 SH          SOLE       2      125,383           -       -
MOLINA HEALTHCARE INC           EQUITY       60855R100     347     11,366 SH          SOLE       1       11,366           -       -
MOLSON COORS BREWING CO         EQUITY       60871R209       6         61 SH          SOLE       2           61           -       -
MOLSON COORS BREWING CO         EQUITY       60871R209      25        275 SH         DEFINED     4            -           -     275
MOLSON COORS BREWING CO         EQUITY       60871R209    2089     22,594 SH          SOLE       1       22,594           -       -
MOMENTA PHARMACEUTICALS INC     EQUITY       60877T100     199     19,723 SH          SOLE       1       19,723           -       -
MONACO COACH CORP               EQUITY       60886R103     357     24,910 SH          SOLE       1       24,910           -       -
MONARCH CASINO & RESORT INC     EQUITY       609027107     268      9,992 SH          SOLE       1        9,992           -       -
MONEYGRAM INTERNATIONAL INC     EQUITY       60935Y109    5732    205,073 SH          SOLE       1      205,073           -       -
MONOLITHIC POWER SYSTEMS INC    EQUITY       609839105     344     19,735 SH          SOLE       1       19,735           -       -
MONRO MUFFLER INC               EQUITY       610236101     392     10,454 SH          SOLE       1       10,454           -       -
MONSANTO CO                     EQUITY       61166W101     493      7,300 SH          SOLE       3        7,300           -       -
MONSANTO CO                     EQUITY       61166W101     572      8,467 SH         DEFINED     4            -           -   8,467
MONSANTO CO                     EQUITY       61166W101    8235    121,923 SH          SOLE       2      121,923           -       -
MONSANTO CO                     EQUITY       61166W101   22275    329,806 SH          SOLE       1      329,806           -       -
MONSTER WORLDWIDE INC           EQUITY       611742107       7        168 SH          SOLE       2          168           -       -
MONSTER WORLDWIDE INC           EQUITY       611742107    2688     65,404 SH          SOLE       1       65,404           -       -
MONTGOMERY STREET INCOME SECUR  EQUITY       614115103      26      1,500 SH         DEFINED     4            -           -   1,500
MOODY'S CORP                    EQUITY       615369105      18        296 SH          SOLE       2          296           -       -
MOODY'S CORP                    EQUITY       615369105   18061    290,375 SH          SOLE       1      290,375           -       -
MOOG INC                        EQUITY       615394202    1391     31,525 SH          SOLE       1       31,525           -       -
MORGAN STANLEY                  EQUITY       617446448       4         50 SH         DEFINED     4            -           -      50
MORGAN STANLEY                  EQUITY       617446448   40311    480,582 SH          SOLE       2      480,582           -       -
MORGAN STANLEY                  EQUITY       617446448   68657    818,430 SH          SOLE       1      818,430           -       -
MORGAN STANLEY CAP TRUST        FIXED INCOME 61753R200     242     10,000 PRN         SOLE       1       10,000           -       -
MORGAN STANLEY EASTERN EUROPE   EQUITY       616988101      27        726 SH         DEFINED     4            -           -     726
MORGANS HOTEL GROUP CO          EQUITY       61748W108     413     16,930 SH          SOLE       1       16,930           -       -
MORNINGSTAR INC                 EQUITY       617700109     494     10,500 SH          SOLE       2       10,500           -       -
MORNINGSTAR INC                 EQUITY       617700109     481     10,234 SH          SOLE       1       10,234           -       -
MORTON'S RESTAURANT GROUP INC   EQUITY       619430101     160      8,848 SH          SOLE       1        8,848           -       -
MOSAIC CO/THE                   EQUITY       61945A107      62      1,598 SH          SOLE       1        1,598           -       -
MOTOROLA INC                    EQUITY       620076109      24      1,330 SH         DEFINED     4            -           -   1,330
MOTOROLA INC                    EQUITY       620076109      53      2,982 SH          SOLE       2        2,982           -       -
MOTOROLA INC                    EQUITY       620076109   30622  1,729,962 SH          SOLE       1    1,729,962           -       -
MOVADO GROUP INC                EQUITY       624580106       5        145 SH         DEFINED     4            -           -     145





                                                                                           
MOVADO GROUP INC                EQUITY       624580106     483     14,318 SH          SOLE       1       14,318           -       -
MOVE INC                        EQUITY       62458M108     389     86,785 SH          SOLE       1       86,785           -       -
MPS GROUP INC                   EQUITY       553409103    4479    335,014 SH          SOLE       1      335,014           -       -
MRV COMMUNICATIONS INC          EQUITY       553477100     341    104,821 SH          SOLE       1      104,821           -       -
MSC INDUSTRIAL DIRECT CO        EQUITY       553530106    1451     26,380 SH         DEFINED     4            -           -  26,380
MSC INDUSTRIAL DIRECT CO        EQUITY       553530106    7193    130,778 SH          SOLE       1      130,778           -       -
MSC.SOFTWARE CORP               EQUITY       553531104     494     36,513 SH          SOLE       1       36,513           -       -
MTC TECHNOLOGIES INC            EQUITY       55377A106     193      7,850 SH          SOLE       1        7,850           -       -
MTR GAMING GROUP INC            EQUITY       553769100     263     17,053 SH          SOLE       1       17,053           -       -
MTS SYSTEMS CORP                EQUITY       553777103     659     14,757 SH          SOLE       1       14,757           -       -
MUELLER INDUSTRIES INC          EQUITY       624756102    1337     38,823 SH          SOLE       1       38,823           -       -
MUELLER WATER PRODUCTS INC      EQUITY       624758207      28      1,862 SH          SOLE       1        1,862           -       -
MUELLER WATER PRODUCTS INC      EQUITY       624758108    1629     95,494 SH          SOLE       1       95,494           -       -
MULTI-COLOR CORP                EQUITY       625383104     178      4,520 SH          SOLE       1        4,520           -       -
MULTI-FINELINE ELECTRONIX INC   EQUITY       62541B101     120      6,985 SH          SOLE       1        6,985           -       -
MULTIMEDIA GAMES INC            EQUITY       625453105     259     20,323 SH          SOLE       1       20,323           -       -
MURPHY OIL CORP                 EQUITY       626717102      14        242 SH          SOLE       2          242           -       -
MURPHY OIL CORP                 EQUITY       626717102    5188     87,289 SH          SOLE       1       87,289           -       -
MVC CAPITAL INC                 EQUITY       553829102     380     20,189 SH          SOLE       1       20,189           -       -
MWI VETERINARY SUPPLY INC       EQUITY       55402X105    2493     62,500 SH          SOLE       3       62,500           -       -
MWI VETERINARY SUPPLY INC       EQUITY       55402X105    1033     25,887 SH          SOLE       1       25,887           -       -
MYERS INDUSTRIES INC            EQUITY       628464109     515     23,306 SH          SOLE       1       23,306           -       -
MYLAN LABORATORIES INC          EQUITY       628530107       6        320 SH          SOLE       2          320           -       -
MYLAN LABORATORIES INC          EQUITY       628530107   10226    562,152 SH          SOLE       1      562,152           -       -
MYLAN LABORATORIES INC          EQUITY       628530107     180      9,883 SH         DEFINED     4            -           -   9,883
MYRIAD GENETICS INC             EQUITY       62855J104    1332     35,820 SH          SOLE       1       35,820           -       -
NABI BIOPHARMACEUTICALS         EQUITY       629519109     232     50,472 SH          SOLE       1       50,472           -       -
NABORS INDUSTRIES LTD           EQUITY       G6359F103      12        363 SH          SOLE       2          363           -       -
NABORS INDUSTRIES LTD           EQUITY       G6359F103      30        913 SH         DEFINED     4            -           -     913
NACCO INDUSTRIES INC            EQUITY       629579103     986      6,341 SH          SOLE       1        6,341           -       -
NALCO HOLDING CO                EQUITY       62985Q101      84      3,067 SH          SOLE       1        3,067           -       -
NALCO HOLDING CO                EQUITY       62985Q101     359     13,075 SH         DEFINED     4            -           -  13,075
NARA BANCORP INC                EQUITY       63080P105     298     18,712 SH          SOLE       1       18,712           -       -
NASB FINANCIAL INC              EQUITY       628968109     106      3,139 SH          SOLE       1        3,139           -       -
NASDAQ STOCK MARKET INC/THE     EQUITY       631103108      82      2,764 SH          SOLE       1        2,764           -       -
NASDAQ STOCK MARKET INC/THE     EQUITY       631103108    3672    123,600 SH          SOLE       2      123,600           -       -
NASH FINCH CO                   EQUITY       631158102    1235     24,955 SH          SOLE       1       24,955           -       -
NASTECH PHARMACEUTICAL CO INC   EQUITY       631728409     231     21,201 SH          SOLE       1       21,201           -       -
NATCO GROUP INC                 EQUITY       63227W203     667     14,477 SH          SOLE       1       14,477           -       -
NATIONAL BANK OF GREECE SA      EQUITY       633643408     283     24,719 SH         DEFINED     4            -           -  24,719
NATIONAL BEVERAGE CORP          EQUITY       635017106      98      8,518 SH          SOLE       1        8,518           -       -
NATIONAL CINEMEDIA INC          EQUITY       635309107     979     34,947 SH          SOLE       1       34,947           -       -
NATIONAL CITY CORP              EQUITY       635405103      25        742 SH          SOLE       2          742           -       -
NATIONAL CITY CORP              EQUITY       635405103   30910    927,681 SH          SOLE       1      927,681           -       -
NATIONAL FINANCIAL PARTNERS CO  EQUITY       63607P208    1451     31,338 SH          SOLE       1       31,338           -       -
NATIONAL FUEL GAS CO            EQUITY       636180101    8941    206,444 SH          SOLE       1      206,444           -       -
NATIONAL GRID PLC               EQUITY       636274300     629      8,530 SH         DEFINED     4            -           -   8,530
NATIONAL HEALTHCARE CORP        EQUITY       635906100     300      5,810 SH          SOLE       1        5,810           -       -
NATIONAL INSTRUMENTS CORP       EQUITY       636518102    4596    141,121 SH          SOLE       1      141,121           -       -
NATIONAL INTERSTATE CORP        EQUITY       63654U100     115      4,411 SH          SOLE       1        4,411           -       -
NATIONAL OILWELL VARCO INC      EQUITY       637071101   87298    837,567 SH          SOLE       1      837,567           -       -
NATIONAL OILWELL VARCO INC      EQUITY       637071101      24        229 SH          SOLE       2          229           -       -
NATIONAL OILWELL VARCO INC      EQUITY       637071101     485      4,649 SH         DEFINED     4            -           -   4,649
NATIONAL PENN BANCSHARES INC    EQUITY       637138108     103      6,180 SH         DEFINED     4            -           -   6,180
NATIONAL PENN BANCSHARES INC    EQUITY       637138108     661     39,634 SH          SOLE       1       39,634           -       -
NATIONAL PRESTO INDUSTRIES INC  EQUITY       637215104     231      3,709 SH          SOLE       1        3,709           -       -





                                                                                           
NATIONAL RETAIL PROPERTIES INC  EQUITY       637417106     288     13,160 SH         DEFINED     4            -           -  13,160
NATIONAL SEMICONDUCTOR CORP     EQUITY       637640103      10        359 SH          SOLE       2          359           -       -
NATIONAL SEMICONDUCTOR CORP     EQUITY       637640103   17601    622,603 SH          SOLE       1      622,603           -       -
NATIONAL WESTERN LIFE INSURANC  EQUITY       638522102     475      1,877 SH          SOLE       1        1,877           -       -
NATIONWIDE FINANCIAL SERVICES   EQUITY       638612101     292      4,624 SH          SOLE       1        4,624           -       -
NATIONWIDE HEALTH PROPERTIES I  EQUITY       638620104    8638    317,569 SH          SOLE       1      317,569           -       -
NATUS MEDICAL INC               EQUITY       639050103    1165     73,152 SH          SOLE       1       73,152           -       -
NAUTILUS INC                    EQUITY       63910B102     316     26,248 SH          SOLE       1       26,248           -       -
NAVIGANT CONSULTING INC         EQUITY       63935N107    2850    153,543 SH          SOLE       1      153,543           -       -
NAVIGATORS GROUP INC            EQUITY       638904102     377      7,000 SH          SOLE       2        7,000           -       -
NAVIGATORS GROUP INC            EQUITY       638904102     589     10,919 SH          SOLE       1       10,919           -       -
NAVTEQ CORP                     EQUITY       63936L100    3493     82,500 SH          SOLE       3       82,500           -       -
NAVTEQ CORP                     EQUITY       63936L100      88      2,075 SH          SOLE       1        2,075           -       -
NAVTEQ CORP                     EQUITY       63936L100    1016     24,000 SH          SOLE       2       24,000           -       -
NBT BANCORP INC                 EQUITY       628778102     102      4,500 SH         DEFINED     4            -           -   4,500
NBT BANCORP INC                 EQUITY       628778102     638     28,300 SH          SOLE       1       28,300           -       -
NBTY INC                        EQUITY       628782104    6486    150,128 SH          SOLE       1      150,128           -       -
NCI BUILDING SYSTEMS INC        EQUITY       628852105     828     16,779 SH          SOLE       1       16,779           -       -
NCI BUILDING SYSTEMS INC        EQUITY       628852105    7745    157,000 SH          SOLE       2      157,000           -       -
NCR CORP                        EQUITY       62886E108     380      7,232 SH          SOLE       2        7,232           -       -
NCR CORP                        EQUITY       62886E108     434      8,253 SH         DEFINED     4            -           -   8,253
NCR CORP                        EQUITY       62886E108    4408     83,890 SH          SOLE       1       83,890           -       -
NDS GROUP PLC                   EQUITY       628891103    2563     54,600 SH          SOLE       2       54,600           -       -
NEENAH PAPER INC                EQUITY       640079109     674     16,324 SH          SOLE       1       16,324           -       -
NEKTAR THERAPEUTICS             FIXED INCOME 640268AH1    4363  5,000,000 PRN         SOLE       1    5,000,000           -       -
NEKTAR THERAPEUTICS             EQUITY       640268108     724     76,287 SH          SOLE       1       76,287           -       -
NELNET INC                      EQUITY       64031N108     356     14,568 SH          SOLE       1       14,568           -       -
NELNET INC                      EQUITY       64031N108    2569    105,100 SH          SOLE       2      105,100           -       -
NESS TECHNOLOGIES INC           EQUITY       64104X108     648     49,775 SH          SOLE       1       49,775           -       -
NET 1 UEPS TECHNOLOGIES INC     EQUITY       64107N206     840     34,798 SH          SOLE       1       34,798           -       -
NETFLIX INC                     EQUITY       64110L106    3612    186,276 SH          SOLE       1      186,276           -       -
NETGEAR INC                     EQUITY       64111Q104     373     10,300 SH          SOLE       2       10,300           -       -
NETGEAR INC                     EQUITY       64111Q104    1044     28,801 SH          SOLE       1       28,801           -       -
NETLOGIC MICROSYSTEMS INC       EQUITY       64118B100    4244    133,300 SH          SOLE       3      133,300           -       -
NETLOGIC MICROSYSTEMS INC       EQUITY       64118B100    1452     45,599 SH          SOLE       1       45,599           -       -
NETWORK APPLIANCE INC           EQUITY       64120L104    5425    185,844 SH          SOLE       1      185,844           -       -
NETWORK APPLIANCE INC           EQUITY       64120L104       8        267 SH         DEFINED     4            -           -     267
NETWORK APPLIANCE INC           EQUITY       64120L104   14056    481,378 SH          SOLE       2      481,378           -       -
NETWORK EQUIPMENT TECHNOLOGIES  EQUITY       641208103     209     21,938 SH          SOLE       1       21,938           -       -
NEUROCRINE BIOSCIENCES INC      EQUITY       64125C109     355     31,609 SH          SOLE       1       31,609           -       -
NEUROGEN CORP                   EQUITY       64124E106     175     26,331 SH          SOLE       1       26,331           -       -
NEUSTAR INC                     EQUITY       64126X201    5957    205,633 SH          SOLE       1      205,633           -       -
NEUSTAR INC                     EQUITY       64126X201   14233    491,300 SH          SOLE       2      491,300           -       -
NEW JERSEY RESOURCES CORP       EQUITY       646025106    1188     23,293 SH          SOLE       1       23,293           -       -
NEW YORK & CO INC               EQUITY       649295102     198     18,111 SH          SOLE       1       18,111           -       -
NEW YORK COMMUNITY BANCORP INC  EQUITY       649445103       1         70 SH         DEFINED     4            -           -      70
NEW YORK COMMUNITY BANCORP INC  EQUITY       649445103   11525    677,126 SH          SOLE       1      677,126           -       -
NEW YORK TIMES CO/THE           EQUITY       650111107       2         70 SH         DEFINED     4            -           -      70
NEW YORK TIMES CO/THE           EQUITY       650111107       5        185 SH          SOLE       2          185           -       -
NEW YORK TIMES CO/THE           EQUITY       650111107    1702     66,992 SH          SOLE       1       66,992           -       -
NEWALLIANCE BANCSHARES INC      EQUITY       650203102       4        251 SH         DEFINED     4            -           -     251
NEWALLIANCE BANCSHARES INC      EQUITY       650203102    1390     94,401 SH          SOLE       1       94,401           -       -
NEWCASTLE INVESTMENT CORP       EQUITY       65105M108     122      4,878 SH         DEFINED     4            -           -   4,878
NEWCASTLE INVESTMENT CORP       EQUITY       65105M108     866     34,555 SH          SOLE       1       34,555           -       -
NEWELL RUBBERMAID INC           EQUITY       651229106   20214    686,863 SH          SOLE       1      686,863           -       -
NEWELL RUBBERMAID INC           EQUITY       651229106      11        359 SH          SOLE       2          359           -       -





                                                                                           
NEWELL RUBBERMAID INC           EQUITY       651229106      23        775 SH         DEFINED     4            -           -     775
NEWFIELD EXPLORATION CO         EQUITY       651290108      52      1,135 SH         DEFINED     4            -           -   1,135
NEWFIELD EXPLORATION CO         EQUITY       651290108   14640    321,396 SH          SOLE       1      321,396           -       -
NEWMARKET CORP                  EQUITY       651587107     615     12,722 SH          SOLE       1       12,722           -       -
NEWMONT MINING CORP             EQUITY       651639106      12        300 SH         DEFINED     4            -           -     300
NEWMONT MINING CORP             EQUITY       651639106     458     11,732 SH          SOLE       2       11,732           -       -
NEWMONT MINING CORP             EQUITY       651639106    7549    193,271 SH          SOLE       1      193,271           -       -
NEWPARK RESOURCES               EQUITY       651718504     580     74,806 SH          SOLE       1       74,806           -       -
NEWPORT CORP                    EQUITY       651824104     450     29,087 SH          SOLE       1       29,087           -       -
NEWS CORP                       EQUITY       65248E104    3346    157,746 SH          SOLE       2      157,746           -       -
NEWS CORP                       EQUITY       65248E104   53958  2,543,982 SH          SOLE       1    2,543,982           -       -
NEWSTAR FINANCIAL INC           EQUITY       65251F105     164     11,495 SH          SOLE       1       11,495           -       -
NEWTEK BUSINESS SERVICES INC    EQUITY       652526104    2250  1,184,379 SH          SOLE       1    1,184,379           -       -
NEXCEN BRANDS INC               EQUITY       653351106     390     34,977 SH          SOLE       1       34,977           -       -
NEXEN INC                       EQUITY       65334H102   12240    394,410 SH          OTHER      1            -     394,410       -
NEXSTAR BROADCASTING GROUP INC  EQUITY       65336K103     116      8,838 SH          SOLE       1        8,838           -       -
NEXTWAVE WIRELESS INC           EQUITY       65337Y102     188     22,561 SH          SOLE       1       22,561           -       -
NFJ DIVIDEND INTEREST & PREMIU  EQUITY       65337H109      35      1,365 SH         DEFINED     4            -           -   1,365
NGP CAPITAL RESOURCES CO        EQUITY       62912R107     243     14,516 SH          SOLE       1       14,516           -       -
NIC INC                         EQUITY       62914B100     223     32,631 SH          SOLE       1       32,631           -       -
NIC INC                         EQUITY       62914B100     274     40,000 SH          SOLE       2       40,000           -       -
NICE SYSTEMS LTD                EQUITY       653656108      12        337 SH         DEFINED     4            -           -     337
NICE SYSTEMS LTD                EQUITY       653656108    9829    282,940 SH          SOLE       1      282,940           -       -
NICHOLAS-APPLEGATE CONVERTIBLE  EQUITY       65370F101      22      1,390 SH         DEFINED     4            -           -   1,390
NICHOLAS-APPLEGATE INTERNATION  EQUITY       65370C108      14        500 SH         DEFINED     4            -           -     500
NICOR INC                       EQUITY       654086107       2         58 SH          SOLE       2           58           -       -
NICOR INC                       EQUITY       654086107    2446     56,983 SH          SOLE       1       56,983           -       -
NIGHTHAWK RADIOLOGY HOLDINGS I  EQUITY       65411N105     317     17,537 SH          SOLE       1       17,537           -       -
NII HOLDINGS INC                EQUITY       62913F201      61        761 SH         DEFINED     4            -           -     761
NII HOLDINGS INC                EQUITY       62913F201     862     10,671 SH          SOLE       1       10,671           -       -
NII HOLDINGS INC                EQUITY       62913F201    6459     80,000 SH          SOLE       2       80,000           -       -
NII HOLDINGS INC                EQUITY       62913F201    3052     37,800 SH          SOLE       3       37,800           -       -
NIKE INC                        EQUITY       654106103      28        488 SH          SOLE       2          488           -       -
NIKE INC                        EQUITY       654106103   44699    766,831 SH          SOLE       1      766,831           -       -
NISOURCE INC                    EQUITY       65473P105       9        450 SH         DEFINED     4            -           -     450
NISOURCE INC                    EQUITY       65473P105       7        353 SH          SOLE       2          353           -       -
NISOURCE INC                    EQUITY       65473P105   14015    676,711 SH          SOLE       1      676,711           -       -
NITROMED INC                    EQUITY       654798503     293    133,346 SH          SOLE       1      133,346           -       -
NL INDUSTRIES                   EQUITY       629156407      60      5,943 SH          SOLE       1        5,943           -       -
NOBLE CORP                      EQUITY       G65422100      17        173 SH          SOLE       2          173           -       -
NOBLE CORP                      EQUITY       G65422100      20        206 SH         DEFINED     4            -           -     206
NOBLE CORP                      EQUITY       G65422100    6378     65,400 SH          SOLE       3       65,400           -       -
NOBLE ENERGY INC                EQUITY       655044105   39189    628,127 SH          SOLE       1      628,127           -       -
NOBLE INTERNATIONAL LTD/UNITED  EQUITY       655053106     200      9,770 SH          SOLE       1        9,770           -       -
NOKIA OYJ                       EQUITY       654902204     284     10,100 SH          SOLE       2       10,100           -       -
NOKIA OYJ                       EQUITY       654902204     336     11,940 SH         DEFINED     4            -           -  11,940
NOKIA OYJ                       EQUITY       654902204    1005     35,735 SH          SOLE       1       35,735           -       -
NORDSON CORP                    EQUITY       655663102    5519    110,027 SH          SOLE       1      110,027           -       -
NORDSTROM INC                   EQUITY       655664100      15        289 SH          SOLE       2          289           -       -
NORDSTROM INC                   EQUITY       655664100    5404    105,718 SH          SOLE       1      105,718           -       -
NORFOLK SOUTHERN CORP           EQUITY       655844108      27        507 SH          SOLE       2          507           -       -
NORFOLK SOUTHERN CORP           EQUITY       655844108   18972    360,881 SH          SOLE       1      360,881           -       -
NORTEL NETWORKS CORP            FIXED INCOME 656568AB8       2      2,000 PRN        DEFINED     4            -           -   2,000
NORTEL NETWORKS CORP            EQUITY       656568508    7624    316,996 SH          OTHER      1            -     316,996       -
NORTH EUROPEAN OIL ROYALTY TRU  EQUITY       659310106      45      1,141 SH         DEFINED     4            -           -   1,141
NORTH PITTSBURGH SYSTEMS INC    EQUITY       661562108     265     12,486 SH          SOLE       1       12,486           -       -





                                                                                           
NORTHEAST UTILITIES             EQUITY       664397106   10886    383,862 SH          SOLE       1      383,862           -       -
NORTHERN ORION RESOURCES INC    EQUITY       665575106    4575    801,500 SH          OTHER      1            -     801,500       -
NORTHERN TRUST CORP             EQUITY       665859104      16        243 SH          SOLE       2          243           -       -
NORTHERN TRUST CORP             EQUITY       665859104    9241    143,852 SH          SOLE       1      143,852           -       -
NORTHROP GRUMMAN CORP           EQUITY       666807102   26915    345,634 SH          SOLE       1      345,634           -       -
NORTHROP GRUMMAN CORP           EQUITY       666807102      35        445 SH          SOLE       2          445           -       -
NORTHSTAR NEUROSCIENCE INC      EQUITY       66704V101     189     16,250 SH          SOLE       1       16,250           -       -
NORTHSTAR NEUROSCIENCE INC      EQUITY       66704V101    3147    270,600 SH          SOLE       2      270,600           -       -
NORTHSTAR REALTY FINANCE CORP   EQUITY       66704R100    3803    304,003 SH          SOLE       1      304,003           -       -
NORTHWEST AIRLINES CORP         EQUITY       667280408     156      7,048 SH          SOLE       1        7,048           -       -
NORTHWEST BANCORP INC           EQUITY       667328108     399     15,256 SH          SOLE       1       15,256           -       -
NORTHWEST NATURAL GAS CO        EQUITY       667655104    1901     41,156 SH          SOLE       1       41,156           -       -
NORTHWEST NATURAL GAS CO        EQUITY       667655104      79      1,721 SH         DEFINED     4            -           -   1,721
NORTHWEST PIPE CO               EQUITY       667746101    1709     48,034 SH          SOLE       1       48,034           -       -
NORTHWESTERN CORP               EQUITY       668074305     950     29,879 SH          SOLE       1       29,879           -       -
NOVA BIOSOURCE FUELS INC        EQUITY       65488W103      67     26,085 SH          SOLE       1       26,085           -       -
NOVA CHEMICALS CORP             EQUITY       66977W109      66      1,839 SH          OTHER      1            -       1,839       -
NOVACEA INC                     EQUITY       66987B103      52      5,499 SH          SOLE       1        5,499           -       -
NOVAGOLD RESOURCES INC          EQUITY       66987E206    6388    425,000 SH          SOLE       2      425,000           -       -
NOVARTIS AG                     EQUITY       66987V109      18        320 SH         DEFINED     4            -           -     320
NOVARTIS AG                     EQUITY       66987V109    5508     98,242 SH          SOLE       2       98,242           -       -
NOVASTAR FINL INC               EQUITY       669947400     220     31,535 SH          SOLE       1       31,535           -       -
NOVATEL WIRELESS INC            EQUITY       66987M604    2212     85,015 SH          SOLE       1       85,015           -       -
NOVELL INC                      EQUITY       670006105    1746    224,079 SH          SOLE       1      224,079           -       -
NOVELL INC                      EQUITY       670006105       3        449 SH          SOLE       2          449           -       -
NOVELLUS SYSTEMS INC            EQUITY       670008101       5        163 SH          SOLE       2          163           -       -
NOVELLUS SYSTEMS INC            EQUITY       670008101    3993    140,751 SH          SOLE       1      140,751           -       -
NOVEN PHARMACEUTICALS INC       EQUITY       670009109     485     20,668 SH          SOLE       1       20,668           -       -
NRG ENERGY INC                  EQUITY       629377508   14347    345,131 SH          SOLE       1      345,131           -       -
NSTAR                           EQUITY       67019E107    8845    272,580 SH          SOLE       1      272,580           -       -
NTELOS HOLDINGS CORP            EQUITY       67020Q107     638     23,090 SH          SOLE       1       23,090           -       -
NTN BUZZTIME INC                EQUITY       629410309      47     45,639 SH          SOLE       1       45,639           -       -
NTR ACQUISITION CO              EQUITY       629415100     194     20,441 SH          SOLE       1       20,441           -       -
NU SKIN ENTERPRISES INC         EQUITY       67018T105     691     41,855 SH          SOLE       1       41,855           -       -
NUANCE COMMUNICATIONS INC       EQUITY       67020Y100    1834    109,638 SH          SOLE       1      109,638           -       -
NUCO2 INC                       EQUITY       629428103     328     12,780 SH          SOLE       1       12,780           -       -
NUCOR CORP                      EQUITY       670346105      23        389 SH          SOLE       2          389           -       -
NUCOR CORP                      EQUITY       670346105   31253    532,878 SH          SOLE       1      532,878           -       -
NUSTAR ENERGY LP                EQUITY       67058H102      70      1,022 SH         DEFINED     4            -           -   1,022
NUSTAR ENERGY LP                EQUITY       67058H102    2603     38,000 SH          SOLE       1       38,000           -       -
NUTRISYSTEM INC                 EQUITY       67069D108   21553    308,600 SH          SOLE       2      308,600           -       -
NUTRISYSTEM INC                 EQUITY       67069D108      51        730 SH          SOLE       1          730           -       -
NUTRITION 21 INC                EQUITY       67069V108       5      3,000 SH         DEFINED     4            -           -   3,000
NUVASIVE INC                    EQUITY       670704105    1686     62,422 SH          SOLE       1       62,422           -       -
NUVEEN DIVIDEND ADVANTAGE MUNI  EQUITY       67070F100     493     31,182 SH         DEFINED     4            -           -  31,182
NUVEEN INVESTMENTS INC          EQUITY       67090F106   13747    221,188 SH          SOLE       1      221,188           -       -
NUVEEN MULTI-STRATEGY INCOME A  EQUITY       67073B106     113      8,571 SH         DEFINED     4            -           -   8,571
NUVEEN MUNICIPAL VALUE FUND     EQUITY       670928100       5        467 SH         DEFINED     4            -           -     467
NUVEEN PREMIER INSURED MUNICIP  EQUITY       670987106     437     31,650 SH         DEFINED     4            -           -  31,650
NUVEEN PREMIUM INCOME MUNICIPA  EQUITY       67063W102       6        415 SH         DEFINED     4            -           -     415
NUVEEN QUALITY PREFERRED INCOM  EQUITY       67072C105       9        650 SH         DEFINED     4            -           -     650
NUVEEN REAL ESTATE INCOME FUND  EQUITY       67071B108      14        600 SH         DEFINED     4            -           -     600
NUVEEN SELECT TAX FREE 3        EQUITY       67063X100       3        189 SH         DEFINED     4            -           -     189
NVIDIA CORP                     EQUITY       67066G104    5717    138,400 SH          SOLE       3      138,400           -       -
NVIDIA CORP                     EQUITY       67066G104      44      1,066 SH         DEFINED     4            -           -   1,066
NVIDIA CORP                     EQUITY       67066G104     599     14,502 SH          SOLE       2       14,502           -       -





                                                                                           
NVIDIA CORP                     EQUITY       67066G104   10921    264,356 SH          SOLE       1      264,356           -       -
NVR INC                         EQUITY       62944T105    9067     13,339 SH          SOLE       1       13,339           -       -
NXSTAGE MEDICAL INC             EQUITY       67072V103     217     16,807 SH          SOLE       1       16,807           -       -
NYMAGIC INC                     EQUITY       629484106     227      5,649 SH          SOLE       1        5,649           -       -
NYMEX HOLDINGS INC              EQUITY       62948N104     246      1,956 SH          SOLE       1        1,956           -       -
NYMEX HOLDINGS INC              EQUITY       62948N104    2663     21,200 SH          SOLE       2       21,200           -       -
NYSE EURONEXT                   EQUITY       629491101     209      2,843 SH         DEFINED     4            -           -   2,843
OAKLEY INC                      EQUITY       673662102     581     20,457 SH          SOLE       1       20,457           -       -
OBAGI MEDICAL PRODUCTS INC      EQUITY       67423R108      79      4,444 SH          SOLE       1        4,444           -       -
OBAGI MEDICAL PRODUCTS INC      EQUITY       67423R108     402     22,700 SH          SOLE       2       22,700           -       -
OCCIDENTAL PETROLEUM CORP       EQUITY       674599105    9821    169,674 SH          SOLE       2      169,674           -       -
OCCIDENTAL PETROLEUM CORP       EQUITY       674599105   45511    786,292 SH          SOLE       1      786,292           -       -
OCEANEERING INTERNATIONAL INC   EQUITY       675232102      61      1,158 SH          SOLE       1        1,158           -       -
OCEANEERING INTERNATIONAL INC   EQUITY       675232102     832     15,800 SH          SOLE       2       15,800           -       -
OCEANEERING INTERNATIONAL INC   EQUITY       675232102    1436     27,277 SH         DEFINED     4            -           -  27,277
O'CHARLEYS INC                  EQUITY       670823103     601     29,789 SH          SOLE       1       29,789           -       -
OCWEN FINANCIAL CORP            EQUITY       675746309     394     29,550 SH          SOLE       1       29,550           -       -
ODYSSEY HEALTHCARE INC          EQUITY       67611V101     333     28,104 SH          SOLE       1       28,104           -       -
ODYSSEY MARINE EXPLORATION INC  EQUITY       676118102     206     34,197 SH          SOLE       1       34,197           -       -
ODYSSEY RE HOLDINGS CORP        EQUITY       67612W108    1011     23,567 SH          SOLE       1       23,567           -       -
OFFICE DEPOT INC                EQUITY       676220106    2926     96,556 SH          SOLE       2       96,556           -       -
OFFICE DEPOT INC                EQUITY       676220106    3744    123,554 SH          SOLE       1      123,554           -       -
OFFICEMAX INC                   EQUITY       67622P101       4         97 SH          SOLE       2           97           -       -
OFFICEMAX INC                   EQUITY       67622P101    1369     34,837 SH          SOLE       1       34,837           -       -
OGE ENERGY CORP                 EQUITY       670837103    8331    227,316 SH          SOLE       1      227,316           -       -
OHIO CASUALTY CORP              EQUITY       677240103    8481    195,822 SH          SOLE       1      195,822           -       -
OIL SERVICE HOLDRS TRUST        EQUITY       678002106      17        100 SH         DEFINED     4            -           -     100
OIL STATES INTERNATIONAL INC    EQUITY       678026105    1694     40,971 SH          SOLE       1       40,971           -       -
OILSANDS QUEST INC              EQUITY       678046103     222     89,857 SH          SOLE       1       89,857           -       -
OILSANDS QUEST INC COMMON       EQUITY       6780461*3     865    350,000 SH          OTHER      1            -     350,000       -
OLD DOMINION FREIGHT LINE INC   EQUITY       679580100     745     24,694 SH          SOLE       1       24,694           -       -
OLD NATIONAL BANCORP/IN         EQUITY       680033107     918     55,269 SH          SOLE       1       55,269           -       -
OLD REPUBLIC INTERNATIONAL COR  EQUITY       680223104   12153    571,617 SH          SOLE       1      571,617           -       -
OLD SECOND BANCORP INC          EQUITY       680277100     318     10,908 SH          SOLE       1       10,908           -       -
OLIN CORP                       EQUITY       680665205    5145    245,000 SH          SOLE       2      245,000           -       -
OLIN CORP                       EQUITY       680665205    6509    309,957 SH          SOLE       1      309,957           -       -
OLYMPIC STEEL INC               EQUITY       68162K106     208      7,271 SH          SOLE       1        7,271           -       -
OM GROUP INC                    EQUITY       670872100    1731     32,705 SH          SOLE       1       32,705           -       -
OMEGA FINANCIAL CORP            EQUITY       682092101     283     10,523 SH          SOLE       1       10,523           -       -
OMEGA HEALTHCARE INVESTORS INC  EQUITY       681936100     383     24,225 SH          SOLE       1       24,225           -       -
OMEGA PROTEIN CORP              EQUITY       68210P107    2335    252,200 SH          SOLE       3      252,200           -       -
OMNI ENERGY SERVICES CORP       EQUITY       68210T208    2201    196,500 SH          SOLE       3      196,500           -       -
OMNI ENERGY SERVICES CORP       EQUITY       68210T208     664     59,200 SH          SOLE       1       59,200           -       -
OMNICARE INC                    EQUITY       681904108   10830    300,336 SH          SOLE       1      300,336           -       -
OMNICELL INC                    EQUITY       68213N109    3630    174,700 SH          SOLE       3      174,700           -       -
OMNICELL INC                    EQUITY       68213N109    1664     80,083 SH          SOLE       1       80,083           -       -
OMNICOM GROUP INC               EQUITY       681919106       4         80 SH         DEFINED     4            -           -      80
OMNICOM GROUP INC               EQUITY       681919106      23        426 SH          SOLE       2          426           -       -
OMNICOM GROUP INC               EQUITY       681919106   29912    565,231 SH          SOLE       1      565,231           -       -
OMNITURE INC                    EQUITY       68212S109     539     23,516 SH          SOLE       1       23,516           -       -
OMNIVISION TECHNOLOGIES INC     EQUITY       682128103     828     45,702 SH          SOLE       1       45,702           -       -
OMRIX BIOPHARMACEUTICALS INC    EQUITY       681989109     359     11,398 SH          SOLE       1       11,398           -       -
OMRIX BIOPHARMACEUTICALS INC    EQUITY       681989109     535     17,000 SH          SOLE       2       17,000           -       -
ON ASSIGNMENT INC               EQUITY       682159108     313     29,235 SH          SOLE       1       29,235           -       -
ON SEMICONDUCTOR CORP           EQUITY       682189105    1201    112,000 SH          SOLE       2      112,000           -       -
ON SEMICONDUCTOR CORP           EQUITY       682189105    2165    201,966 SH          SOLE       1      201,966           -       -





                                                                                           
ON2 TECHNOLOGIES INC            EQUITY       68338A107     282     93,909 SH          SOLE       1       93,909           -       -
ONEBEACON INSURANCE GROUP LTD   EQUITY       G67742109    8911    351,800 SH          SOLE       2      351,800           -       -
ONEOK INC                       EQUITY       682680103   13842    274,583 SH          SOLE       1      274,583           -       -
ONEOK PARTNERS LP               EQUITY       68268N103      34        500 SH         DEFINED     4            -           -     500
ONLINE RESOURCES CORP           EQUITY       68273G101       1        100 SH         DEFINED     4            -           -     100
ONLINE RESOURCES CORP           EQUITY       68273G101     239     21,762 SH          SOLE       1       21,762           -       -
ONLINE RESOURCES CORP           EQUITY       68273G101    3407    310,314 SH          SOLE       2      310,314           -       -
ONYX PHARMACEUTICALS INC        EQUITY       683399109    1071     39,830 SH          SOLE       1       39,830           -       -
OPEN TEXT CORP                  EQUITY       683715106    1073     49,303 SH         DEFINED     4            -           -  49,303
OPEN TEXT CORP                  EQUITY       683715106      33      1,496 SH          OTHER      1            -       1,496       -
OPENWAVE SYSTEMS INC            EQUITY       683718308     454     72,487 SH          SOLE       1       72,487           -       -
OPLINK COMMUNICATIONS INC       EQUITY       68375Q403     278     18,536 SH          SOLE       1       18,536           -       -
OPNET TECHNOLOGIES INC          EQUITY       683757108       1        100 SH          SOLE       1          100           -       -
OPNEXT INC                      EQUITY       68375V105     206     15,531 SH          SOLE       1       15,531           -       -
OPSWARE INC                     EQUITY       68383A101     696     73,161 SH          SOLE       1       73,161           -       -
OPTEUM INC                      EQUITY       68384A100       3      1,000 SH         DEFINED     4            -           -   1,000
OPTION CARE INC                 EQUITY       683948103     398     25,841 SH          SOLE       1       25,841           -       -
OPTIONSXPRESS HOLDINGS INC      EQUITY       684010101     933     36,346 SH          SOLE       1       36,346           -       -
OPTIONSXPRESS HOLDINGS INC      EQUITY       684010101    9982    389,000 SH          SOLE       2      389,000           -       -
OPTIUM CORP                     EQUITY       68402T107     129     10,186 SH          SOLE       1       10,186           -       -
ORACLE CORP                     EQUITY       68389X105     314     15,942 SH         DEFINED     4            -           -  15,942
ORACLE CORP                     EQUITY       68389X105   13371    678,402 SH          SOLE       2      678,402           -       -
ORACLE CORP                     EQUITY       68389X105   85325  4,329,018 SH          SOLE       1    4,329,018           -       -
ORASURE TECHNOLOGIES INC        EQUITY       68554V108     314     38,422 SH          SOLE       1       38,422           -       -
ORBCOMM INC                     EQUITY       68555P100     358     21,827 SH          SOLE       1       21,827           -       -
ORBITAL SCIENCES CORP           EQUITY       685564106    1394     66,347 SH          SOLE       1       66,347           -       -
O'REILLY AUTOMOTIVE INC         EQUITY       686091109   10224    279,734 SH          SOLE       1      279,734           -       -
OREXIGEN THERAPEUTICS INC       EQUITY       686164104      91      6,067 SH          SOLE       1        6,067           -       -
ORIENTAL FINANCIAL GROUP        EQUITY       68618W100     188     17,240 SH          SOLE       1       17,240           -       -
ORITANI FINANCIAL CORP          EQUITY       686323106     145     10,122 SH          SOLE       1       10,122           -       -
ORMAT TECHNOLOGIES INC          EQUITY       686688102     430     11,419 SH          SOLE       1       11,419           -       -
OSCIENT PHARMACEUTICALS         FIXED INCOME 68812RAC9    5568  7,628,000 PRN         SOLE       1    7,628,000           -       -
OSCIENT PHARMACEUTICALS CORP    EQUITY       68812R303     339     74,221 SH          SOLE       1       74,221           -       -
OSHKOSH TRUCK CORP              EQUITY       688239201   11423    181,553 SH          SOLE       1      181,553           -       -
OSI PHARMACEUTICALS INC         EQUITY       671040103    1737     47,978 SH          SOLE       1       47,978           -       -
OSI SYSTEMS INC                 EQUITY       671044105     345     12,603 SH          SOLE       1       12,603           -       -
OSIRIS THERAPEUTICS INC         EQUITY       68827R108     144     10,628 SH          SOLE       1       10,628           -       -
OTTER TAIL CORP                 EQUITY       689648103      96      3,000 SH         DEFINED     4            -           -   3,000
OTTER TAIL CORP                 EQUITY       689648103     793     24,736 SH          SOLE       1       24,736           -       -
OVERSEAS SHIPHOLDING GROUP      EQUITY       690368105    5206     63,951 SH          SOLE       1       63,951           -       -
OVERSTOCK.COM INC               EQUITY       690370101     250     13,696 SH          SOLE       1       13,696           -       -
OWENS & MINOR INC               EQUITY       690732102    1178     33,705 SH          SOLE       1       33,705           -       -
OWENS CORNING INC               EQUITY       690742101   10180    302,713 SH          SOLE       1      302,713           -       -
OWENS-ILLINOIS INC              EQUITY       690768403     121      3,448 SH          SOLE       1        3,448           -       -
OXFORD INDUSTRIES INC           EQUITY       691497309     568     12,804 SH          SOLE       1       12,804           -       -
OYO GEOSPACE CORP               EQUITY       671074102     245      3,305 SH          SOLE       1        3,305           -       -
PACCAR INC                      EQUITY       693718108      28        320 SH          SOLE       2          320           -       -
PACCAR INC                      EQUITY       693718108   24562    282,191 SH          SOLE       1      282,191           -       -
PACER INTERNATIONAL INC         EQUITY       69373H106     721     30,647 SH          SOLE       1       30,647           -       -
PACHOLDER HIGH YIELD FUND INC   EQUITY       693742108     113     11,266 SH         DEFINED     4            -           -  11,266
PACIFIC CAPITAL BANCORP NA      EQUITY       69404P101    1056     39,127 SH          SOLE       1       39,127           -       -
PACIFIC ETHANOL INC             EQUITY       69423U107       7        500 SH         DEFINED     4            -           -     500
PACIFIC ETHANOL INC             EQUITY       69423U107     391     29,598 SH          SOLE       1       29,598           -       -
PACIFIC SUNWEAR OF CALIFORNIA   EQUITY       694873100    5058    229,925 SH          SOLE       1      229,925           -       -
PACKAGING CORP OF AMERICA       EQUITY       695156109    5109    201,865 SH          SOLE       1      201,865           -       -
PACKETEER INC                   EQUITY       695210104     234     29,935 SH          SOLE       1       29,935           -       -





                                                                                           
PACTIV CORP                     EQUITY       695257105       5        168 SH          SOLE       2          168           -       -
PACTIV CORP                     EQUITY       695257105       8        250 SH         DEFINED     4            -           -     250
PACTIV CORP                     EQUITY       695257105    6160    193,163 SH          SOLE       1      193,163           -       -
PAETEC HOLDING CORP             EQUITY       695459107     660     58,475 SH          SOLE       1       58,475           -       -
PAIN THERAPEUTICS INC           EQUITY       69562K100     261     29,943 SH          SOLE       1       29,943           -       -
PALL CORP                       EQUITY       696429307       7        158 SH          SOLE       2          158           -       -
PALL CORP                       EQUITY       696429307    2554     55,527 SH          SOLE       1       55,527           -       -
PALM HARBOR HOMES INC           EQUITY       696639103     115      8,137 SH          SOLE       1        8,137           -       -
PALM INC                        EQUITY       696643105    5414    337,976 SH          SOLE       1      337,976           -       -
PALOMAR MEDICAL TECHNOLOGIES I  EQUITY       697529303     530     15,255 SH          SOLE       1       15,255           -       -
PAM TRANSPORTATION SERVICES     EQUITY       693149106      33      1,800 SH          SOLE       1        1,800           -       -
PAN AMERICAN SILVER CORP        EQUITY       697900108    2671    101,457 SH          OTHER      1            -     101,457       -
PANERA BREAD CO                 EQUITY       69840W108      28        603 SH          SOLE       1          603           -       -
PANTRY INC/THE                  EQUITY       698657103     878     19,043 SH          SOLE       1       19,043           -       -
PAPA JOHN'S INTERNATIONAL INC   EQUITY       698813102     515     17,900 SH          SOLE       1       17,900           -       -
PAR PHARMACEUTICAL COS INC      EQUITY       69888P106    3255    115,298 SH          SOLE       1      115,298           -       -
PARALLEL PETROLEUM CORP         EQUITY       699157103     687     31,369 SH          SOLE       1       31,369           -       -
PARAMETRIC TECHNOLOGY CORP      EQUITY       699173209      62      2,889 SH         DEFINED     4            -           -   2,889
PARAMETRIC TECHNOLOGY CORP      EQUITY       699173209    8110    375,272 SH          SOLE       1      375,272           -       -
PAREXEL INTERNATIONAL CORP      EQUITY       699462107    1041     24,755 SH          SOLE       1       24,755           -       -
PARK ELECTROCHEMICAL CORP       EQUITY       700416209     474     16,807 SH          SOLE       1       16,807           -       -
PARK NATIONAL CORP              EQUITY       700658107     854     10,075 SH          SOLE       1       10,075           -       -
PARK NATIONAL CORP              EQUITY       700658107       4         52 SH         DEFINED     4            -           -      52
PARKER DRILLING CO              EQUITY       701081101     979     92,882 SH          SOLE       1       92,882           -       -
PARKER HANNIFIN CORP            EQUITY       701094104      15        149 SH          SOLE       2          149           -       -
PARKER HANNIFIN CORP            EQUITY       701094104    7850     80,172 SH          SOLE       1       80,172           -       -
PARK-OHIO HOLDINGS CORP         EQUITY       700666100     182      6,670 SH          SOLE       1        6,670           -       -
PARKWAY PROPERTIES INC/MD       EQUITY       70159Q104     635     13,220 SH          SOLE       1       13,220           -       -
PARTNERS TRUST FINANCIAL GROUP  EQUITY       70213F102     382     36,374 SH          SOLE       1       36,374           -       -
PATHMARK STORES INC             EQUITY       70322A101     346     26,702 SH          SOLE       1       26,702           -       -
PATRIOT CAPITAL FUNDING INC     EQUITY       70335Y104     102      6,842 SH         DEFINED     4            -           -   6,842
PATRIOT CAPITAL FUNDING INC     EQUITY       70335Y104     226     15,188 SH          SOLE       1       15,188           -       -
PATRIOT TRANSPORTATION HOLDING  EQUITY       70337B102     116      1,342 SH          SOLE       1        1,342           -       -
PATTERSON COS INC               EQUITY       703395103    2577     69,143 SH          SOLE       1       69,143           -       -
PATTERSON COS INC               EQUITY       703395103       7        179 SH          SOLE       2          179           -       -
PATTERSON-UTI ENERGY INC        EQUITY       703481101   10359    395,235 SH          SOLE       1      395,235           -       -
PAYCHEX INC                     EQUITY       704326107     129      3,286 SH         DEFINED     4            -           -   3,286
PAYCHEX INC                     EQUITY       704326107    3202     81,838 SH          SOLE       2       81,838           -       -
PAYCHEX INC                     EQUITY       704326107    6592    168,512 SH          SOLE       1      168,512           -       -
PAYLESS SHOESOURCE INC          EQUITY       704379106    6784    215,019 SH          SOLE       1      215,019           -       -
PC CONNECTION INC               EQUITY       69318J100     102      7,738 SH          SOLE       1        7,738           -       -
PDF SOLUTIONS INC               EQUITY       693282105     224     18,900 SH          SOLE       1       18,900           -       -
PDL BIOPHARMA INC               EQUITY       69329Y104    7705    330,677 SH          SOLE       1      330,677           -       -
PDL BIOPHARMA INC               EQUITY       69329Y104    4707    202,000 SH          SOLE       3      202,000           -       -
PEABODY ENERGY CORP             EQUITY       704549104      31        646 SH         DEFINED     4            -           -     646
PEABODY ENERGY CORP             EQUITY       704549104    5537    114,441 SH          SOLE       2      114,441           -       -
PEABODY ENERGY CORP             EQUITY       704549104    6866    141,910 SH          SOLE       1      141,910           -       -
PEDIATRIX MEDICAL GROUP INC     EQUITY       705324101      57      1,030 SH          SOLE       1        1,030           -       -
PEDIATRIX MEDICAL GROUP INC     EQUITY       705324101     769     13,950 SH          SOLE       2       13,950           -       -
PEET'S COFFEE & TEA INC         EQUITY       705560100     280     11,364 SH          SOLE       1       11,364           -       -
PEGASYSTEMS INC                 EQUITY       705573103     123     11,258 SH          SOLE       1       11,258           -       -
PENGROWTH ENERGY TRUST          EQUITY       706902509      67      3,525 SH         DEFINED     4            -           -   3,525
PENN NATIONAL GAMING INC        EQUITY       707569109      19        320 SH          SOLE       1          320           -       -
PENN TREATY AMERICAN CORP       EQUITY       707874400       2        300 SH         DEFINED     4            -           -     300
PENN VIRGINIA CORP              EQUITY       707882106    1285     31,972 SH          SOLE       1       31,972           -       -
PENN WEST ENERGY TRUST          EQUITY       707885109      60      1,788 SH         DEFINED     4            -           -   1,788





                                                                                           
PENN WEST ENERGY TRUST          EQUITY       707885109     167      4,997 SH          OTHER      1            -       4,997       -
PENNANTPARK INVESTMENT CORP     EQUITY       708062104     234     16,635 SH          SOLE       1       16,635           -       -
PENNSYLVANIA REAL ESTATE INVES  EQUITY       709102107    4677    105,500 SH          SOLE       2      105,500           -       -
PENSKE AUTO GROUP INC           EQUITY       909440109      45      2,109 SH          SOLE       1        2,109           -       -
PENSON WORLDWIDE INC            EQUITY       709600100     297     12,098 SH          SOLE       1       12,098           -       -
PENTAIR INC                     EQUITY       709631105    9517    246,759 SH          SOLE       1      246,759           -       -
PENWEST PHARMACEUTICALS CO      EQUITY       709754105     242     19,378 SH          SOLE       1       19,378           -       -
PEOPLES BANCORP INC/OH          EQUITY       709789101     237      8,753 SH          SOLE       1        8,753           -       -
PEOPLE'S UNITED FINANCIAL INC   EQUITY       712704105      71      4,023 SH         DEFINED     4            -           -   4,023
PEOPLE'S UNITED FINANCIAL INC   EQUITY       712704105     101      5,701 SH          SOLE       1        5,701           -       -
PEOPLESUPPORT INC               EQUITY       712714302     222     19,602 SH          SOLE       1       19,602           -       -
PEP BOYS-MANNY MOE & JACK       EQUITY       713278109     707     35,047 SH          SOLE       1       35,047           -       -
PEPCO HOLDINGS INC              EQUITY       713291102   20234    717,513 SH          SOLE       1      717,513           -       -
PEPSI BOTTLING GROUP INC        EQUITY       713409100       6        169 SH          SOLE       2          169           -       -
PEPSI BOTTLING GROUP INC        EQUITY       713409100       6        175 SH         DEFINED     4            -           -     175
PEPSI BOTTLING GROUP INC        EQUITY       713409100   38182  1,133,660 SH          SOLE       1    1,133,660           -       -
PEPSIAMERICAS INC               EQUITY       71343P200      10        400 SH         DEFINED     4            -           -     400
PEPSIAMERICAS INC               EQUITY       71343P200    3660    149,022 SH          SOLE       1      149,022           -       -
PEPSICO INC                     EQUITY       713448108   18830    290,370 SH          SOLE       2      290,370           -       -
PEPSICO INC                     EQUITY       713448108     153      2,360 SH         DEFINED     4            -           -   2,360
PEPSICO INC                     EQUITY       713448108  115019  1,773,566 SH          SOLE       1    1,773,566           -       -
PERFICIENT INC                  EQUITY       71375U101    1341     64,800 SH          SOLE       3       64,800           -       -
PERFICIENT INC                  EQUITY       71375U101     505     24,378 SH          SOLE       1       24,378           -       -
PERFORMANCE FOOD GROUP CO       EQUITY       713755106    1810     55,696 SH          SOLE       1       55,696           -       -
PERICOM SEMICONDUCTOR CORP      EQUITY       713831105    1465    131,247 SH          SOLE       1      131,247           -       -
PERINI CORP                     EQUITY       713839108    1366     22,208 SH          SOLE       1       22,208           -       -
PERKINELMER INC                 EQUITY       714046109       4        154 SH          SOLE       2          154           -       -
PERKINELMER INC                 EQUITY       714046109    1453     55,752 SH          SOLE       1       55,752           -       -
PERMA-FIX ENVIRONMENTAL SERVIC  EQUITY       714157104      31     10,000 SH         DEFINED     4            -           -  10,000
PERMIAN BASIN ROYALTY TRUST     EQUITY       714236106       8        600 SH         DEFINED     4            -           -     600
PEROT SYSTEMS CORP              EQUITY       714265105    1238     72,642 SH          SOLE       1       72,642           -       -
PERRIGO CO                      EQUITY       714290103    4872    248,847 SH          SOLE       1      248,847           -       -
PERRY ELLIS INTERNATIONAL INC   EQUITY       288853104     307      9,552 SH          SOLE       1        9,552           -       -
PERU COPPER INC                 EQUITY       715455101      11      1,800 SH         DEFINED     4            -           -   1,800
PETMED EXPRESS INC              EQUITY       716382106     228     17,779 SH          SOLE       1       17,779           -       -
PETRO-CANADA                    EQUITY       71644E102     569     10,669 SH          OTHER      1            -      10,669       -
PETROCHINA CO LTD               EQUITY       71646E100   14065     94,600 SH          SOLE       1       94,600           -       -
PETROHAWK ENERGY CORP           EQUITY       716495106    2238    141,110 SH          SOLE       1      141,110           -       -
PETROLEO BRASILEIRO SA          EQUITY       71654V101   14761    138,369 SH          SOLE       1      138,369           -       -
PETROLEO BRASILEIRO SA          EQUITY       71654V408   64665    533,231 SH          SOLE       1      533,231           -       -
PETROLEUM DEVELOPMENT CORP      EQUITY       716578109     588     12,388 SH          SOLE       1       12,388           -       -
PETROQUEST ENERGY INC           EQUITY       716748108     502     34,553 SH          SOLE       1       34,553           -       -
PETSMART INC                    EQUITY       716768106      29        884 SH         DEFINED     4            -           -     884
PETSMART INC                    EQUITY       716768106   11055    340,671 SH          SOLE       1      340,671           -       -
PF CHANG'S CHINA BISTRO INC     EQUITY       69333Y108     755     21,457 SH          SOLE       1       21,457           -       -
PFF BANCORP INC                 EQUITY       69331W104     558     19,982 SH          SOLE       1       19,982           -       -
PFIZER INC                      EQUITY       717081103  172671  6,752,857 SH          SOLE       1    6,752,857           -       -
PFIZER INC                      EQUITY       717081103   18797    735,124 SH          SOLE       2      735,124           -       -
PFIZER INC                      EQUITY       717081103     455     17,813 SH         DEFINED     4            -           -  17,813
PG&E CORP                       EQUITY       69331C108    1112     24,545 SH          SOLE       2       24,545           -       -
PG&E CORP                       EQUITY       69331C108   16222    358,105 SH          SOLE       1      358,105           -       -
PGT INC                         EQUITY       69336V101      95      8,670 SH          SOLE       1        8,670           -       -
PHARMACEUTICAL PRODUCT DEVELOP  EQUITY       717124101    4558    119,100 SH          SOLE       2      119,100           -       -
PHARMACEUTICAL PRODUCT DEVELOP  EQUITY       717124101    9694    253,299 SH          SOLE       1      253,299           -       -
PHARMANET DEVELOPMENT GROUP IN  EQUITY       717148100    1260     39,528 SH          SOLE       1       39,528           -       -
PHARMION CORP                   EQUITY       71715B409     630     21,751 SH          SOLE       1       21,751           -       -





                                                                                           
PHASE FORWARD INC               EQUITY       71721R406    4125    245,100 SH          SOLE       3      245,100           -       -
PHASE FORWARD INC               EQUITY       71721R406    1687    100,218 SH          SOLE       1      100,218           -       -
PHH CORP                        EQUITY       693320202    6371    204,122 SH          SOLE       1      204,122           -       -
PHI INC                         EQUITY       69336T205     337     11,326 SH          SOLE       1       11,326           -       -
PHILADELPHIA CONSOLIDATED HOLD  EQUITY       717528103      19        452 SH         DEFINED     4            -           -     452
PHILADELPHIA CONSOLIDATED HOLD  EQUITY       717528103     120      2,860 SH          SOLE       1        2,860           -       -
PHILLIPS-VAN HEUSEN             EQUITY       718592108    1199     19,800 SH          SOLE       2       19,800           -       -
PHILLIPS-VAN HEUSEN             EQUITY       718592108    8261    136,389 SH          SOLE       1      136,389           -       -
PHOENIX COS INC/THE             EQUITY       71902E109    1425     94,939 SH          SOLE       1       94,939           -       -
PHOTRONICS INC                  EQUITY       719405102     517     34,775 SH          SOLE       1       34,775           -       -
PHYSICIANS FORMULA HOLDINGS IN  EQUITY       719427106    4596    292,300 SH          SOLE       2      292,300           -       -
PICO HOLDINGS INC               EQUITY       693366205     549     12,683 SH          SOLE       1       12,683           -       -
PIEDMONT NATURAL GAS CO         EQUITY       720186105    1530     62,073 SH          SOLE       1       62,073           -       -
PIER 1 IMPORTS INC              EQUITY       720279108     624     73,473 SH          SOLE       1       73,473           -       -
PIKE ELECTRIC CORP              EQUITY       721283109     331     14,783 SH          SOLE       1       14,783           -       -
PILGRIM'S PRIDE CORP            EQUITY       721467108    1283     33,615 SH          SOLE       1       33,615           -       -
PIMCO CORPORATE INCOME FUND     EQUITY       72200U100       9        600 SH         DEFINED     4            -           -     600
PIMCO CORPORATE OPPORTUNITY FU  EQUITY       72201B101      57      3,795 SH         DEFINED     4            -           -   3,795
PIMCO FLOATING RATE INCOME FUN  EQUITY       72201H108      48      2,330 SH         DEFINED     4            -           -   2,330
PIMCO HIGH INCOME FUND          EQUITY       722014107      90      5,835 SH         DEFINED     4            -           -   5,835
PIMCO STRATEGIC GLOBAL GOVERNM  EQUITY       72200X104      43      4,200 SH         DEFINED     4            -           -   4,200
PINNACLE AIRLINES CORP          EQUITY       723443107     307     16,371 SH          SOLE       1       16,371           -       -
PINNACLE ENTERTAINMENT INC      EQUITY       723456109    1398     49,664 SH          SOLE       1       49,664           -       -
PINNACLE FINANCIAL PARTNERS IN  EQUITY       72346Q104     380     12,927 SH          SOLE       1       12,927           -       -
PINNACLE WEST CAPITAL CORP      EQUITY       723484101       5        129 SH          SOLE       2          129           -       -
PINNACLE WEST CAPITAL CORP      EQUITY       723484101      18        444 SH         DEFINED     4            -           -     444
PINNACLE WEST CAPITAL CORP      EQUITY       723484101   14674    368,225 SH          SOLE       1      368,225           -       -
PIONEER COS INC                 EQUITY       723643300     339      9,853 SH          SOLE       1        9,853           -       -
PIONEER DRILLING CO             EQUITY       723655106       1        100 SH         DEFINED     4            -           -     100
PIONEER DRILLING CO             EQUITY       723655106     616     41,295 SH          SOLE       1       41,295           -       -
PIONEER HIGH INCOME TRUST       EQUITY       72369H106       7        400 SH         DEFINED     4            -           -     400
PIONEER NATURAL RESOURCES CO    EQUITY       723787107   21398    439,288 SH          SOLE       1      439,288           -       -
PIPER JAFFRAY COS               EQUITY       724078100    1477     26,509 SH          SOLE       1       26,509           -       -
PITNEY BOWES INC                EQUITY       724479100      13        283 SH          SOLE       2          283           -       -
PITNEY BOWES INC                EQUITY       724479100      23        492 SH         DEFINED     4            -           -     492
PITNEY BOWES INC                EQUITY       724479100   29214    623,963 SH          SOLE       1      623,963           -       -
PLAINS ALL AMERICAN PIPELINE L  EQUITY       726503105     153      2,400 SH         DEFINED     4            -           -   2,400
PLAINS ALL AMERICAN PIPELINE L  EQUITY       726503105    2546     40,000 SH          SOLE       1       40,000           -       -
PLAINS EXPLORATION & PRODUCTIO  EQUITY       726505100       5        100 SH         DEFINED     4            -           -     100
PLAINS EXPLORATION & PRODUCTIO  EQUITY       726505100    8624    180,391 SH          SOLE       1      180,391           -       -
PLANTRONICS INC                 EQUITY       727493108    4106    156,597 SH          SOLE       1      156,597           -       -
PLAYBOY ENTERPRISES INC         EQUITY       728117300     208     18,339 SH          SOLE       1       18,339           -       -
PLAYTEX PRODUCTS INC            EQUITY       72813P100     694     46,891 SH          SOLE       1       46,891           -       -
PLEXUS CORP                     EQUITY       729132100     886     38,552 SH          SOLE       1       38,552           -       -
PLUM CREEK TIMBER CO INC        EQUITY       729251108      47      1,139 SH         DEFINED     4            -           -   1,139
PLUM CREEK TIMBER CO INC        EQUITY       729251108       9        228 SH          SOLE       2          228           -       -
PLUM CREEK TIMBER CO INC        EQUITY       729251108    3454     82,920 SH          SOLE       1       82,920           -       -
PLX TECHNOLOGY INC              EQUITY       693417107     266     23,855 SH          SOLE       1       23,855           -       -
PMA CAPITAL CORP                EQUITY       693419202     290     27,151 SH          SOLE       1       27,151           -       -
PMC - SIERRA INC                EQUITY       69344F106       2        275 SH          SOLE       2          275           -       -
PMC - SIERRA INC                EQUITY       69344F106    1274    164,874 SH          SOLE       1      164,874           -       -
PMI GROUP INC/THE               EQUITY       69344M101    9641    215,827 SH          SOLE       1      215,827           -       -
PNC FINANCIAL SERVICES GROUP I  EQUITY       693475105     145      2,030 SH         DEFINED     4            -           -   2,030
PNC FINANCIAL SERVICES GROUP I  EQUITY       693475105     495      6,914 SH          SOLE       2        6,914           -       -
PNC FINANCIAL SERVICES GROUP I  EQUITY       693475105   32913    459,805 SH          SOLE       1      459,805           -       -
PNM RESOURCES INC               EQUITY       69349H107    6962    250,510 SH          SOLE       1      250,510           -       -





                                                                                           
POGO PRODUCING CO               EQUITY       730448107    7197    141,693 SH          SOLE       1      141,693           -       -
POLARIS INDUSTRIES INC          EQUITY       731068102    1747     32,258 SH          SOLE       1       32,258           -       -
POLO RALPH LAUREN CORP          EQUITY       731572103     577      5,879 SH          SOLE       2        5,879           -       -
POLO RALPH LAUREN CORP          EQUITY       731572103    2752     28,050 SH          SOLE       1       28,050           -       -
POLYCOM INC                     EQUITY       73172K104    2362     70,300 SH          SOLE       2       70,300           -       -
POLYCOM INC                     EQUITY       73172K104   10066    299,592 SH          SOLE       1      299,592           -       -
POLYMEDICA CORP                 EQUITY       731738100     773     18,935 SH          SOLE       1       18,935           -       -
POLYONE CORP                    EQUITY       73179P106     556     77,374 SH          SOLE       1       77,374           -       -
PONIARD PHARMACEUTICALS INC     EQUITY       732449301     132     19,349 SH          SOLE       1       19,349           -       -
POOL CORP                       EQUITY       73278L105      41      1,047 SH          SOLE       1        1,047           -       -
POPE & TALBOT INC               EQUITY       732827100      63     15,800 SH          SOLE       1       15,800           -       -
POPULAR INC                     EQUITY       733174106     169     10,523 SH          SOLE       1       10,523           -       -
PORTFOLIO RECOVERY ASSOCIATES   EQUITY       73640Q105     799     13,310 SH          SOLE       1       13,310           -       -
PORTLAND GENERAL ELECTRIC CO    EQUITY       736508847     696     25,380 SH          SOLE       1       25,380           -       -
POTASH CORP OF SASKATCHEWAN     EQUITY       73755L107    1290     16,602 SH         DEFINED     4            -           -  16,602
POTASH CORP OF SASKATCHEWAN     EQUITY       73755L107    3368     43,200 SH          SOLE       3       43,200           -       -
POTASH CORP OF SASKATCHEWAN     EQUITY       73755L107     519      6,621 SH          OTHER      1            -       6,621       -
POTLATCH CORP                   EQUITY       737630103    9936    230,809 SH          SOLE       1      230,809           -       -
POWELL INDUSTRIES INC           EQUITY       739128106     213      6,704 SH          SOLE       1        6,704           -       -
POWER-ONE INC                   EQUITY       739308104     232     58,417 SH          SOLE       1       58,417           -       -
POWERSHARES AEROSPACE & DEFENS  EQUITY       73935X690      49      2,270 SH         DEFINED     4            -           -   2,270
POWERSHARES DB COMMODITY INDEX  EQUITY       73935S105       3        128 SH         DEFINED     4            -           -     128
POWERSHARES DB G10 CURRENCY HA  EQUITY       73935Y102      30      1,050 SH         DEFINED     4            -           -   1,050
POWERSHARES DYNAMIC BIOTECHNOL  EQUITY       73935X856     329     17,950 SH         DEFINED     4            -           -  17,950
POWERSHARES DYNAMIC ENERGY & E  EQUITY       73935X658     102      4,450 SH         DEFINED     4            -           -   4,450
POWERSHARES DYNAMIC FOOD & BEV  EQUITY       73935X849     799     45,700 SH         DEFINED     4            -           -  45,700
POWERSHARES DYNAMIC MEDIA PORT  EQUITY       73935X823     817     47,670 SH         DEFINED     4            -           -  47,670
POWERSHARES DYNAMIC OIL & GAS   EQUITY       73935X625     907     35,275 SH         DEFINED     4            -           -  35,275
POWERSHARES DYNAMIC RETAIL POR  EQUITY       73935X617      49      2,495 SH         DEFINED     4            -           -   2,495
POWERSHARES DYNAMIC TELECOMMUN  EQUITY       73935X765     347     16,605 SH         DEFINED     4            -           -  16,605
POWERSHARES INTERNATIONAL DIVI  EQUITY       73935X716      19        900 SH         DEFINED     4            -           -     900
POWERSHARES QQQ                 EQUITY       73935A104     162      3,395 SH         DEFINED     4            -           -   3,395
POWERSHARES QQQ                 EQUITY       73935A104   10548    221,600 SH          SOLE       1      221,600           -       -
POWERSHARES VALUE LINE TIMELIN  EQUITY       73935X682      11        630 SH         DEFINED     4            -           -     630
POWERSHARES WATER RESOURCES PO  EQUITY       73935X575     169      8,077 SH         DEFINED     4            -           -   8,077
POWERSHARES WILDERHILL CLEAN E  EQUITY       73935X500    1816     87,215 SH         DEFINED     4            -           -  87,215
POWERSHARES WILDERHILL PROGRES  EQUITY       73935X161     109      3,575 SH         DEFINED     4            -           -   3,575
POWERWAVE TECHNOLOGIES INC      EQUITY       739363109    2852    425,708 SH          SOLE       1      425,708           -       -
POZEN INC                       EQUITY       73941U102     407     22,498 SH          SOLE       1       22,498           -       -
PPG INDUSTRIES INC              EQUITY       693506107    6508     85,511 SH          SOLE       2       85,511           -       -
PPG INDUSTRIES INC              EQUITY       693506107    6579     86,440 SH          SOLE       1       86,440           -       -
PPL CORP                        EQUITY       69351T106     440      9,407 SH         DEFINED     4            -           -   9,407
PPL CORP                        EQUITY       69351T106      23        496 SH          SOLE       2          496           -       -
PPL CORP                        EQUITY       69351T106    8084    172,765 SH          SOLE       1      172,765           -       -
PRA INTERNATIONAL               EQUITY       69353C101     418     16,519 SH          SOLE       1       16,519           -       -
PRAXAIR INC                     EQUITY       74005P104      22        300 SH         DEFINED     4            -           -     300
PRAXAIR INC                     EQUITY       74005P104    1019     14,149 SH          SOLE       2       14,149           -       -
PRAXAIR INC                     EQUITY       74005P104   19532    271,311 SH          SOLE       1      271,311           -       -
PRECISION CASTPARTS CORP        EQUITY       740189105      75        619 SH         DEFINED     4            -           -     619
PRECISION CASTPARTS CORP        EQUITY       740189105     616      5,077 SH          SOLE       2        5,077           -       -
PRECISION CASTPARTS CORP        EQUITY       740189105    7484     61,670 SH          SOLE       1       61,670           -       -
PRECISION DRILLING TRUST        EQUITY       740215108      43      1,755 SH         DEFINED     4            -           -   1,755
PRECISION DRILLING TRUST        EQUITY       740215108      40      1,655 SH          OTHER      1            -       1,655       -
PREFERRED BANK/LOS ANGELES CA   EQUITY       740367107     307      7,674 SH          SOLE       1        7,674           -       -
PREFORMED LINE PRODUCTS CO      EQUITY       740444104      99      2,062 SH          SOLE       1        2,062           -       -
PREMIER EXHIBITIONS INC         EQUITY       74051E102     383     24,328 SH          SOLE       1       24,328           -       -





                                                                                           
PREMIERE GLOBAL SERVICES INC    EQUITY       740585104     767     58,896 SH          SOLE       1       58,896           -       -
PREMIERWEST BANCORP             EQUITY       740921101       8        627 SH          SOLE       1          627           -       -
PRE-PAID LEGAL SERVICES INC     EQUITY       740065107    1369     21,291 SH          SOLE       1       21,291           -       -
PRESIDENTIAL LIFE CORP          EQUITY       740884101     353     17,972 SH          SOLE       1       17,972           -       -
PRESTIGE BRANDS HOLDINGS INC    EQUITY       74112D101     366     28,199 SH          SOLE       1       28,199           -       -
PRICELINE.COM INC               EQUITY       741503403      34        490 SH         DEFINED     4            -           -     490
PRICELINE.COM INC               EQUITY       741503403     653      9,500 SH          SOLE       2        9,500           -       -
PRICELINE.COM INC               EQUITY       741503403    2167     31,527 SH          SOLE       1       31,527           -       -
PRICESMART INC                  EQUITY       741511109     275     11,139 SH          SOLE       1       11,139           -       -
PRIDE INTERNATIONAL INC         EQUITY       74153Q102   15503    413,849 SH          SOLE       1      413,849           -       -
PRIMEDIA INC                    EQUITY       74157K101     627    220,107 SH          SOLE       1      220,107           -       -
PRIMEWEST ENERGY TRUST          EQUITY       741930309      44      2,111 SH         DEFINED     4            -           -   2,111
PRIMEWEST ENERGY TRUST          EQUITY       741930309      35      1,657 SH          OTHER      1            -       1,657       -
PRINCIPAL FINANCIAL GROUP INC   EQUITY       74251V102      20        345 SH          SOLE       2          345           -       -
PRINCIPAL FINANCIAL GROUP INC   EQUITY       74251V102      64      1,100 SH         DEFINED     4            -           -   1,100
PRINCIPAL FINANCIAL GROUP INC   EQUITY       74251V102   29794    511,136 SH          SOLE       1      511,136           -       -
PRIVATEBANCORP INC              EQUITY       742962103     452     15,700 SH          SOLE       1       15,700           -       -
PROASSURANCE CORP               EQUITY       74267C106    1544     27,738 SH          SOLE       1       27,738           -       -
PROCTER & GAMBLE CO             EQUITY       742718109   27458    448,740 SH          SOLE       2      448,740           -       -
PROCTER & GAMBLE CO             EQUITY       742718109  133581  2,183,054 SH          SOLE       1    2,183,054           -       -
PROCTER & GAMBLE CO             EQUITY       742718109     605      9,884 SH         DEFINED     4            -           -   9,884
PROGENICS PHARMACEUTICALS INC   EQUITY       743187106     417     19,311 SH          SOLE       1       19,311           -       -
PROGRESS ENERGY INC             EQUITY       743263105     650     14,261 SH          SOLE       2       14,261           -       -
PROGRESS ENERGY INC             EQUITY       743263105   24123    529,120 SH          SOLE       1      529,120           -       -
PROGRESS SOFTWARE CORP          EQUITY       743312100     582     18,300 SH          SOLE       2       18,300           -       -
PROGRESS SOFTWARE CORP          EQUITY       743312100    1085     34,134 SH          SOLE       1       34,134           -       -
PROGRESSIVE CORP/THE            EQUITY       743315103      23        948 SH          SOLE       2          948           -       -
PROGRESSIVE CORP/THE            EQUITY       743315103   29098  1,215,973 SH          SOLE       1    1,215,973           -       -
PROGRESSIVE CORP/THE            EQUITY       743315103      54      2,256 SH         DEFINED     4            -           -   2,256
PROLOGIS                        EQUITY       743410102       7        125 SH         DEFINED     4            -           -     125
PROLOGIS                        EQUITY       743410102      19        331 SH          SOLE       2          331           -       -
PROLOGIS                        EQUITY       743410102   16447    289,053 SH          SOLE       1      289,053           -       -
PROSPECT CAPITAL CORP           EQUITY       74348T102      96      5,478 SH         DEFINED     4            -           -   5,478
PROSPECT CAPITAL CORP           EQUITY       74348T102     289     16,541 SH          SOLE       1       16,541           -       -
PROSPERITY BANCSHARES INC       EQUITY       743606105     968     29,558 SH          SOLE       1       29,558           -       -
PROTALIX BIOTHERAPEUTICS INC    EQUITY       74365A101     722     26,769 SH          SOLE       1       26,769           -       -
PROTECTION ONE INC              EQUITY       743663403      81      5,433 SH          SOLE       1        5,433           -       -
PROTECTIVE LIFE CORP            EQUITY       743674103       5        100 SH         DEFINED     4            -           -     100
PROTECTIVE LIFE CORP            EQUITY       743674103    8268    172,940 SH          SOLE       1      172,940           -       -
PROVIDENCE SERVICE CORP/THE     EQUITY       743815102     257      9,632 SH          SOLE       1        9,632           -       -
PROVIDENT BANKSHARES CORP       EQUITY       743859100     879     26,827 SH          SOLE       1       26,827           -       -
PROVIDENT ENERGY TRUST          EQUITY       74386K104    1309    110,121 SH         DEFINED     4            -           - 110,121
PROVIDENT ENERGY TRUST          EQUITY       74386K104      50      4,194 SH          OTHER      1            -       4,194       -
PROVIDENT FINANCIAL SERVICES I  EQUITY       74386T105     865     54,878 SH          SOLE       1       54,878           -       -
PROVIDENT NEW YORK BANCORP      EQUITY       744028101     477     35,273 SH          SOLE       1       35,273           -       -
PRUDENTIAL FINANCIAL INC        EQUITY       744320102      59        602 SH          SOLE       2          602           -       -
PRUDENTIAL FINANCIAL INC        EQUITY       744320102     109      1,122 SH         DEFINED     4            -           -   1,122
PRUDENTIAL FINANCIAL INC        EQUITY       744320102   19666    202,262 SH          SOLE       1      202,262           -       -
PRUDENTIAL PLC                  FIXED INCOME G7293H114      15        600 PRN        DEFINED     4            -           -     600
PRUDENTIAL PLC                  EQUITY       74435K204      28        985 SH         DEFINED     4            -           -     985
PS BUSINESS PARKS INC           EQUITY       69360J107    2262     35,700 SH          SOLE       1       35,700           -       -
PSS WORLD MEDICAL INC           EQUITY       69366A100    1019     55,913 SH          SOLE       1       55,913           -       -
PSYCHIATRIC SOLUTIONS INC       EQUITY       74439H108    6432    177,375 SH          SOLE       1      177,375           -       -
PSYCHIATRIC SOLUTIONS INC       EQUITY       74439H108   24030    662,700 SH          SOLE       2      662,700           -       -
PUBLIC SERVICE ENTERPRISE GROU  EQUITY       744573106      22        245 SH         DEFINED     4            -           -     245
PUBLIC SERVICE ENTERPRISE GROU  EQUITY       744573106      29        326 SH          SOLE       2          326           -       -





                                                                                           
PUBLIC SERVICE ENTERPRISE GROU  EQUITY       744573106   23008    262,110 SH          SOLE       1      262,110           -       -
PUBLIC STORAGE                  EQUITY       74460D729       3        104 SH         DEFINED     4            -           -     104
PUBLIC STORAGE                  EQUITY       74460D109      37        488 SH         DEFINED     4            -           -     488
PUBLIC STORAGE                  EQUITY       74460D109    4967     64,658 SH          SOLE       2       64,658           -       -
PUBLIC STORAGE                  EQUITY       74460D109    7489     97,485 SH          SOLE       1       97,485           -       -
PUGET ENERGY INC                EQUITY       745310102    6978    288,602 SH          SOLE       1      288,602           -       -
PULTE HOMES INC                 EQUITY       745867101       6        274 SH          SOLE       2          274           -       -
PULTE HOMES INC                 EQUITY       745867101    2303    102,600 SH          SOLE       1      102,600           -       -
PUTNAM HIGH INCOME SECURITIES   EQUITY       746779107      36      4,000 SH         DEFINED     4            -           -   4,000
PUTNAM PREMIER INCOME TRUST     EQUITY       746853100      20      3,100 SH         DEFINED     4            -           -   3,100
QAD INC                         EQUITY       74727D108     100     12,022 SH          SOLE       1       12,022           -       -
QC HOLDINGS INC                 EQUITY       74729T101      99      6,591 SH          SOLE       1        6,591           -       -
QLOGIC CORP                     EQUITY       747277101    1199     72,018 SH          SOLE       1       72,018           -       -
QLOGIC CORP                     EQUITY       747277101    9013    541,305 SH          SOLE       2      541,305           -       -
QUADRA REALTY TRUST INC         EQUITY       746945104     174     13,869 SH          SOLE       1       13,869           -       -
QUALCOMM INC                    EQUITY       747525103     128      2,950 SH         DEFINED     4            -           -   2,950
QUALCOMM INC                    EQUITY       747525103   12677    292,173 SH          SOLE       2      292,173           -       -
QUALCOMM INC                    EQUITY       747525103   56333  1,298,302 SH          SOLE       1    1,298,302           -       -
QUALITY SYSTEMS INC             EQUITY       747582104     538     14,163 SH          SOLE       1       14,163           -       -
QUANEX CORP                     EQUITY       747620102    1503     30,869 SH          SOLE       1       30,869           -       -
QUANTA SERVICES INC             EQUITY       74762E102     385     12,538 SH         DEFINED     4            -           -  12,538
QUANTA SERVICES INC             EQUITY       74762E102    9163    298,762 SH          SOLE       1      298,762           -       -
QUANTUM CORP                    EQUITY       747906204     517    163,087 SH          SOLE       1      163,087           -       -
QUEBECOR WORLD INC              EQUITY       748203106      29      2,392 SH          OTHER      1            -       2,392       -
QUEST DIAGNOSTICS INC           EQUITY       74834L100    5846    113,178 SH          SOLE       2      113,178           -       -
QUEST DIAGNOSTICS INC           EQUITY       74834L100    3680     71,251 SH          SOLE       1       71,251           -       -
QUEST SOFTWARE INC              EQUITY       74834T103     919     56,772 SH          SOLE       1       56,772           -       -
QUESTAR CORP                    EQUITY       748356102      72      1,356 SH         DEFINED     4            -           -   1,356
QUESTAR CORP                    EQUITY       748356102      12        222 SH          SOLE       2          222           -       -
QUESTAR CORP                    EQUITY       748356102    4048     76,595 SH          SOLE       1       76,595           -       -
QUICKSILVER RESOURCES INC       EQUITY       74837R104    5908    132,524 SH          SOLE       1      132,524           -       -
QUICKSILVER RESOURCES INC       EQUITY       74837R104    3941     88,400 SH          SOLE       3       88,400           -       -
QUIDEL CORP                     EQUITY       74838J101     419     23,884 SH          SOLE       1       23,884           -       -
QUIKSILVER INC                  EQUITY       74838C106    1462    103,456 SH          SOLE       1      103,456           -       -
QWEST COMMUNICATIONS INTERNATI  EQUITY       749121109      19      2,001 SH          SOLE       2        2,001           -       -
QWEST COMMUNICATIONS INTERNATI  EQUITY       749121109   20689  2,132,863 SH          SOLE       1    2,132,863           -       -
RACKABLE SYSTEMS INC            EQUITY       750077109     294     23,816 SH          SOLE       1       23,816           -       -
RADIAN GROUP INC                EQUITY       750236101   10715    198,423 SH          SOLE       1      198,423           -       -
RADIANT SYSTEMS INC             EQUITY       75025N102       6        480 SH         DEFINED     4            -           -     480
RADIANT SYSTEMS INC             EQUITY       75025N102     289     21,842 SH          SOLE       1       21,842           -       -
RADIATION THERAPY SERVICES INC  EQUITY       750323206     285     10,802 SH          SOLE       1       10,802           -       -
RADIATION THERAPY SERVICES INC  EQUITY       750323206    4504    171,000 SH          SOLE       2      171,000           -       -
RADIO ONE INC                   EQUITY       75040P405     449     63,653 SH          SOLE       1       63,653           -       -
RADIOSHACK CORP                 EQUITY       750438103       6        175 SH          SOLE       2          175           -       -
RADIOSHACK CORP                 EQUITY       750438103    8133    245,404 SH          SOLE       1      245,404           -       -
RADISYS CORP                    EQUITY       750459109     227     18,267 SH          SOLE       1       18,267           -       -
RADYNE CORP                     EQUITY       750611402    4871    456,500 SH          SOLE       2      456,500           -       -
RALCORP HOLDINGS INC            EQUITY       751028101    1256     23,497 SH          SOLE       1       23,497           -       -
RAMBUS INC                      EQUITY       750917106      38      2,124 SH          SOLE       1        2,124           -       -
RANGE RESOURCES CORP            EQUITY       75281A109      19        500 SH         DEFINED     4            -           -     500
RANGE RESOURCES CORP            EQUITY       75281A109     118      3,144 SH          SOLE       1        3,144           -       -
RARE HOSPITALITY INTERNATIONAL  EQUITY       753820109     685     25,589 SH          SOLE       1       25,589           -       -
RASER TECHNOLOGIES INC          EQUITY       754055101     191     25,862 SH          SOLE       1       25,862           -       -
RAVEN INDUSTRIES INC            EQUITY       754212108     476     13,316 SH          SOLE       1       13,316           -       -
RAYMOND JAMES FINANCIAL INC     EQUITY       754730109    7259    234,904 SH          SOLE       1      234,904           -       -
RAYONIER INC                    EQUITY       754907103       3         75 SH         DEFINED     4            -           -      75





                                                                                           
RAYONIER INC                    EQUITY       754907103    8494    188,169 SH          SOLE       1      188,169           -       -
RAYTHEON CO                     EQUITY       755111507     497      9,217 SH         DEFINED     4            -           -   9,217
RAYTHEON CO                     EQUITY       755111507     969     17,990 SH          SOLE       2       17,990           -       -
RAYTHEON CO                     EQUITY       755111507   10341    191,882 SH          SOLE       1      191,882           -       -
RAYTHEON COMPANY                EQUITY       755111119       9        513 SH          SOLE       1          513           -       -
RBC BEARINGS INC                EQUITY       75524B104      16        395 SH         DEFINED     4            -           -     395
RBC BEARINGS INC                EQUITY       75524B104    1620     39,271 SH          SOLE       1       39,271           -       -
RBC BEARINGS INC                EQUITY       75524B104    4542    110,100 SH          SOLE       3      110,100           -       -
RC2 CORP                        EQUITY       749388104     705     17,624 SH          SOLE       1       17,624           -       -
RCN CORP                        EQUITY       749361200     500     26,609 SH          SOLE       1       26,609           -       -
REALNETWORKS INC                EQUITY       75605L104     695     85,009 SH          SOLE       1       85,009           -       -
REALTY INCOME CORP              EQUITY       756109104     113      4,491 SH         DEFINED     4            -           -   4,491
REALTY INCOME CORP              EQUITY       756109104     559     22,201 SH          SOLE       1       22,201           -       -
RED HAT INC                     EQUITY       756577102      75      3,364 SH          SOLE       1        3,364           -       -
RED ROBIN GOURMET BURGERS INC   EQUITY       75689M101     560     13,863 SH          SOLE       1       13,863           -       -
REDDY ICE HOLDINGS INC          EQUITY       75734R105     325     11,382 SH         DEFINED     4            -           -  11,382
REDDY ICE HOLDINGS INC          EQUITY       75734R105    1730     60,647 SH          SOLE       1       60,647           -       -
REDWOOD TRUST INC               EQUITY       758075402     850     17,575 SH          SOLE       1       17,575           -       -
REGAL ENTERTAINMENT GROUP       EQUITY       758766109     162      7,404 SH          SOLE       1        7,404           -       -
REGAL-BELOIT CORP               EQUITY       758750103    1238     26,591 SH          SOLE       1       26,591           -       -
REGENCY CENTERS CORP            EQUITY       758849103   12113    171,817 SH          SOLE       1      171,817           -       -
REGENERATION TECHNOLOGIES INC   EQUITY       75886N100     279     24,776 SH          SOLE       1       24,776           -       -
REGENERON PHARMACEUTICALS INC   EQUITY       75886F107     949     52,962 SH          SOLE       1       52,962           -       -
REGIONS FINANCIAL CORP          EQUITY       7591EP100      30        908 SH          SOLE       2          908           -       -
REGIONS FINANCIAL CORP          EQUITY       7591EP100   13206    398,958 SH          SOLE       1      398,958           -       -
REGIS CORP                      EQUITY       758932107    5537    144,765 SH          SOLE       1      144,765           -       -
REHABCARE GROUP INC             EQUITY       759148109     207     14,537 SH          SOLE       1       14,537           -       -
REINSURANCE GROUP OF AMERICA I  EQUITY       759351109       6        100 SH         DEFINED     4            -           -     100
REINSURANCE GROUP OF AMERICA I  EQUITY       759351109      91      1,507 SH          SOLE       1        1,507           -       -
RELIANCE STEEL & ALUMINUM CO    EQUITY       759509102      30        538 SH         DEFINED     4            -           -     538
RELIANCE STEEL & ALUMINUM CO    EQUITY       759509102    9011    160,173 SH          SOLE       1      160,173           -       -
RELIANT ENERGY INC              EQUITY       75952B105     665     24,669 SH          SOLE       1       24,669           -       -
RENAISSANCE LEARNING INC        EQUITY       75968L105      93      7,083 SH          SOLE       1        7,083           -       -
RENASANT CORP                   EQUITY       75970E107     340     14,944 SH          SOLE       1       14,944           -       -
RENT-A-CENTER INC/TX            EQUITY       76009N100     320     12,200 SH          SOLE       2       12,200           -       -
RENT-A-CENTER INC/TX            EQUITY       76009N100    6026    229,744 SH          SOLE       1      229,744           -       -
RENTECH INC                     EQUITY       760112102     351    135,424 SH          SOLE       1      135,424           -       -
REPUBLIC AIRWAYS HOLDINGS INC   EQUITY       760276105     617     30,296 SH          SOLE       1       30,296           -       -
REPUBLIC BANCORP INC/KY         EQUITY       760281204     131      7,887 SH          SOLE       1        7,887           -       -
REPUBLIC SERVICES INC           EQUITY       760759100       6        187 SH         DEFINED     4            -           -     187
REPUBLIC SERVICES INC           EQUITY       760759100   14491    472,942 SH          SOLE       1      472,942           -       -
RES-CARE INC                    EQUITY       760943100     428     20,269 SH          SOLE       1       20,269           -       -
RESEARCH IN MOTION LTD          EQUITY       760975102     117        585 SH         DEFINED     4            -           -     585
RESEARCH IN MOTION LTD          EQUITY       760975102    2800     14,000 SH          SOLE       2       14,000           -       -
RESEARCH IN MOTION LTD          EQUITY       760975102    5745     28,496 SH          OTHER      1            -      28,496       -
RESMED INC                      EQUITY       761152107    7891    191,254 SH          SOLE       1      191,254           -       -
RESOURCE AMERICA INC            EQUITY       761195205     226     10,988 SH          SOLE       1       10,988           -       -
RESOURCE CAPITAL CORP           EQUITY       76120W302     256     18,322 SH          SOLE       1       18,322           -       -
RESOURCES CONNECTION INC        EQUITY       76122Q105    1353     40,790 SH          SOLE       1       40,790           -       -
RESPIRONICS INC                 EQUITY       761230101       3         59 SH         DEFINED     4            -           -      59
RESPIRONICS INC                 EQUITY       761230101     872     20,464 SH          SOLE       1       20,464           -       -
RETAIL VENTURES INC             EQUITY       76128Y102     371     23,011 SH          SOLE       1       23,011           -       -
REVLON INC                      EQUITY       761525500     224    163,636 SH          SOLE       1      163,636           -       -
REYNOLDS AMERICAN INC           EQUITY       761713106    5485     84,120 SH          SOLE       2       84,120           -       -
REYNOLDS AMERICAN INC           EQUITY       761713106   26508    406,563 SH          SOLE       1      406,563           -       -
RF MICRO DEVICES INC            EQUITY       749941100    3941    631,503 SH          SOLE       1      631,503           -       -





                                                                                           
RF MONOLITHICS INC              EQUITY       74955F106      26      4,973 SH          SOLE       1        4,973           -       -
RH DONNELLEY CORP               EQUITY       74955W307     113      1,492 SH          SOLE       1        1,492           -       -
RIGEL PHARMACEUTICALS INC       EQUITY       766559603     224     25,133 SH          SOLE       1       25,133           -       -
RIGHTNOW TECHNOLOGIES INC       EQUITY       76657R106     247     15,031 SH          SOLE       1       15,031           -       -
RIMAGE CORP                     EQUITY       766721104     265      8,404 SH          SOLE       1        8,404           -       -
RITCHIE BROS AUCTIONEERS INC    EQUITY       767744105      35        552 SH          OTHER      1            -         552       -
RITE AID CORP                   EQUITY       767754104      32      5,010 SH         DEFINED     4            -           -   5,010
RITE AID CORP                   EQUITY       767754104     112     17,515 SH          SOLE       1       17,515           -       -
RIVERBED TECHNOLOGY INC         EQUITY       768573107      18        416 SH          SOLE       1          416           -       -
RIVERBED TECHNOLOGY INC         EQUITY       768573107     570     13,000 SH          SOLE       2       13,000           -       -
RIVIERA HOLDINGS CORP           EQUITY       769627100     308      8,462 SH          SOLE       1        8,462           -       -
RLI CORP                        EQUITY       749607107     981     17,525 SH          SOLE       1       17,525           -       -
ROBBINS & MYERS INC             EQUITY       770196103    2125     40,001 SH          SOLE       1       40,001           -       -
ROBERT HALF INTERNATIONAL INC   EQUITY       770323103    4786    131,114 SH          SOLE       2      131,114           -       -
ROBERT HALF INTERNATIONAL INC   EQUITY       770323103    2729     74,756 SH          SOLE       1       74,756           -       -
ROCK-TENN CO                    EQUITY       772739207     326     10,280 SH         DEFINED     4            -           -  10,280
ROCK-TENN CO                    EQUITY       772739207    1436     45,264 SH          SOLE       1       45,264           -       -
ROCKVILLE FINANCIAL INC         EQUITY       774186100     112      7,395 SH          SOLE       1        7,395           -       -
ROCKWELL AUTOMATION INC/DE      EQUITY       773903109      14        203 SH          SOLE       2          203           -       -
ROCKWELL AUTOMATION INC/DE      EQUITY       773903109    4869     70,114 SH          SOLE       1       70,114           -       -
ROCKWELL COLLINS INC            EQUITY       774341101    1188     16,816 SH          SOLE       2       16,816           -       -
ROCKWELL COLLINS INC            EQUITY       774341101   10077    142,657 SH          SOLE       1      142,657           -       -
ROCKWOOD HOLDINGS INC           EQUITY       774415103    1066     29,166 SH          SOLE       1       29,166           -       -
ROFIN-SINAR TECHNOLOGIES INC    EQUITY       775043102     893     12,935 SH          SOLE       1       12,935           -       -
ROGERS COMMUNICATIONS INC       EQUITY       775109200   11970    280,238 SH          OTHER      1            -     280,238       -
ROGERS CORP                     EQUITY       775133101     544     14,704 SH          SOLE       1       14,704           -       -
ROGERS CORP                     EQUITY       775133101    2553     69,000 SH          SOLE       2       69,000           -       -
ROHM & HAAS CO                  EQUITY       775371107    3872     70,820 SH          SOLE       1       70,820           -       -
ROHM & HAAS CO                  EQUITY       775371107    3315     60,625 SH          SOLE       2       60,625           -       -
ROLLINS INC                     EQUITY       775711104    2174     95,467 SH          SOLE       1       95,467           -       -
ROMA FINANCIAL CORP             EQUITY       77581P109     140      8,442 SH          SOLE       1        8,442           -       -
ROPER INDUSTRIES INC            EQUITY       776696106     885     15,500 SH          SOLE       2       15,500           -       -
ROPER INDUSTRIES INC            EQUITY       776696106   12384    216,875 SH          SOLE       1      216,875           -       -
ROSETTA RESOURCES INC           EQUITY       777779307     910     42,245 SH          SOLE       1       42,245           -       -
ROSS STORES INC                 EQUITY       778296103       6        200 SH         DEFINED     4            -           -     200
ROSS STORES INC                 EQUITY       778296103   10811    351,004 SH          SOLE       1      351,004           -       -
ROWAN COS INC                   EQUITY       779382100       6        143 SH          SOLE       2          143           -       -
ROWAN COS INC                   EQUITY       779382100    1986     48,473 SH          SOLE       1       48,473           -       -
ROYAL BANCSHARES OF PENNSYLVAN  EQUITY       780081105      89      4,519 SH          SOLE       1        4,519           -       -
ROYAL BANK OF CANADA            EQUITY       780087102   17906    336,301 SH          OTHER      1            -     336,301       -
ROYAL BK SCOTLND GRP PLC        EQUITY       780097788      14        625 SH         DEFINED     4            -           -     625
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097754     634     25,000 PRN         SOLE       1       25,000           -       -
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097770    1331     55,000 PRN         SOLE       1       55,000           -       -
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097747    1419     60,000 PRN         SOLE       1       60,000           -       -
ROYAL BK SCOTLND GRP PLC        FIXED INCOME 780097804    2341     90,000 PRN         SOLE       1       90,000           -       -
ROYAL GOLD INC                  EQUITY       780287108     479     20,140 SH          SOLE       1       20,140           -       -
ROYCE MICRO-CAP TRUST INC       EQUITY       780915104     288     18,710 SH         DEFINED     4            -           -  18,710
ROYCE VALUE TRUST INC           EQUITY       780910105     898     41,935 SH         DEFINED     4            -           -  41,935
RPC INC                         EQUITY       749660106     457     26,803 SH          SOLE       1       26,803           -       -
RPM INTERNATIONAL INC           EQUITY       749685103    6869    297,247 SH          SOLE       1      297,247           -       -
RR DONNELLEY & SONS CO          EQUITY       257867101       8        175 SH         DEFINED     4            -           -     175
RR DONNELLEY & SONS CO          EQUITY       257867101      12        284 SH          SOLE       2          284           -       -
RR DONNELLEY & SONS CO          EQUITY       257867101    4403    101,195 SH          SOLE       1      101,195           -       -
RSC HOLDINGS INC                EQUITY       74972L102     347     17,337 SH          SOLE       1       17,337           -       -
RSC HOLDINGS INC                EQUITY       74972L102   12528    626,400 SH          SOLE       2      626,400           -       -
RTI INTERNATIONAL METALS INC    EQUITY       74973W107      59        781 SH         DEFINED     4            -           -     781





                                                                                           
RTI INTERNATIONAL METALS INC    EQUITY       74973W107    1446     19,191 SH          SOLE       1       19,191           -       -
RUBY TUESDAY INC                EQUITY       781182100    4671    177,386 SH          SOLE       1      177,386           -       -
RUDDICK CORP                    EQUITY       781258108    3672    121,896 SH          SOLE       1      121,896           -       -
RUDOLPH TECHNOLOGIES INC        EQUITY       781270103     402     24,205 SH          SOLE       1       24,205           -       -
RURAL CELLULAR CORP             EQUITY       781904107     445     10,147 SH          SOLE       1       10,147           -       -
RUSH ENTERPRISES INC            EQUITY       781846209     400     18,413 SH          SOLE       1       18,413           -       -
RUSS BERRIE & CO INC            EQUITY       782233100     258     13,836 SH          SOLE       1       13,836           -       -
RUTH'S CHRIS STEAK HOUSE        EQUITY       783332109     269     15,820 SH          SOLE       1       15,820           -       -
RYANAIR HOLDINGS PLC            EQUITY       783513104     438     11,615 SH          SOLE       1       11,615           -       -
RYDER SYSTEM INC                EQUITY       783549108       4         79 SH          SOLE       2           79           -       -
RYDER SYSTEM INC                EQUITY       783549108    1552     28,842 SH          SOLE       1       28,842           -       -
RYDEX RUSSELL TOP 50 ETF        EQUITY       78355W205     261      2,355 SH         DEFINED     4            -           -   2,355
RYDEX S&P EQUAL WEIGHT ETF      EQUITY       78355W106    1003     19,590 SH         DEFINED     4            -           -  19,590
RYERSON INC                     EQUITY       78375P107      27        709 SH         DEFINED     4            -           -     709
RYERSON INC                     EQUITY       78375P107    1772     47,063 SH          SOLE       1       47,063           -       -
RYLAND GROUP INC                EQUITY       783764103    3886    103,984 SH          SOLE       1      103,984           -       -
S&P 500 COVERED CALL FUND INC   EQUITY       78381P109      15        787 SH         DEFINED     4            -           -     787
S&T BANCORP INC                 EQUITY       783859101     679     20,637 SH          SOLE       1       20,637           -       -
S1 CORP                         EQUITY       78463B101     366     45,751 SH          SOLE       1       45,751           -       -
SABINE ROYALTY TRUST            EQUITY       785688102      44      1,040 SH         DEFINED     4            -           -   1,040
SAFECO CORP                     EQUITY       786429100       9        137 SH          SOLE       2          137           -       -
SAFECO CORP                     EQUITY       786429100    3108     49,927 SH          SOLE       1       49,927           -       -
SAFEGUARD SCIENTIFICS INC       EQUITY       786449108     283    100,619 SH          SOLE       1      100,619           -       -
SAFETY INSURANCE GROUP INC      EQUITY       78648T100     559     13,501 SH          SOLE       1       13,501           -       -
SAFEWAY INC                     EQUITY       786514208       8        240 SH         DEFINED     4            -           -     240
SAFEWAY INC                     EQUITY       786514208      19        569 SH          SOLE       2          569           -       -
SAFEWAY INC                     EQUITY       786514208   11697    343,734 SH          SOLE       1      343,734           -       -
SAIA INC                        EQUITY       78709Y105     483     17,723 SH          SOLE       1       17,723           -       -
SAIC INC                        EQUITY       78390X101       9        500 SH         DEFINED     4            -           -     500
SAIC INC                        EQUITY       78390X101    1487     82,273 SH          SOLE       1       82,273           -       -
SAKS INC                        EQUITY       79377W108    7473    350,016 SH          SOLE       1      350,016           -       -
SALEM COMMUNICATIONS CORP       EQUITY       794093104      85      7,640 SH          SOLE       1        7,640           -       -
SALESFORCE.COM INC              EQUITY       79466L302      86      2,017 SH          SOLE       1        2,017           -       -
SALIX PHARMACEUTICALS LTD       EQUITY       795435106     483     39,243 SH          SOLE       1       39,243           -       -
SALLY BEAUTY HOLDINGS INC       EQUITY       79546E104     701     77,872 SH          SOLE       1       77,872           -       -
SAN JUAN BASIN ROYALTY TR       EQUITY       798241105       6        200 SH         DEFINED     4            -           -     200
SANDERS MORRIS HARRIS GROUP IN  EQUITY       80000Q104     180     15,465 SH          SOLE       1       15,465           -       -
SANDERSON FARMS INC             EQUITY       800013104     687     15,270 SH          SOLE       1       15,270           -       -
SANDISK CORP                    EQUITY       80004C101      14        294 SH          SOLE       2          294           -       -
SANDISK CORP                    EQUITY       80004C101      15        300 SH         DEFINED     4            -           -     300
SANDISK CORP                    EQUITY       80004C101    5598    114,391 SH          SOLE       1      114,391           -       -
SANDY SPRING BANCORP INC        EQUITY       800363103     412     13,093 SH          SOLE       1       13,093           -       -
SANGAMO BIOSCIENCES INC         EQUITY       800677106      22      2,700 SH         DEFINED     4            -           -   2,700
SANGAMO BIOSCIENCES INC         EQUITY       800677106     650     80,000 SH          SOLE       2       80,000           -       -
SANMINA-SCI CORP                EQUITY       800907107       2        683 SH          SOLE       2          683           -       -
SANMINA-SCI CORP                EQUITY       800907107      56     18,028 SH          SOLE       1       18,028           -       -
SANTANDER BANCORP               EQUITY       802809103      54      3,647 SH          SOLE       1        3,647           -       -
SANTARUS INC                    EQUITY       802817304     218     42,232 SH          SOLE       1       42,232           -       -
SAPIENT CORP                    EQUITY       803062108     524     67,829 SH          SOLE       1       67,829           -       -
SARA LEE CORP                   EQUITY       803111103      16        946 SH          SOLE       2          946           -       -
SARA LEE CORP                   EQUITY       803111103    5957    342,366 SH          SOLE       1      342,366           -       -
SARA LEE CORP                   EQUITY       803111103     157      9,044 SH         DEFINED     4            -           -   9,044
SATYAM COMPUTER SERVICES LTD    EQUITY       804098101      36      1,470 SH         DEFINED     4            -           -   1,470
SAUER-DANFOSS INC               EQUITY       804137107     272      9,129 SH          SOLE       1        9,129           -       -
SAUL CENTERS INC                EQUITY       804395101     404      8,917 SH          SOLE       1        8,917           -       -
SAVIENT PHARMACEUTICALS INC     EQUITY       80517Q100     376     30,300 SH          SOLE       2       30,300           -       -





                                                                                           
SAVIENT PHARMACEUTICALS INC     EQUITY       80517Q100    1553    125,006 SH          SOLE       1      125,006           -       -
SAVVIS INC                      EQUITY       805423308    1132     22,857 SH          SOLE       1       22,857           -       -
SBA COMMUNICATIONS CORP         EQUITY       78388J106      53      1,584 SH          SOLE       1        1,584           -       -
SCANA CORP                      EQUITY       80589M102   17965    469,170 SH          SOLE       1      469,170           -       -
SCANSOURCE INC                  EQUITY       806037107     685     21,421 SH          SOLE       1       21,421           -       -
SCBT FINANCIAL CORP             EQUITY       78401V102     278      7,644 SH          SOLE       1        7,644           -       -
SCHAWK INC                      EQUITY       806373106     245     12,249 SH          SOLE       1       12,249           -       -
SCHERING-PLOUGH CORP            EQUITY       806605101       4        143 SH         DEFINED     4            -           -     143
SCHERING-PLOUGH CORP            EQUITY       806605101      58      1,919 SH          SOLE       2        1,919           -       -
SCHERING-PLOUGH CORP            EQUITY       806605101   22359    734,524 SH          SOLE       1      734,524           -       -
SCHLUMBERGER LIMITED            FIXED INCOME 806857AC2       7      3,000 PRN        DEFINED     4            -           -   3,000
SCHLUMBERGER LTD                EQUITY       806857108      39        461 SH         DEFINED     4            -           -     461
SCHLUMBERGER LTD                EQUITY       806857108   63592    748,668 SH          SOLE       2      748,668           -       -
SCHLUMBERGER LTD                EQUITY       806857108   69666    820,184 SH          SOLE       1      820,184           -       -
SCHNITZER STEEL INDUSTRIES INC  EQUITY       806882106     873     18,203 SH          SOLE       1       18,203           -       -
SCHOLASTIC CORP                 EQUITY       807066105    3319     92,338 SH          SOLE       1       92,338           -       -
SCHOOL SPECIALTY INC            EQUITY       807863105     656     18,517 SH          SOLE       1       18,517           -       -
SCHULMAN A INC                  EQUITY       808194104     546     22,438 SH          SOLE       1       22,438           -       -
SCHWEITZER-MAUDUIT INTERNATION  EQUITY       808541106     405     13,069 SH          SOLE       1       13,069           -       -
SCIELE PHARMA INC               EQUITY       808627103     547     23,200 SH          SOLE       2       23,200           -       -
SCIELE PHARMA INC               EQUITY       808627103     691     29,340 SH          SOLE       1       29,340           -       -
SCIENTIFIC GAMES CORP           EQUITY       80874P109    5644    161,498 SH          SOLE       1      161,498           -       -
SCOTTS MIRACLE-GRO CO/THE       EQUITY       810186106    4646    108,209 SH          SOLE       1      108,209           -       -
SEABOARD CORP                   EQUITY       811543107     689        294 SH          SOLE       1          294           -       -
SEABRIGHT INSURANCE HOLDINGS I  EQUITY       811656107     303     17,306 SH          SOLE       1       17,306           -       -
SEABRIGHT INSURANCE HOLDINGS I  EQUITY       811656107     358     20,500 SH          SOLE       2       20,500           -       -
SEACHANGE INTERNATIONAL INC     EQUITY       811699107     190     24,508 SH          SOLE       1       24,508           -       -
SEACOAST BANKING CORP OF FLORI  EQUITY       811707306     268     12,344 SH          SOLE       1       12,344           -       -
SEACOR HOLDINGS INC             EQUITY       811904101    1836     19,661 SH          SOLE       1       19,661           -       -
SEAGATE TECHNOLOGY              EQUITY       G7945J104       6        291 SH         DEFINED     4            -           -     291
SEALED AIR CORP                 EQUITY       81211K100       6        208 SH          SOLE       2          208           -       -
SEALED AIR CORP                 EQUITY       81211K100    2336     75,308 SH          SOLE       1       75,308           -       -
SEALY CORP                      EQUITY       812139301     615     37,208 SH          SOLE       1       37,208           -       -
SEARS HOLDINGS CORP             EQUITY       812350106      18        106 SH          SOLE       2          106           -       -
SEARS HOLDINGS CORP             EQUITY       812350106    7261     42,836 SH          SOLE       1       42,836           -       -
SEASPAN CORP                    EQUITY       Y75638109      50      1,549 SH         DEFINED     4            -           -   1,549
SEATTLE GENETICS INC/WA         EQUITY       812578102     341     34,721 SH          SOLE       1       34,721           -       -
SECURE COMPUTING CORP           EQUITY       813705100     294     38,769 SH          SOLE       1       38,769           -       -
SECURITY BANK CORP/GA           EQUITY       814047106      26      1,300 SH         DEFINED     4            -           -   1,300
SECURITY BANK CORP/GA           EQUITY       814047106     274     13,615 SH          SOLE       1       13,615           -       -
SEI INVESTMENTS CO              EQUITY       784117103   18489    636,673 SH          SOLE       1      636,673           -       -
SELECT COMFORT CORP             EQUITY       81616X103     665     41,019 SH          SOLE       1       41,019           -       -
SELECTIVE INSURANCE GROUP       EQUITY       816300107    1227     45,646 SH          SOLE       1       45,646           -       -
SEMCO ENERGY INC                EQUITY       78412D109     230     29,560 SH          SOLE       1       29,560           -       -
SEMITOOL INC                    EQUITY       816909105     177     18,443 SH          SOLE       1       18,443           -       -
SEMPRA ENERGY                   EQUITY       816851109       8        130 SH         DEFINED     4            -           -     130
SEMPRA ENERGY                   EQUITY       816851109      20        340 SH          SOLE       2          340           -       -
SEMPRA ENERGY                   EQUITY       816851109    8040    135,738 SH          SOLE       1      135,738           -       -
SEMTECH CORP                    EQUITY       816850101    3700    213,510 SH          SOLE       1      213,510           -       -
SENIOR HOUSING PROPERTIES TRUS  EQUITY       81721M109    2247    110,399 SH          SOLE       1      110,399           -       -
SENOMYX INC                     EQUITY       81724Q107     341     25,235 SH          SOLE       1       25,235           -       -
SENSIENT TECHNOLOGIES CORP      EQUITY       81725T100    3900    153,614 SH          SOLE       1      153,614           -       -
SEPRACOR INC                    EQUITY       817315104   12348    301,030 SH          SOLE       1      301,030           -       -
SEQUA CORP                      EQUITY       817320104    2566     22,910 SH          SOLE       1       22,910           -       -
SERVICE CORP INTERNATIONAL/US   EQUITY       817565104     142     11,074 SH          SOLE       1       11,074           -       -
SERVICEMASTER CO/THE            EQUITY       81760N109       8        500 SH         DEFINED     4            -           -     500





                                                                                           
SERVICEMASTER CO/THE            EQUITY       81760N109    7470    483,200 SH          SOLE       2      483,200           -       -
SERVICEMASTER CO/THE            EQUITY       81760N109   13701    886,253 SH          SOLE       1      886,253           -       -
SHANDA INTERACTIVE ENTERTAINME  EQUITY       81941Q203   11268    363,500 SH          SOLE       3      363,500           -       -
SHANDA INTERACTIVE ENTERTAINME  EQUITY       81941Q203    2058     66,400 SH          SOLE       1       66,400           -       -
SHAW COMMUNICATIONS INC         EQUITY       82028K200     156      3,679 SH          OTHER      1            -       3,679       -
SHAW GROUP INC/THE              EQUITY       820280105   11590    250,387 SH          SOLE       1      250,387           -       -
SHENANDOAH TELECOM CO           EQUITY       82312B106     329      6,473 SH          SOLE       1        6,473           -       -
SHENGDATECH INC                 EQUITY       823213103     127     23,811 SH          SOLE       1       23,811           -       -
SHERWIN-WILLIAMS CO/THE         EQUITY       824348106       9        141 SH          SOLE       2          141           -       -
SHERWIN-WILLIAMS CO/THE         EQUITY       824348106    7596    114,275 SH          SOLE       1      114,275           -       -
SHIP FINANCE INTERNATIONAL LTD  EQUITY       G81075106      58      1,948 SH         DEFINED     4            -           -   1,948
SHIRE PLC                       EQUITY       82481R106     593      8,000 SH          SOLE       2        8,000           -       -
SHOE CARNIVAL INC               EQUITY       824889109     216      7,862 SH          SOLE       1        7,862           -       -
SHORT S&P500 PROSHARES          EQUITY       74347R503    1458     24,405 SH         DEFINED     4            -           -  24,405
SHUFFLE MASTER INC              EQUITY       825549108     486     29,307 SH          SOLE       1       29,307           -       -
SHUFFLE MASTER INC              EQUITY       825549108    9432    568,200 SH          SOLE       2      568,200           -       -
SHUTTERFLY INC                  EQUITY       82568P304     262     12,145 SH          SOLE       1       12,145           -       -
SI INTERNATIONAL INC            EQUITY       78427V102     360     10,906 SH          SOLE       1       10,906           -       -
SIERRA BANCORP                  EQUITY       82620P102     178      6,309 SH          SOLE       1        6,309           -       -
SIERRA HEALTH SERVICES INC      EQUITY       826322109      55      1,328 SH          SOLE       1        1,328           -       -
SIERRA PACIFIC RESOURCES        EQUITY       826428104    9598    546,604 SH          SOLE       1      546,604           -       -
SIGMA DESIGNS INC               EQUITY       826565103     497     19,057 SH          SOLE       1       19,057           -       -
SIGMA-ALDRICH CORP              EQUITY       826552101       7        169 SH          SOLE       2          169           -       -
SIGMA-ALDRICH CORP              EQUITY       826552101    6974    163,434 SH          SOLE       1      163,434           -       -
SIGNATURE BANK/NEW YORK NY      EQUITY       82669G104     842     24,690 SH          SOLE       1       24,690           -       -
SILGAN HOLDINGS INC             EQUITY       827048109     381      6,900 SH          SOLE       2        6,900           -       -
SILGAN HOLDINGS INC             EQUITY       827048109    1141     20,634 SH          SOLE       1       20,634           -       -
SILICON GRAPHICS INC            EQUITY       827056300     144      5,424 SH          SOLE       1        5,424           -       -
SILICON IMAGE INC               EQUITY       82705T102       7        800 SH         DEFINED     4            -           -     800
SILICON IMAGE INC               EQUITY       82705T102     627     73,023 SH          SOLE       1       73,023           -       -
SILICON LABORATORIES INC        EQUITY       826919102    4657    134,563 SH          SOLE       1      134,563           -       -
SILICON MOTION TECHNOLOGY CORP  EQUITY       82706C108      18        710 SH         DEFINED     4            -           -     710
SILICON MOTION TECHNOLOGY CORP  EQUITY       82706C108     430     17,300 SH          SOLE       2       17,300           -       -
SILICON STORAGE TECHNOLOGY INC  EQUITY       827057100     282     75,573 SH          SOLE       1       75,573           -       -
SILICONWARE PRECISION INDUSTRI  EQUITY       827084864      23      2,125 SH         DEFINED     4            -           -   2,125
SILVER WHEATON CORP             EQUITY       828336107    2203    186,100 SH          OTHER      1            -     186,100       -
SIMMONS FIRST NATIONAL CORP     EQUITY       828730200     324     11,756 SH          SOLE       1       11,756           -       -
SIMON PROPERTY GROUP INC        EQUITY       828806109      27        288 SH          SOLE       2          288           -       -
SIMON PROPERTY GROUP INC        EQUITY       828806109   16311    175,317 SH          SOLE       1      175,317           -       -
SIMPSON MANUFACTURING CO INC    EQUITY       829073105    1036     30,692 SH          SOLE       1       30,692           -       -
SINCLAIR BROADCAST GROUP INC    EQUITY       829226109     582     40,922 SH          SOLE       1       40,922           -       -
SINCLAIR BROADCAST GROUP INC    EQUITY       829226109     757     53,200 SH          SOLE       2       53,200           -       -
SINOPEC SHANGHAI PETROCHEMICAL  EQUITY       82935M109      28        420 SH         DEFINED     4            -           -     420
SIRENZA MICRODEVICES INC        EQUITY       82966T106     388     32,722 SH          SOLE       1       32,722           -       -
SIRENZA MICRODEVICES INC        EQUITY       82966T106    1151     97,000 SH          SOLE       2       97,000           -       -
SIRF TECHNOLOGY HOLDINGS INC    EQUITY       82967H101     914     44,072 SH          SOLE       1       44,072           -       -
SIRF TECHNOLOGY HOLDINGS INC    EQUITY       82967H101    3837    185,000 SH          SOLE       2      185,000           -       -
SIRIUS SATELLITE RADIO INC      EQUITY       82966U103      46     15,340 SH         DEFINED     4            -           -  15,340
SIRIUS SATELLITE RADIO INC      EQUITY       82966U103    1510    500,142 SH          SOLE       1      500,142           -       -
SIRONA DENTAL SYSTEMS INC       EQUITY       82966C103     443     11,700 SH          SOLE       2       11,700           -       -
SIRONA DENTAL SYSTEMS INC       EQUITY       82966C103     527     13,936 SH          SOLE       1       13,936           -       -
SIRTRIS PHARMACEUTICALS INC     EQUITY       82968A105      50      5,041 SH          SOLE       1        5,041           -       -
SIX FLAGS INC                   EQUITY       83001P109     357     58,695 SH          SOLE       1       58,695           -       -
SJW CORP                        EQUITY       784305104     420     12,616 SH          SOLE       1       12,616           -       -
SKECHERS U.S.A. INC             EQUITY       830566105     498     17,067 SH          SOLE       1       17,067           -       -
SKILLED HEALTHCARE GROUP INC    EQUITY       83066R107     289     18,636 SH          SOLE       1       18,636           -       -





                                                                                           
SKY FINANCIAL GROUP INC         EQUITY       83080P103     124      4,440 SH          SOLE       1        4,440           -       -
SKYLINE CORP                    EQUITY       830830105     170      5,675 SH          SOLE       1        5,675           -       -
SKYWEST INC                     EQUITY       830879102    1280     53,698 SH          SOLE       1       53,698           -       -
SKYWORKS SOLUTIONS INC          EQUITY       83088M102    1936    263,340 SH          SOLE       1      263,340           -       -
SL GREEN REALTY CORP            EQUITY       78440X101    8343     67,341 SH          SOLE       1       67,341           -       -
SLM CORP                        EQUITY       78442P106       6        100 SH         DEFINED     4            -           -     100
SLM CORP                        EQUITY       78442P106    9923    172,330 SH          SOLE       2      172,330           -       -
SLM CORP                        EQUITY       78442P106   24678    428,580 SH          SOLE       1      428,580           -       -
SMITH & WESSON HOLDING CORP     EQUITY       831756101     413     24,675 SH          SOLE       1       24,675           -       -
SMITH & WESSON HOLDING CORP     EQUITY       831756101    1003     59,900 SH          SOLE       2       59,900           -       -
SMITH INTERNATIONAL INC         EQUITY       832110100      15        258 SH          SOLE       2          258           -       -
SMITH INTERNATIONAL INC         EQUITY       832110100    5251     89,547 SH          SOLE       1       89,547           -       -
SMITH MICRO SOFTWARE INC        EQUITY       832154108    1294     85,956 SH          SOLE       1       85,956           -       -
SMITHFIELD FOODS INC            EQUITY       832248108    9056    294,112 SH          SOLE       1      294,112           -       -
SMURFIT-STONE CONTAINER CORP    EQUITY       832727101     128      9,606 SH          SOLE       1        9,606           -       -
SNAP-ON INC                     EQUITY       833034101       4         75 SH          SOLE       2           75           -       -
SNAP-ON INC                     EQUITY       833034101    1377     27,269 SH          SOLE       1       27,269           -       -
SOHU.COM INC                    EQUITY       83408W103     731     22,861 SH          SOLE       1       22,861           -       -
SOLECTRON CORP                  EQUITY       834182107       4      1,165 SH          SOLE       2        1,165           -       -
SOLECTRON CORP                  EQUITY       834182107    1545    419,786 SH          SOLE       1      419,786           -       -
SOLERA HOLDINGS INC             EQUITY       83421A104     423     21,843 SH          SOLE       1       21,843           -       -
SOMAXON PHARMACEUTICALS INC     EQUITY       834453102     103      8,452 SH          SOLE       1        8,452           -       -
SONIC AUTOMOTIVE INC            EQUITY       83545G102    1996     68,891 SH          SOLE       1       68,891           -       -
SONIC CORP                      EQUITY       835451105    1229     55,541 SH          SOLE       1       55,541           -       -
SONIC INNOVATIONS INC           EQUITY       83545M109     192     21,946 SH          SOLE       1       21,946           -       -
SONIC SOLUTIONS INC             EQUITY       835460106     234     18,589 SH          SOLE       1       18,589           -       -
SONICWALL INC                   EQUITY       835470105     462     53,840 SH          SOLE       1       53,840           -       -
SONOCO PRODUCTS CO              EQUITY       835495102   10586    247,267 SH          SOLE       1      247,267           -       -
SONOSITE INC                    EQUITY       83568G104     434     13,810 SH          SOLE       1       13,810           -       -
SONUS NETWORKS INC              EQUITY       835916107    1790    210,104 SH          SOLE       1      210,104           -       -
SOTHEBY'S                       EQUITY       835898107      29        621 SH         DEFINED     4            -           -     621
SOTHEBY'S                       EQUITY       835898107     713     15,500 SH          SOLE       2       15,500           -       -
SOTHEBY'S                       EQUITY       835898107    8973    194,986 SH          SOLE       1      194,986           -       -
SOURCE INTERLINK COS INC        EQUITY       836151209     143     28,615 SH          SOLE       1       28,615           -       -
SOURCEFIRE INC                  EQUITY       83616T108      77      5,513 SH          SOLE       1        5,513           -       -
SOURCEFORGE INC                 EQUITY       83616W101     237     56,267 SH          SOLE       1       56,267           -       -
SOUTH FINANCIAL GROUP INC/THE   EQUITY       837841105    1397     61,699 SH          SOLE       1       61,699           -       -
SOUTH JERSEY INDUSTRIES INC     EQUITY       838518108     867     24,518 SH          SOLE       1       24,518           -       -
SOUTHERN CO                     EQUITY       842587107     400     11,655 SH         DEFINED     4            -           -  11,655
SOUTHERN CO                     EQUITY       842587107    4271    124,564 SH          SOLE       2      124,564           -       -
SOUTHERN CO                     EQUITY       842587107   11148    325,109 SH          SOLE       1      325,109           -       -
SOUTHERN COPPER CORP            EQUITY       84265V105    1096     11,623 SH         DEFINED     4            -           -  11,623
SOUTHERN COPPER CORP            EQUITY       84265V105   10548    111,900 SH          SOLE       2      111,900           -       -
SOUTHERN COPPER CORP            EQUITY       84265V105   44309    470,070 SH          SOLE       1      470,070           -       -
SOUTHERN UNION CO               EQUITY       844030106     688     21,099 SH          SOLE       1       21,099           -       -
SOUTHSIDE BANCSHARES INC        EQUITY       84470P109     196      9,029 SH          SOLE       1        9,029           -       -
SOUTHWEST AIRLINES CO           EQUITY       844741108     253     16,945 SH         DEFINED     4            -           -  16,945
SOUTHWEST AIRLINES CO           EQUITY       844741108      15      1,006 SH          SOLE       2        1,006           -       -
SOUTHWEST AIRLINES CO           EQUITY       844741108    5622    377,076 SH          SOLE       1      377,076           -       -
SOUTHWEST BANCORP INC/STILLWAT  EQUITY       844767103     286     11,890 SH          SOLE       1       11,890           -       -
SOUTHWEST GAS CORP              EQUITY       844895102    1186     35,080 SH          SOLE       1       35,080           -       -
SOUTHWEST WATER CO              EQUITY       845331107     256     20,023 SH          SOLE       1       20,023           -       -
SOUTHWESTERN ENERGY CO          EQUITY       845467109   18397    413,408 SH          SOLE       1      413,408           -       -
SOVEREIGN BANCORP INC           EQUITY       845905108      10        465 SH          SOLE       2          465           -       -
SOVEREIGN BANCORP INC           EQUITY       845905108      99      4,662 SH         DEFINED     4            -           -   4,662
SOVEREIGN BANCORP INC           EQUITY       845905108    3631    171,748 SH          SOLE       1      171,748           -       -





                                                                                           
SOVRAN SELF STORAGE INC         EQUITY       84610H108     825     17,130 SH          SOLE       1       17,130           -       -
SPAIN FUND INC/THE              EQUITY       846330108     448     26,373 SH         DEFINED     4            -           -  26,373
SPANISH BROADCASTING SYSTEM IN  EQUITY       846425882     144     33,527 SH          SOLE       1       33,527           -       -
SPANSION INC                    EQUITY       84649R101     831     74,858 SH          SOLE       1       74,858           -       -
SPARTAN MOTORS INC              EQUITY       846819100     299     17,550 SH          SOLE       2       17,550           -       -
SPARTAN MOTORS INC              EQUITY       846819100     456     26,795 SH          SOLE       1       26,795           -       -
SPARTAN STORES INC              EQUITY       846822104     593     18,032 SH          SOLE       1       18,032           -       -
SPARTECH CORP                   EQUITY       847220209     706     26,602 SH          SOLE       1       26,602           -       -
SPDR TRUST SERIES 1             EQUITY       78462F103   68578    456,397 SH          SOLE       1      456,397           -       -
SPDR TRUST SERIES 1             EQUITY       78462F103     586      3,897 SH         DEFINED     4            -           -   3,897
SPECTRA ENERGY CORP             EQUITY       847560109      12        448 SH         DEFINED     4            -           -     448
SPECTRA ENERGY CORP             EQUITY       847560109      21        814 SH          SOLE       2          814           -       -
SPECTRA ENERGY CORP             EQUITY       847560109    7696    296,456 SH          SOLE       1      296,456           -       -
SPECTRANETICS CORP              EQUITY       84760C107     299     25,915 SH          SOLE       1       25,915           -       -
SPECTRUM BRANDS INC             EQUITY       84762L105     220     32,563 SH          SOLE       1       32,563           -       -
SPECTRUM PHARMACEUTICALS INC    EQUITY       84763A108      18      2,500 SH         DEFINED     4            -           -   2,500
SPEEDWAY MOTORSPORTS INC        EQUITY       847788106     463     11,586 SH          SOLE       1       11,586           -       -
SPHERION CORP                   EQUITY       848420105    1655    176,251 SH          SOLE       1      176,251           -       -
SPIRIT AEROSYSTEMS HOLDINGS IN  EQUITY       848574109      62      1,710 SH          SOLE       1        1,710           -       -
SPIRIT AEROSYSTEMS HOLDINGS IN  EQUITY       848574109    3594     99,700 SH          SOLE       2       99,700           -       -
SPIRIT FINANCE CORP             EQUITY       848568309    5011    344,128 SH          SOLE       1      344,128           -       -
SPRINT NEXTEL CORP              EQUITY       852061100     275     13,282 SH          SOLE       2       13,282           -       -
SPRINT NEXTEL CORP              EQUITY       852061100   48858  2,359,151 SH          SOLE       1    2,359,151           -       -
SPSS INC                        EQUITY       78462K102     671     15,200 SH          SOLE       2       15,200           -       -
SPSS INC                        EQUITY       78462K102     676     15,305 SH          SOLE       1       15,305           -       -
SPX CORP                        EQUITY       784635104   12313    140,224 SH          SOLE       1      140,224           -       -
SRA INTERNATIONAL INC           EQUITY       78464R105    3427    135,664 SH          SOLE       1      135,664           -       -
ST JOE CO/THE                   EQUITY       790148100      73      1,580 SH          SOLE       1        1,580           -       -
ST JUDE MEDICAL INC             EQUITY       790849103       3         75 SH         DEFINED     4            -           -      75
ST JUDE MEDICAL INC             EQUITY       790849103     654     15,767 SH          SOLE       2       15,767           -       -
ST JUDE MEDICAL INC             EQUITY       790849103    6304    151,943 SH          SOLE       1      151,943           -       -
ST MARY LAND & EXPLORATION CO   EQUITY       792228108      87      2,365 SH          SOLE       1        2,365           -       -
STAGE STORES INC                EQUITY       85254C305     757     36,119 SH          SOLE       1       36,119           -       -
STAMPS.COM INC                  EQUITY       852857200     200     14,483 SH          SOLE       1       14,483           -       -
STANCORP FINANCIAL GROUP INC    EQUITY       852891100    7260    138,342 SH          SOLE       1      138,342           -       -
STANDARD MICROSYSTEMS CORP      EQUITY       853626109     653     19,029 SH          SOLE       1       19,029           -       -
STANDARD MOTOR PRODUCTS INC     EQUITY       853666105     424     28,201 SH          SOLE       1       28,201           -       -
STANDARD PARKING CORP           EQUITY       853790103     154      4,390 SH          SOLE       1        4,390           -       -
STANDARD REGISTER CO/THE        EQUITY       853887107     169     14,798 SH          SOLE       1       14,798           -       -
STANDARD REGISTER CO/THE        EQUITY       853887107    2017    176,900 SH          SOLE       2      176,900           -       -
STANDARD-PACIFIC CORP           EQUITY       85375C101     926     52,814 SH          SOLE       1       52,814           -       -
STANDEX INTERNATIONAL CORP      EQUITY       854231107     294     10,343 SH          SOLE       1       10,343           -       -
STANLEY INC                     EQUITY       854532108     306     17,353 SH          SOLE       1       17,353           -       -
STANLEY WORKS/THE               EQUITY       854616109    2351     38,739 SH          SOLE       1       38,739           -       -
STANLEY WORKS/THE               EQUITY       854616109       6        107 SH          SOLE       2          107           -       -
STAPLES INC                     EQUITY       855030102       5        225 SH         DEFINED     4            -           -     225
STAPLES INC                     EQUITY       855030102    7998    337,021 SH          SOLE       2      337,021           -       -
STAPLES INC                     EQUITY       855030102   12962    546,209 SH          SOLE       1      546,209           -       -
STAR MARITIME ACQUISITION CORP  EQUITY       85516E107     192     15,699 SH          SOLE       1       15,699           -       -
STAR MARITIME ACQUISITION CORP  EQUITY       85516E107    4659    380,000 SH          SOLE       2      380,000           -       -
STARBUCKS CORP                  EQUITY       855244109      39      1,502 SH         DEFINED     4            -           -   1,502
STARBUCKS CORP                  EQUITY       855244109    9322    355,254 SH          SOLE       2      355,254           -       -
STARBUCKS CORP                  EQUITY       855244109    9561    364,385 SH          SOLE       1      364,385           -       -
STARWOOD HOTELS & RESORTS WORL  EQUITY       85590A401      19        277 SH          SOLE       2          277           -       -
STARWOOD HOTELS & RESORTS WORL  EQUITY       85590A401    9164    136,627 SH          SOLE       1      136,627           -       -
STARWOOD HOTELS & RESORTS WORL  EQUITY       85590A401    5091     75,900 SH          SOLE       3       75,900           -       -





                                                                                           
STATE AUTO FINANCIAL CORP       EQUITY       855707105     368     12,008 SH          SOLE       1       12,008           -       -
STATE STREET CORP               EQUITY       857477103      21        300 SH         DEFINED     4            -           -     300
STATE STREET CORP               EQUITY       857477103      30        433 SH          SOLE       2          433           -       -
STATE STREET CORP               EQUITY       857477103    7929    115,923 SH          SOLE       1      115,923           -       -
STATION CASINOS INC             EQUITY       857689103    1536     17,699 SH          SOLE       1       17,699           -       -
STEAK N SHAKE CO/THE            EQUITY       857873103     395     23,674 SH          SOLE       1       23,674           -       -
STEALTHGAS INC                  EQUITY       Y81669106    5231    292,698 SH          SOLE       2      292,698           -       -
STEC INC                        EQUITY       784774101     173     26,925 SH          SOLE       1       26,925           -       -
STEEL DYNAMICS INC              EQUITY       858119100      26        629 SH         DEFINED     4            -           -     629
STEEL DYNAMICS INC              EQUITY       858119100    8804    210,061 SH          SOLE       1      210,061           -       -
STEELCASE INC                   EQUITY       858155203      16        845 SH         DEFINED     4            -           -     845
STEELCASE INC                   EQUITY       858155203     646     34,899 SH          SOLE       1       34,899           -       -
STEIN MART INC                  EQUITY       858375108     277     22,579 SH          SOLE       1       22,579           -       -
STEINWAY MUSICAL INSTRUMENTS    EQUITY       858495104   12563    363,197 SH          SOLE       1      363,197           -       -
STEPAN CO                       EQUITY       858586100     156      5,164 SH          SOLE       1        5,164           -       -
STEREOTAXIS INC                 EQUITY       85916J102     284     21,762 SH          SOLE       1       21,762           -       -
STERICYCLE INC                  EQUITY       858912108    9575    215,364 SH          SOLE       1      215,364           -       -
STERIS CORP                     EQUITY       859152100    6494    212,227 SH          SOLE       1      212,227           -       -
STERLING BANCORP/NY             EQUITY       859158107     249     15,531 SH          SOLE       1       15,531           -       -
STERLING BANCSHARES INC/TX      EQUITY       858907108     700     61,917 SH          SOLE       1       61,917           -       -
STERLING FINANCIAL CORP/PA      EQUITY       859317109     231     21,966 SH          SOLE       1       21,966           -       -
STERLING FINANCIAL CORP/WA      EQUITY       859319105    1235     42,658 SH          SOLE       1       42,658           -       -
STEVEN MADDEN LTD               EQUITY       556269108     559     17,053 SH          SOLE       1       17,053           -       -
STEVEN MADDEN LTD               EQUITY       556269108   11152    340,400 SH          SOLE       2      340,400           -       -
STEWART ENTERPRISES INC         EQUITY       860370105     661     84,805 SH          SOLE       1       84,805           -       -
STEWART INFORMATION SERVICES C  EQUITY       860372101     739     18,555 SH          SOLE       1       18,555           -       -
STIFEL FINANCIAL CORP           EQUITY       860630102     733     12,441 SH          SOLE       1       12,441           -       -
STILLWATER MINING CO            EQUITY       86074Q102     383     34,787 SH          SOLE       1       34,787           -       -
STONE ENERGY CORP               EQUITY       861642106     799     23,324 SH          SOLE       1       23,324           -       -
STONERIDGE INC                  EQUITY       86183P102     146     11,811 SH          SOLE       1       11,811           -       -
STRATASYS INC                   EQUITY       862685104     403      8,581 SH          SOLE       1        8,581           -       -
STRATEGIC GLOBAL INCOME FUND I  EQUITY       862719101      34      3,028 SH         DEFINED     4            -           -   3,028
STRATEGIC HOTELS & RESORTS INC  EQUITY       86272T106      22      1,000 SH         DEFINED     4            -           -   1,000
STRATOS INTERNATIONAL INC       EQUITY       863100202      64      8,000 SH         DEFINED     4            -           -   8,000
STRATUS PROPERTIES INC          EQUITY       863167201     142      4,118 SH          SOLE       1        4,118           -       -
STRAYER EDUCATION INC           EQUITY       863236105    6176     46,890 SH          SOLE       1       46,890           -       -
STREETTRACKS GOLD TRUST         EQUITY       863307104    1040     16,180 SH         DEFINED     4            -           -  16,180
STREETTRACKS INDEX SHS FDS DJ
EURSTX50ETF                     EQUITY       863308201       8        140 SH         DEFINED     4            -           -     140
STREETTRACKS INDEX SHS FDS DJ
STOXX 50ETF                     EQUITY       863308102       3         63 SH         DEFINED     4            -           -      63
STREETTRACKS INDEX SHS FDS SPDR
INTL REAL                       EQUITY       863308839     493      7,589 SH         DEFINED     4            -           -   7,589
STREETTRACKS SER TR DJ WIL REIT EQUITY       86330E604      16        200 SH         DEFINED     4            -           -     200
STREETTRACKS SER TR SPDR TTL
MRKT                            EQUITY       86330E885      46        425 SH         DEFINED     4            -           -     425
STRIDE RITE CORP                EQUITY       863314100     619     30,562 SH          SOLE       1       30,562           -       -
STRYKER CORP                    EQUITY       863667101      24        385 SH          SOLE       2          385           -       -
STRYKER CORP                    EQUITY       863667101      26        416 SH         DEFINED     4            -           -     416
STRYKER CORP                    EQUITY       863667101   21762    344,935 SH          SOLE       1      344,935           -       -
STUDENT LOAN CORP/THE           EQUITY       863902102     441      2,161 SH          SOLE       1        2,161           -       -
STURM RUGER & CO INC            EQUITY       864159108     292     18,837 SH          SOLE       1       18,837           -       -
SUBURBAN PROPANE PARTNERS LP    EQUITY       864482104      71      1,491 SH         DEFINED     4            -           -   1,491
SUFFOLK BANCORP                 EQUITY       864739107     267      8,358 SH          SOLE       1        8,358           -       -
SULPHCO INC                     EQUITY       865378103     133     36,912 SH          SOLE       1       36,912           -       -
SUN BANCORP INC/NJ              EQUITY       86663B102     205     12,145 SH          SOLE       1       12,145           -       -
SUN HEALTHCARE GROUP INC        EQUITY       866933401    3110    214,631 SH          SOLE       1      214,631           -       -
SUN HYDRAULICS CORP             EQUITY       866942105     305      6,186 SH          SOLE       1        6,186           -       -
SUN LIFE FINANCIAL INC          EQUITY       866796105      21        435 SH         DEFINED     4            -           -     435
SUN LIFE FINANCIAL INC          EQUITY       866796105    6325    132,499 SH          OTHER      1            -     132,499       -





                                                                                           
SUN MICROSYSTEMS INC            EQUITY       866810104       6      1,124 SH         DEFINED     4            -           -   1,124
SUN MICROSYSTEMS INC            EQUITY       866810104      24      4,599 SH          SOLE       2        4,599           -       -
SUN MICROSYSTEMS INC            EQUITY       866810104    8502  1,616,423 SH          SOLE       1    1,616,423           -       -
SUNAMERICA FOCUSED ALPHA GROWT  EQUITY       867037103     120      6,300 SH         DEFINED     4            -           -   6,300
SUNCOR ENERGY INC               EQUITY       867229106    9927    110,005 SH          OTHER      1            -     110,005       -
SUNOCO INC                      EQUITY       86764P109      12        156 SH          SOLE       2          156           -       -
SUNOCO INC                      EQUITY       86764P109    4370     54,846 SH          SOLE       1       54,846           -       -
SUNPOWER CORP                   EQUITY       867652109      30        476 SH          SOLE       1          476           -       -
SUNRISE SENIOR LIVING INC       EQUITY       86768K106      10        259 SH         DEFINED     4            -           -     259
SUNRISE SENIOR LIVING INC       EQUITY       86768K106    1488     37,202 SH          SOLE       1       37,202           -       -
SUNSTONE HOTEL INVESTORS INC    EQUITY       867892101     930     32,766 SH         DEFINED     4            -           -  32,766
SUNTECH POWER HOLDINGS CO LTD   EQUITY       86800C104      18        500 SH         DEFINED     4            -           -     500
SUN-TIMES MEDIA GROUP INC       EQUITY       86688Q100     285     54,289 SH          SOLE       1       54,289           -       -
SUNTRUST BANKS INC              EQUITY       867914103      17        200 SH         DEFINED     4            -           -     200
SUNTRUST BANKS INC              EQUITY       867914103     568      6,629 SH          SOLE       2        6,629           -       -
SUNTRUST BANKS INC              EQUITY       867914103   13222    154,209 SH          SOLE       1      154,209           -       -
SUPER MICRO COMPUTER INC        EQUITY       86800U104      77      7,678 SH          SOLE       1        7,678           -       -
SUPERGEN INC                    EQUITY       868059106     247     44,413 SH          SOLE       1       44,413           -       -
SUPERIOR BANCORP                EQUITY       86806M106     296     28,926 SH          SOLE       1       28,926           -       -
SUPERIOR ENERGY SERVICES        EQUITY       868157108       7        170 SH         DEFINED     4            -           -     170
SUPERIOR ENERGY SERVICES        EQUITY       868157108    7913    198,214 SH          SOLE       1      198,214           -       -
SUPERIOR ESSEX INC              EQUITY       86815V105     638     17,093 SH          SOLE       1       17,093           -       -
SUPERIOR INDUSTRIES INTERNATIO  EQUITY       868168105     413     18,997 SH          SOLE       1       18,997           -       -
SUPERIOR OFFSHORE INTERNATIONA  EQUITY       86825Q104     154      8,457 SH          SOLE       1        8,457           -       -
SUPERIOR WELL SERVICES INC      EQUITY       86837X105      25      1,000 SH         DEFINED     4            -           -   1,000
SUPERIOR WELL SERVICES INC      EQUITY       86837X105     331     13,042 SH          SOLE       1       13,042           -       -
SUPERTEX INC                    EQUITY       868532102     297      9,490 SH          SOLE       1        9,490           -       -
SUPERVALU INC                   EQUITY       868536103      12        268 SH          SOLE       2          268           -       -
SUPERVALU INC                   EQUITY       868536103    4529     97,782 SH          SOLE       1       97,782           -       -
SUREWEST COMMUNICATIONS         EQUITY       868733106     328     12,036 SH          SOLE       1       12,036           -       -
SURMODICS INC                   EQUITY       868873100     631     12,628 SH          SOLE       1       12,628           -       -
SUSQUEHANNA BANCSHARES INC      EQUITY       869099101    1754     78,388 SH          SOLE       1       78,388           -       -
SVB FINANCIAL GROUP             EQUITY       78486Q101     754     14,200 SH          SOLE       2       14,200           -       -
SVB FINANCIAL GROUP             EQUITY       78486Q101    5976    112,524 SH          SOLE       1      112,524           -       -
SWIFT ENERGY CO                 EQUITY       870738101    2165     50,624 SH          SOLE       1       50,624           -       -
SWITCH & DATA FACILITIES CO IN  EQUITY       871043105     614     32,000 SH          SOLE       2       32,000           -       -
SWITCH & DATA FACILITIES CO IN  EQUITY       871043105    8379    436,608 SH          SOLE       1      436,608           -       -
SWS GROUP INC                   EQUITY       78503N107    7085    327,687 SH          SOLE       1      327,687           -       -
SY BANCORP INC                  EQUITY       785060104     243     10,231 SH          SOLE       1       10,231           -       -
SYBASE INC                      EQUITY       871130100     561     23,500 SH          SOLE       2       23,500           -       -
SYBASE INC                      EQUITY       871130100    7128    298,388 SH          SOLE       1      298,388           -       -
SYCAMORE NETWORKS INC           EQUITY       871206108     616    153,353 SH          SOLE       1      153,353           -       -
SYKES ENTERPRISES INC           EQUITY       871237103     876     46,152 SH          SOLE       1       46,152           -       -
SYMANTEC CORP                   EQUITY       871503108   12361    611,923 SH          SOLE       1      611,923           -       -
SYMANTEC CORP                   EQUITY       871503108     379     18,779 SH          SOLE       2       18,779           -       -
SYMBION INC                     EQUITY       871507109    6228    286,873 SH          SOLE       1      286,873           -       -
SYMMETRICOM INC                 EQUITY       871543104     324     38,621 SH          SOLE       1       38,621           -       -
SYMMETRY MEDICAL INC            EQUITY       871546206    1199     74,868 SH          SOLE       1       74,868           -       -
SYMS CORP                       EQUITY       871551107     113      5,712 SH          SOLE       1        5,712           -       -
SYMYX TECHNOLOGIES              EQUITY       87155S108     318     27,650 SH          SOLE       1       27,650           -       -
SYNAPTICS INC                   EQUITY       87157D109     764     21,351 SH          SOLE       1       21,351           -       -
SYNCHRONOSS TECHNOLOGIES INC    EQUITY       87157B103     450     15,328 SH          SOLE       1       15,328           -       -
SYNCHRONOSS TECHNOLOGIES INC    EQUITY       87157B103    1091     37,200 SH          SOLE       2       37,200           -       -
SYNIVERSE HOLDINGS INC          EQUITY       87163F106     292     22,715 SH          SOLE       1       22,715           -       -
SYNNEX CORP                     EQUITY       87162W100     279     13,554 SH          SOLE       1       13,554           -       -
SYNOPSYS INC                    EQUITY       871607107    9359    354,087 SH          SOLE       1      354,087           -       -





                                                                                           
SYNOVUS FINANCIAL CORP          EQUITY       87161C105      13        421 SH          SOLE       2          421           -       -
SYNOVUS FINANCIAL CORP          EQUITY       87161C105    5370    174,917 SH          SOLE       1      174,917           -       -
SYNTA PHARMACEUTICALS CORP      EQUITY       87162T206   10053  1,211,249 SH          SOLE       1    1,211,249           -       -
SYNTAX-BRILLIAN CORP            EQUITY       87163L103     235     47,726 SH          SOLE       1       47,726           -       -
SYNTEL INC                      EQUITY       87162H103     318     10,476 SH          SOLE       1       10,476           -       -
SYNUTRA INTERNATIONAL INC       EQUITY       87164C102      68      3,329 SH          SOLE       1        3,329           -       -
SYSCO CORP                      EQUITY       871829107      29        885 SH         DEFINED     4            -           -     885
SYSCO CORP                      EQUITY       871829107    6989    211,856 SH          SOLE       2      211,856           -       -
SYSCO CORP                      EQUITY       871829107   21998    666,802 SH          SOLE       1      666,802           -       -
SYSTEMAX INC                    EQUITY       871851101     184      8,832 SH          SOLE       1        8,832           -       -
T ROWE PRICE GROUP INC          EQUITY       74144T108      18        342 SH          SOLE       2          342           -       -
T ROWE PRICE GROUP INC          EQUITY       74144T108   11940    230,095 SH          SOLE       1      230,095           -       -
T-3 ENERGY SERVICES INC         EQUITY       87306E107     154      4,605 SH          SOLE       1        4,605           -       -
TAKE-TWO INTERACTIVE SOFTWARE   EQUITY       874054109    1212     60,680 SH          SOLE       1       60,680           -       -
TAL INTERNATIONAL GROUP INC     EQUITY       874083108     406     13,670 SH          SOLE       1       13,670           -       -
TALBOTS INC                     EQUITY       874161102     483     19,281 SH          SOLE       1       19,281           -       -
TALEO CORP                      EQUITY       87424N104     310     13,750 SH          SOLE       1       13,750           -       -
TALISMAN ENERGY INC             EQUITY       87425E103    7938    409,795 SH          OTHER      1            -     409,795       -
TANGER FACTORY OUTLET CENTERS   EQUITY       875465106     975     26,030 SH          SOLE       1       26,030           -       -
TANOX INC                       EQUITY       87588Q109    4416    227,495 SH          SOLE       1      227,495           -       -
TARGET CORP                     EQUITY       87612E106     126      1,979 SH         DEFINED     4            -           -   1,979
TARGET CORP                     EQUITY       87612E106   35720    561,635 SH          SOLE       2      561,635           -       -
TARGET CORP                     EQUITY       87612E106   40508    636,912 SH          SOLE       1      636,912           -       -
TARRAGON CORP                   EQUITY       876287103      98     11,552 SH          SOLE       1       11,552           -       -
TASER INTERNATIONAL INC         EQUITY       87651B104       3        200 SH         DEFINED     4            -           -     200
TASER INTERNATIONAL INC         EQUITY       87651B104     721     51,651 SH          SOLE       1       51,651           -       -
TAUBMAN CENTERS INC             EQUITY       876664103    8233    165,957 SH          SOLE       1      165,957           -       -
TAYLOR CAPITAL GROUP INC        EQUITY       876851106     133      4,815 SH          SOLE       1        4,815           -       -
TCF FINANCIAL CORP              EQUITY       872275102    7730    278,071 SH          SOLE       1      278,071           -       -
TD AMERITRADE HOLDING CORP      EQUITY       87236Y108     106      5,275 SH          SOLE       1        5,275           -       -
TD AMERITRADE HOLDING CORP      EQUITY       87236Y108   26578  1,328,900 SH          SOLE       2    1,328,900           -       -
TEAM INC                        EQUITY       878155100     296      6,589 SH          SOLE       1        6,589           -       -
TECH DATA CORP                  EQUITY       878237106    5367    139,551 SH          SOLE       1      139,551           -       -
TECHNE CORP                     EQUITY       878377100    5540     96,838 SH          SOLE       1       96,838           -       -
TECHNITROL INC                  EQUITY       878555101     973     33,941 SH          SOLE       1       33,941           -       -
TECHNOLOGY INVESTMENT CAPITAL   EQUITY       878717305     260     16,485 SH          SOLE       1       16,485           -       -
TECHNOLOGY SELECT SECTOR SPDR   EQUITY       81369Y803      68      2,675 SH         DEFINED     4            -           -   2,675
TECHTARGET INC                  EQUITY       87874R100      82      6,402 SH          SOLE       1        6,402           -       -
TECHWELL INC                    EQUITY       87874D101     163     12,445 SH          SOLE       1       12,445           -       -
TECK COMINCO LTD                EQUITY       878742204     374      8,802 SH          OTHER      1            -       8,802       -
TECO ENERGY INC                 EQUITY       872375100       5        270 SH          SOLE       2          270           -       -
TECO ENERGY INC                 EQUITY       872375100      35      2,038 SH         DEFINED     4            -           -   2,038
TECO ENERGY INC                 EQUITY       872375100    2678    155,866 SH          SOLE       1      155,866           -       -
TECUMSEH PRODUCTS CO            EQUITY       878895200     202     12,870 SH          SOLE       1       12,870           -       -
TEEKAY LNG PARTNERS LP          EQUITY       Y8564M105      42      1,176 SH         DEFINED     4            -           -   1,176
TEJON RANCH CO                  EQUITY       879080109     407      9,198 SH          SOLE       1        9,198           -       -
TEKELEC                         EQUITY       879101103     731     50,693 SH          SOLE       1       50,693           -       -
TEKTRONIX INC                   EQUITY       879131100       4        105 SH          SOLE       2          105           -       -
TEKTRONIX INC                   EQUITY       879131100    1280     37,931 SH          SOLE       1       37,931           -       -
TELE NORTE LESTE PARTICIPACOES  EQUITY       879246106     525     27,680 SH         DEFINED     4            -           -  27,680
TELEBRAS                        EQUITY       879287308       6        164 SH         DEFINED     4            -           -     164
TELEDYNE TECHNOLOGIES INC       EQUITY       879360105    1337     29,089 SH          SOLE       1       29,089           -       -
TELEFLEX INC                    EQUITY       879369106    7923     96,876 SH          SOLE       1       96,876           -       -
TELEPHONE & DATA SYSTEMS INC    EQUITY       879433100   16056    256,609 SH          SOLE       1      256,609           -       -
TELETECH HOLDINGS INC           EQUITY       879939106    1129     34,777 SH          SOLE       1       34,777           -       -
TELETECH HOLDINGS INC           EQUITY       879939106     724     22,300 SH          SOLE       2       22,300           -       -





                                                                                           
TELIK INC                       EQUITY       87959M109     148     43,651 SH          SOLE       1       43,651           -       -
TELLABS INC                     EQUITY       879664100       6        564 SH          SOLE       2          564           -       -
TELLABS INC                     EQUITY       879664100    2327    216,262 SH          SOLE       1      216,262           -       -
TELUS CORP                      EQUITY       87971M202     195      3,311 SH          OTHER      1            -       3,311       -
TEMPLE-INLAND INC               EQUITY       879868107       8        136 SH          SOLE       2          136           -       -
TEMPLE-INLAND INC               EQUITY       879868107    3022     49,112 SH          SOLE       1       49,112           -       -
TEMPLETON EMERGING MARKETS INC  EQUITY       880192109     196     13,462 SH         DEFINED     4            -           -  13,462
TEMPLETON GLOBAL INCOME FUND    EQUITY       880198106    2621    280,653 SH         DEFINED     4            -           - 280,653
TEMPUR-PEDIC INTERNATIONAL INC  EQUITY       88023U101    2957    114,156 SH          SOLE       1      114,156           -       -
TEMPUR-PEDIC INTERNATIONAL INC  EQUITY       88023U101    2243     86,600 SH          SOLE       3       86,600           -       -
TENARIS SA                      EQUITY       88031M109    6556    133,909 SH          SOLE       1      133,909           -       -
TENET HEALTHCARE CORP           EQUITY       88033G100       4        609 SH          SOLE       2          609           -       -
TENET HEALTHCARE CORP           EQUITY       88033G100    1408    216,224 SH          SOLE       1      216,224           -       -
TENNANT CO                      EQUITY       880345103     511     14,010 SH          SOLE       1       14,010           -       -
TENNECO INC                     EQUITY       880349105    1350     38,517 SH          SOLE       1       38,517           -       -
TEPPCO PARTNERS LP              EQUITY       872384102      43        975 SH         DEFINED     4            -           -     975
TERADYNE INC                    EQUITY       880770102    1963    111,677 SH          SOLE       1      111,677           -       -
TERADYNE INC                    EQUITY       880770102       4        244 SH          SOLE       2          244           -       -
TERCICA INC                     EQUITY       88078L105     140     27,423 SH          SOLE       1       27,423           -       -
TEREX CORP                      EQUITY       880779103      11        133 SH          SOLE       2          133           -       -
TEREX CORP                      EQUITY       880779103      24        300 SH         DEFINED     4            -           -     300
TEREX CORP                      EQUITY       880779103    4770     58,673 SH          SOLE       1       58,673           -       -
TERRA INDUSTRIES INC            EQUITY       880915103    3896    153,256 SH          SOLE       1      153,256           -       -
TERRA INDUSTRIES INC            EQUITY       880915103     867     34,100 SH          SOLE       2       34,100           -       -
TERREMARK WORLDWIDE INC         EQUITY       881448203     258     40,076 SH          SOLE       1       40,076           -       -
TESORO CORP                     EQUITY       881609101    9726    170,188 SH          SOLE       1      170,188           -       -
TESSERA TECHNOLOGIES INC        EQUITY       88164L100     900     22,200 SH          SOLE       2       22,200           -       -
TESSERA TECHNOLOGIES INC        EQUITY       88164L100    1617     39,876 SH          SOLE       1       39,876           -       -
TETRA TECH INC                  EQUITY       88162G103    1042     48,340 SH          SOLE       1       48,340           -       -
TETRA TECHNOLOGIES INC          EQUITY       88162F105    1567     55,567 SH         DEFINED     4            -           -  55,567
TEVA PHARMACEUTICAL INDUSTRIES  EQUITY       881624209      32        782 SH         DEFINED     4            -           -     782
TEVA PHARMACEUTICAL INDUSTRIES  EQUITY       881624209   11404    276,462 SH          SOLE       1      276,462           -       -
TEXAS CAPITAL BANCSHARES INC    EQUITY       88224Q107     436     19,493 SH          SOLE       1       19,493           -       -
TEXAS INDUSTRIES INC            EQUITY       882491103    1782     22,722 SH          SOLE       1       22,722           -       -
TEXAS INSTRUMENTS INC           EQUITY       882508104       8        203 SH         DEFINED     4            -           -     203
TEXAS INSTRUMENTS INC           EQUITY       882508104   10842    288,132 SH          SOLE       2      288,132           -       -
TEXAS INSTRUMENTS INC           EQUITY       882508104   57872  1,537,933 SH          SOLE       1    1,537,933           -       -
TEXAS PACIFIC LAND TRUST        EQUITY       882610108      16         51 SH         DEFINED     4            -           -      51
TEXAS ROADHOUSE INC             EQUITY       882681109     561     43,826 SH          SOLE       1       43,826           -       -
TEXTRON INC                     EQUITY       883203101    3751     34,062 SH          SOLE       2       34,062           -       -
TEXTRON INC                     EQUITY       883203101    6271     56,949 SH          SOLE       1       56,949           -       -
TFS FINANCIAL CORP              EQUITY       87240R107      42      3,660 SH          SOLE       1        3,660           -       -
THERAGENICS CORP                EQUITY       883375107      75     17,900 SH          SOLE       1       17,900           -       -
THERAVANCE INC                  EQUITY       88338T104    2294     71,684 SH          SOLE       1       71,684           -       -
THERMO FISHER SCIENTIFIC INC    EQUITY       883556102    4848     93,744 SH          SOLE       2       93,744           -       -
THERMO FISHER SCIENTIFIC INC    EQUITY       883556102    9396    181,664 SH          SOLE       1      181,664           -       -
THESTREET.COM INC               EQUITY       88368Q103     187     17,205 SH          SOLE       1       17,205           -       -
THOMAS & BETTS CORP             EQUITY       884315102    7217    124,436 SH          SOLE       1      124,436           -       -
THOMAS PROPERTIES GROUP INC     EQUITY       884453101     316     19,757 SH          SOLE       1       19,757           -       -
THOMAS WEISEL PARTNERS GROUP I  EQUITY       884481102     926     55,605 SH          SOLE       1       55,605           -       -
THOMSON                         EQUITY       885118109      49      2,658 SH         DEFINED     4            -           -   2,658
THOMSON CORP/THE                EQUITY       884903105     196      4,783 SH          OTHER      1            -       4,783       -
THOR INDUSTRIES INC             EQUITY       885160101    3959     87,703 SH          SOLE       1       87,703           -       -
THOR INDUSTRIES INC             EQUITY       885160101      19        419 SH         DEFINED     4            -           -     419
THORATEC CORP                   EQUITY       885175307    1621     88,169 SH          SOLE       1       88,169           -       -
THORNBURG MORTGAGE INC          EQUITY       885218107     119      4,552 SH          SOLE       1        4,552           -       -





                                                                                           
THQ INC                         EQUITY       872443403       6        200 SH         DEFINED     4            -           -     200
THQ INC                         EQUITY       872443403    2636     86,377 SH          SOLE       1       86,377           -       -
TIBCO SOFTWARE INC              EQUITY       88632Q103     397     43,900 SH          SOLE       2       43,900           -       -
TIBCO SOFTWARE INC              EQUITY       88632Q103    1570    173,482 SH          SOLE       1      173,482           -       -
TIDEWATER INC                   EQUITY       886423102      18        260 SH         DEFINED     4            -           -     260
TIDEWATER INC                   EQUITY       886423102   10047    141,752 SH          SOLE       1      141,752           -       -
TIENS BIOTECH GROUP USA INC     EQUITY       88650T104      11      2,908 SH          SOLE       1        2,908           -       -
TIERONE CORP                    EQUITY       88650R108     452     15,022 SH          SOLE       1       15,022           -       -
TIFFANY & CO                    EQUITY       886547108     566     10,676 SH          SOLE       2       10,676           -       -
TIFFANY & CO                    EQUITY       886547108    3194     60,197 SH          SOLE       1       60,197           -       -
TIMBERLAND CO                   EQUITY       887100105      18        733 SH         DEFINED     4            -           -     733
TIMBERLAND CO                   EQUITY       887100105    4073    161,686 SH          SOLE       1      161,686           -       -
TIME WARNER CABLE INC           EQUITY       88732J108    6652    169,818 SH          SOLE       1      169,818           -       -
TIME WARNER CABLE INC           EQUITY       88732J108    9221    235,400 SH          SOLE       2      235,400           -       -
TIME WARNER INC                 EQUITY       887317105      10        465 SH         DEFINED     4            -           -     465
TIME WARNER INC                 EQUITY       887317105    3962    188,298 SH          SOLE       2      188,298           -       -
TIME WARNER INC                 EQUITY       887317105   69470  3,301,789 SH          SOLE       1    3,301,789           -       -
TIME WARNER TELECOM INC         EQUITY       887319101    2420    120,407 SH          SOLE       1      120,407           -       -
TIME WARNER TELECOM INC         EQUITY       887319101   10068    500,900 SH          SOLE       2      500,900           -       -
TIMKEN CO                       EQUITY       887389104    8406    232,775 SH          SOLE       1      232,775           -       -
TITAN INTERNATIONAL INC         EQUITY       88830M102     633     20,040 SH          SOLE       1       20,040           -       -
TITANIUM METALS CORP            EQUITY       888339207      36      1,139 SH          SOLE       1        1,139           -       -
TIVO INC                        EQUITY       888706108     470     81,107 SH          SOLE       1       81,107           -       -
TJX COS INC                     EQUITY       872540109      16        586 SH          SOLE       2          586           -       -
TJX COS INC                     EQUITY       872540109   30622  1,113,513 SH          SOLE       1    1,113,513           -       -
TNS INC                         EQUITY       872960109     290     20,143 SH          SOLE       1       20,143           -       -
TODCO                           EQUITY       88889T107     214      4,527 SH          SOLE       1        4,527           -       -
TOLL BROTHERS INC               EQUITY       889478103       2        100 SH         DEFINED     4            -           -     100
TOLL BROTHERS INC               EQUITY       889478103    7825    313,238 SH          SOLE       1      313,238           -       -
TOMOTHERAPY INC                 EQUITY       890088107     214      9,775 SH          SOLE       1        9,775           -       -
TOMPKINS FINANCIAL CORP         EQUITY       890110109     205      5,470 SH          SOLE       1        5,470           -       -
TOOTSIE ROLL INDUSTRIES INC     EQUITY       890516107    2655     95,811 SH          SOLE       1       95,811           -       -
TOPPS CO INC/THE                EQUITY       890786106     295     28,092 SH          SOLE       1       28,092           -       -
TORCHMARK CORP                  EQUITY       891027104       8        123 SH          SOLE       2          123           -       -
TORCHMARK CORP                  EQUITY       891027104    3617     53,990 SH          SOLE       1       53,990           -       -
TOREADOR RESOURCES CORP         EQUITY       891050106     189     12,574 SH          SOLE       1       12,574           -       -
TORO CO                         EQUITY       891092108     586      9,956 SH          SOLE       1        9,956           -       -
TORONTO-DOMINION BANK           EQUITY       891160509   14607    213,184 SH          OTHER      1            -     213,184       -
TOTAL SYSTEM SERVICES INC       EQUITY       891906109      79      2,683 SH          SOLE       1        2,683           -       -
TOWER GROUP INC                 EQUITY       891777104     529     16,590 SH          SOLE       1       16,590           -       -
TOWN SPORTS INTERNATIONAL HOLD  EQUITY       89214A102     261     13,517 SH          SOLE       1       13,517           -       -
TOYOTA MOTOR CORP               EQUITY       892331307      11         85 SH         DEFINED     4            -           -      85
TRACTOR SUPPLY CO               EQUITY       892356106      27        514 SH          SOLE       1          514           -       -
TRADESTATION GROUP INC          EQUITY       89267P105     281     24,108 SH          SOLE       1       24,108           -       -
TRADESTATION GROUP INC          EQUITY       89267P105    3215    276,000 SH          SOLE       2      276,000           -       -
TRANSALTA CORP                  EQUITY       89346D107      93      3,697 SH          OTHER      1            -       3,697       -
TRANSATLANTIC HOLDINGS INC      EQUITY       893521104      57        800 SH          SOLE       1          800           -       -
TRANSATLANTIC HOLDINGS INC      EQUITY       893521104 2780661 39,092,662 SH          SOLE       1   39,092,662           -       -
TRANSCANADA CORP                EQUITY       89353D107     379     10,997 SH          OTHER      1            -      10,997       -
TRANSDIGM GROUP INC             EQUITY       893641100     316      7,805 SH          SOLE       1        7,805           -       -
TRANSMERIDIAN EXPLORATION INC   EQUITY       89376N108     192    109,160 SH          SOLE       1      109,160           -       -
TRANSOCEAN INC                  EQUITY       G90078109      39        371 SH          SOLE       2          371           -       -
TRANSOCEAN INC                  EQUITY       G90078109    2024     19,094 SH         DEFINED     4            -           -  19,094
TRAVELCENTERS OF AMERICA LLC    EQUITY       894174101       6        146 SH         DEFINED     4            -           -     146
TRAVELERS COS INC/THE           EQUITY       89417E109   72614  1,357,303 SH          SOLE       1    1,357,303           -       -
TRAVELERS COS INC/THE           EQUITY       89417E109      22        406 SH         DEFINED     4            -           -     406





                                                                                           
TRAVELERS COS INC/THE           EQUITY       89417E109      46        855 SH          SOLE       2          855           -       -
TRAVELZOO INC                   EQUITY       89421Q106     166      6,255 SH          SOLE       1        6,255           -       -
TREDEGAR CORP                   EQUITY       894650100    1682     78,957 SH          SOLE       1       78,957           -       -
TREEHOUSE FOODS INC             EQUITY       89469A104     691     25,962 SH          SOLE       1       25,962           -       -
TREX CO INC                     EQUITY       89531P105     195      9,945 SH          SOLE       1        9,945           -       -
TRIAD GUARANTY INC              EQUITY       895925105     380      9,528 SH          SOLE       1        9,528           -       -
TRIAD HOSPITALS INC             EQUITY       89579K109   11853    220,486 SH          SOLE       1      220,486           -       -
TRIARC COS INC                  EQUITY       895927309     823     52,398 SH          SOLE       1       52,398           -       -
TRIBUNE CO                      EQUITY       896047107       3        109 SH          SOLE       2          109           -       -
TRIBUNE CO                      EQUITY       896047107    1167     39,677 SH          SOLE       1       39,677           -       -
TRICO BANCSHARES                EQUITY       896095106     261     11,668 SH          SOLE       1       11,668           -       -
TRICO MARINE SERVICES INC       EQUITY       896106200    2599     63,588 SH          SOLE       2       63,588           -       -
TRICO MARINE SERVICES INC       EQUITY       896106200   30056    735,226 SH          SOLE       1      735,226           -       -
TRIDENT MICROSYSTEMS INC        EQUITY       895919108      15        800 SH         DEFINED     4            -           -     800
TRIDENT MICROSYSTEMS INC        EQUITY       895919108     872     47,514 SH          SOLE       1       47,514           -       -
TRIMAS CORP                     EQUITY       896215209     135     11,152 SH          SOLE       1       11,152           -       -
TRIMBLE NAVIGATION LTD          EQUITY       896239100     119      3,688 SH          SOLE       1        3,688           -       -
TRINITY INDUSTRIES INC          EQUITY       896522109       5        114 SH         DEFINED     4            -           -     114
TRINITY INDUSTRIES INC          EQUITY       896522109    8552    196,425 SH          SOLE       1      196,425           -       -
TRIQUINT SEMICONDUCTOR INC      EQUITY       89674K103    2300    454,562 SH          SOLE       1      454,562           -       -
TRIUMPH GROUP INC               EQUITY       896818101     897     13,704 SH          SOLE       1       13,704           -       -
TRIZETTO GROUP                  EQUITY       896882107    1405     72,549 SH          SOLE       1       72,549           -       -
TRONOX INC                      EQUITY       897051207     485     34,492 SH          SOLE       1       34,492           -       -
TRUBION PHARMACEUTICALS INC     EQUITY       89778N102     151      7,225 SH          SOLE       1        7,225           -       -
TRUE RELIGION APPAREL INC       EQUITY       89784N104     236     11,606 SH          SOLE       1       11,606           -       -
TRUMP ENTERTAINMENT RESORTS IN  EQUITY       89816T103    3545    282,500 SH          SOLE       2      282,500           -       -
TRUMP ENTERTAINMENT RESORTS IN  EQUITY       89816T103     326     25,876 SH          SOLE       1       25,876           -       -
TRUSTCO BANK CORP NY            EQUITY       898349105     618     62,502 SH          SOLE       1       62,502           -       -
TRUSTMARK CORP                  EQUITY       898402102      26      1,000 SH         DEFINED     4            -           -   1,000
TRUSTMARK CORP                  EQUITY       898402102    1053     40,722 SH          SOLE       1       40,722           -       -
TRW AUTOMOTIVE HOLDINGS CORP    EQUITY       87264S106      59      1,599 SH          SOLE       1        1,599           -       -
TSAKOS ENERGY NAVIGATION LTD    EQUITY       G9108L108    4894     70,000 SH          SOLE       2       70,000           -       -
TSMC                            EQUITY       874039100      10        862 SH         DEFINED     4            -           -     862
TSMC                            EQUITY       874039100    5403    485,414 SH          SOLE       1      485,414           -       -
TTM TECHNOLOGIES INC            EQUITY       87305R109     456     35,103 SH          SOLE       1       35,103           -       -
TUESDAY MORNING CORP            EQUITY       899035505     309     24,963 SH          SOLE       1       24,963           -       -
TUPPERWARE BRANDS CORP          EQUITY       899896104    5772    200,843 SH          SOLE       1      200,843           -       -
TURBOCHEF TECHNOLOGIES INC      EQUITY       900006206     228     16,359 SH          SOLE       1       16,359           -       -
TWEEN BRANDS INC                EQUITY       901166108    1138     25,526 SH          SOLE       1       25,526           -       -
TWIN DISC INC                   EQUITY       901476101     273      3,800 SH          SOLE       1        3,800           -       -
TXCO RESOURCES INC              EQUITY       87311M102     288     28,046 SH          SOLE       1       28,046           -       -
TXU CORP                        EQUITY       873168108   25666    381,366 SH          SOLE       1      381,366           -       -
TXU CORP                        EQUITY       873168108       7        100 SH         DEFINED     4            -           -     100
TXU CORP                        EQUITY       873168108      40        592 SH          SOLE       2          592           -       -
TYCO INTERNATIONAL LTD          EQUITY       902124106      86      2,554 SH          SOLE       2        2,554           -       -
TYCO INTERNATIONAL LTD          EQUITY       902124106     274      8,110 SH         DEFINED     4            -           -   8,110
TYCO INTERNATIONAL LTD          EQUITY       902124106   49922  1,477,416 SH          SOLE       1    1,477,416           -       -
TYLER TECHNOLOGIES INC          EQUITY       902252105     402     32,405 SH          SOLE       1       32,405           -       -
TYSON FOODS INC                 EQUITY       902494103    2747    119,228 SH          SOLE       1      119,228           -       -
TYSON FOODS INC                 EQUITY       902494103       8        326 SH          SOLE       2          326           -       -
UAL CORP                        EQUITY       902549807    1204     29,663 SH          SOLE       1       29,663           -       -
UAP HOLDING CORP                EQUITY       903441103    1291     42,831 SH          SOLE       1       42,831           -       -
UCBH HOLDINGS INC               EQUITY       90262T308    1519     83,127 SH          SOLE       1       83,127           -       -
UDR INC                         EQUITY       902653104   10218    388,516 SH          SOLE       1      388,516           -       -
UGI CORP                        EQUITY       902681105       9        325 SH         DEFINED     4            -           -     325
UGI CORP                        EQUITY       902681105     109      4,002 SH          SOLE       1        4,002           -       -





                                                                                           
UIL HOLDINGS CORP               EQUITY       902748102     696     21,031 SH          SOLE       1       21,031           -       -
ULTIMATE SOFTWARE GROUP INC     EQUITY       90385D107     594     20,532 SH          SOLE       1       20,532           -       -
ULTRA CLEAN HOLDINGS            EQUITY       90385V107     221     15,789 SH          SOLE       1       15,789           -       -
ULTRA CLEAN HOLDINGS            EQUITY       90385V107    1698    121,467 SH         DEFINED     4            -           - 121,467
ULTRASHORT FINANCIALS PROSHARE  EQUITY       74347R628     117      1,587 SH         DEFINED     4            -           -   1,587
ULTRASHORT QQQ PROSHARES        EQUITY       74347R875     971     21,298 SH         DEFINED     4            -           -  21,298
ULTRASHORT REAL ESTATE PROSHAR  EQUITY       74347R552      77        838 SH         DEFINED     4            -           -     838
ULTRASHORT S&P500 PROSHARES     EQUITY       74347R883    1049     19,895 SH         DEFINED     4            -           -  19,895
ULTRATECH INC                   EQUITY       904034105     258     19,330 SH          SOLE       1       19,330           -       -
UMB FINANCIAL CORP              EQUITY       902788108     950     25,765 SH          SOLE       1       25,765           -       -
UMPQUA HOLDINGS CORP            EQUITY       904214103    1779     75,650 SH          SOLE       1       75,650           -       -
UNDER ARMOUR INC                EQUITY       904311107   25905    567,421 SH          SOLE       1      567,421           -       -
UNIBANCO                        EQUITY       90458E107   35304    312,781 SH          SOLE       1      312,781           -       -
UNICA CORP                      EQUITY       904583101     135      8,161 SH          SOLE       1        8,161           -       -
UNIFI INC                       EQUITY       904677101    3724  1,421,500 SH          SOLE       1    1,421,500           -       -
UNIFIRST CORP/MA                EQUITY       904708104     525     11,912 SH          SOLE       1       11,912           -       -
UNILEVER PLC                    EQUITY       904767704      19        594 SH         DEFINED     4            -           -     594
UNION BANKSHARES CORP/VA        EQUITY       905399101     258     11,107 SH          SOLE       1       11,107           -       -
UNION DRILLING INC              EQUITY       90653P105     188     11,471 SH          SOLE       1       11,471           -       -
UNION PACIFIC CORP              EQUITY       907818108       9         79 SH         DEFINED     4            -           -      79
UNION PACIFIC CORP              EQUITY       907818108      40        349 SH          SOLE       2          349           -       -
UNION PACIFIC CORP              EQUITY       907818108   13483    117,089 SH          SOLE       1      117,089           -       -
UNIONBANCAL CORP                EQUITY       908906100     108      1,801 SH          SOLE       1        1,801           -       -
UNISOURCE ENERGY CORP           EQUITY       909205106     965     29,350 SH          SOLE       1       29,350           -       -
UNISYS CORP                     EQUITY       909214108       4        448 SH          SOLE       2          448           -       -
UNISYS CORP                     EQUITY       909214108    1494    163,478 SH          SOLE       1      163,478           -       -
UNIT CORP                       EQUITY       909218109      72      1,152 SH          SOLE       1        1,152           -       -
UNITED AMERICA INDEMNITY LTD    EQUITY       90933T109     510     20,522 SH          SOLE       1       20,522           -       -
UNITED BANKSHARES INC           EQUITY       909907107     952     29,925 SH          SOLE       1       29,925           -       -
UNITED COMMUNITY BANKS INC/GA   EQUITY       90984P105     126      4,886 SH         DEFINED     4            -           -   4,886
UNITED COMMUNITY BANKS INC/GA   EQUITY       90984P105     790     30,530 SH          SOLE       1       30,530           -       -
UNITED COMMUNITY FINANCIAL COR  EQUITY       909839102     223     22,315 SH          SOLE       1       22,315           -       -
UNITED FIRE & CASUALTY CO       EQUITY       910331107     645     18,224 SH          SOLE       1       18,224           -       -
UNITED INDUSTRIAL CORP/NEW YOR  EQUITY       910671106     425      7,085 SH          SOLE       1        7,085           -       -
UNITED INDUSTRIAL CORP/NEW YOR  EQUITY       910671106     726     12,100 SH          SOLE       2       12,100           -       -
UNITED NATURAL FOODS INC        EQUITY       911163103     947     35,614 SH          SOLE       1       35,614           -       -
UNITED ONLINE INC               EQUITY       911268100    1720    104,327 SH          SOLE       1      104,327           -       -
UNITED PARCEL SERVICE INC       EQUITY       911312106    5863     80,315 SH          SOLE       2       80,315           -       -
UNITED PARCEL SERVICE INC       EQUITY       911312106   80532  1,103,179 SH          SOLE       1    1,103,179           -       -
UNITED PARCEL SERVICE INC       EQUITY       911312106     164      2,242 SH         DEFINED     4            -           -   2,242
UNITED RENTALS INC              EQUITY       911363109    5378    165,276 SH          SOLE       1      165,276           -       -
UNITED RETAIL GROUP INC         EQUITY       911380103       3        250 SH         DEFINED     4            -           -     250
UNITED SECURITY BANCSHARES/FRE  EQUITY       911460103     139      6,804 SH          SOLE       1        6,804           -       -
UNITED STATES OIL FUND LP       EQUITY       91232N108      18        335 SH         DEFINED     4            -           -     335
UNITED STATES STEEL CORP        EQUITY       912909108      17        152 SH          SOLE       2          152           -       -
UNITED STATES STEEL CORP        EQUITY       912909108      30        274 SH         DEFINED     4            -           -     274
UNITED STATES STEEL CORP        EQUITY       912909108   12801    117,709 SH          SOLE       1      117,709           -       -
UNITED STATIONERS INC           EQUITY       913004107    2457     36,872 SH          SOLE       1       36,872           -       -
UNITED TECHNOLOGIES CORP        EQUITY       913017109      26        360 SH         DEFINED     4            -           -     360
UNITED TECHNOLOGIES CORP        EQUITY       913017109   60824    857,525 SH          SOLE       2      857,525           -       -
UNITED TECHNOLOGIES CORP        EQUITY       913017109  124272  1,752,004 SH          SOLE       1    1,752,004           -       -
UNITED THERAPEUTICS CORP        EQUITY       91307C102     383      6,000 SH          SOLE       2        6,000           -       -
UNITED THERAPEUTICS CORP        EQUITY       91307C102    1103     17,293 SH          SOLE       1       17,293           -       -
UNITEDHEALTH GROUP INC          EQUITY       91324P102      26        513 SH         DEFINED     4            -           -     513
UNITEDHEALTH GROUP INC          EQUITY       91324P102   61744  1,207,345 SH          SOLE       1    1,207,345           -       -
UNITEDHEALTH GROUP INC          EQUITY       91324P102   71521  1,398,543 SH          SOLE       2    1,398,543           -       -





                                                                                           
UNITRIN INC                     EQUITY       913275103    4850     98,619 SH          SOLE       1       98,619           -       -
UNIVERSAL AMERICAN FINANCIAL C  EQUITY       913377107     695     32,645 SH          SOLE       1       32,645           -       -
UNIVERSAL COMPRESSION HOLDINGS  EQUITY       913431102    1823     25,161 SH          SOLE       1       25,161           -       -
UNIVERSAL CORP/RICHMOND VA      EQUITY       913456109    5220     85,688 SH          SOLE       1       85,688           -       -
UNIVERSAL DISPLAY CORP          EQUITY       91347P105     323     20,579 SH          SOLE       1       20,579           -       -
UNIVERSAL ELECTRONICS INC       EQUITY       913483103     436     11,995 SH          SOLE       1       11,995           -       -
UNIVERSAL FOREST PRODUCTS INC   EQUITY       913543104     587     13,888 SH          SOLE       1       13,888           -       -
UNIVERSAL HEALTH SERVICES INC   EQUITY       913903100    8155    132,606 SH          SOLE       1      132,606           -       -
UNIVERSAL STAINLESS & ALLOY     EQUITY       913837100     195      5,523 SH          SOLE       1        5,523           -       -
UNIVERSAL TECHNICAL INSTITUTE   EQUITY       913915104     497     19,576 SH          SOLE       1       19,576           -       -
UNIVERSAL TRUCKLOAD SERVICES I  EQUITY       91388P105      98      4,935 SH          SOLE       1        4,935           -       -
UNIVEST CORP OF PENNSYLVANIA    EQUITY       915271100     243     10,799 SH          SOLE       1       10,799           -       -
UNUM GROUP                      EQUITY       91529Y106      12        442 SH          SOLE       2          442           -       -
UNUM GROUP                      EQUITY       91529Y106    4206    161,085 SH          SOLE       1      161,085           -       -
URANIUM RESOURCES INC           EQUITY       916901507     479     43,418 SH          SOLE       1       43,418           -       -
URBAN OUTFITTERS INC            EQUITY       917047102    6592    274,326 SH          SOLE       1      274,326           -       -
URS CORP                        EQUITY       903236107      87      1,785 SH          SOLE       1        1,785           -       -
URSTADT BIDDLE PROPERTIES INC   EQUITY       917286205     299     17,591 SH          SOLE       1       17,591           -       -
US AIRWAYS GROUP INC/NEW        EQUITY       90341W108     252      8,315 SH          SOLE       1        8,315           -       -
US AIRWAYS GROUP INC/NEW        EQUITY       90341W108    7604    251,200 SH          SOLE       2      251,200           -       -
US BANCORP                      EQUITY       902973304    4928    149,555 SH          SOLE       2      149,555           -       -
US BANCORP                      EQUITY       902973304   44513  1,350,940 SH          SOLE       1    1,350,940           -       -
US BANCORP                      EQUITY       902973304     148      4,479 SH         DEFINED     4            -           -   4,479
US BIOENERGY CORP               EQUITY       90342V109     109      9,618 SH          SOLE       1        9,618           -       -
US CELLULAR CORP                EQUITY       911684108      49        545 SH          SOLE       1          545           -       -
US CONCRETE INC                 EQUITY       90333L102     246     28,288 SH          SOLE       1       28,288           -       -
US GLOBAL INVESTORS INC         EQUITY       902952100     223      9,829 SH          SOLE       1        9,829           -       -
US GOLD CORP                    EQUITY       912023207     211     38,311 SH          SOLE       1       38,311           -       -
USA MOBILITY INC                EQUITY       90341G103     514     19,206 SH          SOLE       1       19,206           -       -
USANA HEALTH SCIENCES INC       EQUITY       90328M107     314      7,019 SH          SOLE       1        7,019           -       -
USB HOLDING CO INC              EQUITY       902910108     179      9,397 SH          SOLE       1        9,397           -       -
USEC INC                        EQUITY       90333E108      22      1,010 SH         DEFINED     4            -           -   1,010
USEC INC                        EQUITY       90333E108    3502    159,334 SH          SOLE       1      159,334           -       -
USG CORP                        EQUITY       903293405     148      3,019 SH          SOLE       1        3,019           -       -
UST INC                         EQUITY       902911106    5468    101,806 SH          SOLE       2      101,806           -       -
UST INC                         EQUITY       902911106   42085    783,560 SH          SOLE       1      783,560           -       -
UTI WORLDWIDE INC               EQUITY       G87210103    4268    159,300 SH          SOLE       2      159,300           -       -
UTILITIES SELECT SECTOR SPDR F  EQUITY       81369Y886      37        935 SH         DEFINED     4            -           -     935
UTSTARCOM INC                   EQUITY       918076100    1949    347,382 SH          SOLE       1      347,382           -       -
VAALCO ENERGY INC               EQUITY       91851C201     238     49,182 SH          SOLE       1       49,182           -       -
VAIL RESORTS INC                EQUITY       91879Q109    1591     26,140 SH          SOLE       1       26,140           -       -
VALASSIS COMMUNICATIONS INC     EQUITY       918866104    2689    156,440 SH          SOLE       1      156,440           -       -
VALEANT PHARMACEUTICALS INTERN  EQUITY       91911X104    5167    309,567 SH          SOLE       1      309,567           -       -
VALERO ENERGY CORP              EQUITY       91913Y100     537      7,274 SH          SOLE       2        7,274           -       -
VALERO ENERGY CORP              EQUITY       91913Y100    1427     19,323 SH         DEFINED     4            -           -  19,323
VALERO ENERGY CORP              EQUITY       91913Y100   17441    236,137 SH          SOLE       1      236,137           -       -
VALHI INC                       EQUITY       918905100      91      5,604 SH          SOLE       1        5,604           -       -
VALMONT INDUSTRIES INC          EQUITY       920253101    1126     15,480 SH          SOLE       1       15,480           -       -
VALSPAR CORP                    EQUITY       920355104    7042    247,864 SH          SOLE       1      247,864           -       -
VALUE LINE INC                  EQUITY       920437100      49      1,121 SH          SOLE       1        1,121           -       -
VALUECLICK INC                  EQUITY       92046N102     374     12,690 SH         DEFINED     4            -           -  12,690
VALUECLICK INC                  EQUITY       92046N102   10170    345,204 SH          SOLE       1      345,204           -       -
VALUEVISION MEDIA INC           EQUITY       92047K107     289     25,526 SH          SOLE       1       25,526           -       -
VAN KAMPEN SENIOR INCOME TRUST  EQUITY       920961109      22      2,500 SH         DEFINED     4            -           -   2,500
VAN KAMPEN TRUST FOR INSURED M  EQUITY       920928108      37      2,504 SH         DEFINED     4            -           -   2,504
VAN KAMPEN TRUST FOR INVESTMEN  EQUITY       920929106      40      2,640 SH         DEFINED     4            -           -   2,640





                                                                                           
VANDA PHARMACEUTICALS INC       EQUITY       921659108     448     22,115 SH          SOLE       1       22,115           -       -
VANGUARD EMERGING MARKETS ETF   EQUITY       922042858      32        355 SH         DEFINED     4            -           -     355
VANGUARD HEALTH CARE ETF        EQUITY       92204A504      21        345 SH         DEFINED     4            -           -     345
VANGUARD TELECOMMUNICATION SER  EQUITY       92204A884      77        927 SH         DEFINED     4            -           -     927
VARIAN INC                      EQUITY       922206107    5484    100,014 SH          SOLE       1      100,014           -       -
VARIAN MEDICAL SYSTEMS INC      EQUITY       92220P105     391      9,196 SH         DEFINED     4            -           -   9,196
VARIAN MEDICAL SYSTEMS INC      EQUITY       92220P105    2409     56,662 SH          SOLE       1       56,662           -       -
VARIAN MEDICAL SYSTEMS INC      EQUITY       92220P105    9270    218,064 SH          SOLE       2      218,064           -       -
VARIAN SEMICONDUCTOR EQUIPMENT  EQUITY       922207105      29        733 SH         DEFINED     4            -           -     733
VARIAN SEMICONDUCTOR EQUIPMENT  EQUITY       922207105      77      1,912 SH          SOLE       1        1,912           -       -
VARIAN SEMICONDUCTOR EQUIPMENT  EQUITY       922207105     387      9,650 SH          SOLE       2        9,650           -       -
VASCO DATA SECURITY INTERNATIO  EQUITY       92230Y104     495     21,770 SH          SOLE       1       21,770           -       -
VASCO DATA SECURITY INTERNATIO  EQUITY       92230Y104     986     43,300 SH          SOLE       2       43,300           -       -
VCA ANTECH INC                  EQUITY       918194101    7782    206,485 SH          SOLE       1      206,485           -       -
VECTOR GROUP LTD                EQUITY       92240M108     555     24,620 SH          SOLE       1       24,620           -       -
VECTOR GROUP LTD                EQUITY       92240M108      36      1,588 SH         DEFINED     4            -           -   1,588
VECTREN CORP                    EQUITY       92240G101    9336    346,682 SH          SOLE       1      346,682           -       -
VEECO INSTRUMENTS INC           EQUITY       922417100     538     25,925 SH          SOLE       1       25,925           -       -
VENOCO INC                      EQUITY       92275P307     194     10,377 SH          SOLE       1       10,377           -       -
VENTANA MEDICAL SYSTEMS INC     EQUITY       92276H106     850     11,000 SH          SOLE       2       11,000           -       -
VENTANA MEDICAL SYSTEMS INC     EQUITY       92276H106    8155    105,539 SH          SOLE       1      105,539           -       -
VENTAS INC                      EQUITY       92276F100    7955    219,454 SH          SOLE       1      219,454           -       -
VERASUN ENERGY CORP             EQUITY       92336G106     397     27,451 SH          SOLE       1       27,451           -       -
VERAZ NETWORKS INC              EQUITY       923359103      49      7,537 SH          SOLE       1        7,537           -       -
VERIFONE HOLDINGS INC           EQUITY       92342Y109    1720     48,800 SH          SOLE       1       48,800           -       -
VERIFONE HOLDINGS INC           EQUITY       92342Y109    6902    195,800 SH          SOLE       2      195,800           -       -
VERIGY LTD                      EQUITY       Y93691106     761     26,600 SH          SOLE       2       26,600           -       -
VERISIGN INC                    EQUITY       92343E102      10        316 SH          SOLE       2          316           -       -
VERISIGN INC                    EQUITY       92343E102    3868    121,913 SH          SOLE       1      121,913           -       -
VERIZON COMMUNICATIONS INC      EQUITY       92343V104   20947    508,792 SH          SOLE       2      508,792           -       -
VERIZON COMMUNICATIONS INC      EQUITY       92343V104   80785  1,962,219 SH          SOLE       1    1,962,219           -       -
VERIZON COMMUNICATIONS INC      EQUITY       92343V104     200      4,858 SH         DEFINED     4            -           -   4,858
VERTEX PHARMACEUTICALS INC      EQUITY       92532F100    9381    328,475 SH          SOLE       1      328,475           -       -
VERTRUE INC                     EQUITY       92534N101     305      6,255 SH          SOLE       1        6,255           -       -
VF CORP                         EQUITY       918204108       7         75 SH         DEFINED     4            -           -      75
VF CORP                         EQUITY       918204108    3669     40,060 SH          SOLE       1       40,060           -       -
VF CORP                         EQUITY       918204108    7126     77,815 SH          SOLE       2       77,815           -       -
VIACOM INC                      EQUITY       92553P201      37        888 SH          SOLE       2          888           -       -
VIACOM INC                      EQUITY       92553P201      85      2,030 SH         DEFINED     4            -           -   2,030
VIACOM INC                      EQUITY       92553P201   15204    365,228 SH          SOLE       1      365,228           -       -
VIAD CORP                       EQUITY       92552R406     739     17,535 SH          SOLE       1       17,535           -       -
VIASAT INC                      EQUITY       92552V100     647     20,160 SH          SOLE       1       20,160           -       -
VICAL INC                       EQUITY       925602104       2        300 SH         DEFINED     4            -           -     300
VICOR CORP                      EQUITY       925815102     214     16,185 SH          SOLE       1       16,185           -       -
VIEWPOINT FINANCIAL GROUP       EQUITY       926727108     166      9,656 SH          SOLE       1        9,656           -       -
VIGNETTE CORP                   EQUITY       926734401     618     32,265 SH          SOLE       1       32,265           -       -
VIGNETTE CORP                   EQUITY       926734401     228     11,925 SH         DEFINED     4            -           -  11,925
VILLAGE SUPER MARKET            EQUITY       927107409     122      2,550 SH          SOLE       1        2,550           -       -
VIMPEL-COMMUNICATIONS           EQUITY       68370R109   31142    296,320 SH          SOLE       1      296,320           -       -
VIMPEL-COMMUNICATIONS           EQUITY       68370R109       5         47 SH         DEFINED     4            -           -      47
VIRGIN MEDIA INC                EQUITY       92769L101     554     22,751 SH          SOLE       1       22,751           -       -
VIRGINIA COMMERCE BANCORP       EQUITY       92778Q109     241     14,260 SH          SOLE       1       14,260           -       -
VIROPHARMA INC                  EQUITY       928241108     869     62,973 SH          SOLE       1       62,973           -       -
VISHAY INTERTECHNOLOGY          FIXED INCOME 928298AF5       1      1,000 PRN        DEFINED     4            -           -   1,000
VISHAY INTERTECHNOLOGY INC      EQUITY       928298108    7226    456,752 SH          SOLE       1      456,752           -       -
VISICU INC                      EQUITY       92831L204     117     12,774 SH          SOLE       1       12,774           -       -





                                                                                           
VISTEON CORP                    EQUITY       92839U107     874    107,869 SH          SOLE       1      107,869           -       -
VISUAL SCIENCES INC             EQUITY       92845H108     263     16,977 SH          SOLE       1       16,977           -       -
VITAL IMAGES INC                EQUITY       92846N104     386     14,202 SH          SOLE       1       14,202           -       -
VITAL IMAGES INC                EQUITY       92846N104     405     14,900 SH          SOLE       2       14,900           -       -
VITAL SIGNS INC                 EQUITY       928469105     501      9,013 SH          SOLE       1        9,013           -       -
VIVUS INC                       EQUITY       928551100     254     48,560 SH          SOLE       1       48,560           -       -
VOCUS INC                       EQUITY       92858J108    9273    369,300 SH          SOLE       3      369,300           -       -
VOCUS INC                       EQUITY       92858J108    1137     45,284 SH          SOLE       1       45,284           -       -
VODAFONE GROUP PLC              EQUITY       92857W209     772     22,970 SH         DEFINED     4            -           -  22,970
VOLCANO CORP                    EQUITY       928645100       2        100 SH         DEFINED     4            -           -     100
VOLCANO CORP                    EQUITY       928645100     399     19,718 SH          SOLE       1       19,718           -       -
VOLCOM INC                      EQUITY       92864N101     611     12,184 SH          SOLE       1       12,184           -       -
VOLT INFORMATION SCIENCES INC   EQUITY       928703107     750     40,672 SH          SOLE       1       40,672           -       -
VOLTERRA SEMICONDUCTOR CORP     EQUITY       928708106     251     17,706 SH          SOLE       1       17,706           -       -
VONAGE HOLDINGS CORP            EQUITY       92886T201     167     53,803 SH          SOLE       1       53,803           -       -
VORNADO REALTY TRUST            EQUITY       929042109    6605     60,136 SH          SOLE       1       60,136           -       -
VORNADO REALTY TRUST            EQUITY       929042109      18        168 SH          SOLE       2          168           -       -
VOYAGEUR MINNESOTA MUNI II      EQUITY       24610V103      23      1,700 SH         DEFINED     4            -           -   1,700
VULCAN MATERIALS CO             EQUITY       929160109      14        123 SH          SOLE       2          123           -       -
VULCAN MATERIALS CO             EQUITY       929160109    4941     43,137 SH          SOLE       1       43,137           -       -
W HOLDING CO INC                EQUITY       929251106     251     94,948 SH          SOLE       1       94,948           -       -
W&T OFFSHORE INC                EQUITY       92922P106      21        763 SH          SOLE       1          763           -       -
WABASH NATIONAL CORP            EQUITY       929566107     372     25,401 SH          SOLE       1       25,401           -       -
WABTEC CORP                     EQUITY       929740108    1480     40,519 SH          SOLE       1       40,519           -       -
WACHOVIA CORP                   EQUITY       929903102   30807    601,106 SH          SOLE       2      601,106           -       -
WACHOVIA CORP                   EQUITY       929903102   63323  1,235,576 SH          SOLE       1    1,235,576           -       -
WACHOVIA CORP                   EQUITY       929903102     284      5,544 SH         DEFINED     4            -           -   5,544
WADDELL & REED FINANCIAL INC    EQUITY       930059100    7130    274,124 SH          SOLE       1      274,124           -       -
WALGREEN CO                     EQUITY       931422109     272      6,240 SH          SOLE       2        6,240           -       -
WALGREEN CO                     EQUITY       931422109   38399    881,915 SH          SOLE       1      881,915           -       -
WALGREEN CO                     EQUITY       931422109     321      7,373 SH         DEFINED     4            -           -   7,373
WAL-MART STORES INC             EQUITY       931142103     113      2,354 SH         DEFINED     4            -           -   2,354
WAL-MART STORES INC             EQUITY       931142103    6363    132,265 SH          SOLE       2      132,265           -       -
WAL-MART STORES INC             EQUITY       931142103   94682  1,968,026 SH          SOLE       1    1,968,026           -       -
WALT DISNEY CO/THE              EQUITY       254687106   87983  2,577,360 SH          SOLE       1    2,577,360           -       -
WALT DISNEY CO/THE              EQUITY       254687106      74      2,165 SH         DEFINED     4            -           -   2,165
WALT DISNEY CO/THE              EQUITY       254687106     692     20,271 SH          SOLE       2       20,271           -       -
WALT DISNEY COMPANY             FIXED INCOME 254687AU0       5      4,000 PRN        DEFINED     4            -           -   4,000
WALT DISNEY COMPANY             FIXED INCOME 254687AU0    1377  1,150,000 PRN         SOLE       1    1,150,000           -       -
WALTER INDUSTRIES INC           EQUITY       93317Q105    3030    104,616 SH          SOLE       1      104,616           -       -
WARNACO GROUP INC/THE           EQUITY       934390402      36        925 SH         DEFINED     4            -           -     925
WARNACO GROUP INC/THE           EQUITY       934390402     814     20,700 SH          SOLE       2       20,700           -       -
WARNACO GROUP INC/THE           EQUITY       934390402    1516     38,525 SH          SOLE       1       38,525           -       -
WARNER MUSIC GROUP CORP         EQUITY       934550104    6232    431,300 SH          SOLE       2      431,300           -       -
WARREN RESOURCES INC            EQUITY       93564A100     527     45,081 SH          SOLE       1       45,081           -       -
WASHINGTON FEDERAL INC          EQUITY       938824109    5247    215,844 SH          SOLE       1      215,844           -       -
WASHINGTON GROUP INTERNATIONAL  EQUITY       938862208    1943     24,282 SH          SOLE       1       24,282           -       -
WASHINGTON MUTUAL INC           EQUITY       939322103      45      1,065 SH         DEFINED     4            -           -   1,065
WASHINGTON MUTUAL INC           EQUITY       939322103      49      1,145 SH          SOLE       2        1,145           -       -
WASHINGTON MUTUAL INC           EQUITY       939322103   79742  1,870,124 SH          SOLE       1    1,870,124           -       -
WASHINGTON POST CO/THE          EQUITY       939640108   10804     13,921 SH          SOLE       1       13,921           -       -
WASHINGTON REAL ESTATE INVESTM  EQUITY       939653101      21        615 SH         DEFINED     4            -           -     615
WASHINGTON REAL ESTATE INVESTM  EQUITY       939653101    1274     37,481 SH          SOLE       1       37,481           -       -
WASHINGTON TRUST BANCORP INC    EQUITY       940610108     240      9,501 SH          SOLE       1        9,501           -       -
WASTE CONNECTIONS INC           EQUITY       941053100    1728     57,147 SH          SOLE       1       57,147           -       -
WASTE INDUSTRIES USA INC        EQUITY       941057101     144      4,210 SH          SOLE       1        4,210           -       -





                                                                                           
WASTE MANAGEMENT INC            EQUITY       94106L109       3         72 SH         DEFINED     4            -           -      72
WASTE MANAGEMENT INC            EQUITY       94106L109    3798     97,267 SH          SOLE       2       97,267           -       -
WASTE MANAGEMENT INC            EQUITY       94106L109   72829  1,864,989 SH          SOLE       1    1,864,989           -       -
WASTE SERVICES INC              EQUITY       941075202     197     16,181 SH          SOLE       1       16,181           -       -
WATERS CORP                     EQUITY       941848103       8        130 SH          SOLE       2          130           -       -
WATERS CORP                     EQUITY       941848103    2656     44,743 SH          SOLE       1       44,743           -       -
WATSCO INC                      EQUITY       942622200    1036     19,048 SH          SOLE       1       19,048           -       -
WATSON PHARMACEUTICALS          FIXED INCOME 942683AC7       3      3,000 PRN        DEFINED     4            -           -   3,000
WATSON PHARMACEUTICALS INC      EQUITY       942683103       4        132 SH          SOLE       2          132           -       -
WATSON PHARMACEUTICALS INC      EQUITY       942683103   11984    368,395 SH          SOLE       1      368,395           -       -
WATSON WYATT WORLDWIDE INC      EQUITY       942712100     606     12,000 SH          SOLE       2       12,000           -       -
WATSON WYATT WORLDWIDE INC      EQUITY       942712100    1796     35,582 SH          SOLE       1       35,582           -       -
WATTS WATER TECHNOLOGIES INC    EQUITY       942749102     980     26,143 SH          SOLE       1       26,143           -       -
WAUSAU PAPER CORP               EQUITY       943315101     496     36,989 SH          SOLE       1       36,989           -       -
WAUWATOSA HOLDINGS INC          EQUITY       94348P108     135      8,149 SH          SOLE       1        8,149           -       -
WCI COMMUNITIES INC             EQUITY       92923C104     429     25,692 SH          SOLE       1       25,692           -       -
WD-40 CO                        EQUITY       929236107     481     14,635 SH          SOLE       1       14,635           -       -
WEATHERFORD INTERNATIONAL LTD   EQUITY       G95089101      24        435 SH          SOLE       2          435           -       -
WEBMD HEALTH CORP               EQUITY       94770V102       8        161 SH          SOLE       1          161           -       -
WEBSENSE INC                    EQUITY       947684106     795     37,421 SH          SOLE       1       37,421           -       -
WEBSITE PROS INC                EQUITY       94769V105    1288    136,700 SH          SOLE       3      136,700           -       -
WEBSTER FINANCIAL CORP          EQUITY       947890109    5983    140,219 SH          SOLE       1      140,219           -       -
WEIGHT WATCHERS INTERNATIONAL   EQUITY       948626106      38        752 SH          SOLE       1          752           -       -
WEINGARTEN REALTY INVESTORS     EQUITY       948741103    7795    189,654 SH          SOLE       1      189,654           -       -
WEIS MARKETS INC                EQUITY       948849104     418     10,330 SH          SOLE       1       10,330           -       -
WELLCARE HEALTH PLANS INC       EQUITY       94946T106      21        237 SH         DEFINED     4            -           -     237
WELLCARE HEALTH PLANS INC       EQUITY       94946T106     353      3,900 SH          SOLE       2        3,900           -       -
WELLCARE HEALTH PLANS INC       EQUITY       94946T106    7873     86,989 SH          SOLE       1       86,989           -       -
WELLPOINT INC                   EQUITY       94973V107      63        791 SH          SOLE       2          791           -       -
WELLPOINT INC                   EQUITY       94973V107     679      8,501 SH         DEFINED     4            -           -   8,501
WELLPOINT INC                   EQUITY       94973V107   63960    801,171 SH          SOLE       1      801,171           -       -
WELLS FARGO & CO                EQUITY       949746101    9612    273,287 SH          SOLE       2      273,287           -       -
WELLS FARGO & CO                EQUITY       949746101  134940  3,836,795 SH          SOLE       1    3,836,795           -       -
WELLS FARGO & CO                EQUITY       949746101     234      6,641 SH         DEFINED     4            -           -   6,641
WENDY'S INTERNATIONAL INC       EQUITY       950590109       4        112 SH          SOLE       2          112           -       -
WENDY'S INTERNATIONAL INC       EQUITY       950590109    1448     39,396 SH          SOLE       1       39,396           -       -
WERNER ENTERPRISES INC          EQUITY       950755108    3164    157,001 SH          SOLE       1      157,001           -       -
WESBANCO INC                    EQUITY       950810101     513     17,391 SH          SOLE       1       17,391           -       -
WESCO FINANCIAL CORP            EQUITY       950817106      20         53 SH          SOLE       1           53           -       -
WESCO INTERNATIONAL INC         EQUITY       95082P105      59        969 SH          SOLE       1          969           -       -
WESCO INTERNATIONAL INC         EQUITY       95082P105   22306    369,000 SH          SOLE       2      369,000           -       -
WEST COAST BANCORP/OR           EQUITY       952145100     397     13,059 SH          SOLE       1       13,059           -       -
WEST MARINE INC                 EQUITY       954235107     169     12,281 SH          SOLE       1       12,281           -       -
WEST PHARMACEUTICAL SERVICES I  EQUITY       955306105    1327     28,153 SH          SOLE       1       28,153           -       -
WESTAMERICA BANCORPORATION      EQUITY       957090103    4345     98,207 SH          SOLE       1       98,207           -       -
WESTAR ENERGY INC               EQUITY       95709T100      32      1,334 SH         DEFINED     4            -           -   1,334
WESTAR ENERGY INC               EQUITY       95709T100    6969    287,034 SH          SOLE       1      287,034           -       -
WESTERN ALLIANCE BANCORP        EQUITY       957638109     412     13,791 SH          SOLE       1       13,791           -       -
WESTERN ALLIANCE BANCORP        EQUITY       957638109    3558    119,200 SH          SOLE       2      119,200           -       -
WESTERN ASSET EMERGING MARKETS  EQUITY       95766A101      18      1,019 SH         DEFINED     4            -           -   1,019
WESTERN ASSET EMERGING MARKETS  EQUITY       95766E103      42      3,186 SH         DEFINED     4            -           -   3,186
WESTERN DIGITAL CORP            EQUITY       958102105      10        512 SH         DEFINED     4            -           -     512
WESTERN DIGITAL CORP            EQUITY       958102105   10597    547,673 SH          SOLE       1      547,673           -       -
WESTERN REFINING INC            EQUITY       959319104      46        793 SH          SOLE       1          793           -       -
WESTERN REFINING INC            EQUITY       959319104      50        860 SH         DEFINED     4            -           -     860
WESTERN UNION CO/THE            EQUITY       959802109      21        995 SH          SOLE       2          995           -       -





                                                                                           
WESTERN UNION CO/THE            EQUITY       959802109    9042    434,101 SH          SOLE       1      434,101           -       -
WESTFIELD FINANCIAL INC         EQUITY       96008P104      86      8,607 SH          SOLE       1        8,607           -       -
WESTWOOD ONE INC                EQUITY       961815107    1664    231,455 SH          SOLE       1      231,455           -       -
WET SEAL INC/THE                EQUITY       961840105     422     70,169 SH          SOLE       1       70,169           -       -
WEYCO GROUP INC                 EQUITY       962149100     166      6,165 SH          SOLE       1        6,165           -       -
WEYERHAEUSER CO                 EQUITY       962166104      22        278 SH          SOLE       2          278           -       -
WEYERHAEUSER CO                 EQUITY       962166104    7261     91,998 SH          SOLE       1       91,998           -       -
WGL HOLDINGS INC                EQUITY       92924F106    5250    160,858 SH          SOLE       1      160,858           -       -
W-H ENERGY SERVICES INC         EQUITY       92925E108    1567     25,311 SH          SOLE       1       25,311           -       -
WHEELING-PITTSBURGH CORP        EQUITY       963142302     487     25,603 SH          SOLE       1       25,603           -       -
WHIRLPOOL CORP                  EQUITY       963320106       3         30 SH         DEFINED     4            -           -      30
WHIRLPOOL CORP                  EQUITY       963320106      11        102 SH          SOLE       2          102           -       -
WHIRLPOOL CORP                  EQUITY       963320106    4017     36,126 SH          SOLE       1       36,126           -       -
WHITING PETROLEUM CORP          EQUITY       966387102    1249     30,831 SH          SOLE       1       30,831           -       -
WHITNEY HOLDING CORP            EQUITY       966612103      77      2,545 SH          SOLE       1        2,545           -       -
WHITNEY HOLDING CORP            EQUITY       966612103    2863     95,100 SH          SOLE       2       95,100           -       -
WHOLE FOODS MARKET INC          EQUITY       966837106     303      7,908 SH         DEFINED     4            -           -   7,908
WHOLE FOODS MARKET INC          EQUITY       966837106    2703     70,567 SH          SOLE       1       70,567           -       -
WHOLE FOODS MARKET INC          EQUITY       966837106    5354    139,782 SH          SOLE       2      139,782           -       -
WILD OATS MARKETS INC           EQUITY       96808B107      13        750 SH         DEFINED     4            -           -     750
WILD OATS MARKETS INC           EQUITY       96808B107     424     25,286 SH          SOLE       1       25,286           -       -
WILLBROS GROUP INC              EQUITY       969199108     643     21,668 SH          SOLE       1       21,668           -       -
WILLIAMS COS INC                EQUITY       969457100      24        771 SH          SOLE       2          771           -       -
WILLIAMS COS INC                EQUITY       969457100   25696    812,655 SH          SOLE       1      812,655           -       -
WILLIAMS SCOTSMAN INTERNATIONA  EQUITY       96950G102     598     25,133 SH          SOLE       1       25,133           -       -
WILLIAMS SCOTSMAN INTERNATIONA  EQUITY       96950G102    3486    146,400 SH          SOLE       2      146,400           -       -
WILLIAMS-SONOMA INC             EQUITY       969904101    8569    271,333 SH          SOLE       1      271,333           -       -
WILLIS GROUP HOLDINGS LTD       EQUITY       G96655108       4         98 SH         DEFINED     4            -           -      98
WILMINGTON TRUST CORP           EQUITY       971807102       2         50 SH         DEFINED     4            -           -      50
WILMINGTON TRUST CORP           EQUITY       971807102    7056    169,989 SH          SOLE       1      169,989           -       -
WILSHIRE BANCORP INC            EQUITY       97186T108     179     14,662 SH          SOLE       1       14,662           -       -
WIMM-BILL-DANN FOODS OJSC       EQUITY       97263M109    1872     18,000 SH          SOLE       1       18,000           -       -
WIND RIVER SYSTEMS INC          EQUITY       973149107    2696    245,109 SH          SOLE       1      245,109           -       -
WINDSTREAM CORP                 EQUITY       97381W104       3        183 SH         DEFINED     4            -           -     183
WINDSTREAM CORP                 EQUITY       97381W104       9        614 SH          SOLE       2          614           -       -
WINDSTREAM CORP                 EQUITY       97381W104    5458    369,766 SH          SOLE       1      369,766           -       -
WINN-DIXIE STORES INC           EQUITY       974280307     834     28,480 SH          SOLE       1       28,480           -       -
WINNEBAGO INDUSTRIES            EQUITY       974637100     776     26,289 SH          SOLE       1       26,289           -       -
WINSTON HOTELS INC              EQUITY       97563A102      26      1,700 SH         DEFINED     4            -           -   1,700
WINSTON HOTELS INC              EQUITY       97563A102     329     21,929 SH          SOLE       1       21,929           -       -
WINTHROP REALTY TRUST           EQUITY       976391102     291     42,082 SH          SOLE       1       42,082           -       -
WINTRUST FINANCIAL CORP         EQUITY       97650W108     881     20,091 SH          SOLE       1       20,091           -       -
WIPRO LTD                       EQUITY       97651M109      13        804 SH         DEFINED     4            -           -     804
WIRELESS RONIN TECHNOLOGIES IN  EQUITY       97652A203    1485    185,600 SH          SOLE       3      185,600           -       -
WISCONSIN ENERGY CORP           EQUITY       976657106   12792    289,205 SH          SOLE       1      289,205           -       -
WISDOMTREE INTERNATIONAL FINAN  EQUITY       97717W695     785     26,950 SH         DEFINED     4            -           -  26,950
WM WRIGLEY JR CO                EQUITY       982526105      30        551 SH         DEFINED     4            -           -     551
WM WRIGLEY JR CO                EQUITY       982526105    3416     61,757 SH          SOLE       2       61,757           -       -
WM WRIGLEY JR CO                EQUITY       982526105    5318     96,153 SH          SOLE       1       96,153           -       -
WMS INDUSTRIES INC              EQUITY       929297109     976     33,820 SH          SOLE       1       33,820           -       -
WOLVERINE WORLD WIDE INC        EQUITY       978097103    1256     45,316 SH          SOLE       1       45,316           -       -
WOODWARD GOVERNOR CO            EQUITY       980745103     537     10,000 SH          SOLE       2       10,000           -       -
WOODWARD GOVERNOR CO            EQUITY       980745103    1408     26,242 SH          SOLE       1       26,242           -       -
WORLD ACCEPTANCE CORP           EQUITY       981419104    1770     41,421 SH          SOLE       1       41,421           -       -
WORLD FUEL SERVICES CORP        EQUITY       981475106     999     23,744 SH          SOLE       1       23,744           -       -
WORLD FUEL SERVICES CORP        EQUITY       981475106   15836    376,500 SH          SOLE       2      376,500           -       -





                                                                                           
WORTHINGTON INDUSTRIES INC      EQUITY       981811102    4897    226,185 SH          SOLE       1      226,185           -       -
WR BERKLEY CORP                 EQUITY       084423102   13756    422,747 SH          SOLE       1      422,747           -       -
WR GRACE & CO                   EQUITY       38388F108    1428     58,314 SH          SOLE       1       58,314           -       -
WRIGHT EXPRESS CORP             EQUITY       98233Q105    1139     33,231 SH          SOLE       1       33,231           -       -
WRIGHT MEDICAL GROUP INC        EQUITY       98235T107    1223     50,692 SH          SOLE       1       50,692           -       -
WSFS FINANCIAL CORP             EQUITY       929328102     342      5,231 SH          SOLE       1        5,231           -       -
WW GRAINGER INC                 EQUITY       384802104       8         91 SH          SOLE       2           91           -       -
WW GRAINGER INC                 EQUITY       384802104    3003     32,268 SH          SOLE       1       32,268           -       -
WWE                             EQUITY       98156Q108      82      5,137 SH         DEFINED     4            -           -   5,137
WWE                             EQUITY       98156Q108     300     18,766 SH          SOLE       1       18,766           -       -
WYETH                           FIXED INCOME 983024AD2       3      3,000 PRN        DEFINED     4            -           -   3,000
WYETH                           EQUITY       983024100   37252    649,673 SH          SOLE       1      649,673           -       -
WYETH                           EQUITY       983024100      32        565 SH         DEFINED     4            -           -     565
WYETH                           EQUITY       983024100    1800     31,395 SH          SOLE       2       31,395           -       -
WYNDHAM WORLDWIDE CORP          EQUITY       98310W108       9        235 SH          SOLE       2          235           -       -
WYNDHAM WORLDWIDE CORP          EQUITY       98310W108    3100     85,491 SH          SOLE       1       85,491           -       -
WYNN RESORTS LTD                EQUITY       983134107     584      6,511 SH          SOLE       1        6,511           -       -
XCEL ENERGY INC                 EQUITY       98389B100      11        527 SH          SOLE       2          527           -       -
XCEL ENERGY INC                 EQUITY       98389B100      15        714 SH         DEFINED     4            -           -     714
XCEL ENERGY INC                 EQUITY       98389B100    4408    215,341 SH          SOLE       1      215,341           -       -
XENOPORT INC                    EQUITY       98411C100     796     17,930 SH          SOLE       1       17,930           -       -
XERIUM TECHNOLOGIES INC         EQUITY       98416J100     125     16,371 SH          SOLE       1       16,371           -       -
XEROX CORP                      EQUITY       984121103      22      1,208 SH          SOLE       2        1,208           -       -
XEROX CORP                      EQUITY       984121103   25060  1,356,081 SH          SOLE       1    1,356,081           -       -
XILINX INC                      EQUITY       983919101      10        384 SH          SOLE       2          384           -       -
XILINX INC                      EQUITY       983919101   14613    545,862 SH          SOLE       1      545,862           -       -
XL CAPITAL LTD                  EQUITY       G98255105     649      7,704 SH          SOLE       2        7,704           -       -
XM SATELLITE RADIO HOLDINGS IN  EQUITY       983759101     253     21,484 SH          SOLE       1       21,484           -       -
XM SATELLITE RADIO HOLDINGS IN  EQUITY       983759101    1858    157,900 SH          SOLE       2      157,900           -       -
X-RITE INC                      EQUITY       983857103     357     24,187 SH          SOLE       1       24,187           -       -
XTO ENERGY INC                  EQUITY       98385X106      16        266 SH         DEFINED     4            -           -     266
XTO ENERGY INC                  EQUITY       98385X106     239      3,978 SH          SOLE       2        3,978           -       -
XTO ENERGY INC                  EQUITY       98385X106    9875    164,314 SH          SOLE       1      164,314           -       -
YAHOO! INC                      EQUITY       984332106      16        580 SH         DEFINED     4            -           -     580
YAHOO! INC                      EQUITY       984332106    8428    310,651 SH          SOLE       2      310,651           -       -
YAHOO! INC                      EQUITY       984332106   15951    587,933 SH          SOLE       1      587,933           -       -
YAMANA GOLD INC                 EQUITY       98462Y100      63      5,703 SH          OTHER      1            -       5,703       -
YARDVILLE NATIONAL BANCORP      EQUITY       985021104     281      8,236 SH          SOLE       1        8,236           -       -
YRC WORLDWIDE INC               EQUITY       984249102       4        100 SH         DEFINED     4            -           -     100
YRC WORLDWIDE INC               EQUITY       984249102    5232    142,166 SH          SOLE       1      142,166           -       -
YUM! BRANDS INC                 EQUITY       988498101       4        134 SH         DEFINED     4            -           -     134
YUM! BRANDS INC                 EQUITY       988498101      22        674 SH          SOLE       2          674           -       -
YUM! BRANDS INC                 EQUITY       988498101    7711    235,662 SH          SOLE       1      235,662           -       -
ZALE CORP                       EQUITY       988858106     970     40,749 SH          SOLE       1       40,749           -       -
ZARLINK SEMICONDUCTOR INC       EQUITY       989139100      13      7,065 SH         DEFINED     4            -           -   7,065
ZEBRA TECHNOLOGIES CORP         EQUITY       989207105    6540    168,807 SH          SOLE       1      168,807           -       -
ZENITH NATIONAL INSURANCE CORP  EQUITY       989390109     744     15,800 SH          SOLE       2       15,800           -       -
ZENITH NATIONAL INSURANCE CORP  EQUITY       989390109    1451     30,823 SH          SOLE       1       30,823           -       -
ZIMMER HOLDINGS INC             EQUITY       98956P102      26        305 SH          SOLE       2          305           -       -
ZIMMER HOLDINGS INC             EQUITY       98956P102   24821    292,395 SH          SOLE       1      292,395           -       -
ZIONS BANCORPORATION            EQUITY       989701107      11        142 SH          SOLE       2          142           -       -
ZIONS BANCORPORATION            EQUITY       989701107    3976     51,694 SH          SOLE       1       51,694           -       -
ZOLL MEDICAL CORP               EQUITY       989922109     396     17,767 SH          SOLE       1       17,767           -       -
ZOLTEK COS INC                  EQUITY       98975W104     752     18,105 SH          SOLE       1       18,105           -       -
ZORAN CORP                      EQUITY       98975F101     827     41,269 SH          SOLE       1       41,269           -       -
ZUMIEZ INC                      EQUITY       989817101    1290     34,158 SH          SOLE       1       34,158           -       -





                                                                                           
ZYGO CORP                       EQUITY       989855101     194     13,599 SH          SOLE       1       13,599           -       -
ZYMOGENETICS INC                EQUITY       98985T109     473     32,359 SH          SOLE       1       32,359           -       -