UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: September 30,1999
Check here if Amendment { }; Amendment Number:
This Amendment (Check only one.) { } is a restatement.
{ } adds new holdings entries.
Institutional Investment Manager Filing this Report:
NAME: LaSalle Bank N.A.
ADDRESS: 135 South LaSalle Street
Suite 1840
Chicago, IL 60603
13F File Number: 28-1147
The institutional investment manager filing this report and the
person by whom it is signed hereby represent that the person
signing the report is authorized to submit it, that all
information contained herein is true, correct and complete, and
that it is understood that all required items, statements,
schedules, lists, and tables, are considered integral parts of
this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Scott Schultz
Title: Vice President
Phone: 312-904-2614
Signature, Place, and Date of Signing:
Scott Schultz Chicago, Illinois September 30,1999
Report Type (Check only one.):
{ X} 13F HOLDINGS REPORT.
{ } 13F NOTICE.
{ } 13F COMBINATION REPORT.
List of Other Managers Reporting for this Manager:
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE
ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE
Report Summary:
Number of Other Included Managers: 0
Form 13F Information Table Entry Total: 3630
Form 13F Information Table Value Total: $17,047,589
List of Other Included Managers:
No. 13F File Number Name
00
<PAGE>
<TABLE>
VALUE SHARES/ SH/ PUT INVSTMT -----VOTING AUTHORITY-----
NAME OF ISSUER -TITLE OF CLASS- --CUSIP-- (X$1000) PRN AMT PRN CALL DSCRETN -MANAGERS- SOLE SHARED NONE
<C> <C>
D ALLIANZ AG D03080112 4343 15070 SH OTHER 15070
D DAIMLERCHRYSLER AG D1668R123 64 915 SH SOLE 915
D DAIMLERCHRYSLER AG D1668R123 2057 29627 SH OTHER 6545 23082
D PREUSSAG AG D61748105 5746 101100 SH OTHER 101100
D SAP AG AKT NO-PAR D66992104 2586 6708 SH OTHER 6708
D CAP GEMINI SA EUR 8 F13587120 5035 31078 SH OTHER 31078
D SCOR NPV F15561107 1407 28199 SH OTHER 28199
D VIVENDI (EX-GEN DES EAUX) SA F43281116 5541 71754 SH OTHER 71754
D LAFARGE SA ACT FR25 F54432111 2406 21766 SH OTHER 21733 33
D MICHELIN (CGDE) CL-B EUR2 REG F61824144 545 11600 SH OTHER 11600
D PEUGEOT SA F72313111 3671 19970 SH OTHER 19970
D COMPAGNIE DE SAINT GOBAIN F80343100 3998 21450 SH OTHER 21450
D TOTAL FINA SA F92124100 2231 17310 SH OTHER 17310
D J FOR JOBS GA0007352 3783 627 SH OTHER 627
D ABBEY NATIONAL PLC G0016Z107 1775 100000 SH OTHER 100000
D ACE, LTD G0070K103 36 2100 SH SOLE 2100
D ACE, LTD G0070K103 1228 72500 SH OTHER 7600 64900
D ALLIED IRISH BKS P L C G02072117 1546 128820 SH OTHER 128820
D ANNUITY AND LIFE RE HOLDINGS G03910109 2308 92800 SH OTHER 33900 58900
D SAFEWAY PLC G04704113 121 29000 SH OTHER 29000
D ARJO WIGGINS APPLETON PLC G04759109 33 10000 SH OTHER 10000
D AXOGEN LIMITED G0690R108 1915 59600 SH OTHER 52100 7500
D BANK OF IRELAND G07672135 2539 280760 SH OTHER 280760
D BARCLAYS PLC G08036108 3817 130000 SH OTHER 80000 50000
D BRITISH AEROSPACE PLC G14896180 2587 392525 SH OTHER 392525
D BRITISH BIO-TECHNOLOGY GROUP PL G1513P113 432 847640 SH OTHER 847640
D BP AMOCO PLC G15596110 2226 120008 SH OTHER 120000 8
D BRITISH STEEL PLC G15680104 31 12400 SH OTHER 12400
D BRITISH TELECOMMUNICATIONS PLC G15820114 1481 97800 SH OTHER 97800
D CENTRAL EUROPEAN MEDIA ENTERTPR G20045103 18 11230 SH OTHER 11230
D CHINA COM CORPORATION G2108N109 448 6891 SH OTHER 6891
D CREIGHTON LABORATORIES PLC G25340103 18 100000 SH OTHER 100000
D CRH PLC G25508105 2594 137429 SH OTHER 137429
D EMESS PLC G30324118 26 43000 SH SOLE 43000
D FRUIT OF THE LOOM LIMITED G3682L105 143 41575 SH OTHER 29100 12475
D GEMSTAR INTERNATIONL GRP LTD G3788V106 1196 15305 SH OTHER 15305
D GKN PLC G39004182 1912 125000 SH OTHER 125000
D GLOBAL CROSSING LIMITED G3921A100 9 350 SH SOLE 350
D GLOBAL CROSSING LIMITED G3921A100 851 32111 SH OTHER 17795 14317
D GREAT EAGLE HOLDINGS COMPANY G4069C106 63 43000 SH OTHER 43000
D IRIDIUM WORLD COMMUNICATIONS IN G49398103 101 33280 SH OTHER 18280 15000
D JARDINE STRATEGIC HOLDINGS LTD G50764102 37 16000 SH OTHER 16000
D LASMO PLC G53831106 54 15000 SH OTHER 15000
D LLOYDS TSB PLC G5542W106 3175 250000 SH OTHER 250000
D LORAL SPACE & COMMUNICATION LIM G56462107 4082 237500 SH OTHER 205060 32440
D NORWICH UNION PLC G6670J107 2533 350385 SH OTHER 350385
D ORIENT OVERSEAS INTERNATIONAL L G67749104 9 20000 SH OTHER 20000
D OXFORD MOLECULAR GROUP PLC G6840D105 80 110000 SH OTHER 110000
D PARTNERRE LTD G6852T105 2412 69400 SH OTHER 7400 62000
D PEARSON PLC G69651100 2986 139200 SH OTHER 139200
D PRINCEDALE GROUP PLC G7243L116 18 100000 SH OTHER 100000
D QPL INTERNATIONAL HOLDINGS G7302M153 4 12000 SH OTHER 12000
D RECKITT & COLMAN PLC G7423K110 164 13180 SH OTHER 13180
D RENAISSANCERE HOLDINGS LTD G7496G103 378 10908 SH OTHER 650 10258
D ROYAL BANK OF SCOTLAND GROUP PL G76891111 965 45000 SH OTHER 45000
D SANTA FE INTERNATIONAL CORP G7805C108 1968 91250 SH OTHER 57350 33900
D SMITHKLINE BEECHAM PLC G8232L174 2657 231000 SH OTHER 231000
D SMITH & NEPHEW ASSOC PLC G82343107 58 18500 SH OTHER 18500
D SMURFIT JEFFERSON GROUP LTD G82459119 624 217000 SH OTHER 217000
D STERLING INDUSTRIES PLC G84866105 965 250000 SH OTHER 250000
D ROYAL SUN ALLIANCE GROUP PLC G8566X133 178 21444 SH OTHER 21444
D TOMMY HILFIGER CORP G8915Z102 338 11990 SH SOLE 11990
D TOMMY HILFIGER CORP G8915Z102 23 800 SH SHARED 800
D TOMMY HILFIGER CORP G8915Z102 837 29710 SH OTHER 5610 20600
D TOMKINS PLC G89158136 113 27100 SH OTHER 27100
D TRANSOCEAN OFFSHORE INC G90076103 7 244 SH SOLE 244
D TRANSOCEAN OFFSHORE INC G90076103 911 29760 SH OTHER 360 29400
D VODAFONE AIRTOUCH PLC G9387S105 1899 80790 SH OTHER 80100 690
D WACE GROUP PLC G94030106 1787 1314000 SH OTHER 814000 500000
D WHITBREAD & COMPANY PLC G96060184 1803 140000 SH OTHER 140000
D WIMPEY GEORGE PLC G96872109 33 13500 SH OTHER 13500
D WINDSOR PLC G97017100 31 133000 SH OTHER 133000
D XL CAPITAL LTD G98255105 3101 68910 SH OTHER 12878 56032
D EDIPRESSE S.A. H20616126 5447 12200 SH OTHER 12200
D INTERNATIONALEN ZAHLUNGSAUSGLEI H42318131 240 40 SH OTHER 35 5
D NESTLE SA, CHAM ET VEVEY H57312227 1222 650 SH OTHER 650
D NEUE ZUERCHER ZEITUNG, ZUERICH, H57512107 6000 61 SH OTHER 21 40
D NOVARTIS AG, BASEL H5820Q101 4293 2894 SH OTHER 2894
D SCHINDLER HOLDING AG H72588132 990 650 SH OTHER 650
D SIG SCHWEIZERISCHE INDUSTRIE H7621P993 2108 3400 SH OTHER 3400
D ZURICH ALLIED AG H98469366 4660 7940 SH OTHER 7940
D BRIDGESTONE CORPORATION J04578126 2742 98000 SH OTHER 98000
D FUJI MACHINE MANUFACTURING COMP J14910103 3305 69000 SH OTHER 69000
D KURITA WATER INDUSTRIES LIMITED J37221116 3268 180000 SH OTHER 180000
D MARUBENI CORPORATION J39788138 26 10000 SH OTHER 10000
D MATSUSHITA COMMUNICATION INDUST J41035106 2893 34000 SH OTHER 34000
D MATSUSHITA ELECTRIC INDUSTRIAL J41121104 2871 135000 SH OTHER 133000 2000
D MINEBEA COMPANY LIMITED J42884130 673 52900 SH OTHER 52900
D MITSUBISHI HEAVY INDS LTD J44002129 236 62000 SH OTHER 62000
D MITSUI & COMPANY LIMITED J44690139 3066 435000 SH OTHER 435000
D MITSUI TRUST & BANKING COMPANY J45249109 53 26000 SH OTHER 26000
D NIPPON EXPRESS COMPANY LTD J53376117 3298 431000 SH OTHER 431000
D NIPPON COMSYS CORPORATION J56128101 3695 206000 SH OTHER 206000
D NISSHIN STEEL CO LIMITED J57805103 20 15000 SH OTHER 15000
D NTT MOBILE COMMUNICATIONS J60990132 2995 180 SH OTHER 180
D OLYMPUS OPTICAL COMPANY LIMITED J61245122 2758 185000 SH OTHER 185000
D ROHM COMPANY LIMITED J65328122 3744 18000 SH OTHER 18000
D SECOM CO LIMITED J69972107 1517 17000 SH OTHER 17000
D SHARP CORPORATION J71434112 3140 196000 SH OTHER 194000 2000
D TDK CORP J82141136 3243 28000 SH OTHER 28000
D UNI-CHARM CORPORATION J94104114 2913 56000 SH OTHER 56000
D YAMANOUCHI PHARMACEUTICAL CO LT J96216122 2905 62000 SH OTHER 62000
D ABN AMRO FUNDS SICAV L0017F104 205 3512 SH SOLE 3512
D ABN AMRO FUNDS SICAV L0017F161 2286 53933 SH SOLE 53933
D ABN AMRO FUNDS SICAV L0017F187 3346 25710 SH SOLE 25710
D ABN AMRO FUNDS SICAV L0017F229 28419 221280 SH SOLE 221280
D ABN AMRO FUNDS SICAV L0017F294 318 4615 SH SOLE 4615
D ABN AMRO FUNDS SICAV L0017F302 411 5750 SH SOLE 5750
D ABN AMRO FUNDS SICAV L0017F419 1928 50431 SH SOLE 50431
D MILLICOM INTERNATIONAL CELLULAR L6388F102 597 21000 SH OTHER 21000
D SBS BROADCASTING SA L8137F102 243 6276 SH OTHER 6276
D AUDIOCODES LTD M15342104 350 9300 SH OTHER 9300
D CHECK POINT SOFTWARE TECHNOLOGI M22465104 325 3850 SH OTHER 50 3800
D GALILEO TECHNOLOGY LIMITED M47298100 391 15620 SH OTHER 7500 8120
D TTI TEAM TELECOM INTERNATIONAL M88258104 2212 217100 SH OTHER 217100
D AEGON NV N00890215 4806 54940 SH OTHER 54940
D ASM LITHOGRAPHY HOLDING NV N07059111 347 5175 SH SOLE 5175
D ASM LITHOGRAPHY HOLDING NV N07059111 539 8035 SH OTHER 35 8000
D CHICAGO BRIDGE & IRON CO N19808109 483 33000 SH OTHER 33000
D CORE LABORATORIES N V N22717107 188 10000 SH OTHER 10000
D ELSEVIER EUR 0.06 N29370132 2020 175410 SH OTHER 175410
D HAUSSMANN HOLDINGS N.V. N38982109 268 210 SH SOLE 210
D TELEGRAAF HOLDINGSMIIJ-CVA N41207114 6652 349800 SH OTHER 121800 228000
D INTERNATIONALE NEDERLANDEN, GRO N4578E322 2726 50194 SH OTHER 50194
D NEW HOLLAND NV N62648105 1001 62550 SH OTHER 24050 38500
D ORTHOFIX INTERNATIONAL N.V. N6748L102 3540 259800 SH OTHER 6500 253300
D TRANSEUROPE FUND N88517102 29704 211460 SH SOLE 211460
D VERENIGD BEZIT VNU, HAARLEM, NV N92512131 3215 83830 SH OTHER 83830
D KIMBERLY-CLARK DE MEXICO SA DE P60694117 89 25000 SH OTHER 25000
D NACIONAL DE DROGAS SA DE CV (NA P7068W130 348 450000 SH OTHER 450000
D PANAMERICAN BEVERAGES INC P74823108 41 2500 SH SOLE 300 2200
D PANAMERICAN BEVERAGES INC P74823108 925 55865 SH OTHER 24775 31090
D STEINER LEISURE LTD P8744Y102 1569 62750 SH OTHER 62750
D DIGICALL GROUP LTD Q3189W108 2 296668 SH OTHER 296668
D NATIONAL AUSTRALIA BANK LIMITED Q65336119 2019 138000 SH OTHER 138000
D TELECOM CORPORATION OF NEW ZEAL Q89499109 1773 450000 SH OTHER 450000
D WESTERN MINING CORP HOLDINGS LI Q96598125 2392 470000 SH OTHER 470000
D CHRISTIANIA BK OG KREDITKASS R37767150 1823 428855 SH OTHER 428855
D LASALLE NATIONAL BANK SP5002220 115158 3755733 SH SOLE 3755733
D S & P 500 INDEX FUND SP5003335 22071 715555 SH SOLE 529616 185939
D S & P 500 INDEX FUND SP5003335 154764 5017635 SH OTHER 4618246 399389
D BANCA COMMERCIALE ITALIANA T09576124 136 20000 SH OTHER 20000
D CREDITO ITALIANO T32760133 3800 778745 SH OTHER 778745
D ENI SPA T3643A111 107 17000 SH OTHER 17000
D MAGNETI MARELLI SPA T51408119 29 12800 SH OTHER 12800
D MONTEFIBRE SPA T69861101 18 25000 SH OTHER 25000
D MONTEFIBRE SPA-RNC T69861119 6 10000 SH OTHER 10000
D TELECOM ITALIA MOBILE SPA T9276A104 3446 554979 SH OTHER 554979
D TELECOM ITALIA MOBILE SPA T9276A112 2769 752470 SH OTHER 135000 617470
D TELECOM ITALIA SPA T9277N105 10507 2093109 SH OTHER 1364109 729000
D TELECOM ITALIA SPA T9277N121 4707 553750 SH OTHER 393750 160000
D APP FINANCE VII MAURITIUS LIMIT V03230AA3 18 30000 SH OTHER
D CITY DEVELOPMENTS LIMITED V23130111 2184 430000 SH OTHER 430000
D DBS BANK LIMITED V27915103 159 13243 SH SOLE 13243
D ROYAL CARIBBEAN CRUISES LIMITED V7780T103 2547 56600 SH OTHER 39000 17600
D SINGAPORE PRESS HOLDINGS V81378107 2328 140000 SH OTHER 140000
D TEEKAY SHIPPING CORPORATION V89564104 391 25000 SH OTHER 1000 24000
D SVENSKA HANDELSBANKEN W90937181 2253 162000 SH OTHER 162000
D AMOY PROPERTIES LTD Y01246100 39 43000 SH OTHER 43000
D CHEUNG KONG HOLDINGS LIMITED Y13189108 3749 450000 SH OTHER 450000
D CLP HOLDINGS LIMITED Y1484B101 47 10000 SH OTHER 10000
D HANG LUNG DEVELOPMENT CO LIMITE Y30148111 17 15000 SH OTHER 15000
D OVERSEA-CHINESE BANKING CORP LT Y64248118 70 10000 SH OTHER 10000
D OMI CORP Y6476W104 274 107000 SH OTHER 107000
D ABN AMRO TAXABLE FIXED INCOME F 00078H109 70075 7172447 SH SOLE 7115636 56810
D ABN AMRO TAXABLE FIXED INCOME F 00078H109 6243 638987 SH SHARED 638987
D ABN AMRO TAXABLE FIXED INCOME F 00078H109 68106 6970972 SH OTHER 6742593 228379
D ABN AMRO SHORT INTERMEDIATE 00078H307 20498 2053874 SH SOLE 1636662 417212
D ABN AMRO SHORT INTERMEDIATE 00078H307 1476 147851 SH SHARED 147851
D ABN AMRO SHORT INTERMEDIATE 00078H307 3062 306857 SH OTHER 242353 64504
D ABN AMRO TAX EXEMPT 00078H505 20401 2036071 SH SOLE 2036071
D ABN AMRO TAX EXEMPT 00078H505 4829 481904 SH SHARED 481904
D ABN AMRO TAX EXEMPT 00078H505 1857 185366 SH OTHER 164667 20699
D ABN AMRO LATIN AMERICAN EQUITY 00078H646 8058 867370 SH SOLE 861913 5457
D ABN AMRO LATIN AMERICAN EQUITY 00078H646 575 61872 SH SHARED 59133 2739
D ABN AMRO LATIN AMERICAN EQUITY 00078H646 10731 1155126 SH OTHER 1148205 6921
D ABN AMRO GOVERNMENT MONEY MARKE 00078H687 64676 4675943 SH SOLE 4675943
D ABN AMRO INTERNATIONAL FIXED IN 00078H703 4232 421514 SH SOLE 421514
D ABN AMRO INTERNATIONAL FIXED IN 00078H703 383 38172 SH SHARED 36617 1555
D ABN AMRO INTERNATIONAL FIXED IN 00078H703 10118 1007818 SH OTHER 1007818
D ABN AMRO ASIAN TIGERS FUND 00078H737 18975 2201293 SH SOLE 2199058 2235
D ABN AMRO ASIAN TIGERS FUND 00078H737 373 43257 SH SHARED 40728 2529
D ABN AMRO ASIAN TIGERS FUND 00078H737 17428 2021789 SH OTHER 1905013 116776
D ABN AMRO INTERNATIONAL EQUITY F 00078H778 77450 3776184 SH SOLE 3732674 8460 35049
D ABN AMRO INTERNATIONAL EQUITY F 00078H778 3486 169984 SH SHARED 159544 10440
D ABN AMRO INTERNATIONAL EQUITY F 00078H778 50303 2452590 SH OTHER 2360837 91753
D ABN AMRO SMALL CAP GROWTH FUND 00078H794 19791 1645107 SH SOLE 1642111 2996
D ABN AMRO SMALL CAP GROWTH FUND 00078H794 1273 105840 SH SHARED 96208 9632
D ABN AMRO SMALL CAP GROWTH FUND 00078H794 18677 1552555 SH OTHER 1441360 111196
D ABN AMRO GROWTH FUND 00078H828 136560 8466206 SH SOLE 8461120 5085
D ABN AMRO GROWTH FUND 00078H828 7674 475744 SH SHARED 475744
D ABN AMRO GROWTH FUND 00078H828 8633 535218 SH OTHER 457670 77548
D ABN AMRO VALUE FUND 00078H844 85278 7071167 SH SOLE 7063077 8091
D ABN AMRO VALUE FUND 00078H844 4825 400046 SH SHARED 400046
D ABN AMRO VALUE FUND 00078H844 41211 3417164 SH OTHER 3276936 140227
D ABN AMRO BALANCED FUND 00078H869 61025 5176032 SH SOLE 5176032
D ABN AMRO BALANCED FUND 00078H869 5383 456605 SH OTHER 347186 109420
D ADC TELECOMMUNICATIONS 000886101 8086 192810 SH SOLE 191160 575 1075
D ADC TELECOMMUNICATIONS 000886101 98 2325 SH SHARED 2325
D ADC TELECOMMUNICATIONS 000886101 2206 52590 SH OTHER 22740 29850
D ABN AMRO HOLDING N.V. 000937102 281 12399 SH SOLE 12399
D ABN AMRO HOLDING N.V. 000937102 2480 109621 SH OTHER 89009 20612
D ADT OPERATIONS 000945AC9 260 98000 SH OTHER
D AES TRUST I 001033208 6531 78450 SH OTHER 41600 36850
D AFLAC CORPORATION 001055102 4434 105898 SH OTHER 12098 93800
D AES CORPORATION 00130HAN5 249 220000 SH OTHER
D AES CORP 00130H105 109 1850 SH SOLE 500 1350
D AES CORP 00130H105 12995 220260 SH OTHER 143250 77010
D AIM INVT FDS 00141T718 389 51016 SH OTHER 51016
D AIM EQUITY FDS INC 001413202 38 1190 SH SOLE 1190
D AIM EQUITY FDS INC 001413202 2193 67974 SH OTHER 48553 19421
D AIM EQUITY FDS INC 001413863 279 19063 SH OTHER 19063
D AK STEEL HOLDING CORP 001547108 1201 65800 SH OTHER 1000 64800
D AMFM INC 001693100 91 1500 SH SHARED 1500
D AMFM INC 001693100 6964 114639 SH OTHER 60134 54505
D AMLI RESIDENTIAL PROPERTY TRUST 001735109 8559 407592 SH OTHER 75025 332567
D AMR CORPORATION DELAWARE 001765106 7364 135124 SH OTHER 3724 131400
D APS HLDG CORP 001937101 12000 SH OTHER 12000
D A T & T CORPORATION 001957109 9517 218771 SH SOLE 214181 700 3890
D A T & T CORPORATION 001957109 447 10274 SH SHARED 9724 250 300
D A T & T CORPORATION 001957109 37053 851794 SH OTHER 445811 405983
D AT&T CORP 001957208 75 2022 SH SOLE 2022
D AT&T CORP 001957208 31463 843226 SH OTHER 489952 353274
D AFL-CIO HOUSING INVESTMENT TRUS 001994136 16665 15873 SH OTHER 15873
D A T & T CDA INC 00207Q202 13 200 SH SOLE 200
D A T & T CDA INC 00207Q202 390 6210 SH OTHER 6210
D ATMI INCORPORATED 00207R101 1019 27300 SH OTHER 13300 14000
D AXA FINL INC 002451102 2942 52716 SH OTHER 5719 46997
D AARON RENTS INC 002535201 756 43800 SH OTHER 20000 23800
D ABB AB 00256Q103 425 31220 SH SOLE 31220
D ABB AB 00256Q103 27 2000 SH OTHER 2000
D ABBOTT LABORATORIES 002824100 17849 486498 SH SOLE 478268 4150 4080
D ABBOTT LABORATORIES 002824100 1819 49590 SH SHARED 47590 800 1200
D ABBOTT LABORATORIES 002824100 131347 3580096 SH OTHER 2895098 684998
D ABERCROMBIE & FITCH COMPANY 002896207 765 22458 SH OTHER 328 22130
D ABACAN RES CORP NEW 002919108 133 70000 SH OTHER 70000
D AFL-CIO 002990117 5418 2546 SH OTHER 2546
D ACCLAIM ENTERTAINMENT 004325205 2506 330000 SH OTHER 330000
D ACKERLY COMMUNICATIONS INCORPOR 004527107 369 30000 SH OTHER 25000 5000
D ACNIELSEN CORPORATION 004833109 5 199 SH SOLE 199
D ACNIELSEN CORPORATION 004833109 1 50 SH SHARED 50
D ACNIELSEN CORPORATION 004833109 1833 80771 SH OTHER 37839 42932
D ACORN INVESTMENT TRUST 004851101 375 20615 SH SOLE 20615
D ACORN INVESTMENT TRUST 004851101 14504 795957 SH OTHER 56738 739219
D ACORN INVESTMENT TRUST 004851200 34 1290 SH SOLE 1290
D ACORN INVESTMENT TRUST 004851200 5543 197386 SH OTHER 192663 4723
D ACORN 004851309 67 4382 SH SOLE 4382
D ACORN 004851309 320 20928 SH OTHER 20928
D ACTIVISION INC NEW 004930202 339 19245 SH OTHER 7545 11700
D ACTION PERFORMANCE COMPANIES IN 004933107 263 12475 SH OTHER 12125 350
D ACUSON 005113105 696 54550 SH OTHER 50150 4400
D ACX TECHNOLOGIES INC 005123104 203 21385 SH OTHER 3265 18120
D ACXIOM CORPORATION 005125109 544 27690 SH SOLE 27690
D ACXIOM CORPORATION 005125109 1312 66740 SH OTHER 44640 22100
D ADAMS R P INC 006239107 251 11298 SH OTHER 11298
D ADAPTIVE BROADBAND CORP 00650M104 744 22206 SH OTHER 6706 15500
D ADAPTEC INC 00651F108 2594 65360 SH OTHER 1010 64350
D ADELPHIA COMMUNICATIONS CORP 006848105 1052 17895 SH OTHER 2075 15820
D ADVANCED DIGITAL INFO CORP 007525108 389 14000 SH OTHER 10000 4000
D ADVANCED HARDWARE ARCHITECTURES 00753#113 1077 256976 SH OTHER 256976
D ADVANCED OXYGEN TECHN INC 00754B103 2 64000 SH OTHER 64000
D ADVO INCORPORATED 007585102 498 25000 SH OTHER 25000
D AEGON N.V. 007924103 5 60 SH SOLE 60
D AEGON N.V. 007924103 3148 36398 SH OTHER 33630 2768
D ADVENT SOFTWARE INCORPORATED 007974108 212 3400 SH OTHER 3400
D ADVANCED METABOLIC SYSTEMS, INC 007990203 4 40000 SH OTHER 40000
D AETNA INCORPORATED 008117103 197 4000 SH SOLE 4000
D AETNA INCORPORATED 008117103 2009 40795 SH OTHER 14170 26625
D AFFYMETRIX INCORPORATED 00826T108 588 5978 SH OTHER 3678 2300
D AIM 008879306 949 21418 SH OTHER 20922 495
D AIM FDS GROUP 008879710 926 926046 SH OTHER 926046
D AIM FDS GROUP 008879728 42 967 SH SOLE 967
D AIM FDS GROUP 008879728 152 3534 SH SHARED 3534
D AIM FDS GROUP 008879728 579 13453 SH OTHER 13453
D AIM FDS GROUP 008879744 3209 113194 SH OTHER 113194
D AIM INTL FDS INC 008882102 526 26083 SH OTHER 25528 556
D AIM INTL FDS INC 008882300 1088 50056 SH OTHER 50056
D AIMGLOBAL TECHNOLOGIES INC 00900N100 300 50000 SH OTHER 50000
D AIR EXPRESS INTERNATIONAL 009104100 4036 177900 SH OTHER 177900
D AIR PRODUCTS & 009158106 1126 38509 SH OTHER 30709 7800
D AIRGAS INCORPORATED 009363102 150 12900 SH OTHER 3900 9000
D AKZO NOBEL N.V. 010199305 20 470 SH SOLE 470
D AKZO NOBEL N.V. 010199305 466 10905 SH OTHER 2605 8300
D ALAMO GROUP INC 011311107 232 25035 SH OTHER 6135 18900
D ALARIS MED INC 011637105 47 15800 SH OTHER 15800
D ALASKA AIR GROUP 011659109 309 7600 SH OTHER 500 7100
D ALBANY INTERNATIONAL CORPORATIO 012348108 444 29335 SH OTHER 29335
D ALBERTO CULVER COMPANY 013068200 657 33600 SH OTHER 30700 2900
D ALBERTSONS INCORPORATED 013104104 471 11896 SH SOLE 11596 300
D ALBERTSONS INCORPORATED 013104104 87 2200 SH SHARED 2200
D ALBERTSONS INCORPORATED 013104104 5700 144075 SH OTHER 55564 88511
D ALCAN ALUMINUM LIMITED NEW 013716105 1138 36425 SH OTHER 15725 20700
D ALCOA INCORPORATED 013817101 11764 189542 SH OTHER 18128 171414
D ALCATEL SA 013904305 1614 58163 SH OTHER 17238 40925
D ALEXANDER & BALDWIN INCORPORATE 014482103 922 38600 SH OTHER 38600
D ALEXANDRIA REAL EST EQTS INC 015271109 1319 44800 SH OTHER 40300 4500
D ALLEGHENY ENERGY INC 017361106 478 14985 SH OTHER 10485 4500
D ALLEGHENY TELEDYNE INCORPORATED 017415100 1152 68259 SH OTHER 34691 33568
D ALLERGAN INCORPORATED 018490102 44 400 SH SOLE 400
D ALLERGAN INCORPORATED 018490102 3460 31451 SH OTHER 8205 23246
D ALLIANCE BANCORP INCORPORATED 01852J105 1446 73705 SH SOLE 73705
D ALLIANCE BANCORP INCORPORATED 01852J105 40 2055 SH OTHER 2055
D ALLIANCE CAPITAL MANAGEMENT 018548107 654 23835 SH SOLE 23835
D ALLIANCE CAPITAL MANAGEMENT 018548107 73 2670 SH OTHER 1290 1380
D ALLIANCE CAPITAL RESERVES 018550103 811 811384 SH OTHER 811384
D ALLIANCE FUND INCORPORATED 01859K105 174 27076 SH OTHER 27076
D ALLIANCE QUASAR FUND INCORPORAT 01877E107 657 27569 SH OTHER 27569
D ALLIANT ENERGY CORPORATION 018802108 128 4622 SH SOLE 4622
D ALLIANT ENERGY CORPORATION 018802108 306 11057 SH OTHER 8657 2400
D ALLIANT TECHSYSTEM INCORPORATED 018804104 1920 27700 SH OTHER 27700
D ALLIED CAP CORP NEW 01903Q108 11 480 SH SOLE 480
D ALLIED CAP CORP NEW 01903Q108 604 26900 SH OTHER 3900 23000
D ALLIEDSIGNAL INCORPORATED 019512102 160 2662 SH SOLE 2276 386
D ALLIEDSIGNAL INCORPORATED 019512102 5 90 SH SHARED 90
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D ALLIED ZURICH PLC 01959Q101 352 14899 SH OTHER 250 14649
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D VANGUARD FIXED INCOME 922031406 184 17409 SH OTHER 17409
D VANGUARD FIXED INCOME SECURTIES 922031802 158 15253 SH OTHER 15253
D VANGUARD INSTL INDEX FD 922040100 38472 322872 SH OTHER 119990 202882
D VARCO INTERNATIONAL INCORPORATE 922126107 416 34100 SH OTHER 14200 19900
D VARIAN MED SYS INC 92220P105 282 12900 SH OTHER 12900
D VARIAN INC 922206107 524 29500 SH OTHER 8100 21400
D VARIAN SEMICONDUCTOR EQUIPTM 922207105 217 10300 SH OTHER 10300
D VASTAR RES INC 922380100 313 5000 SH OTHER 5000
D VENTANA MEDICAL SYSTEMS INCORPO 92276H106 5900 347060 SH OTHER 232060 115000
D VANGUARD MUNICIPAL BOND FUND IN 922907209 191 14753 SH SOLE 14753
D VANGUARD MUNICIPAL BOND FUND IN 922907209 118 9101 SH OTHER 3581 5520
D VANGUARD FUNDS 922907704 122 11439 SH OTHER 11439
D VANGUARD INDEX 500 FUND 922908108 470 3968 SH SOLE 1143 2825
D VANGUARD INDEX 500 FUND 922908108 444 3747 SH SHARED 3747
D VANGUARD INDEX 500 FUND 922908108 81268 682015 SH OTHER 358604 323411
D VANGUARD INDEX TR 922908207 9809 322257 SH OTHER 43811 278446
D VANGUARD INDEX TR 922908306 6464 228243 SH OTHER 219646 8597
D VANGUARD INDEX TRUST 922908405 229 10276 SH SHARED 10276
D VANGUARD INDEX TRUST 922908405 17233 773471 SH OTHER 773471
D VANGUARD INDEX TRUST 922908504 613 18232 SH OTHER 18232
D VANGUARD INDEX TRUST 922908702 13 600 SH SOLE 600
D VANGUARD INDEX TRUST 922908702 7662 350985 SH OTHER 344615 6370
D VENATOR GROUP INCORPORATED 922944103 23 2724 SH SOLE 2724
D VENATOR GROUP INCORPORATED 922944103 210 24570 SH OTHER 670 23900
D VERISIGN INCORPORATED 92343E102 1826 17150 SH OTHER 1450 15700
D VERITAS SOFTWARE CORPORATION 923436109 695 9151 SH SOLE 9151
D VERITAS SOFTWARE CORPORATION 923436109 1767 23275 SH OTHER 10510 12765
D VERSUS TECHNOLOGY INC 925313108 130 833500 SH OTHER 618500 215000
D VETERINARY CTRS AMER INC 925514101 255 22300 SH OTHER 18100 4200
D VETERINARY CENTERS OF AMERICA, 925514135 223 21252 SH OTHER 21252
D VETERINARY CENTERS OF AMERICA, 925514143 175 16631 SH OTHER 16631
D VIAD CORP 92552R109 12 400 SH SOLE 400
D VIAD CORP 92552R109 9 300 SH SHARED 300
D VIAD CORP 92552R109 4438 150425 SH OTHER 7900 142525
D VIASOFT INC 92552U102 203 23600 SH OTHER 23600
D VIACOM INCORPORATED 925524100 1355 31320 SH OTHER 1160 30160
D VIACOM INCORPORATED 925524308 11 268 SH SOLE 268
D VIACOM INCORPORATED 925524308 8382 198379 SH OTHER 99768 98611
D VIDEOSERVER INCORPORATED 926918103 79 10920 SH OTHER 10920
D VIRAL TESTING SYSTEMS CORPORATI 92764K108 3 22920 SH OTHER 22920
D VIRGINIA CAP BANCSHARES INC 927758102 580 39000 SH OTHER 17000 22000
D VISTA GOLD CORPORATION 927926105 16 101050 SH OTHER 101050
D VISHAY INTERTECHNOLOGY INCORPOR 928298108 1180 49687 SH OTHER 14521 35166
D VISTANA INC 92839P108 602 40100 SH OTHER 40100
D VISX INCORPORATED DELAWARE 92844S105 13049 164982 SH OTHER 69502 95480
D VISUAL NETWORKS INCORPORATED 928444108 203 4772 SH OTHER 4772
D VITESSE SEMICONDUCTOR CORP 928497106 762 8927 SH SOLE 8927
D VITESSE SEMICONDUCTOR CORP 928497106 1474 17270 SH OTHER 1115 16155
D VIVENDI 92851S105 423 29915 SH SOLE 29915
D VIVENDI 92851S105 306 21650 SH OTHER 21650
D VODAFONE AIRTOUCH PUBLIC LTD 92857T107 1769 7440 SH SOLE 7290 150
D VODAFONE AIRTOUCH PUBLIC LTD 92857T107 186 784 SH SHARED 684 100
D VODAFONE AIRTOUCH PUBLIC LTD 92857T107 91086 383117 SH OTHER 329390 53727
D VOICESTREAM WIRELESS CORP 928615103 1328 21520 SH OTHER 6450 15070
D VOYAGEUR COLO INSD MUN INCM 92907B106 811 62100 SH OTHER 62100
D VULCAN MATERIALS COMPANY 929160109 2871 78400 SH OTHER 41100 37300
D WBK STRYPES TRUST 929229102 1015 34400 SH OTHER 25700 8700
D WEBS INDEX FUND INCORPORATED 92923H889 1023 73400 SH OTHER 40500 32900
D WD-40 COMPANY 929236107 784 33500 SH OTHER 30800 2700
D WPP GROUP PLC 929309300 698 7500 SH OTHER 3600 3900
D WPS RESOURCES CORPORATION 92931B106 90 3200 SH SOLE 3200
D WPS RESOURCES CORPORATION 92931B106 171 6105 SH OTHER 4905 1200
D WRP CORP 929317105 39 11000 SH OTHER 11000
D WABASH NATIONAL CORPORATION 929566107 5199 255950 SH OTHER 8600 247350
D WACHOVIA CORPORATION 929771103 24 300 SH SHARED 300
D WACHOVIA CORPORATION 929771103 1709 21730 SH OTHER 6200 15530
D WADDELL & REED FINANCIAL INC 930059100 322 14505 SH OTHER 13145 1360
D WADDELL & REED FINANCIAL INC 930059209 509 23818 SH OTHER 900 22918
D WAL-MART STORES INCORPORATED 931142103 513 10785 SH SOLE 8199 2586
D WAL-MART STORES INCORPORATED 931142103 285 6000 SH SHARED 6000
D WAL-MART STORES INCORPORATED 931142103 70548 1483263 SH OTHER 894447 588816
D WALGREEN COMPANY 931422109 6295 248089 SH SOLE 244989 3100
D WALGREEN COMPANY 931422109 2179 85880 SH SHARED 85080 800
D WALGREEN COMPANY 931422109 91030 3587385 SH OTHER 2563229 1024156
D WALLACE COMPUTER SERVICES 932270101 1127 55666 SH OTHER 24026 31640
D WARBURG PINCUS 933911109 2439 135503 SH OTHER 135503
D WELLINGTON TRUST 933911141 11813 437514 SH OTHER 437514
D WARNACO GROUP INCORPORATED 934390105 874 47900 SH OTHER 47900
D WARNER LAMBERT COMPANY 934488107 655 9862 SH SOLE 9112 750
D WARNER LAMBERT COMPANY 934488107 640 9635 SH SHARED 9635
D WARNER LAMBERT COMPANY 934488107 39208 590710 SH OTHER 328933 261777
D WASHINGTON FEDERAL INCORPORATED 938824109 2607 112440 SH OTHER 112440
D WASHINGTON MUTUAL INC 939322103 48 1650 SH SOLE 1650
D WASHINGTON MUTUAL INC 939322103 48 1653 SH SHARED 1653
D WASHINGTON MUTUAL INC 939322103 19640 671468 SH OTHER 16002 655466
D WASHINGTON MUTUAL INVESTORS 939330106 7002 216921 SH OTHER 33676 183246
D WASHINGTON POST COMPANY 939640108 1697 3328 SH OTHER 1848 1480
D USA WASTE MANAGEMENT INC 94106LAA7 1346 1500000 SH OTHER
D WASTE MANAGEMENT INCORPORATED 94106L109 30 1575 SH SOLE 468 1107
D WASTE MANAGEMENT INCORPORATED 94106L109 6769 351661 SH OTHER 85038 266623
D WATERS CORP 941848103 1559 25750 SH OTHER 2820 22930
D WATSCO INCORPORATED 942622200 144 12700 SH OTHER 12700
D WATSON PHARMACEUTICALS INC 942683103 371 12145 SH SOLE 11795 350
D WATSON PHARMACEUTICALS INC 942683103 15 500 SH SHARED 500
D WATSON PHARMACEUTICALS INC 942683103 919 30076 SH OTHER 14260 15816
D WAUSAU-MOSINEE PAPER COMPANY 943315101 600 49500 SH OTHER 11000 38500
D WEATHERFORD INTL INC NEW 947074100 7555 236083 SH OTHER 20050 216033
D WEBSTER FINANCIAL CORPORATION 947890109 3529 138400 SH OTHER 1400 137000
D WEIS MARKETS INCORPORATED 948849104 6528 190600 SH OTHER 5500 185100
D WEISS PECK & GREER FDS TR 949024103 9067 986595 SH OTHER 986595
D WELLMAN INCORPORATED 949702104 384 21247 SH OTHER 197 21050
D WELLPOINT HEALTH NETWORK 94973HAA6 466 710000 SH OTHER
D WELLPOINT HEALTH NETWORKS DEL 94973H108 1265 22200 SH OTHER 22200
D WELLS FARGO & CO NEW 949746101 46 1150 SH SOLE 1150
D WELLS FARGO & CO NEW 949746101 102 2586 SH SHARED 2586
D WELLS FARGO & CO NEW 949746101 46826 1181722 SH OTHER 315651 866071
D WELLSFORD REAL PROPERTIES W/I 950240101 2175 228916 SH OTHER 122216 106700
D WENDYS FINANCING I 950588202 585 10350 SH OTHER 10350
D WENDYS INTERNATIONAL INCORPORAT 950590109 3856 145507 SH OTHER 16400 129107
D WERNER ENTERPRISES INCORPORATED 950755108 11 600 SH SOLE 600
D WERNER ENTERPRISES INCORPORATED 950755108 261 14807 SH OTHER 1395 13412
D WESCO FINANCIAL CORPORATION 950817106 19107 70507 SH OTHER 10200 60307
D WEST PENNSYLVANIA POWER COMPANY 955278AX4 75 75000 SH OTHER
D WESTELL TECHNOLOGIES INC 957541105 560 68951 SH OTHER 52951 16000
D WESTERN BANCORP 957683105 404 10470 SH OTHER 10470
D WESTERN GAS RES INC 958259103 235 12600 SH OTHER 4500 8100
D WESTERN WIRELESS CORP 95988E204 2633 58725 SH OTHER 58725
D WESTERN WATER COMPANY 959881103 231 142000 SH OTHER 142000
D WESTINGHOUSE AIR BRAKE COMPANY 960386100 36 2000 SH SOLE 2000
D WESTINGHOUSE AIR BRAKE COMPANY 960386100 200 11000 SH OTHER 11000
D WESTVACO CORPORATION 961548104 496 19369 SH OTHER 14219 5150
D WESTWOOD ONE INCORPORATED 961815107 2556 56650 SH OTHER 47350 9300
D WEYCO GROUP INC. 962149100 1121 51258 SH OTHER 48054 3204
D WEYCO GROUP INCORPORATED 962149209 1581 72258 SH OTHER 69054 3204
D WEYERHAEUSER COMPANY 962166104 86 1499 SH SOLE 1499
D WEYERHAEUSER COMPANY 962166104 3175 55105 SH OTHER 17705 37400
D WHARF HOLDINGS 962257994 41 15000 SH OTHER 15000
D WHIRLPOOL CORPORATION 963320106 13 200 SH SOLE 200
D WHIRLPOOL CORPORATION 963320106 3166 48472 SH OTHER 9700 38772
D WHITE MOUNTAINS INSURANCE GROUP 964126106 448 3300 SH OTHER 3300
D WHITEHALL JEWELLERS INC 965063100 509 17700 SH OTHER 3000 14700
D WHITMAN CORP NEW 96647R107 4371 306729 SH OTHER 259629 47100
D WHITNEY HOLDING CO 966612103 333 9695 SH OTHER 2745 6950
D WHITTMAN-HART INC 966834103 730 18815 SH SOLE 18815
D WHITTMAN-HART INC 966834103 338 8710 SH OTHER 2310 6400
D WHOLE FOODS MARKET INCORPORATED 966837106 4118 125865 SH OTHER 2915 122950
D WILEY JOHN & SONS INC 968223206 1930 123000 SH OTHER 63000 60000
D WILLAMETTE INDUSTRIES INCORPORA 969133107 859 19925 SH OTHER 6905 13020
D WILLIAMS COMPANIES INCORPORATED 969457100 55 1450 SH SOLE 1450
D WILLIAMS COMPANIES INCORPORATED 969457100 8486 225533 SH OTHER 65283 160250
D FBP CONTRARIAN 969557206 899 38392 SH OTHER 38392
D WILLIAMS SONOMA INCORPORATED 969904101 491 10105 SH SOLE 10105
D WILLIAMS SONOMA INCORPORATED 969904101 3976 81865 SH OTHER 43755 38110
D W.M. BARR AND COMPANY INCORPORA 969999010 32558 2250000 SH OTHER 1766057 483943
D W.M. BARR AND COMPANY INCORPORA 969999028 4165 250000 SH OTHER 196229 53771
D WILMAR INDUSTRIES INCORPORATED 971426101 2109 163800 SH OTHER 10200 153600
D WIND RIV SYS INC 973149107 262 13800 SH OTHER 13800
D WINSTAR COMMUNICATIONS 975515107 447 11440 SH OTHER 3000 8440
D WINTRUST FINANCIAL CORPORATION 97650W108 25 1438 SH SOLE 1438
D WINTRUST FINANCIAL CORPORATION 97650W108 596 34573 SH OTHER 33573 1000
D WISCONSIN CENTRAL 976592105 1469 107310 SH OTHER 27880 79430
D WISCONSIN ENERGY CORPORATION 976657106 106 4515 SH SOLE 4515
D WISCONSIN ENERGY CORPORATION 976657106 765 32651 SH OTHER 14301 18350
D WISCONSIN REAL ESTATE INVT T 977011105 30 58200 SH OTHER 58100 100
D WOODLEY 979990108 5624 56683 SH OTHER 56683
D WOODLEY 979990116 82955 793000 SH OTHER 793000
D WOODLEY 979990132 43223 415000 SH OTHER 415000
D WORLD ACCESS INCORPORATED 98141A101 283 25275 SH OTHER 25275
D WORLD COLOR PRESS INCORPORATED 981443104 230 6180 SH OTHER 6180
D WORLDWAY CORPORATION 98155FAA1 16 20000 SH OTHER
D WRIGLEY WILLIAM JR COMPANY 982526105 634 9220 SH SOLE 9220
D WRIGLEY WILLIAM JR COMPANY 982526105 4235 61539 SH OTHER 39682 21857
D WRIGLEY WILLIAM JR. COMPANY 982526204 254 3300 SH SOLE 3300
D WRIGLEY WILLIAM JR. COMPANY 982526204 98 1278 SH OTHER 78 1200
D XILINX INC 983919101 3064 46750 SH OTHER 27400 19350
D XOMED SURGICAL PRODS INC 98412V107 1211 21250 SH OTHER 550 20700
D XIONICS DOCUMENT TECHNGS INC 98412X103 72 12300 SH OTHER 12300
D XEROX CORPORATION 984121BB8 575 995000 SH OTHER
D XEROX CORPORATION 984121103 72 1706 SH SOLE 200 1506
D XEROX CORPORATION 984121103 21 500 SH SHARED 500
D XEROX CORPORATION 984121103 26714 636980 SH OTHER 409446 227534
D YAHOO INC 984332106 108 600 SH SOLE 600
D YAHOO INC 984332106 1752 9760 SH OTHER 2550 7210
D YANKEE CANDLE INC 984757104 338 17500 SH OTHER 17500
D YORK INTERNATIONAL CORPORATION 986670107 1387 38600 SH OTHER 38600
D YOUNG & RUBICAM INC 987425105 308 7000 SH OTHER 3000 4000
D YOUNG BROADCASTING CORPORATION 987434107 1074 20500 SH OTHER 19500 1000
D ZALE CORP NEW 988858106 897 23400 SH OTHER 8300 15100
D ZEBRA TECHNOLOGY 989207105 45 1000 SH SOLE 1000
D ZEBRA TECHNOLOGY 989207105 6190 136140 SH OTHER 72050 64090
D ZIFF-DAVIS INC 989511209 309 14520 SH SOLE 14520
D ZIFF-DAVIS INC 989511209 15 700 SH OTHER 700
D ZIONS BANCORPORATION 989701107 476 8635 SH SOLE 8635
D ZIONS BANCORPORATION 989701107 297 5390 SH OTHER 1890 3500
D ZURICH ALLIED AG 98981P101 223 2000 SH OTHER 2000
D BANK OF AMERICA 991252206 3828 63817 SH OTHER 63817
S REPORT SUMMARY 3630 DATA RECORDS 17047589
</TABLE>