LASALLE BANK N A
13F-HR, 2000-10-04
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                  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 30,2000

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 30,2000

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:     3643

Form 13F Information Table Value Total:    $20,343,706



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 FORTIS B                                        B21734189     1870    61620 SH       OTHER                 61620
D BAYER A G                                       D07112119     2508    59330 SH       OTHER                 58580               750
D DAIMLERCHRYSLER AG                              D1668R123       39      879 SH       SOLE                    879
D DAIMLERCHRYSLER AG                              D1668R123      720    16209 SH       OTHER                  3910             12299
D DRESDNER BANK AG                                D22995134     3141    69700 SH       OTHER                 69000               700
D EPCOS AG MUENCHEN                               D2491H100     1788    17491 SH       OTHER                 17491
D MARSCHOLLEK LAUT UND PART-VO                    D52400104     2622    19382 SH       OTHER                 19382
D SIEMENS AG                                      D69671218     3790    23537 SH       OTHER                 22587               950
D BANCO BILBAO VIZCAYA ARGENTARIA                 E11805103     2565   173034 SH       OTHER                173034
D GAS NATURAL SDG S.A.                            E5499B123     1446    89277 SH       OTHER                 89277
D TELEFONICA SA                                   E90183182     2609   136155 SH       OTHER                136155
D UNION ELECTRICA FENOSA SA                       E93171119     2302   124083 SH       OTHER                124083
D ALCATEL ALSTHOM CIE GENERALE                    F0191J101     1761    21563 SH       OTHER                 21563
D BANQUE NATIONALE DE PARIS BNP                   F07875192     2313    25188 SH       OTHER                 25188
D CAP GEMINI SA EUR 8                             F13587120     4318    20710 SH       OTHER                 20710
D SCOR NPV                                        F15561107     1230    27949 SH       OTHER                                   27949
D VIVENDI (EX-GEN DES EAUX) SA                    F43281116     3186    39032 SH       OTHER                 39032
D TOTAL FINA SA                                   F92124100     3138    21165 SH       OTHER                 21165
D J FOR JOBS                                      GA0007352     4054      621 SH       OTHER                   621
D THE PRUDENTIAL ASSET MGMT GROUP                 GA0007881     4007     1352 SH       OTHER                  1352
D ABBEY NATIONAL PLC                              G0016Z107      787    64900 SH       OTHER                 64900
D ACE LIMITED                                     G0070K103     3929   100101 SH       OTHER                 36251             63850
D AIRTOURS PLC                                    G01428104      967   243700 SH       OTHER                243700
D ALLIED IRISH BKS P L C                          G02072117     1952   237118 SH       OTHER                237118
D AMDOCS LTD                                      G02602103      439     7045 SH       OTHER                  1145              5900
D ANNUITY AND LIFE RE HOLDINGS                    G03910109     1735    71900 SH       OTHER                 26900             45000
D APW LTD                                         G04397108      601    12333 SH       OTHER                  6858              5475
D SAFEWAY PLC                                     G04704113      138    36210 SH       OTHER                                   36210
D AUTONOMY CORPORATION PLC                        G0669T101      732    12900 SH       OTHER                 12900
D BARCLAYS PLC                                    G08036108     1170    47008 SH       OTHER                 47008
D BASS PLC                                        G08708177      964   114700 SH       OTHER                114700
D BP AMOCO PLC                                    G15596110     1364   149000 SH       OTHER                149000
D BRITISH TELECOMMUNICATIONS PLC                  G15820114     1479   116510 SH       OTHER                112900              3610
D CREIGHTON LABORATORIES PLC                      G25340103       16   112500 SH       OTHER                112500
D DEVRO PLC                                       G2743R101     2405  2475000 SH       OTHER                                 2475000
D EARTHPORT.COM PLC                               G29014118       24    12500 SH       OTHER                 12500
D ED & F MAN GROUP PLC                            G2926X107      949   128800 SH       OTHER                128800
D EMESS PLC                                       G30324118       21    43000 SH       SOLE                  43000
D EVEREST RE GROUP LTD                            G3223R108     3214    64930 SH       OTHER                 36930             28000
D FIDELITY ADVISOR                                G33979108      429    20864 SH       SOLE                  20864
D GKN PLC                                         G39004182     1053    81100 SH       OTHER                 81100
D GLOBAL CROSSING LIMITED                         G3921A100       20      630 SH       SOLE                    630
D GLOBAL CROSSING LIMITED                         G3921A100     1965    63390 SH       OTHER                 49316             14074
D GLOBALSTAR TELECOMMUNICATION                    G3930H104      376    43575 SH       OTHER                  2475             41100
D GREAT UNIVERSAL STORES PLC                      G40768106     1026   144600 SH       OTHER                144600
D INVENSYS PLC                                    G49133104     1121   286700 SH       OTHER                286700
D KNIGHTSBRIDGE TANKERS LTD                       G5299G106       22     1000 SH       SOLE                   1000
D KNIGHTSBRIDGE TANKERS LTD                       G5299G106      392    17900 SH       OTHER                 12600              5300
D LASMO PLC                                       G53831106       33    15000 SH       OTHER                                   15000
D LLOYDS TSB PLC                                  G5542W106     1408   150000 SH       OTHER                150000
D LORAL SPACE & COMMUNICATION LIM                 G56462107        6     1000 SH       SOLE                   1000
D LORAL SPACE & COMMUNICATION LIM                 G56462107     1197   195415 SH       OTHER                188740              6675
D OXFORD MOLECULAR GROUP PLC                      G6840D105       57   110000 SH       OTHER                110000
D PARTNERRE LTD                                   G6852T105     2640    55659 SH       OTHER                  7659             48000
D PENINSULAR & ORIENT STEAM NAVIG                 G71710142     1028   114700 SH       OTHER                114700
D PXRE GROUP LTD                                  G73018106      387    24569 SH       OTHER                 24569
D RECKETT BENCKISER PLC                           G7420A107      157    13180 SH       OTHER                                   13180
D RENAISSANCERE HOLDINGS LTD                      G7496G103      745    11650 SH       OTHER                  1650             10000
D RIO TINTO PLC                                   G75754104     1092    68400 SH       OTHER                 68400
D ROYAL BANK OF SCOTLAND GROUP PL                 G76891111     1207    66920 SH       OTHER                   200             66720
D SAINSBURYS J P L C                              G77732108      984   188600 SH       OTHER                186100              2500
D SANTA FE INTERNATIONAL CORP                     G7805C108     2975    66024 SH       OTHER                 39010             27014
D SMG PLC                                         G8226W103      211    43216 SH       OTHER                 43216
D SMITHKLINE BEECHAM PLC                          G8232L174     1433   110000 SH       OTHER                110000
D SMURFIT JEFFERSON GROUP LTD                     G82459119      334   217000 SH       OTHER                                  217000
D ROYAL SUN ALLIANCE GROUP PLC                    G8566X133      131    18744 SH       OTHER                                   18744
D TELEWEST COMMUNICATIONS PLC                     G8742C102      483   193300 SH       OTHER                193300
D TOMMY HILFIGER CORPORATION                      G8915Z102     2695   280050 SH       OTHER                 16800            263250
D TOMKINS PLC                                     G89158136       77    24500 SH       OTHER                                   24500
D TRANSOCEAN SEDCO FORDEX INC                     G90078109       35      590 SH       SOLE                    590
D TRANSOCEAN SEDCO FORDEX INC                     G90078109        1       19 SH       SHARED                   19
D TRANSOCEAN SEDCO FORDEX INC                     G90078109     6210   105928 SH       OTHER                 48838             57090
D TRITON ENERGY LIMITED                           G90751101      315     8068 SH       OTHER                  4068              4000
D TYCOM LTD                                       G9144B106       26      690 SH       SOLE                    690
D TYCOM LTD                                       G9144B106        8      200 SH       SHARED                                    200
D TYCOM LTD                                       G9144B106     1297    33810 SH       OTHER                  8400             25410
D VODAFONE AIRTOUCH PLC                           G9387S105       13     3242 SH       SOLE                   3242
D VODAFONE AIRTOUCH PLC                           G9387S105     3076   763547 SH       OTHER                752300             11247
D WHITE MOUNTAINS INSURANCE GROUP                 G9618E107     1162     4260 SH       OTHER                   560              3700
D WIMPEY GEORGE PLC                               G96872109       21    12400 SH       OTHER                                   12400
D WINDSOR PLC                                     G97017100       27   133000 SH       OTHER                                  133000
D XL CAPITAL LIMITED                              G98255105     3178    43236 SH       OTHER                 16216             27020
D NESTLE SA, CHAM ET VEVEY                        H57312227     1421      660 SH       OTHER                   650                10
D NEUE ZUERCHER ZEITUNG, ZUERICH,                 H57512107     5741       61 SH       OTHER                    21                40
D NOVARTIS AG, BASEL                              H5820Q101     2921     1933 SH       OTHER                  1883                50
D ROCHE HOLDING AG-GENUSSSHEIN                    H69293118     2032      227 SH       OTHER                   227
D SCHINDLER HOLDING AG                            H72588132     1065      650 SH       OTHER                                     650
D ZURICH ALLIED AG                                H98469366     2863     5564 SH       OTHER                  5564
D FUJI MACHINE MANUFACTURING COMP                 J14910103     1632    35000 SH       OTHER                 35000
D FUJI PHOTO FILM COMPANY LIMITED                 J15036122     2007    56000 SH       OTHER                 56000
D KURITA WATER INDUSTRIES LIMITED                 J37221116     2312   111000 SH       OTHER                111000
D MATSUSHITA COMMUNICATION INDUST                 J41035106     2768    20000 SH       OTHER                 20000
D MINEBEA COMPANY LIMITED                         J42884130     2797   216000 SH       OTHER                216000
D MITSUBISHI HEAVY INDS LTD                       J44002129      334    95000 SH       OTHER                                   95000
D MITSUI & COMPANY LIMITED                        J44690139     2543   378000 SH       OTHER                378000
D MURATA MANUFACTURING CO LIMITED                 J46840104     2452    16000 SH       OTHER                 16000
D NOMURA SECURITIES COMPANY LIMIT                 J59009159     2412   103000 SH       OTHER                103000
D NTT MOBILE COMMUNICATIONS                       J60990132     1879       71 SH       OTHER                    71
D OMRON CORPORATION                               J61374120     2089    84000 SH       OTHER                 84000
D ROHM COMPANY LIMITED                            J65328122     1994     7000 SH       OTHER                  7000
D SECOM CO LIMITED                                J69972107     2114    29000 SH       OTHER                 29000
D SHIN-ETSU CHEMICAL COMPANY LIMI                 J72810120     2360    48000 SH       OTHER                 48000
D UNI-CHARM CORPORATION                           J94104114     1875    36000 SH       OTHER                 36000
D YAMANOUCHI PHARMACEUTICAL CO LT                 J96216122     2131    43000 SH       OTHER                 43000
D CARLSBERG A/S CLASS B                           K36628137     1900    52662 SH       OTHER                 52662
D NOVO NORDISK A/S-B                              K7314N103     1126     5546 SH       OTHER                  5546
D ABN AMRO FUNDS SICAV                            L0017F161     3060    53933 SH       SOLE                  53933
D ABN AMRO FUNDS SICAV                            L0017F187      376     2652 SH       SOLE                   2652
D ABN AMRO FUNDS SICAV                            L0017F229    33867   216762 SH       SOLE                 216762
D ABN AMRO FUNDS SICAV                            L0017F294      722    10000 SH       SOLE                  10000
D ABN AMRO FUNDS SICAV                            L0017F419     3298    67546 SH       SOLE                  67546
D ABN AMRO FUNDS SICAV                            L0017K178      614     3872 SH       SOLE                   3872
D MILLICOM INTERNATIONAL CELLULAR                 L6388F102      368    10350 SH       OTHER                  1200              9150
D SBS BROADCASTING SA                             L8137F102      397     9976 SH       OTHER                  6276              3700
D AUDIOCODES LIMITED                              M15342104      498     5850 SH       OTHER                  3350              2500
D CHECK POINT SOFTWARE TECHNOLOGI                 M22465104     4621    29340 SH       OTHER                  2040             27300
D COMM TOUCH SOFTWARE INC                         M25596103      189    10000 SH       OTHER                 10000
D GILAT SATELLITE NETWORKS LTD                    M51474100      944    12275 SH       OTHER                 11175              1100
D ORBOTECH LTD                                    M75253100      350     6400 SH       OTHER                  3750              2650
D TTI TEAM TELECOM INTERNATIONAL                  M88258104     1637    80350 SH       OTHER                                   80350
D AEGON NV                                        N00890132     2003    51424 SH       OTHER                 51424
D ABN AMRO                                        N0099A104     3272    76120 SH       SOLE                  76120
D ASM LITHOGRAPHY HOLDING NV                      N07059111      784    24270 SH       SOLE                  24270
D ASM LITHOGRAPHY HOLDING NV                      N07059111      650    20119 SH       OTHER                  2606             17513
D COMPLETEL EUROPE NV                             N21590109       95    13300 SH       OTHER                                   13300
D CORE LABORATORIES N V                           N22717107      472    19210 SH       OTHER                 10710              8500
D ELSEVIER EUR 0.06                               N29370132     2375   196540 SH       OTHER                196540
D HAUSSMANN HOLDINGS N.V.                         N38982109      312      210 SH       SOLE                    210
D TELEGRAAF HOLDINGSMIIJ-CVA                      N41207114     7162   337067 SH       OTHER                124717            212350
D ORTHOFIX INTERNATIONAL N.V.                     N6748L102     6430   259800 SH       OTHER                  6500            253300
D PHILIPS ELECTRONICS NV                          N6983Q147     2637    54234 SH       OTHER                 54234
D QIAGEN NV                                       N72482107     1093    23200 SH       OTHER                                   23200
D TRANSEUROPE FUND                                N88517102    41066   217214 SH       SOLE                 217214
D UNILEVER NV                                     N8981F156     2021    42734 SH       OTHER                 42734
D VEDIOR NV-CVA                                   N9202Y107     1408   107559 SH       OTHER                107559
D GRUPO TELEVISA SA DE CV                         P4987V137      178    55000 SH       OTHER                                   55000
D KIMBERLY-CLARK DE MEXICO SA DE                  P60694117       78    25000 SH       OTHER                                   25000
D NACIONAL DE DROGAS SA DE CV NAD                 P7068W122      293   467072 SH       OTHER                467072
D PANAMERICAN BEVERAGES INC                       P74823108       43     2500 SH       SOLE                    300              2200
D PANAMERICAN BEVERAGES INC                       P74823108      682    40095 SH       OTHER                  5800             34295
D STEINER LEISURE LTD                             P8744Y102     1317    58865 SH       OTHER                 57865              1000
D DIGICALL GROUP LTD                              Q3189W108        2   296668 SH       OTHER                296668
D IT CAPITAL LIMITED                              Q4984X101        1    10000 SH       OTHER                 10000
D NATIONAL AUSTRALIA BANK LIMITED                 Q65336119      556    38000 SH       OTHER                 38000
D NEWS CORPORATION LIMITED                        Q67027138      736    68000 SH       OTHER                 68000
D QANTAS AIRWAYS LIMITED                          Q77974105      359   158000 SH       OTHER                158000
D TELECOM CORPORATION OF NEW ZEAL                 Q89499109      988   355000 SH       OTHER                355000
D S & P 500 INDEX FUND                            SP5003335    26709   767000 SH       SOLE                 581061            185939
D S & P 500 INDEX FUND                            SP5003335   167843  4819986 SH       OTHER               4521764            298223
D BENETTON GROUP SPA PONZANO                      T1966F113       25    13500 SH       OTHER                                   13500
D ENI SPA                                         T3643A111     1932   331512 SH       OTHER                316012             15500
D MONTEFIBRE SPA-RNC                              T69861119        5    10000 SH       OTHER                                   10000
D RIUNIONE ADRIATICA DI SICURTA R                 T79470109     2465   210949 SH       OTHER                210949
D SONDEL NORDELETTRICA SPA                        T87313101       34    10000 SH       OTHER                                   10000
D TELECOM ITALIA MOBILE SPA                       T9276A112      681   137100 SH       OTHER                135000              2100
D TELECOM ITALIA SPA                              T9277N105     6435  1084109 SH       OTHER               1079109              5000
D TELECOM ITALIA SPA                              T9277N121     2173   176959 SH       OTHER                173959              3000
D APP FINANCE VII MAURITIUS LIMIT                 V03230AA3       20    30000 SH       OTHER
D DBS GROUP HOLDINGS LIMITED                      V27915137      160    13243 SH       SOLE                  13243
D ROYAL CARIBBEAN CRUISES LIMITED                 V7780T103     1035    40200 SH       OTHER                   600             39600
D SINGAPORE PRESS HOLDINGS                        V81378107      902    56000 SH       OTHER                 56000
D ERICSSON(LM)TELFON                              W26049119     3663   181519 SH       OTHER                181519
D S.K.F. AB-B SHS                                 W84237143     1575   108554 SH       OTHER                108554
D SVENSKA HANDELSBANKEN                           W90937181     2132   129000 SH       OTHER                                  129000
D NOKIA AB                                        X61873133     2276    51970 SH       OTHER                 51970
D SONERA CORPORATION                              X82596101     1352    40532 SH       OTHER                 40532
D CHEUNG KONG HOLDINGS LIMITED                    Y13189108     1874   144000 SH       OTHER                144000
D FLEXTRONICS INTERNATIONAL LIMIT                 Y2573F102     4036    49146 SH       OTHER                 15856             33290
D OVERSEA-CHINESE BANKING-ORD                     Y64248126     1145   165500 SH       OTHER                165500
D OMI CORP                                        Y6476W104      353    42195 SH       OTHER                 42195
D SUN HUNG KAI PROPERTIES LIMITED                 Y82594121     1856   195000 SH       OTHER                195000
D SWIRE PAC LIMITED CLASS                         Y83310105      809   118000 SH       OTHER                118000
D TEEKAY SHIPPING CORPORATION                     Y8564W103      667    14218 SH       OTHER                  8218              6000
D ABN AMRO TAXABLE FIXED INCOME F                 00078H109    62401  6439732 SH       SOLE                6439353               378
D ABN AMRO TAXABLE FIXED INCOME F                 00078H109     7104   733103 SH       SHARED               733103
D ABN AMRO TAXABLE FIXED INCOME F                 00078H109    63573  6560716 SH       OTHER               6326054            234662
D ABN AMRO TAX EXEMPT                             00078H505    18202  1798658 SH       SOLE                1798658
D ABN AMRO TAX EXEMPT                             00078H505     3961   391427 SH       SHARED               391427
D ABN AMRO TAX EXEMPT                             00078H505      358    35355 SH       OTHER                 18008             17347
D ABN AMRO REAL ESTATE FUND                       00078H620     5883   640187 SH       SOLE                 640187
D ABN AMRO REAL ESTATE FUND                       00078H620     8844   962401 SH       OTHER                962401
D ABN AMRO LATIN AMERICAN EQUITY                  00078H646    10932   858795 SH       SOLE                 852241              6554
D ABN AMRO LATIN AMERICAN EQUITY                  00078H646      441    34675 SH       SHARED                32675     2000
D ABN AMRO LATIN AMERICAN EQUITY                  00078H646     9002   707145 SH       OTHER                707145
D ABN AMRO ASIAN TIGERS FUND                      00078H737     9944  1279760 SH       SOLE                1276073              3686
D ABN AMRO ASIAN TIGERS FUND                      00078H737      236    30402 SH       SHARED                27873     2529
D ABN AMRO ASIAN TIGERS FUND                      00078H737     7011   902377 SH       OTHER                902377
D ABN AMRO INTERNATIONAL EQUITY F                 00078H778    58109  2852683 SH       SOLE                2817344    11187    24152
D ABN AMRO INTERNATIONAL EQUITY F                 00078H778     3129   153618 SH       SHARED               143178    10440
D ABN AMRO INTERNATIONAL EQUITY F                 00078H778    52749  2589548 SH       OTHER               2532845             56703
D ABN AMRO SMALL CAP GROWTH FUND                  00078H794    21016  1383573 SH       SOLE                1378646     1830     3097
D ABN AMRO SMALL CAP GROWTH FUND                  00078H794     1621   106703 SH       SHARED                97071     9632
D ABN AMRO SMALL CAP GROWTH FUND                  00078H794    25495  1678381 SH       OTHER               1596103             82278
D ABN AMRO GROWTH FUND                            00078H828    53211  2896634 SH       SOLE                2896446               188
D ABN AMRO GROWTH FUND                            00078H828     8901   484548 SH       SHARED               484548
D ABN AMRO GROWTH FUND                            00078H828    16723   910324 SH       OTHER                897065             13259
D ABN AMRO VALUE FUND                             00078H844    25846  2218521 SH       SOLE                2218422                99
D ABN AMRO VALUE FUND                             00078H844     2967   254651 SH       SHARED               254651
D ABN AMRO VALUE FUND                             00078H844    36085  3097432 SH       OTHER               3040796             56636
D ABN AMRO BALANCED FUND                          00078H869     8281   727039 SH       SOLE                 727039
D ABN AMRO BALANCED FUND                          00078H869     2036   178726 SH       OTHER                 57920            120806
D AC MOORE ARTS & CRAFTS INCORPOR                 00086T103      109    14000 SH       OTHER                 14000
D ADC TELECOMMUNICATIONS                          000886101    22790   847497 SH       SOLE                 822332     2600    22565
D ADC TELECOMMUNICATIONS                          000886101      517    19220 SH       SHARED                17520     1700
D ADC TELECOMMUNICATIONS                          000886101    11600   431366 SH       OTHER                140782            290584
D ABN AMRO HOLDING N.V.                           000937102      285    12309 SH       SOLE                  12309
D ABN AMRO HOLDING N.V.                           000937102      875    37857 SH       OTHER                 13622             24235
D ADT OPERATIONS                                  000945AC9      277    98000 SH       OTHER
D AFLAC CORPORATION                               001055102       15      240 SH       SOLE                    240
D AFLAC CORPORATION                               001055102     7034   109795 SH       OTHER                 22195             87600
D AGCO CORPORATION                                001084102      182    15300 SH       OTHER                  1000             14300
D AES CORPORATION                                 00130HAN5      631   245000 SH       OTHER
D AES CORPORATION                                 00130H105      130     1900 SH       SOLE                    800              1100
D AES CORPORATION                                 00130H105    36190   528328 SH       OTHER                379102            149226
D AHT CORPORATION                                 00130R103        4    10000 SH       SOLE                  10000
D AIM EQUITY FUNDS INCORPORATED                   001413202     4182    89713 SH       OTHER                 65133             24580
D AIM                                             001413301      379    12244 SH       OTHER                 11799               446
D AIM EQUITY FUNDS INCORPORATED                   001413707       26     1322 SH       SOLE                   1322
D AIM EQUITY FUNDS INCORPORATED                   001413707      218    11229 SH       OTHER                  9564              1665
D AIM EQUITY FUNDS INCORPORATED                   001413863      425    19063 SH       OTHER                 19063
D AIM INVT SECS FDS INC                           00142C763       81    10336 SH       SOLE                  10336
D AK STEEL HOLDING CORP                           001547108      145    15500 SH       OTHER                                   15500
D AMLI RESIDENTIAL PROPERTY TRUST                 001735109      180     7500 SH       SOLE                                     7500
D AMLI RESIDENTIAL PROPERTY TRUST                 001735109     5422   225925 SH       OTHER                 65425            160500
D AMR CORPORATION DELAWARE                        001765106     4051   123940 SH       OTHER                  5140            118800
D A T & T CORPORATION                             001957109     3689   125569 SH       SOLE                 122637      300     2632
D A T & T CORPORATION                             001957109      406    13805 SH       SHARED                12927      400      478
D A T & T CORPORATION                             001957109    30862  1050636 SH       OTHER                530232            520404
D A T & T CORPORATION                             001957208       73     4044 SH       SOLE                   4044
D A T & T CORPORATION                             001957208    40647  2258160 SH       OTHER               1520295            737865
D AT&T CORPORATION WIRELESS GROUP                 001957406     7783   372815 SH       OTHER                173450            199365
D AFL-CIO HOUSING INVESTMENT TRUS                 001994136    20179    19041 SH       OTHER                  2017             17024
D APP FINANCE VI MAURITIUS LTD                    00202NAA3       25   200000 SH       OTHER
D A T & T CANANDA INC                             00207Q202      227     7450 SH       OTHER                                    7450
D ATMI INCORPORATED                               00207R101      327    14000 SH       OTHER                                   14000
D AVX CORPORATION                                 002444107      597    22900 SH       OTHER                  6700             16200
D AXP HIGH YIELD TAX EXEMPT FD                    00245N104      125    28871 SH       OTHER                 28871
D AXA FINANCIAL INCORPORATED                      002451102       42      830 SH       SOLE                    500               330
D AXA FINANCIAL INCORPORATED                      002451102      884    17345 SH       OTHER                  3775             13570
D ABBOTT LABORATORIES                             002824100     6506   136790 SH       SOLE                 134650              2140
D ABBOTT LABORATORIES                             002824100     1483    31178 SH       SHARED                29478              1700
D ABBOTT LABORATORIES                             002824100    98193  2064488 SH       OTHER               1627403            437085
D ABERCROMBIE & FITCH COMPANY                     002896207     3071   161100 SH       OTHER                 11700            149400
D ABBEY NATIONAL PLC                              002920106      252     9530 SH       OTHER                                    9530
D AFL-CIO                                         002990117     8434     3633 SH       OTHER                  1088              2545
D ABGENIX INCORPORATED                            00339B107     1241    15360 SH       OTHER                                   15360
D ABITIBI-CONSOLIDATED INC                        003924107      175    18641 SH       OTHER                 10101              8540
D NTQA                                            003998143    11157    53278 SH       OTHER                                   53278
D NTQA FE                                         003998200     5934   273548 SH       OTHER                273548
D ACCREDO HEALTH INC                              00437V104      478     9775 SH       OTHER                                    9775
D ACE CASH EXPRESS INC                            004403101      407    37000 SH       OTHER                  7000             30000
D ACKERLY COMMUNICATIONS INCORPOR                 004527107      420    42000 SH       OTHER                 37000              5000
D ACNIELSEN CORPORATION                           004833109        3      133 SH       SOLE                    133
D ACNIELSEN CORPORATION                           004833109     2021    84862 SH       OTHER                 45846             39016
D ACORN INVESTMENT TRUST                          004851101      697    36976 SH       SOLE                  36976
D ACORN INVESTMENT TRUST                          004851101     1552    82301 SH       OTHER                 44035             38266
D ACORN INVESTMENT TRUST                          004851200       54     1724 SH       SOLE                   1724
D ACORN INVESTMENT TRUST                          004851200     9074   288527 SH       OTHER                283395              5132
D ACORN                                           004851309      322    22374 SH       OTHER                 22374
D ACTION PERFORMANCE COMPANIES IN                 004933107      225    65450 SH       OTHER                 63925              1525
D ACTEL CORPORATION                               004934105      801    22300 SH       OTHER                  7000             15300
D ACTUATE CORPORATION                             00508B102      383    11100 SH       OTHER                                   11100
D ACTUANT CORPORATION                             00508X104       99    25033 SH       OTHER                 24858               175
D ACUSON                                          005113105      958    42100 SH       OTHER                 42100
D ACXIOM CORPORATION                              005125109     8141   256419 SH       SOLE                 236449             19970
D ACXIOM CORPORATION                              005125109     1954    61540 SH       OTHER                 40140             21400
D ADAC LABORATORIES                               005313200      337    16200 SH       OTHER                                   16200
D ADAMS R P INC                                   006239107      253    11298 SH       OTHER                 11298
D ADAPTEC INC                                     00651F108      453    22670 SH       OTHER                  1600             21070
D ADELPHIA COMMUNICATIONS CORP                    006848105     1143    41471 SH       OTHER                 16221             25250
D ADMINISTAFF INCORPORATED                        007094105      673     8886 SH       OTHER                  8186               700
D ADOBE SYSTEM INC  DEL                           00724F101     4580    29503 SH       OTHER                 10963             18540
D ADVANCED HARDWARE ARCHITECTURES                 00753#113     1077   256976 SH       OTHER                                  256976
D ADVANCED FIBRE COMMUNICATIONS                   00754A105       23      600 SH       SOLE                    600
D ADVANCED FIBRE COMMUNICATIONS                   00754A105      371     9805 SH       OTHER                  1400              8405
D ADVANCED OXYGEN TECHNOLOGIES IN                 00754B103        3    64000 SH       OTHER                 64000
D AEROFLEX INCORPORATED                           007768104      723    14865 SH       OTHER                  1015             13850
D ADVANCED MICRO DEVICES                          007903107     1422    60200 SH       OTHER                 10800             49400
D AEGON N.V.                                      007924103      181     4864 SH       SOLE                   4864
D AEGON N.V.                                      007924103     2717    73174 SH       OTHER                 67215              5959
D ADVANCED ENERGY INDUSTRIES                      007973100       66     2000 SH       SOLE                   2000
D ADVANCED ENERGY INDUSTRIES                      007973100      185     5600 SH       OTHER                                    5600
D ADVENT SOFTWARE INC                             007974108      405     5800 SH       OTHER                                    5800
D ADVANCED METABOLIC SYSTEMS, INC                 007990203        4    40000 SH       OTHER                 40000
D AES TRUST III                                   00808N202     3364    32500 SH       OTHER                  9700             22800
D AETNA INCORPORATED                              008117103      203     3500 SH       SOLE                   3500
D AETNA INCORPORATED                              008117103     1647    28365 SH       OTHER                 11130             17235
D AFFILIATED COMPUTER SERVICES A                  008190100     1754    35166 SH       OTHER                 16150             19016
D AFFYMETRIX INCORPORATED                         00826T108     1070    21460 SH       OTHER                   960             20500
D AGILENT TECHNOLOGIES INC                        00846U101      139     2832 SH       SOLE                   2832
D AGILENT TECHNOLOGIES INC                        00846U101        4       76 SH       SHARED                   76
D AGILENT TECHNOLOGIES INC                        00846U101     6274   128203 SH       OTHER                 61884             66319
D AIM FDS GROUP VALUE                             008879306     1355    29777 SH       OTHER                 29247               530
D AIM FDS GROUP                                   008879710      802   802372 SH       OTHER                802372
D AIM FUNDS GROUP                                 008879728      155     3534 SH       SHARED                 3534
D AIM FUNDS GROUP                                 008879728      921    21070 SH       OTHER                 20002              1068
D AIM FUNDS GROUP                                 008879744     4232   127278 SH       OTHER                127278
D AIM INTERNATIONAL FUNDS INC                     008882102      546    23563 SH       OTHER                 22986               577
D AIM INTERNATIONAL FUNDS INC                     008882300     2855   106806 SH       OTHER                106806
D AIR PRODUCTS &                                  009158106      180     5000 SH       SOLE                   5000
D AIR PRODUCTS &                                  009158106     3584    99548 SH       OTHER                 28103             71445
D AIRBORNE FREIGHT CORPORATION                    009266107      110    10800 SH       OTHER                  1000              9800
D AIRGAS INCORPORATED                             009363102      153    22500 SH       OTHER                                   22500
D AIRGATE PCS INCORPORATED                        009367103      348     7750 SH       OTHER                  3800              3950
D AKZO NOBEL N.V.                                 010199305      424    10075 SH       SOLE                  10075
D AKZO NOBEL N.V.                                 010199305      410     9744 SH       OTHER                   434              9310
D ALAMO GROUP INC                                 011311107      648    51035 SH       OTHER                  5000             46035
D ALAMOSA PCS HOLDINGS INCORPORAT                 011593100      222    13700 SH       OTHER                  3700             10000
D ALARIS MEDICAL INC                              011637105       15    12000 SH       OTHER                 12000
D ALASKA AIR GROUP                                011659109      684    28500 SH       OTHER                 13000             15500
D ALBANY MOLECULAR RESEARCH                       012423109     1051    18700 SH       OTHER                  4600             14100
D ALBERTSONS INCORPORATED                         013104104       81     3836 SH       SOLE                   3836
D ALBERTSONS INCORPORATED                         013104104        6      300 SH       SHARED                  300
D ALBERTSONS INCORPORATED                         013104104     3804   181135 SH       OTHER                 61440            119695
D ALCAN ALUMINUM LIMITED NEW                      013716105     1101    38033 SH       OTHER                 16383             21650
D ALCOA INCORPORATED                              013817101       15      580 SH       SOLE                                      580
D ALCOA INCORPORATED                              013817101     7003   276663 SH       OTHER                 28559            248104
D ALCATEL SA                                      013904305     1083    17230 SH       SOLE                  17230
D ALCATEL SA                                      013904305     3181    50600 SH       OTHER                 31077             19523
D ALEXANDER & BALDWIN INCORPORATE                 014482103     1144    44000 SH       OTHER                                   44000
D ALEXANDRIA REAL ESTATE EQUITIES                 015271109      474    13800 SH       OTHER                  9700              4100
D ALEXION PHARMACEUTICALS INC                     015351109      604     5300 SH       OTHER                                    5300
D ALKERMES INCORPORATED                           01642T108      236     6100 SH       OTHER                                    6100
D ALLEGHANY CORPORATION                           017175100     1559     7956 SH       OTHER                  7956
D ALLEGHENY ENERGY INCORPORATED                   017361106      370     9690 SH       OTHER                  8090              1600
D ALLEGHENY TECHNOLOGIES INCORPOR                 01741R102      245    13504 SH       OTHER                 10054              3450
D ALLEN ORGAN CO                                  017753104      331     5000 SH       OTHER                                    5000
D ALLERGAN INCORPORATED                           018490102       68      800 SH       SOLE                    800
D ALLERGAN INCORPORATED                           018490102     8826   104521 SH       OTHER                 19041             85480
D ALLIANCE BANCORP INC                            01852J105     1402    77864 SH       SOLE                  77864
D ALLIANCE BANCORP INC                            01852J105       37     2055 SH       OTHER                                    2055
D ALLETE                                          018522102      598    27036 SH       OTHER                 17336              9700
D ALLIANCE BOND FUND                              018528406      103    14535 SH       SOLE                           14535
D ALLIANCE CAPITAL MANAGEMENT HOL                 01855A101     1366    27247 SH       SOLE                  21777              5470
D ALLIANCE CAPITAL MANAGEMENT HOL                 01855A101       58     1150 SH       OTHER                  1150
D ALLIANCE CAPITAL RESERVES                       018550103     1037  1036861 SH       OTHER               1036861
D ALLIANCE FUND INCORPORATED                      01859K105      216    30734 SH       OTHER                 30734
D ALLIANCE GROWTH & INCOME FUND,                  018597104      394    98758 SH       OTHER                 98758
D ALLIANCE PREMIER GROWTH FUND                    01877C101      377    10837 SH       OTHER                 10837
D ALLIANCE QUASAR FUND INCORPORAT                 01877E107      990    32178 SH       OTHER                 32178
D ALLIANCE TECHNOLOGY FUND                        018780106      449     3369 SH       OTHER                  3369
D ALLIANT ENERGY CORPORATION                      018802108       65     2222 SH       SOLE                   2222
D ALLIANT ENERGY CORPORATION                      018802108     1326    45153 SH       OTHER                 27853             17300
D ALLIANT TECHSYSTEM INCORPORATED                 018804104     1885    22950 SH       OTHER                                   22950
D ALLIANCE LARGE CAPITAL GROWTH                   018990143    14078   622618 SH       OTHER                                  622618
D ALLIED CAPITAL CORPORATION                      01903Q108      508    24500 SH       OTHER                  1500             23000
D ALLIED IRISH BANKS PLC                          019228402      368    16825 SH       OTHER                  9305              7520
D ALLIED PRODUCTS CORP DELAWARE                   019411107       10    20000 SH       OTHER                 20000
D ALLIED ZURICH PLC                               01959Q101     1061    46854 SH       OTHER                  4655             42199
D ALLMERICA FINANCIAL CORPORATION                 019754100      413     6460 SH       OTHER                  1260              5200
D ALLSTATE CORPORATION                            020002101      931    26786 SH       SOLE                  26328               458
D ALLSTATE CORPORATION                            020002101      275     7918 SH       SHARED                 7918
D ALLSTATE CORPORATION                            020002101    28032   806687 SH       OTHER                335136            471551
D ALLTEL CORPORATION                              020039103       56     1072 SH       SOLE                   1072
D ALLTEL CORPORATION                              020039103     3431    65735 SH       OTHER                 18773             46962
D ALLTRISTA CORPORATION                           020040101      234    11300 SH       OTHER                   500             10800
D ALPHARMA INCORPORATED                           020813101     1559    25500 SH       OTHER                  5500             20000
D ALTERA CORPORATION                              021441100     1688    35354 SH       SOLE                  34154              1200
D ALTERA CORPORATION                              021441100       81     1695 SH       SHARED                 1695
D ALTERA CORPORATION                              021441100    11014   230650 SH       OTHER                 62358            168292
D ALTEON WEBSYSTEMS INCORPORATED                  02145A109     1192    11000 SH       OTHER                                   11000
D ALTERNATIVE RESOURCE CORP                       02145R102       13    21200 SH       OTHER                 21200
D ALZA CORPORATION                                022615AC2      140   125000 SH       OTHER
D ALZA CORPORATION                                022615108    15992   184882 SH       OTHER                 66047            118835
D AMBAC FINANCIAL GROUP INC                       023139108     1396    19060 SH       OTHER                                   19060
D AMERADA HESS CORPORATION                        023551104       29      432 SH       SOLE                    432
D AMERADA HESS CORPORATION                        023551104     6161    92046 SH       OTHER                 12446             79600
D AMEREN CORPORATION                              023608102       87     2083 SH       SOLE                   2083
D AMEREN CORPORATION                              023608102      630    15055 SH       OTHER                  9963              5092
D AMERICA ONLINE INC DEL                          02364J104     8866   164955 SH       SOLE                 163835      500      620
D AMERICA ONLINE INC DEL                          02364J104      114     2130 SH       SHARED                 1830      300
D AMERICA ONLINE INC DEL                          02364J104    24709   459711 SH       OTHER                287296            172415
D AMERICA WEST HOLDING CORP                       023657208      171    14010 SH       OTHER                    10             14000
D AMERICAN AADVANTAGE FUNDS                       02368A406     2254   123447 SH       OTHER                123447
D AMERICAN FUNDS                                  024071102        4      244 SH       SOLE                    244
D AMERICAN FUNDS                                  024071102      635    42590 SH       OTHER                 42590
D AMERICAN BANKNOTE CORPORATION                   024490104        1    16074 SH       OTHER                 16074
D AMERICAN CAP STRATEGIES LTD                     024937104      650    27430 SH       OTHER                 18430              9000
D COPY OF STATEMENT INDICATING                    024990137     4884  2076315 SH       OTHER                592241           1484074
D AMERICAN CENTURY                                025082108      197    20585 SH       SOLE                  20585
D AMERICAN CENTURY MUTUAL FUNDS I                 025083882    87846  1991031 SH       OTHER                174200           1816831
D AMERICAN CENTURY MUTUAL FUNDS I                 025086505      786    44685 SH       OTHER                                   44685
D AMERICAN ELECTRIC POWER COMPANY                 025537101       46     1178 SH       SOLE                   1178
D AMERICAN ELECTRIC POWER COMPANY                 025537101        5      120 SH       SHARED                  120
D AMERICAN ELECTRIC POWER COMPANY                 025537101     3511    89740 SH       OTHER                 38730             51010
D AMERICAN EXPRESS COMPANY                        025816109      777    12784 SH       SOLE                  12298               486
D AMERICAN EXPRESS COMPANY                        025816109       58      951 SH       SHARED                  351               600
D AMERICAN EXPRESS COMPANY                        025816109    34439   566901 SH       OTHER                356816            210085
D AMERICAN EXPRESS                                025990110    15285   286471 SH       OTHER                                  286471
D AMERICAN FINANCIAL HOLDINGS INC                 026075101      337    19100 SH       OTHER                                   19100
D AMERICAN GENERAL CORPORATION                    026351106      376     4824 SH       SOLE                   4824
D AMERICAN GENERAL CORPORATION                    026351106    12669   162420 SH       OTHER                 25820            136600
D AMERICAN GREETINGS CORPORATION                  026375105     3107   177555 SH       OTHER                 16515            161040
D AMERICAN HIGH INCOME TRUST                      026547109      112     8698 SH       SOLE                            8698
D AMERICAN HIGH INCOME TRUST                      026547109      107     8288 SH       OTHER                  8288
D AMERICAN HOME PRODUCTS CORPORAT                 026609107     3371    59604 SH       SOLE                  59604
D AMERICAN HOME PRODUCTS CORPORAT                 026609107      346     6125 SH       SHARED                 6125
D AMERICAN HOME PRODUCTS CORPORAT                 026609107    22441   396743 SH       OTHER                195984            200759
D AMERICAN INTERNATIONAL                          026874107    30947   323415 SH       SOLE                 319102     1374     2939
D AMERICAN INTERNATIONAL                          026874107     1716    17929 SH       SHARED                17088      525      316
D AMERICAN INTERNATIONAL                          026874107   165328  1727786 SH       OTHER               1245204            482582
D AMERICAN MED SEC GROUP INC                      02744P101      126    19500 SH       OTHER                                   19500
D AMERICAN MUTUAL FUND INCORPORAT                 027681105      235     9896 SH       OTHER                  9896
D AMERICAN NATIONAL                               028591105      449     7035 SH       OTHER                                    7035
D AMERICAN POWER CONVERSION                       029066107       15      800 SH       SOLE                    800
D AMERICAN POWER CONVERSION                       029066107       27     1400 SH       SHARED                                   1400
D AMERICAN POWER CONVERSION                       029066107     2719   141685 SH       OTHER                 98385             43300
D AMERICAN STANDARD COMPANIES                     029712106     2506    56400 SH       OTHER                 47400              9000
D AMERICAN TOWER CORPORATION                      029912201     4397   116675 SH       OTHER                 67300             49375
D AMERICAN WAGERING INC                           030405104       12    36000 SH       OTHER                 36000
D AMERICAN WOODMARK CORPORATION                   030506109     1787    90500 SH       OTHER                                   90500
D AMERIPATH INCORPORATED                          03071D109      427    29475 SH       OTHER                                   29475
D AMERUS GROUP CO                                 03072M108      312    12100 SH       OTHER                  2000             10100
D AMES DEPT STORES CORP                           030789507      225    38993 SH       OTHER                 38993
D AMGEN INCORPORATED                              031162100     4904    70227 SH       SOLE                  67732      400     2095
D AMGEN INCORPORATED                              031162100      384     5495 SH       SHARED                 4895               600
D AMGEN INCORPORATED                              031162100    43655   625185 SH       OTHER                374481            250704
D AMPHENOL CORP NEW                               032095101      899    15790 SH       OTHER                   390             15400
D AMSOUTH BANCORPORATION                          032165102      604    48302 SH       OTHER                 26677             21625
D AMSTED INDUSTRIES INCORPORATED                  032177107  1342260  7278675 SH       OTHER               7278675
D AMSURG CORPORATION                              03232P108      214    15250 SH       OTHER                                   15250
D AMTRAN INCORPORATED                             03234G106      140    12800 SH       OTHER                                   12800
D AMYLIN PHARMACEUTICALS INC                      032346108      213    19800 SH       OTHER                 16100              3700
D ANADARKO PETROLEUM CORPORATION                  032511AP2       66    80000 SH       OTHER
D ANADARKO PETROLEUM COMPANY                      032511107       15      227 SH       SOLE                    227
D ANADARKO PETROLEUM COMPANY                      032511107     4694    70623 SH       OTHER                 40755             29868
D ANALOG DEVICES INCORPORATED                     032654105     3878    46965 SH       SOLE                  46755               210
D ANALOG DEVICES INCORPORATED                     032654105       17      210 SH       SHARED                  210
D ANALOG DEVICES INCORPORATED                     032654105    10530   127541 SH       OTHER                 43731             83810
D ANOLOGIC CORPORATION                            032657207      231     6000 SH       OTHER                                    6000
D ANAREN MICROWAVE INCORPORATED                   032744104      692     5100 SH       OTHER                                    5100
D ANDERSON TULLY COMPANY                          034159103     1025       10 SH       OTHER                    10
D ANDREW CORPORATION                              034425108     5218   199240 SH       SHARED               199240
D ANDREW CORPORATION                              034425108      433    16530 SH       OTHER                  2855             13675
D ANDRX CORP DEL                                  034553107      168     1800 SH       SOLE                   1800
D ANDRX CORP DEL                                  034553107     1741    18650 SH       OTHER                  3900             14750
D ANHEUSER BUSCH COMPANIES                        035229103      172     4066 SH       SOLE                   3606               460
D ANHEUSER BUSCH COMPANIES                        035229103    12517   295820 SH       OTHER                118932            176888
D ANIXTER INTERNATIONAL INCORPORA                 035290105      495    17000 SH       OTHER                  7200              9800
D ANNTAYLOR STORES CORPORATION                    036115103     4722   122850 SH       OTHER                 13300            109550
D ANSYS INCORPORATED                              03662Q105      224    18700 SH       OTHER                  4700             14000
D ANTEC CORP                                      03664P105     2685    91000 SH       OTHER                 10700             80300
D ANTHRACITE CAPITAL INCORPORATED                 037023108      795    97833 SH       OTHER                 87833             10000
D AON CORPORATION                                 037389103     1858    47344 SH       SOLE                  47344
D AON CORPORATION                                 037389103     7230   184210 SH       OTHER                112285             71925
D APACHE CORPORATION                              037411105       15      250 SH       SOLE                                      250
D APACHE CORPORATION                              037411105     7959   134616 SH       OTHER                 60221             74395
D APARTMENT INVESTMENT & MANAGEME                 03748R101     2669    57950 SH       OTHER                 25165             32785
D APOLLO GROUP INCORPORATED                       037604105     1000    25070 SH       OTHER                  6000             19070
D APPLE COMPUTER INCORPORATED                     037833100       99     3830 SH       SOLE                   3830
D APPLE COMPUTER INCORPORATED                     037833100     4752   184550 SH       OTHER                 57550            127000
D APPLEBEES INTERNATIONAL INCORPO                 037899101      290    12600 SH       OTHER                                   12600
D APPLIED INNOVATION INC                          037916103     2491   160700 SH       OTHER                 10200            150500
D APRIA HEALTHCARE GROUP                          037933108      283    20300 SH       OTHER                                   20300
D APPLIED MICRO CIRCUITS CORP                     03822W109     5746    27749 SH       OTHER                  2504             25245
D APPLIED MATERIALS INCORPORATED                  038222105      176     2960 SH       SOLE                   2960
D APPLIED MATERIALS INCORPORATED                  038222105    13217   222837 SH       OTHER                 88744            134093
D APTARGROUP INCORPORATED                         038336103     2037    85086 SH       OTHER                 44386             40700
D ARCH CHEMICALS INC                              03937R102      217    11875 SH       OTHER                  1875             10000
D ARCHER DANIELS MIDLAND COMPANY                  039483102      848    98372 SH       OTHER                 28377             69995
D ASN US - ARCHSTONE COMMUNITIES                  039581103       24      972 SH       SOLE                    972
D ASN US - ARCHSTONE COMMUNITIES                  039581103    13166   536014 SH       OTHER                139692            396322
D ARCHSTONE COMMUNICATIONS INC                    039581202     4186   124500 SH       OTHER                 38500             86000
D ARIAD PHARMACEUTICALS INC                       04033A100      226    18000 SH       OTHER                                   18000
D ARIBA INCORPORATED                              04033V104     4239    29590 SH       OTHER                  1290             28300
D ARIEL                                           040337404    15737  1594465 SH       OTHER                                 1594465
D ARNOLD INDUSTRIES INCORPORATED                  042595108     3660   216875 SH       OTHER                 33475            183400
D ARROW ELECTRONICS INC                           042735100     4196   123175 SH       OTHER                 24675             98500
D ARROW INTERNATIONAL INC.                        042764100      320     8800 SH       OTHER                  7500              1300
D ART TECHNOLOGY GROUP INCORPORAT                 04289L107     1920    20260 SH       OTHER                  1370             18890
D ARTESYN TECHNOLOGIES INCORPORAT                 043127109      703    24152 SH       OTHER                 17552              6600
D ARVINMERITOR INC                                043353101     1891   128726 SH       OTHER                  9426            119300
D ASHLAND INCORPORATED                            044204105      731    21699 SH       OTHER                  1947             19752
D ASIA PACIFIC FUND                               044901106      262    29900 SH       OTHER                  4000             25900
D ASIA SATELLITE TELECOMMUNICATIO                 04516X106      415    16600 SH       OTHER                  3600             13000
D ASPEN TECHNOLOGY INCORPORATED                   045327103      988    21900 SH       OTHER                                   21900
D ASSOCIATED BANC CORP                            045487105      406    15458 SH       SOLE                  15458
D ASSOCIATED BANC CORP                            045487105     2327    88653 SH       OTHER                 76493             12160
D AT HOME CORPORATION                             045919107        2      150 SH       SOLE                    150
D AT HOME CORPORATION                             045919107      146    10326 SH       OTHER                 10326
D ASSOCIATES FIRST CAPITAL CORPOR                 046008108       18      486 SH       SOLE                    486
D ASSOCIATES FIRST CAPITAL CORPOR                 046008108       10      261 SH       SHARED                  261
D ASSOCIATES FIRST CAPITAL CORPOR                 046008108    11769   309715 SH       OTHER                 68890            240825
D ASTORIA FINANCIAL CORP                          046265104     3866   100100 SH       OTHER                  7100             93000
D ASTRAZENECA PLC                                 046353108       84     1599 SH       SOLE                   1599
D ASTRAZENECA PLC                                 046353108     2959    56287 SH       OTHER                  9750             46537
D ATCHISON CASTING CORP                           046613105       84    21300 SH       OTHER                 21300
D ATHENS NEUROSCI                                 046854AB1      216   140000 SH       OTHER
D ATLANTIC COAST AIRLS HLDGS INC                  048396105      216     6700 SH       OTHER                                    6700
D ATMEL CORP                                      049513104     1097    72220 SH       OTHER                 13400             58820
D ATRIX LABS INCORPORATED                         04962LAA9      504   540000 SH       OTHER
D ATRIX LABS INCORPORATED                         04962LAC5      326   350000 SH       OTHER
D ATRIX LABORATORIES INC                          04962L101      276    18855 SH       OTHER                 16800              2055
D AULT INC                                        051503100       83    10000 SH       OTHER                                   10000
D AURORA BIOSCIENCES CORPORATION                  051920106      922    13565 SH       OTHER                  1365             12200
D AUTODESK INCORPORATED                           052769106      571    22500 SH       OTHER                   200             22300
D AUTOLIV INCORPORATED W/I                        052800109      293    15000 SH       OTHER                                   15000
D AUTOMATIC DATA                                  053015103     1585    23702 SH       SOLE                  21402     2300
D AUTOMATIC DATA                                  053015103      401     6000 SH       SHARED                 6000
D AUTOMATIC DATA                                  053015103    51354   767909 SH       OTHER                331103            436806
D AUTONATION INC                                  05329W102      305    50900 SH       OTHER                  8000             42900
D AUTOZONE INC                                    053332102      495    21800 SH       OTHER                 11800             10000
D AVADO BRANDS INC                                05336P108       39    52000 SH       OTHER                 11500             40500
D AVANEX CORPORATION                              05348W109     1567    14555 SH       OTHER                   550             14005
D AVATAR HOLDINGS INCORPORATED                    053494100      611    31750 SH       OTHER                 21450             10300
D AVENTIS                                         053561106     2113    28056 SH       OTHER                 10479             17577
D AVERY DENNISON CORPORATION                      053611109     9517   205219 SH       OTHER                 97765            107454
D AVNET INCORPORATED                              053807103       14      494 SH       SOLE                    494
D AVNET INCORPORATED                              053807103     2339    82438 SH       OTHER                 19760             62678
D AVOCENT CORP                                    053893103      419     7600 SH       OTHER                                    7600
D AVON PRODUCTS                                   054303AN2      667  1390000 SH       OTHER
D AVON PRODUCTS INCORPORATED                      054303102       37      900 SH       SOLE                    900
D AVON PRODUCTS INCORPORATED                      054303102     4934   120704 SH       OTHER                 41274             79430
D AXA-UAP                                         054536107     1033    15975 SH       SOLE                  15975
D AXA-UAP                                         054536107     1732    26770 SH       OTHER                  6320             20450
D AXYS PHARMACEUTICALS INC                        054635107     1547   227100 SH       OTHER                 12200            214900
D BB & T CORPORATION                              054937107       22      722 SH       SOLE                    722
D BB & T CORPORATION                              054937107      308    10232 SH       OTHER                 10232
D B C ROGERS POULTRY INCORPORATED                 054990130     5222  6143130 SH       OTHER                                 6143130
D B C ROGERS PROCESSORS INCORPORA                 054991138     2881  5880000 SH       OTHER                                 5880000
D BAA PLC                                         05518L206      113    14327 SH       OTHER                  9686              4641
D BAE SYS PLC                                     05523R107      268    12407 SH       OTHER                  5009              7398
D BASF AG                                         055262505      577    15830 SH       OTHER                  1330             14500
D BBN CORPORATION                                 055283AA3       72    75000 SH       OTHER
D BCE INCORPORATED                                05534B109      288    12300 SH       OTHER                 10950              1350
D BG PLC                                          055434203      276     8592 SH       OTHER                  7196              1396
D BHA GROUP HOLDINGS INC                          055446108     2308   161983 SH       OTHER                                  161983
D BHC COMMUNICATIONS INC                          055448104     1258     7996 SH       OTHER                   145              7851
D BJS WHOLESALE CLUB INC                          05548J106     4779   140032 SH       OTHER                101422             38610
D BJ SERVICES COMPANY                             055482103      756    12360 SH       OTHER                  4890              7470
D BP AMOCO PLC                                    055622104     4444    83845 SH       SOLE                  83845
D BP AMOCO PLC                                    055622104      523     9859 SH       SHARED                 8075              1784
D BP AMOCO PLC                                    055622104    49541   934743 SH       OTHER                660679            274064
D BRE PROPERTIES INCORPORATED                     05564E106      564    17625 SH       OTHER                 16025              1600
D BMC SOFTWARE INCORPORATED                       055921100      123     6420 SH       SOLE                   6420
D BMC SOFTWARE INCORPORATED                       055921100       28     1450 SH       SHARED                 1450
D BMC SOFTWARE INCORPORATED                       055921100      774    40495 SH       OTHER                 20695             19800
D BT INSTITUTIONAL FUNDS                          055924500    12056    67024 SH       OTHER                                   67024
D BT DEUTSCHE                                     055924856    12095   807401 SH       OTHER                807401
D BT PYRAMID S & P 500                            055999106   343943    98657 SH       SOLE                  98657
D BAKER HUGHES INCORPORATED                       057224107     3531    95123 SH       OTHER                 22713             72410
D BALDOR ELEC CO                                  057741100      349    17200 SH       OTHER                                   17200
D BALDWIN AND LYONS INCORPORATED                  057755209      380    19595 SH       OTHER                                   19595
D BALL CORPORATION                                058498106      933    29455 SH       OTHER                 25555              3900
D BALLARD PWR SYS INC                             05858H104      270     2474 SH       OTHER                  1316              1158
D BALLY TOTAL FITNESS HOLDING COR                 05873K108       31     1250 SH       SOLE                   1250
D BALLY TOTAL FITNESS HOLDING COR                 05873K108      309    12350 SH       OTHER                  1250             11100
D BANCO BILBAO VIZCAYA                            05946K101      864    57570 SH       SOLE                  57570
D BANCO BILBAO VIZCAYA                            05946K101      182    12101 SH       OTHER                  4328              7773
D BANCO BRADESCO                                  059460105      285    34169 SH       OTHER                  9143             25026
D BANCO SANTANDER CENT HISPANO SA                 05964H105      343    31388 SH       OTHER                 29769              1619
D BANCWEST CORP NEW                               059790105      509    26176 SH       OTHER                  9176             17000
D BANDAG INC                                      059815308      248     8700 SH       OTHER                  2500              6200
D BANK OF AMERICA CORPORATION                     060505104      235     4490 SH       SOLE                   4490
D BANK OF AMERICA CORPORATION                     060505104       10      200 SH       SHARED                  200
D BANK OF AMERICA CORPORATION                     060505104    29310   559618 SH       OTHER                249908            309710
D BANK OF AMERICA                                 060990132    12156  2155665 SH       OTHER               2155665
D BANK OF AMERICA                                 060990140     6923  6923345 SH       OTHER               6923345
D BANK OF MONTREAL                                063671101       23      498 SH       SHARED                  498
D BANK OF MONTREAL                                063671101      329     7284 SH       OTHER                  6534               750
D BANK OF NEW YORK INCORPORATED                   064057102      351     6260 SH       SOLE                   5760               500
D BANK OF NEW YORK INCORPORATED                   064057102       76     1350 SH       SHARED                 1350
D BANK OF NEW YORK INCORPORATED                   064057102     8551   152532 SH       OTHER                126561             25971
D BANK ONE CORPORATION                            06423A103     2234    57845 SH       SOLE                  57025               820
D BANK ONE CORPORATION                            06423A103      174     4507 SH       SHARED                 4356               151
D BANK ONE CORPORATION                            06423A103    40333  1044222 SH       OTHER                871033            173189
D BANK OF TOKYO-MITSUBISHI                        065379109      564    48265 SH       OTHER                  4265             44000
D BANK UTD CORP                                   065412108     5332   105200 SH       OTHER                  7950             97250
D BANKATLANTIC BANCORP INCORPORAT                 065908AB1       61    70000 SH       OTHER
D BANKATLANTIC BNC                                065908AC9       49    70000 SH       OTHER
D BANKNORTH GROUP INC                             06646R107     4490   251200 SH       OTHER                 26300            224900
D BANKUNITED FINANCIAL CORPORATIO                 06652B103      406    55000 SH       OTHER                                   55000
D BANTA CORPORATION                               066821109      405    16625 SH       OTHER                  5225             11400
D BANKERS TRUST COLLECTIVE FUND                   066999038    82377    22379 SH       OTHER                                   22379
D BANKERS TRUST COLLECTIVE FUND                   066999046       17    16687 SH       OTHER                                   16687
D BARD C R INCORPORATED                           067383109      482    11405 SH       OTHER                   405             11000
D BARNES & NOBLE INC                              067774109      331    16810 SH       OTHER                   210             16600
D BARCLAYS GLOBAL INVESTORS                       067990143      296     9859 SH       OTHER                                    9859
D BARCLAYS GLOBAL INVESTORS                       067990150      649     9067 SH       OTHER                                    9067
D BARCLAYS GLOBAL INVESTORS                       067990168     1313    10217 SH       OTHER                                   10217
D BARCLAYS GLOBAL INVESTORS                       067990184     7303   583447 SH       OTHER                                  583447
D BARR LABORATORIES INCORPORATED                  068306109      598     9012 SH       OTHER                   300              8712
D BARRETVILLE BANK & TRUST COMPAN                 068491109      373       50 SH       OTHER                    50
D BARING INTERNATIONAL GROUP                      068990134    33531   157970 SH       OTHER                157970
D BASS PUB LTD CO                                 069904209      118    11827 SH       OTHER                 11827
D BAUSCH & LOMB INCORPORATED                      071707103     2920    74994 SH       OTHER                 39094             35900
D BAXTER INTERNATIONAL INCORPORAT                 071813109      261     3272 SH       SOLE                   3272
D BAXTER INTERNATIONAL INCORPORAT                 071813109      177     2221 SH       SHARED                 2221
D BAXTER INTERNATIONAL INCORPORAT                 071813109    41363   518244 SH       OTHER                285604            232640
D BAXTER INTERNATIONAL INCORPORAT                 071813125        2    30100 SH       OTHER                 30100
D BAYER AG                                        072730302      349     9441 SH       OTHER                  2541              6900
D BAYERISCHE HYPO-UND                             072735103      654    11960 SH       SOLE                  11960
D BAYERISCHE HYPO-UND                             072735103      114     2091 SH       OTHER                  2091
D BAYERISCHE MOTOREN WERKE A G                    072743107      239     7390 SH       OTHER                                    7390
D BEA SYSTEMS INCORPORATED                        073325102      623     8000 SH       SOLE                   8000
D BEA SYSTEMS INCORPORATED                        073325102     4336    55680 SH       OTHER                  5200             50480
D BEAR STEARN'S COMPANY INCORPORA                 073902108     3424    54342 SH       OTHER                 25482             28860
D BECKMAN COULTER INCORPORATED                    075811109       11      146 SH       SOLE                    146
D BECKMAN COULTER INCORPORATED                    075811109     2544    32990 SH       OTHER                 21540             11450
D BECTON DICKINSON & COMPANY                      075887109       34     1300 SH       SOLE                   1300
D BECTON DICKINSON & COMPANY                      075887109     8414   318260 SH       OTHER                 74478            243782
D BED BATH & BEYOND INCORPORATED                  075896100       39     1601 SH       SOLE                   1601
D BED BATH & BEYOND INCORPORATED                  075896100     1984    81350 SH       OTHER                 51030             30320
D BELDEN INC                                      077459105      978    41400 SH       OTHER                                   41400
D BELL & HOWELL COMPANY                           077852101     1083    49490 SH       OTHER                 16840             32650
D BELLSOUTH CORPORATION                           079860102     2521    62632 SH       SOLE                  61532              1100
D BELLSOUTH CORPORATION                           079860102      451    11196 SH       SHARED                10396               800
D BELLSOUTH CORPORATION                           079860102    14568   361936 SH       OTHER                151352            210584
D BELLWETHER  EXPL CO                             079895207       92    12000 SH       OTHER                 12000
D BELO A H CORPORATION                            080555105      898    48704 SH       OTHER                 42000              6704
D BENCHMARK ELECTRONICS INCORPORA                 08160H101      604    11624 SH       OTHER                  1524             10100
D BENTON OIL & GAS COMPANY                        083288100      197    75000 SH       OTHER                                   75000
D BERGEN BRUNSWIG CORPORATION                     083739102      333    28449 SH       OTHER                  5800             22649
D BERGER OMNI INVESTMENT FUND TRU                 083902205     3742   150478 SH       OTHER                150478
D BERKLEY W.R. CORPORATION                        084423102      217     6275 SH       OTHER                  4375              1900
D BERKSHIRE HATHAWAY                              084670108   286773     4453 SH       OTHER                   521              3932
D BERKSHIRE HATHAWAY INC DELAWARE                 084670207      238      115 SH       SOLE                    115
D BERKSHIRE HATHAWAY INC DELAWARE                 084670207       75       36 SH       SHARED                   36
D BERKSHIRE HATHAWAY INC DELAWARE                 084670207     5943     2871 SH       OTHER                  2349               522
D BERNSTEIN SANFORD C FUND INC                    085568707      208    10171 SH       OTHER                 10171
D BEST BUY INCORPORATED                           086516101     4195    65939 SH       OTHER                 18804             47135
D BESTFOODS                                       08658U101      204     2800 SH       SOLE                   2800
D BESTFOODS                                       08658U101      189     2600 SH       SHARED                 2400               200
D BESTFOODS                                       08658U101     6586    90531 SH       OTHER                 66531             24000
D BETHLEHEM STEEL CORPORATION                     087509105       32    10600 SH       OTHER                 10600
D BEVERLY ENTERPRISES INC                         087851309      444    74700 SH       OTHER                 22700             52000
D BILLITON PLC                                    090171109       80    22431 SH       OTHER                 18364              4067
D BINDLEY WESTERN INDUSTRIES                      090324104     4082   127556 SH       OTHER                 61794             65762
D BIO RAD LABORATORIES                            090572207     1767    78480 SH       OTHER                 68780              9700
D BIOCONTROL TECHNOLOGY INCORPORA                 090586108        6    50000 SH       OTHER                 50000
D BIOGEN N.V.                                     090597105     1350    22130 SH       SOLE                  21920               210
D BIOGEN N.V.                                     090597105     4825    79096 SH       OTHER                 60246             18850
D BIOMET INCORPORATED                             090613100     5134   146696 SH       SOLE                 144596      600     1500
D BIOMET INCORPORATED                             090613100      181     5162 SH       SHARED                 3737     1200      225
D BIOMET INCORPORATED                             090613100    10885   310996 SH       OTHER                184650            126346
D BIOTECH HOLDRS TRUST                            09067D201      214     1100 SH       SOLE                   1100
D BIOTECH HOLDRS TRUST                            09067D201      448     2300 SH       OTHER                  2300
D BIOVAIL CORP                                    09067J109      231     2835 SH       OTHER                  2323               512
D BIOSITE DIAGNOSTICS INCORPORATE                 090945106      319     7988 SH       OTHER                  3488              4500
D BLACK & DECKER CORPORATION                      091797100     3585   104848 SH       OTHER                 15397             89451
D BLACKROCK                                       091927202     1685  1684925 SH       OTHER                                 1684925
D BLACKROCK FUNDS                                 091927715      244    14265 SH       OTHER                 14265
D BLACKROCK FUNDS                                 091928309      568    16477 SH       OTHER                 16477
D BLACKROCK FUNDS                                 091928606      129    13025 SH       SOLE                  13025
D BLACK & VEATCH HOLDING COMPANY                  091990135    45151  3909209 SH       OTHER                                 3909209
D BLAIR CORPORATION                               092828102     1445    61510 SH       OTHER                 19300             42210
D BLAIR WILLIAM                                   093001204      104    10370 SH       SOLE                                    10370
D BLAIR WILLIAM                                   093001204      660    65658 SH       OTHER                 56162              9497
D BLAIR WILLIAM MUT FUNDS INC                     093001485      227    13599 SH       OTHER                 13599
D BLAIR WILLIAM MUTUAL FUNDS INC                  093001774      281    11906 SH       OTHER                 11906
D BLAIR WILLIAM MUT FUNDS INC                     093001865      502    23218 SH       SOLE                   2736             20482
D BLAIR WILLIAM MUT FUNDS INC                     093001865      196     9081 SH       OTHER                   215              8866
D BLOCK H & R INCORPORATED                        093671105      174     4700 SH       SOLE                                     4700
D BLOCK H & R INCORPORATED                        093671105     3792   102325 SH       OTHER                 48825             53500
D BLUE CIRCLE INDS PLC                            095342408       82    13440 SH       OTHER                 13440
D BLUE RHINO CORPORATION                          095811105      194    50000 SH       OTHER                 50000
D BLUEGREEN CORP                                  096231105       86    30000 SH       OTHER                                   30000
D BLYTH INC                                       09643P108     1528    65200 SH       OTHER                 59700              5500
D BOB EVANS FARM INCORPORATED                     096761101     3051   164920 SH       OTHER                  4295            160625
D BOCA RESORTS INC                                09688T106     1064    96700 SH       OTHER                 46700             50000
D BOEING COMPANY                                  097023105      604     9595 SH       SOLE                   9195               400
D BOEING COMPANY                                  097023105      109     1725 SH       SHARED                 1650                75
D BOEING COMPANY                                  097023105    21665   343882 SH       OTHER                129663            214219
D BOISE CASCADE CORPORATION                       097383103     1099    41382 SH       OTHER                 17329             24053
D AMERICAN FUNDS                                  097873103        6      439 SH       SOLE                    439
D AMERICAN FUNDS                                  097873103     1999   156429 SH       OTHER                 14188            142241
D BORDERS GROUP INC                               099709107      278    19925 SH       OTHER                  4625             15300
D BORG WARNER INC                                 099724106      745    22500 SH       OTHER                  2000             20500
D BOSTON CHICKEN INCORPORATED                     100578AA1            100000 SH       OTHER
D BOSTON CHICKEN INCORPORATED                     100578AC7             50000 SH       OTHER
D BOSTON PROPERTIES INC                           101121101        9      200 SH       SHARED                                    200
D BOSTON PROPERTIES INC                           101121101      494    11500 SH       OTHER                 11100               400
D BOSTON SCIENTIFIC CORP                          101137107      851    51780 SH       OTHER                 28745             23035
D BOWATER INCORPORATED                            102183100     1532    32992 SH       OTHER                 32000               992
D BRADY CORPORATION                               104674106     1731    57215 SH       OTHER                 21415             35800
D BRANDYWINE REALTY TRUST                         105368203      745    36800 SH       OTHER                  4400             32400
D BRAZOS MUTUAL FUNDS                             10620M308      539    19623 SH       OTHER                 19623
D BRENTON BANKS INCORPORATED                      107211104      715    59300 SH       OTHER                                   59300
D BRINSON TRUST COMPANY                           107990103    12201    48601 SH       OTHER                 48601
D BRIGGS & STRATTON CORPORATION                   109043109      475    12575 SH       OTHER                  1025             11550
D BRIGHTPOINT INC                                 109473108      452    89850 SH       OTHER                  3750             86100
D BRINKER INTERNATIONAL INCORPORA                 109641100     1185    39343 SH       OTHER                 15665             23678
D BRINSON TRUST COMPANY                           10970C603     9000   543169 SH       OTHER                543169
D BRISTOL MYERS SQUIBB COMPANY                    110122108     8101   141811 SH       SOLE                 140481              1330
D BRISTOL MYERS SQUIBB COMPANY                    110122108      317     5550 SH       SHARED                 5550
D BRISTOL MYERS SQUIBB COMPANY                    110122108    53345   933830 SH       OTHER                510152            423678
D BRITISH AIRWAYS PUBLIC                          110419306      364     8504 SH       OTHER                  3104              5400
D BRITISH AMERN TOB PLC                           110448107      236    18062 SH       OTHER                   695             17367
D BRITISH TELECOMMUNICATIONS                      111021408      416     3890 SH       SOLE                   3890
D BRITISH TELECOMMUNICATIONS                      111021408      766     7150 SH       OTHER                  1125              6025
D BROADBASE SOFTWARE INCORPORATED                 11130R100      316    23300 SH       OTHER                                   23300
D BROADCOM CORPORATION                            111320107       17       70 SH       SOLE                     70
D BROADCOM CORPORATION                            111320107     8511    34917 SH       OTHER                 15077             19840
D BROADVISION INC                                 111412102     1303    50721 SH       OTHER                  7531             43190
D BROCADE COMMUNICATIONS SYSTEMS                  111621108     8217    34817 SH       OTHER                   937             33880
D BROOKLINE BANCORP INCORPORATED                  113739106      949    83000 SH       OTHER                 15000             68000
D BROOKS AUTOMATION INC                           11434A100      272     8225 SH       OTHER                                    8225
D BROOKSTONE INC                                  114537103     1082    77300 SH       OTHER                                   77300
D BROOKSHIRE BROTHERS HOLDING INC                 114990138    41771  2746255 SH       OTHER                                 2746255
D BROOKSHIRE BROTHERS HOLDING INC                 114990146    13204   600182 SH       OTHER                                  600182
D BROWN & BROWN INC                               115236101     1040    32700 SH       OTHER                  7500             25200
D BROWN (TOM) INCORPORATED                        115660201      394    16100 SH       OTHER                  2200             13900
D BRUNSWICK CORPORATION                           117043109     1017    55710 SH       OTHER                  5410             50300
D BUCA INC                                        117769109      191    18000 SH       OTHER                  3000             15000
D BUCKEYE PARTNERS L.P.                           118230101      311    10800 SH       OTHER                 10800
D BUCKEYE TECHNOLOGIES INC                        118255108     1343    64700 SH       OTHER                 10000             54700
D BUCKEYE PIPE LINE SERVICES COMP                 118990118    68422  2534158 SH       OTHER               2534158
D BURLINGTON COAT FACTORY                         121579106      617    43100 SH       OTHER                  4000             39100
D BURLINGTON NORTHERN SANTA FE                    12189T104      137     6363 SH       SOLE                   6363
D BURLINGTON NORTHERN SANTA FE                    12189T104       43     2010 SH       SHARED                                   2010
D BURLINGTON NORTHERN SANTA FE                    12189T104     7374   341971 SH       OTHER                 28981            312990
D BURLINGTON RESOURCES INCORPORAT                 122014103       74     2017 SH       SOLE                   2017
D BURLINGTON RESOURCES INCORPORAT                 122014103       46     1262 SH       SHARED                                   1262
D BURLINGTON RESOURCES INCORPORAT                 122014103     6172   167655 SH       OTHER                 32169            135486
D BURNHAM PACIFIC PROPERTIES INC                  12232C108       61    10000 SH       OTHER                 10000
D BUSINESS OBJECTS S A                            12328X107      396     3500 SH       OTHER                   800              2700
D C&D TECHNOLOGIES INC                            124661109     1127    19854 SH       OTHER                 15854              4000
D CBL & ASSOC PPTYS INC                           124830100     3015   120300 SH       OTHER                  6800            113500
D CBRL GROUP INCORPORATED                         12489V106        2      150 SH       SOLE                    150
D CBRL GROUP INCORPORATED                         12489V106      335    23325 SH       OTHER                  2800             20525
D CDW COMPUTER CENTERS INC                        125129106      124     1800 SH       SOLE                   1800
D CDW COMPUTER CENTERS INC                        125129106     8489   123025 SH       OTHER                 19325            103700
D CEC ENTMT INC                                   125137109      431    13475 SH       OTHER                  6875              6600
D CFM TECHNOLOGIES INC                            12525K106      182    24900 SH       OTHER                                   24900
D C.H. ROBINSON WORLDWIDE INC                     12541W100     1238    21975 SH       OTHER                 12300              9675
D CIGNA CORPORATION                               125509109     5349    51237 SH       OTHER                 12867             38370
D CIGNA HIGH INCOME SHARES                        12551D109       67    13500 SH       OTHER                 13500
D CIM                                             125527135     2661   247927 SH       OTHER                247927
D C.I.T. GROUP INCORPORATED                       125577106      182    10391 SH       OTHER                  7491              2900
D CLECO CORPORATION                               12561W105      527    11270 SH       OTHER                   946             10324
D CMC TRUST FUND                                  125688101     4041   204485 SH       OTHER                                  204485
D CMC TRUST FUND                                  125688200     3121   184905 SH       OTHER                                  184905
D CMC FUND TRUST                                  125688309     1244   147590 SH       OTHER                                  147590
D CMGI INCORPORATED                               125750109       20      700 SH       SOLE                    700
D CMGI INCORPORATED                               125750109      449    16075 SH       OTHER                 12100              3975
D CMP INDUSTRIES INCORPORATED                     125889105      600    15394 SH       OTHER                 15394
D CMS ENERGY CORPORATION                          125896100      239     8884 SH       OTHER                  6884              2000
D CSS INDUSTRIES INC                              125906107      321    16000 SH       OTHER                                   16000
D C-MAC INDUSTRIES INCORPORATED                   125920108      225     3915 SH       OTHER                  1166              2749
D CRP HOLDING CORPORATION                         125963108             23000 SH       OTHER                 23000
D CIGNA INVESTMENT MANAGEMENT INC                 125990135     4964     1142 SH       OTHER                                    1142
D CNF TRANSPORTATION INCORPORATED                 12612W104     1331    59800 SH       OTHER                 28200             31600
D CNB CAP TR I                                    12613G207      210     5500 SH       OTHER                  5500
D C P & L ENERGY INC                              12614C106       58     1384 SH       SOLE                   1384
D C P & L ENERGY INC                              12614C106      618    14834 SH       OTHER                 14834
D CSG SYSTEM INTERNATIONAL INC                    126349109      995    34310 SH       SOLE                  26610              7700
D CSG SYSTEM INTERNATIONAL INC                    126349109       50     1730 SH       OTHER                  1730
D CSR LTD                                         126396308       94    10667 SH       OTHER                 10667
D CSX CORPORATION                                 126408103       81     3700 SH       SOLE                   3700
D CSX CORPORATION                                 126408103       57     2600 SH       SHARED                 2600
D CSX CORPORATION                                 126408103     1394    63898 SH       OTHER                 43878             20020
D CT&T FUNDS                                      126413889     2574    83081 SH       OTHER                                   83081
D CT COMMUNICATIONS INC                           126426402      274    13496 SH       OTHER                 13496
D CTS CORPORATION                                 126501105     1220    24100 SH       OTHER                 19900              4200
D CUC INTERNATIONAL INCORPORATED                  126545AD4      128   140000 SH       OTHER
D CVS CORPORATION                                 126650100     1118    24142 SH       SOLE                  22452      600     1090
D CVS CORPORATION                                 126650100      144     3100 SH       SHARED                 1900      500      700
D CVS CORPORATION                                 126650100    28158   607997 SH       OTHER                381110            226887
D CABLE & WIRELESS                                126830207      877    20602 SH       OTHER                  5202             15400
D CABLEVISION SYSTEMS CORP                        12686C109      940    14172 SH       OTHER                  6400              7772
D CABLETRON SYS INC                               126920107        6      200 SH       SOLE                    200
D CABLETRON SYS INC                               126920107     1653    56270 SH       OTHER                 43390             12880
D CABLE DESIGN TECHNOLOGIES CORP                  126924109      252    10345 SH       OTHER                  4670              5675
D CABOT CORPORATION                               127055101      222     7000 SH       OTHER                  2700              4300
D CACHE INC                                       127150308       50    18000 SH       OTHER                                   18000
D CACI INTERNATIONAL INC                          127190304      957    44650 SH       OTHER                  2500             42150
D CADBURY SCHWEPPES PUBLIC                        127209302      568    23625 SH       OTHER                  6550             17075
D CADENCE DESIGN SYSTEMS INCORPOR                 127387108       51     2000 SH       SOLE                   2000
D CADENCE DESIGN SYSTEMS INCORPOR                 127387108     1279    49800 SH       OTHER                  5100             44700
D CAL DIVE INTERNATIONAL INC                      127914109      280     4900 SH       OTHER                                    4900
D CALIBER LEARNING NETWORK INC                    129914107       61    18000 SH       OTHER                 18000
D CALLAWAY GOLF CO                                131193104      212    13800 SH       OTHER                  3300             10500
D CALPINE CORPORATION                             131347106     1258    12050 SH       SOLE                   9330              2720
D CALPINE CORPORATION                             131347106       10      100 SH       SHARED                  100
D CALPINE CORPORATION                             131347106     6972    66795 SH       OTHER                  9345             57450
D CAMBREX CORPORATION                             132011107      936    25300 SH       OTHER                  2200             23100
D CAMINUS CORPORATION                             133766105      334     8400 SH       OTHER                                    8400
D CAMPBELL SOUP COMPANY                           134429109      178     6878 SH       SOLE                   6878
D CAMPBELL SOUP COMPANY                           134429109       65     2512 SH       SHARED                 2260               252
D CAMPBELL SOUP COMPANY                           134429109     1433    55400 SH       OTHER                 25000             30400
D CANADIAN OIL SANDS TRUST                        135922102      250    12000 SH       OTHER                  3000              9000
D CANADIAN PACIFIC LIMITED                        135923100     1636    62920 SH       OTHER                 27635             35285
D CANADIAN TALON RESOURCES LTD                    135990109       16   433334 SH       OTHER                433334
D CANADIAN NATIONAL RAILWAY COMPA                 136375102      621    21170 SH       OTHER                  2320             18850
D CANARC RESOURCE CORPORATION                     13722D101       65   352000 SH       OTHER                                  352000
D CANON INCORPORATED                              138006309      379     8575 SH       SOLE                   8575
D CANON INCORPORATED                              138006309     2100    47468 SH       OTHER                 16548             30920
D CAPITAL AUTOMOTIVE                              139733109      537    41300 SH       OTHER                 39000              2300
D CAPITAL GROWTH MORTGAGE INVESTO                 140184102      250    25000 SH       OTHER                 25000
D CAPITAL ONE FINANCIAL CORPORATI                 14040H105     2292    32720 SH       SOLE                  25815              6905
D CAPITAL ONE FINANCIAL CORPORATI                 14040H105        7      100 SH       SHARED                  100
D CAPITAL ONE FINANCIAL CORPORATI                 14040H105    10132   144617 SH       OTHER                 77867             66750
D CAPITAL SOUTHWEST                               140501107     1972    33000 SH       OTHER                                   33000
D CAPITAL TRUST                                   14052H100      360    80000 SH       OTHER                 30000             50000
D CAPSTONE TURBINE CORPORATION                    14067D102      454     6552 SH       OTHER                  2252              4300
D CAPITAL TITLE GROUP INC                         140919101      444   507000 SH       OTHER                507000
D CARDINAL HEALTH INC                             14149Y108      148     1680 SH       SOLE                    880               800
D CARDINAL HEALTH INC                             14149Y108       19      211 SH       SHARED                  211
D CARDINAL HEALTH INC                             14149Y108    16032   181793 SH       OTHER                107106             74687
D CAREER EDUCATION CORPORATION                    141665109     1037    23300 SH       OTHER                  8900             14400
D CAREMARK RX INC                                 141705103        6      574 SH       SOLE                    574
D CAREMARK RX INC                                 141705103      405    35969 SH       OTHER                  1623             34346
D CARIBBEAN SELECT INC                            141859108             20000 SH       OTHER                 20000
D CARLISLE COMPANIES INCORPORATED                 142339100      266     6400 SH       OTHER                                    6400
D CARMIKE CINEMAS INCORPORATED                    143436103       13    19163 SH       OTHER                 17563              1600
D CARNIVAL CORP                                   143658102      209     8500 SH       SOLE                   8500
D CARNIVAL CORP                                   143658102       10      400 SH       SHARED                                    400
D CARNIVAL CORP                                   143658102     2383    96755 SH       OTHER                 54700             42055
D CARPENTER TECHNOLOGY CORPORATIO                 144285103      530    18200 SH       OTHER                  1400             16800
D CARRAMERICA REALTY CORP                         144418100      457    15110 SH       OTHER                 14110              1000
D CASCO INTERNATIONAL INC                         147399109       14    10000 SH       OTHER                                   10000
D CASELLA WASTE SYSTEMS INC-A                     147448104      578    57100 SH       OTHER                                   57100
D CASEYS GENERAL STORES INCORPORA                 147528103     1186    91200 SH       OTHER                 12000             79200
D CASTLE AM & COMPANY                             148411101      175    18133 SH       OTHER                 18133
D CASTLE ENERGY                                   148449309      353    47500 SH       OTHER                 47500
D CATALINA MARKETING CORP                         148867104     2209    58700 SH       OTHER                 36200             22500
D CATELLUS DEVELOPMENT CORP                       149111106      168     9600 SH       SOLE                                     9600
D CATELLUS DEVELOPMENT CORP                       149111106    14423   824190 SH       OTHER                 17265            806925
D CATERPILLAR INCORPORATED                        149123101      131     3880 SH       SOLE                   3880
D CATERPILLAR INCORPORATED                        149123101      138     4099 SH       SHARED                 3699               400
D CATERPILLAR INCORPORATED                        149123101     6112   181097 SH       OTHER                 22897            158200
D CEDAR FAIR LIMITED PARTNERSHIP                  150185106     7687   416908 SH       OTHER                317900             99008
D CELLSTAR CORPORATION                            150925105       32    10000 SH       OTHER                                   10000
D CELERITEK INC                                   150926103      219     5800 SH       OTHER                                    5800
D SECURITY FINANCIAL CORP                         150996EY8       57    56569 SH       OTHER                 56569
D CELESTICA INC                                   15101Q108       55      800 SH       SOLE                    800
D CELESTICA INC                                   15101Q108     1887    27243 SH       OTHER                  2407             24836
D CELGENE CORPORATION                             151020104      688    11560 SH       OTHER                  5460              6100
D CELL PATHWAYS INC                               15114R101      684    84225 SH       OTHER                 84225
D CENDANT CORPORATION                             151313103        7      600 SH       SOLE                    600
D CENDANT CORPORATION                             151313103     8705   800478 SH       OTHER                298542            501936
D CENDANT CORP                                    151313111       91    14450 SH       OTHER                 10850              3600
D CENDANT CORPORATION                             151313301      373    22750 SH       OTHER                 11150             11600
D CENTERPOINT PROPERTIES CORPORAT                 151895109      648    14066 SH       OTHER                   566             13500
D CENTEX CORPORATION                              152312104      541    16850 SH       OTHER                  1550             15300
D CENTRAIS ELETRICAS BRASILEIR                    15234Q207      275    28170 SH       OTHER                  1530             26640
D CENTOCOR INCORPORATED                           152342AE1      744   585000 SH       OTHER
D CENTRAL GARDEN & PET CO                         153527106      416    59925 SH       OTHER                 58475              1450
D CENTRAL PARK TST                                154787303      171    11500 SH       OTHER                 11500
D CENTURA BKS INC                                 15640T100      345     9000 SH       OTHER                                    9000
D CENTURY ALUMINUM CO                             156431108      169    13500 SH       OTHER                                   13500
D CENTURYTEL INCORPORATED                         156700106      231     8462 SH       SOLE                   7075              1387
D CENTURYTEL INCORPORATED                         156700106     7171   263168 SH       OTHER                174372             88796
D CEPHALON INC                                    156708109      378     7800 SH       OTHER                                    7800
D CERIDIAN CORPORATION                            15677T106      182     6500 SH       SOLE                                     6500
D CERIDIAN CORPORATION                            15677T106    25982   925829 SH       OTHER                386729            539100
D CHAMPION COMMUNICATIONS SERVICE                 157901109       49    56700 SH       SOLE                  56700
D CHAMPION PARTS INCORPORATED                     158609107       27    39471 SH       OTHER                 39471
D CHANTAL PHARMACEUTICAL CORP                     159300201        5   250000 SH       OTHER                250000
D CHARLES RIV ASSOCS INC                          159852102      145    11925 SH       OTHER                                   11925
D CHARTER ONE FINANCIAL INCORPORA                 160903100       85     3481 SH       SOLE                   3481
D CHARTER ONE FINANCIAL INCORPORA                 160903100     7279   298612 SH       OTHER                113163            185449
D CHARMING SHOPPES INCORPORATED                   161133103     2160   413800 SH       OTHER                181000            232800
D CHARTER COMMUNICATIONS INC                      16117M107        3      200 SH       SOLE                    200
D CHARTER COMMUNICATIONS INC                      16117M107     1256    77200 SH       OTHER                 34800             42400
D CHASE MANHATTAN CORPORATION                     16161A108    15502   335636 SH       SOLE                 330855      525     4256
D CHASE MANHATTAN CORPORATION                     16161A108      195     4227 SH       SHARED                 4227
D CHASE MANHATTAN CORPORATION                     16161A108    88796  1922489 SH       OTHER               1440832            481657
D CHECKFREE CORPORATION                           162813109      381     9100 SH       OTHER                                    9100
D CHECKPOINT SYSTEMS INCORPORATED                 162825AB9       32    50000 SH       OTHER
D CHECKPOINT SYSTEM INCORPORATED                  162825103     1302   172100 SH       OTHER                  5300            166800
D CHEESECAKE FACTORY INC                          163072101      433    10000 SH       OTHER                 10000
D CHEMFIRST INC                                   16361A106      493    23700 SH       OTHER                                   23700
D CHEUNG KONG HOLDINGS LTD                        166744201      920    76147 SH       OTHER                 13152             62995
D CHEVRON TRUST FUND                              16675HAF9     8956  8709677 SH       SOLE
D CHEVRON TRUST FUND                              16675HAF9      301   293040 SH       OTHER
D CHEVRON CORPORATION                             166751107      783     9184 SH       SOLE                   9184
D CHEVRON CORPORATION                             166751107      104     1225 SH       SHARED                 1175                50
D CHEVRON CORPORATION                             166751107    14432   169286 SH       OTHER                 67856            101430
D CHEVY CHASE SAVINGS BANK, F.S.B                 166784207      336    13700 SH       OTHER                  6000              7700
D CHICOS FAS INC                                  168615102      298     8767 SH       OTHER                  7167              1600
D CHIEFTAIN INTERNATIONAL INCORPO                 16867C101     1554    75100 SH       OTHER                  1500             73600
D CHILES OFFSHORE INCORPORATED                    16888M104      218    10100 SH       OTHER                                   10100
D CHINA MOBILE HONG KONG LTD                      16941M109      272     8375 SH       OTHER                  8375
D CHIRON CORPORATION                              170040109      837    18591 SH       OTHER                  7150             11441
D CHITTENDEN CORPORATION                          170228100      261    10175 SH       OTHER                   625              9550
D CHRIS CRAFT INDUSTRIES INC                      170520100      475     5770 SH       OTHER                   206              5564
D CHRONIMED INC                                   171164106      135    18300 SH       OTHER                  6400             11900
D CHUBB CORPORATION                               171232101     4701    59418 SH       OTHER                 23242             36176
D CHURCH & DWIGHT INCORPORATED                    171340102      316    17200 SH       OTHER                  8000              9200
D CIENA CORPORATION                               171779101     6705    54596 SH       OTHER                  6296             48300
D CINAR CORPORATION                               171905300      309    39900 SH       OTHER                  1000             38900
D CINCINNATI FINANCIAL CORPORATIO                 172062101      464    13077 SH       OTHER                  2132             10945
D CINERGY CORP                                    172474108       44     1322 SH       SOLE                   1322
D CINERGY CORP                                    172474108     1302    39368 SH       OTHER                 13946             25422
D CIRCUIT CITY STORES                             172737108      699    30410 SH       OTHER                  4300             26110
D CISCO SYSTEMS INCORPORATED                      17275R102    54955   994652 SH       SOLE                 980194     4648     9810
D CISCO SYSTEMS INCORPORATED                      17275R102     3121    56492 SH       SHARED                54492     2000
D CISCO SYSTEMS INCORPORATED                      17275R102   255540  4625167 SH       OTHER               3490208           1134959
D CINTAS CORPORATION                              172908105     1317    30230 SH       SOLE                  23430              6800
D CINTAS CORPORATION                              172908105     6230   143005 SH       OTHER                 95711             47294
D CITIGROUP INCORPORATED                          172967101    35956   665073 SH       SOLE                 655958     2066     7049
D CITIGROUP INCORPORATED                          172967101     1375    25436 SH       SHARED                23338     1449      649
D CITIGROUP INCORPORATED                          172967101   175469  3245631 SH       OTHER               2076824           1168807
D CITIZENS COMMUNICATIONS COMPANY                 17453B101      134    10000 SH       SOLE                                    10000
D CITIZENS COMMUNICATIONS COMPANY                 17453B101    10273   764479 SH       OTHER                187454            577025
D CITRIX SYSTEMS INC                              177376100        8      400 SH       SOLE                    400
D CITRIX SYSTEMS INC                              177376100      589    29350 SH       OTHER                  9900             19450
D CLAIRES STORES INCORPORATED                     179584107      538    29900 SH       OTHER                  1500             28400
D CLARCOR INCORPORATED                            179895107      342    17550 SH       OTHER                 17550
D CLEAR CHANNEL COMMUNICATIONS                    184502AB8      656   600000 SH       OTHER
D CLEAR CHANNEL                                   184502AE2      171   185000 SH       OTHER
D CLEAR CHANNEL COMMUNICATIONS                    184502102       34      600 SH       SOLE                                      600
D CLEAR CHANNEL COMMUNICATIONS                    184502102    14782   261631 SH       OTHER                191314             70317
D CLOROX COMPANY                                  189054109      408    10325 SH       SOLE                  10325
D CLOROX COMPANY                                  189054109       53     1330 SH       SHARED                 1330
D CLOROX COMPANY                                  189054109     3646    92154 SH       OTHER                 38489             53665
D CLP HLDGS LTD                                   18946Q101      219    48757 SH       OTHER                  8557             40200
D COASTAL CORPORATION                             190441105     5650    76223 SH       OTHER                 40498             35725
D COBRA ELECTRONICS CORPORATION                   191042100     1702   286598 SH       OTHER                286598
D COCA COLA COMPANY                               191216100     6540   118637 SH       SOLE                 118137               500
D COCA COLA COMPANY                               191216100     1316    23870 SH       SHARED                23470               400
D COCA COLA COMPANY                               191216100    56578  1026355 SH       OTHER                480740            545615
D COGNOS INCORPORATED                             19244C109     1295    31787 SH       OTHER                  2123             29664
D COHEN & STEERS                                  192476109     1663    38395 SH       OTHER                                   38395
D COHU INCORPORATED                               192576106     1441    94100 SH       OTHER                  8700             85400
D COLGATE PALMOLIVE CORPORATION                   194162103    20672   437964 SH       SOLE                 433339     2450     2175
D COLGATE PALMOLIVE CORPORATION                   194162103      692    14665 SH       SHARED                11365      900     2400
D COLGATE PALMOLIVE CORPORATION                   194162103   159479  3378802 SH       OTHER                260127           3118675
D COLGATE PALMOLIVE CO.                           194162905  2552893  5385850 SH       OTHER                                 5385850
D COLONIAL BANCGROUP INC                          195493309      120    11600 SH       OTHER                  7900              3700
D COLONIAL PROPERTIES TRUST (AL)                  195872106      574    22360 SH       OTHER                  2300             20060
D COLONIAL MUTUAL FUNDS                           196094775       37     2302 SH       SHARED                 2302
D COLONIAL MUTUAL FUNDS                           196094775      155     9636 SH       OTHER                                    9636
D COLT TELECOM GROUP PLC                          196877104      221     2000 SH       OTHER                  1900               100
D COLUMBIA ENERGY GROUP INC                       197648108      323     4555 SH       OTHER                  1305              3250
D COLUMBIA                                        198297103     2437   139752 SH       OTHER                139752
D COLUMBIA SPORTSWEAR COMPANY                     198516106     4120    89800 SH       OTHER                  5500             84300
D COMBINED PENNY STK FD INC                       200243103             10000 SH       SOLE                  10000
D COMCAST CORPORATION                             200300101     5230   128543 SH       OTHER                 61862             66681
D COMCAST CORPORATION                             200300200       18      450 SH       SOLE                    450
D COMCAST CORPORATION                             200300200    30831   753103 SH       OTHER                585622            167481
D COMDISCO INCORPORATED                           200336105       13      680 SH       SOLE                    680
D COMDISCO INCORPORATED                           200336105     1958   102700 SH       OTHER                102700
D COMERICA INCORPORATED                           200340107    43370   742157 SH       SOLE                 742157
D COMERICA INCORPORATED                           200340107    22878   391484 SH       OTHER                337984             53500
D COMMERCE BANCSHARES INCORPORATE                 200525103      668    18145 SH       OTHER                 18145
D COMMERCE ONE INCORPORATED                       200693109      478     6085 SH       OTHER                  1170              4915
D COMMERCIAL FEDERAL CORPORATION                  201647104      625    32697 SH       OTHER                 15397             17300
D COMMSCOPE INCORPORATED                          203372AB3      136   160000 SH       OTHER
D COMMSCOPE INCORPORATED                          203372107     1192    48666 SH       OTHER                 16800             31866
D COMMUNICATION INTELLIGENCE GROU                 20338K106       79    35000 SH       OTHER                 35000
D COMMUNITY HEALTH SYSTEMS INC                    203668108      610    19000 SH       OTHER                                   19000
D COMMUNITY FIRST BANKSHARES                      203902101       35     2000 SH       SOLE                   2000
D COMMUNITY FIRST BANKSHARES                      203902101      239    13600 SH       OTHER                                   13600
D COMPASS FUNDS                                   203999131     1700  1700493 SH       OTHER               1700493
D COMMUNITY SVGS BNKSHS INC NE                    204037105      564    45600 SH       OTHER                 15000             30600
D COMPANHIA DE BEBIDAS                            20441W203      268    12105 SH       OTHER                   785             11320
D CIA VALE DO RIO DOCE                            204412100      238     9530 SH       OTHER                  9530
D COMPAQ COMPUTER CORPORATION                     204493100      170     6174 SH       SOLE                   5374               800
D COMPAQ COMPUTER CORPORATION                     204493100        6      200 SH       SHARED                  200
D COMPAQ COMPUTER CORPORATION                     204493100    10526   381646 SH       OTHER                119296            262350
D COMPLETE MANAGEMENT INCORPORATE                 20452CAA2       17   100000 SH       OTHER
D COMPLETE MANGEMENT                              20452CAB0        3    20000 SH       OTHER
D COMPLETE MANAGEMENT INCORPORATE                 20452CA12      368   919153 SH       OTHER
D COMPLETE MANAGEMENT INCORPORATE                 20452C104        5   641663 SH       OTHER                 41000            600663
D COMPUCREDIT CORP                                20478N100      363     6475 SH       OTHER                  5575               900
D COMPUTER ASSOCIATES                             204912109      164     6495 SH       SOLE                   6495
D COMPUTER ASSOCIATES                             204912109       18      700 SH       SHARED                                    700
D COMPUTER ASSOCIATES                             204912109    13288   527546 SH       OTHER                149609            377937
D COMPUTER NETWORK TECHNOLOGY COR                 204925101      532    15475 SH       OTHER                 10000              5475
D COMPUTER SCIENCES CORPORATION                   205363104       93     1250 SH       SOLE                   1250
D COMPUTER SCIENCES CORPORATION                   205363104     9110   122693 SH       OTHER                 57806             64887
D COMPUWARE CORPORATION                           205638109     1852   221175 SH       OTHER                 28975            192200
D COMTECH TELECOMMUNICATIONS                      205826209      686    46500 SH       OTHER                                   46500
D COMVERSE TECHNOLOGY INCORPORATE                 205862402     2083    19284 SH       OTHER                  8104             11180
D CONAGRA INCORPORATED                            205887102       82     4100 SH       SOLE                   4100
D CONAGRA INCORPORATED                            205887102     3273   163112 SH       OTHER                 66806             96306
D COMPUTERLOGIC INCORPORATED                      205990138     1010  2020856 SH       OTHER                                 2020856
D CONCORD EFS INCORPORATED                        206197105     3426    96459 SH       SOLE                  77084             19375
D CONCORD EFS INCORPORATED                        206197105    51240  1442717 SH       OTHER                871644            571073
D CONEXANT SYSTEMS INCORPORATED                   207142100       73     1750 SH       SOLE                   1750
D CONEXANT SYSTEMS INCORPORATED                   207142100       40      950 SH       SHARED                  950
D CONEXANT SYSTEMS INCORPORATED                   207142100      370     8845 SH       OTHER                  5135              3710
D CONOCO INCORPORATED                             208251306     6149   235356 SH       OTHER                 12945            222411
D CONOCO INCORPORATED                             208251405       19      700 SH       SOLE                                      700
D CONOCO INCORPORATED                             208251405     6690   248365 SH       OTHER                 56391            191974
D CONSECO INCORPORATED                            208464107      634    83097 SH       OTHER                  9603             73494
D CONSOLIDATED EDISON INC                         209115104      176     5170 SH       SOLE                   5170
D CONSOLIDATED EDISON INC                         209115104     1638    48000 SH       OTHER                 31150             16850
D CONSOLIDATED STORES CORPORATION                 210149100     2066   153071 SH       OTHER                 14271            138800
D CONSTELLATION BRANDS INC                        21036P108     3362    61900 SH       OTHER                  3600             58300
D CONSTELLATION ENERGY GROUP                      210371100       11      225 SH       SHARED                  225
D CONSTELLATION ENERGY GROUP                      210371100      669    13449 SH       OTHER                  6349              7100
D CONTINENTAL AIRLINES INCORPORAT                 210795308      345     7601 SH       OTHER                                    7601
D CONVERGYS CORP                                  212485106       47     1200 SH       SOLE                   1200
D CONVERGYS CORP                                  212485106     1052    27050 SH       OTHER                 10500             16550
D CONVERSE INCORPORATED                           212540AA6        3    25000 SH       SOLE
D MINNESOTA MUTUAL                                213990138     4452  3457780 SH       OTHER               3457780
D MINNESOTA MUTUAL                                213990146     4737  3474903 SH       OTHER               3474903
D COOPER INDUSTRIES INCORPORATED                  216669101       82     2332 SH       SOLE                   2332
D COOPER INDUSTRIES INCORPORATED                  216669101     5113   145060 SH       OTHER                  8660            136400
D COOPER TIRE & RUBBER COMPANY                    216831107      111    11053 SH       OTHER                  4253              6800
D COPART INC                                      217204106      201    14490 SH       OTHER                                   14490
D COR THERAPEUTICS INC                            217753102      386     6200 SH       OTHER                                    6200
D CORNING INCORPORATED                            219350105      589     1983 SH       SOLE                   1933                50
D CORNING INCORPORATED                            219350105    30574   102944 SH       OTHER                 26499             76445
D CORPORATE EXECUTIVE BOARD COMPA                 21988R102     1044    25950 SH       OTHER                                   25950
D CORPORATE SYSTEMS HOLDING INC                   22003T131     9121   942281 SH       SOLE                 492084            450197
D CORUS GROUP PLC                                 22087M101      127    16390 SH       OTHER                   190             16200
D CORUS BANKSHARES INCORPORATED                   220873103      339     9400 SH       OTHER                  4800              4600
D CRATE & BARREL HOLDINGS, INC                    220990147       25    24750 SH       OTHER                 24750
D COSTCO WHOLESALE CORPORATION                    22160K105       25      708 SH       SOLE                    708
D COSTCO WHOLESALE CORPORATION                    22160K105       14      400 SH       SHARED                                    400
D COSTCO WHOLESALE CORPORATION                    22160K105     4792   137171 SH       OTHER                 75677             61494
D COSTAR GROUP INCORPORATED                       22160N109      274     7400 SH       OTHER                                    7400
D COSTCO COMPANIES INCORPORATED                   22160QAC6       55    65000 SH       OTHER
D COUNTRYWIDE CREDIT                              222372104     3764    99701 SH       OTHER                   601             99100
D COVAD COMMUNICATIONS GROUP                      222814204     1117    83522 SH       OTHER                 37722             45800
D COVANCE INCORPORATED                            222816100      917   112050 SH       OTHER                   637            111413
D COX COMMUNICATIONS INCORPORATED                 224044AW7       15    22000 SH       OTHER
D COX COMMUNICATIONS INCORPORATED                 224044AX5      556  1340000 SH       OTHER
D COX COMMUNICATIONS INC                          224044107       23      593 SH       SOLE                    593
D COX COMMUNICATIONS INC                          224044107     3183    83211 SH       OTHER                 68121             15090
D CRANE COMPANY                                   224399105       84     3685 SH       SOLE                   3685
D CRANE COMPANY                                   224399105      457    19976 SH       OTHER                 19976
D CREDENCE SYSTEMS CORPORATION                    225302108      309    10300 SH       OTHER                   600              9700
D CREDIT SUISSE GROUP                             225401108     1002    21445 SH       SOLE                  21445
D CREDIT SUISSE GROUP                             225401108       12      250 SH       OTHER                   250
D CREDIT SUISSE INSTITUTIONAL                     22542A106    13519   911628 SH       OTHER                                  911628
D CREE RESH INC                                   225447101      847     7285 SH       OTHER                  3485              3800
D CROMPTON CORP                                   227116100       39     5000 SH       SOLE                   5000
D CROMPTON CORP                                   227116100       50     6340 SH       OTHER                  1100              5240
D CROSS TIMBERS OIL COMPANY                       227573102      453    23624 SH       OTHER                 20474              3150
D CROWN CASTLE INTL CORP                          228227104     3001    96595 SH       OTHER                 13995             82600
D CROWN CORK & SEAL INCORPORATED                  228255105      435    40660 SH       OTHER                 16360             24300
D CRYOMEDICAL SCIENCES INC                        229049309      222   120200 SH       OTHER                120200
D CUBIST PHARMACEUTICALS INC                      229678107      276     5300 SH       OTHER                                    5300
D CULLEN FROST BANKERS INCORPORAT                 229899109     1055    32450 SH       OTHER                  6150             26300
D CUISINE SOLUTIONS INC                           229904107       45    40000 SH       OTHER                                   40000
D CUMMINS ENGINE INCORPORATED                     231021106       15      500 SH       SOLE                    500
D CUMMINS ENGINE INCORPORATED                     231021106     1207    40300 SH       OTHER                   200             40100
D CURATIVE HEALTH SERVICES, INC.                  231264102      250    46000 SH       OTHER                                   46000
D CYLINK CORP                                     232565101      418    40000 SH       OTHER                                   40000
D CYPRESS SEMICONDUCTOR CORPORATI                 232806109      905    21765 SH       OTHER                  1565             20200
D CYTEC INDUSTRIES INCORPORATED                   232820100     1382    41321 SH       OTHER                 27271             14050
D DBS GROUP HOLDINGS                              23304Y100      331     7498 SH       OTHER                  1452              6046
D DDI CORPORATION                                 233162106       22      500 SH       SOLE                    500
D DDI CORPORATION                                 233162106      312     7044 SH       OTHER                  3244              3800
D DPL INCORPORATED                                233293109      105     3518 SH       SOLE                   3518
D DPL INCORPORATED                                233293109      485    16287 SH       OTHER                  5287             11000
D DRS TECHNOLOGIES INCORPORATED                   23330XAB6       29    25000 SH       OTHER
D D R HORTON INC                                  23331A109      343    19929 SH       OTHER                 13407              6522
D DST SYSTEMS INCORPORATED                        233326107      747     6360 SH       OTHER                  3110              3250
D DTE ENERGY COMPANY                              233331107       11      300 SH       SHARED                  300
D DTE ENERGY COMPANY                              233331107     1071    28003 SH       OTHER                  3113             24890
D DAIN RAUSCHER CORPORATION                       233856103      634     6815 SH       OTHER                  6815
D PAINE WEBBER MANAGED PORTFOLIO                  233993203     2351  2350634 SH       OTHER                                 2350634
D DAISYTEK INTERNATIONAL CORPORAT                 234053106     1440   228102 SH       OTHER                 68802            159300
D DAL-TILE INTERNATIONAL INC                      23426R108      125    10000 SH       OTHER                  2500              7500
D DALLAS SEMICONDUCTOR CORPORATIO                 235204104     2561    77900 SH       OTHER                 58800             19100
D DANA CORPORATION                                235811106     1400    65137 SH       OTHER                 14837             50300
D DANAHER CORPORATION                             235851102     2115    42507 SH       OTHER                 29432             13075
D DANDEES ENTERPRISES INC                         236061107             14000 SH       OTHER                 14000
D DANKA BUSINESS                                  236277AB5       41   100000 SH       OTHER
D DANSKE BK. A/S                                  236363107     1057     8320 SH       OTHER                   690              7630
D DARDEN RESTAURANTS INC-W/I                      237194105      750    36024 SH       OTHER                  2924             33100
D DASSAULT SYSTEMES SA                            237545108      213     2600 SH       OTHER                  2600
D DATASCOPE CORPORATION                           238113104     3005    89700 SH       OTHER                  4800             84900
D DATASTREAM SYSTEM INCORPORATED                  238124101      439    34075 SH       OTHER                 34075
D DAVIS                                           239080104      265     8489 SH       OTHER                  8489
D DAVOX CORPORATION                               239208101      180    17850 SH       OTHER                 17850
D DE BEERS CONSOLIDATED MINES  LT                 240253302      494    17829 SH       OTHER                 14079              3750
D DEAN FOODS COMPANY                              242361103       13      400 SH       SOLE                    400
D DEAN FOODS COMPANY                              242361103     3067    92234 SH       OTHER                 59252             32982
D DEERE & COMPANY                                 244199105       17      525 SH       SOLE                    525
D DEERE & COMPANY                                 244199105     2559    76951 SH       OTHER                 31010             45941
D DEL MONTE FOODS COMPANY                         24522P103       69    11200 SH       OTHER                  1000             10200
D DELAWARE POOLED                                 246248108     3353   229970 SH       OTHER                                  229970
D DELAWARE POOLED                                 246248306     3154   178413 SH       OTHER                                  178413
D DELL COMPUTER CORPORATION                       247025109      240     7800 SH       SOLE                   7800
D DELL COMPUTER CORPORATION                       247025109       25      810 SH       SHARED                  810
D DELL COMPUTER CORPORATION                       247025109    12487   405239 SH       OTHER                216007            189232
D DELPHI AUTOMOTIVE SYS CORP                      247126105       12      765 SH       SOLE                    765
D DELPHI AUTOMOTIVE SYS CORP                      247126105     3032   200482 SH       OTHER                 24613            175869
D DELPHI FINANCIAL GROUP INCORPOR                 247131105       25      624 SH       SHARED                                    624
D DELPHI FINANCIAL GROUP INCORPOR                 247131105     1531    37795 SH       OTHER                                   37795
D DELTA & PINE LD CO                              247357106      236     9198 SH       OTHER                  6198              3000
D DELTA AIR LINES INCORPORATED                    247361108     1972    44448 SH       OTHER                 21421             23027
D DELTEK SYS INC                                  24785A108       87    11300 SH       OTHER                 11300
D DELUXE CORPORATION                              248019101       30     1500 SH       SOLE                   1500
D DELUXE CORPORATION                              248019101      638    31389 SH       OTHER                 30932               457
D DENALI INC                                      248221103       88    85000 SH       OTHER                                   85000
D DENTSPLY INTERNATIONAL INCORPOR                 249030107       38     1100 SH       SHARED                                   1100
D DENTSPLY INTERNATIONAL INCORPOR                 249030107     7385   211386 SH       OTHER                 45386            166000
D DESCARTES SYS GROUP INC                         249906108      433     8745 SH       OTHER                  8219               526
D DEUTSCHE BANK                                   251525309      966    11650 SH       SOLE                  11650
D DEUTSCHE BANK                                   251525309      913    11005 SH       OTHER                  3655              7350
D DEUTSCHE TELEKOM AG                             251566105      324     9460 SH       OTHER                  1275              8185
D DEVON ENERGY CORPORATIOIN                       25179MAA1      117   122000 SH       OTHER
D DEVON ENERGY CORPORATION                        25179M103     4865    80874 SH       OTHER                  6160             74714
D DEVRY INCORPORATED                              251893103     7513   199694 SH       OTHER                177844             21850
D DIAGEO PLC                                      25243Q205     2356    66704 SH       OTHER                  9298             57406
D DIAL CORPORATION                                25247D101        3      300 SH       SHARED                                    300
D DIAL CORPORATION                                25247D101     2159   185745 SH       OTHER                  5745            180000
D DIAMOND OFFSHORE                                25271CAA0       22    20000 SH       OTHER
D DIAMOND OFFSHORE DRILLNG INC                    25271C102      738    18010 SH       OTHER                  8550              9460
D DIAMOND TECHNOLGY PRTNRS INC                    252762109     1123    15130 SH       OTHER                  3030             12100
D DIANON SYSTEMS INCORPORATED                     252826102      728    18248 SH       OTHER                 18248
D DIEBOLD INCORPORATED                            253651103        8      300 SH       SOLE                    300
D DIEBOLD INCORPORATED                            253651103      644    24247 SH       OTHER                 12197             12050
D DIGEX INCORPORATED                              253756100      506    10805 SH       OTHER                                   10805
D DIGITAL LIGHTWAVE INCORPORATED                  253855100      433     5960 SH       OTHER                  1560              4400
D DIGITAS INCORPORATED                            25388K104      273    15400 SH       OTHER                                   15400
D DILLARD'S INCORPORATED                          254067101      154    14500 SH       OTHER                  4400             10100
D DIME BANCORP INCORPORATED                       25429Q102      530    24600 SH       OTHER                   800             23800
D DISCOUNT AUTO PARTS, INC.                       254642101       90    11750 SH       OTHER                                   11750
D DISCOVERY LABORATORIES INC N                    254668106      181    24500 SH       OTHER                 15500              9000
D DISNEY WALT COMPANY(HOLDING COM                 254687106     1095    28620 SH       SOLE                  26415     1275      930
D DISNEY WALT COMPANY(HOLDING COM                 254687106       82     2150 SH       SHARED                 2150
D DISNEY WALT COMPANY(HOLDING COM                 254687106    50559  1321804 SH       OTHER                731447            590357
D DITECH COMMUNICATIONS CORPORATI                 25500M103      850    20725 SH       OTHER                  4300             16425
D DOBSON COMMUNICATIONS CORPORATI                 256069105     1307    89000 SH       OTHER                 47000             42000
D DOCUMENTUM INCORPORATED                         256159104      869    10700 SH       OTHER                                   10700
D DODGE & COX                                     256201104    11873   182481 SH       OTHER                  6247            176233
D DODGE & COX                                     256210105    15068  1307987 SH       OTHER               1307987
D DODGE & COX                                     256219106    13643   139081 SH       OTHER                    20            139061
D DOLE FOOD INCORPORATED                          256605106      298    19835 SH       OTHER                  2135             17700
D DOLLAR GENERAL CORPORATION                      256669102       36     2121 SH       SOLE                                     2121
D DOLLAR GENERAL CORPORATION                      256669102    24375  1455239 SH       OTHER                854920            600319
D DOLLAR THRIFTY AUTOMOTIVE GROUP                 256743105      419    21195 SH       OTHER                                   21195
D DOLLAR TREE STORES INCORPORATED                 256747106     1089    26846 SH       SOLE                  21121              5725
D DOLLAR TREE STORES INCORPORATED                 256747106      215     5300 SH       OTHER                  4800               500
D DOMINION RESOURCES INC/VA                       25746U109      136     2336 SH       SOLE                   2336
D DOMINION RESOURCES INC/VA                       25746U109       29      500 SH       SHARED                  500
D DOMINION RESOURCES INC/VA                       25746U109     1193    20546 SH       OTHER                  9330             11216
D DONALDSON INCORPORATED                          257651109      578    26254 SH       OTHER                 18100              8154
D DONNELLEY R R & SONS COMPANY                    257867101       16      639 SH       SOLE                    639
D DONNELLEY R R & SONS COMPANY                    257867101     3690   150220 SH       OTHER                111070             39150
D DONNELLY CORP                                   257870105      319    20900 SH       OTHER                  7000             13900
D DOMINION EQUITY RESOURCE FUND I                 257990101      890    81222 SH       OTHER                 72935              8287
D DOT HILL SYSTEMS CORP                           25848T109      116    17800 SH       OTHER                 15500              2300
D DOUBLECLICK INCORPORATED                        258609304      384    12000 SH       OTHER                  3850              8150
D DOVER CORPORATION                               260003108    12842   273600 SH       OTHER                133258            140342
D DOW CHEMICAL COMPANY                            260543103      116     4653 SH       SOLE                   4653
D DOW CHEMICAL COMPANY                            260543103       94     3750 SH       SHARED                 3750
D DOW CHEMICAL COMPANY                            260543103     5016   201119 SH       OTHER                 71179            129940
D DREYFUS                                         261938104      238    25000 SH       OTHER                                   25000
D DREAMS INC                                      261983100       39    43500 SH       OTHER                                   43500
D DREYFUS GROWTH & VALUE FDS                      26200C502     2073    52946 SH       OTHER                 52946
D DREYFUS                                         26200Q105      114     2700 SH       SOLE                   2700
D DREYFUS                                         26200Q105      333     7900 SH       SHARED                 7900
D DREYFUS                                         26200Q105     2512    59616 SH       OTHER                 12623             46993
D DREYFUS                                         26201Q104      179    15534 SH       SOLE                  15534
D DREYFUS                                         26202F107      307    36700 SH       SOLE                  36700
D DREYFUS                                         26202F107      165    19745 SH       OTHER                 19745
D DRIEHAUS MUT FDS                                262028103      397    23524 SH       OTHER                 23524
D DRIL-QUIP                                       262037104      239     6000 SH       OTHER                                    6000
D DU PONT E I DE NEMOURS & COMPAN                 263534109      537    12966 SH       SOLE                  12578               388
D DU PONT E I DE NEMOURS & COMPAN                 263534109       58     1400 SH       SHARED                 1000               400
D DU PONT E I DE NEMOURS & COMPAN                 263534109    16025   386720 SH       OTHER                164557            222163
D DUANE READE INCORPORATED                        263578106      216     8900 SH       OTHER                  4800              4100
D DUFF & PHELPS UTILITIES INCOME                  264324104        7      747 SH       SOLE                    747
D DUFF & PHELPS UTILITIES INCOME                  264324104      172    17640 SH       OTHER                 17640
D DUKE ENERGY CORP                                264399106      121     1408 SH       SOLE                   1408
D DUKE ENERGY CORP                                264399106       51      600 SH       SHARED                                    600
D DUKE ENERGY CORP                                264399106     7396    86254 SH       OTHER                 18541             67713
D DUKE REALTY INVESTMENTS INCORPO                 264411505     1000    41470 SH       OTHER                 16700             24770
D DUN & BRADSTREET CORPORATION                    26483B106       14      400 SH       SOLE                    400
D DUN & BRADSTREET CORPORATION                    26483B106        5      150 SH       SHARED                  150
D DUN & BRADSTREET CORPORATION                    26483B106    38619  1121399 SH       OTHER                639704            481695
D DUNDEE BANCORP INC                              264901109      244    20200 SH       OTHER                   600             19600
D DUPONT PHOTOMASKS INCORPORATED                  26613X101      652    11100 SH       OTHER                                   11100
D DURA PHARMACEUTICALS                            26632SAA7       25    25000 SH       SOLE
D DURA PHARMACEUTICALS                            26632SAA7      892   908000 SH       OTHER
D DURA PHARMACEUTICALS INC                        26632S109      842    23800 SH       OTHER                  4600             19200
D DYCOM INDUSTRIES INCORPORATED                   267475101     1364    32769 SH       SOLE                  26159              6610
D DYCOM INDUSTRIES INCORPORATED                   267475101      419    10060 SH       OTHER                  2635              7425
D DYNAMEX INCORPORATED                            26784F103       44    25000 SH       OTHER                                   25000
D DYNEGY INCORPORATED                             26816Q101     2347    41175 SH       SOLE                  32055              9120
D DYNEGY INCORPORATED                             26816Q101     3797    66612 SH       OTHER                 21712             44900
D ECI TELECOM LIMITED                             268258100     9524   311000 SH       OTHER                 17600            293400
D EGL INC                                         268484102      632    20900 SH       OTHER                                   20900
D EII REALTY SECURITIES FUND                      268529104     4750   469880 SH       OTHER                469880
D EMC CORPORATION MASSACHUSETTS                   268648102    34354   346575 SH       SOLE                 338965     1950     5660
D EMC CORPORATION MASSACHUSETTS                   268648102     1637    16515 SH       SHARED                15715      800
D EMC CORPORATION MASSACHUSETTS                   268648102   342303  3453250 SH       OTHER               2731187            722063
D EMC INSURANCE GROUP                             268664109      113    11000 SH       OTHER                                   11000
D E MEDSOFT COM                                   26873Q101       56    21475 SH       OTHER                 21475
D ENSCO INTL INC                                  26874Q100     1712    44748 SH       OTHER                  6545             38203
D ENI SPA                                         26874R108     3410    64408 SH       OTHER                 39913             24495
D EOG RESOURCES INCORPORATED                      26875P101       18      460 SH       SOLE                                      460
D EOG RESOURCES INCORPORATED                      26875P101     5812   149506 SH       OTHER                 98011             51495
D EOP OPERATING LP                                268766BP6      694   680000 SH       OTHER
D EPIX MED INC                                    26881Q101      531    37900 SH       OTHER                 33800              4100
D E SPIRE COMMUNICATIONS INC                      269153102       69    23500 SH       OTHER                 23500
D E-SYNC NETWORKS INCORPORATED                    269156105        3     1000 SH       SOLE                   1000
D E-SYNC NETWORKS INCORPORATED                    269156105      255    85000 SH       OTHER                 74000             11000
D E TRADE GROUP INC                               269246104      661    40205 SH       OTHER                  5700             34505
D EARTHGRAINS COMPANY                             270319106                16 SH       SOLE                     16
D EARTHGRAINS COMPANY                             270319106      302    16402 SH       OTHER                   392             16010
D EAST WEST BANCORP INC                           27579R104      640    32700 SH       OTHER                 10000             22700
D EASTERN ENTERPRISES                             27637F100      494     7737 SH       SOLE                   7737
D EASTERN ENTERPRISES                             27637F100        1       10 SH       OTHER                    10
D EASTGROUP PROPERTIES                            277276101      218     9800 SH       OTHER                                    9800
D EASTMAN CHEMICAL COMPANY                        277432100      789    21361 SH       OTHER                  9572             11789
D EASTMAN KODAK COMPANY                           277461109       16      400 SH       SOLE                    400
D EASTMAN KODAK COMPANY                           277461109     7797   190761 SH       OTHER                 48584            142177
D EATON VANCE SPL EQUITIES FD                     277905105      162    17611 SH       SOLE                  17611
D EATON VANCE MUTUAL FUNDS INC                    277911509       66    10000 SH       OTHER                 10000
D EATON CORPORATION                               278058102     1613    26173 SH       OTHER                  1000             25173
D EATON VANCE SENIOR INCOME TRUST                 27826S103      236    25000 SH       SOLE                  25000
D EBAY INCORPORATED                               278642103      918    13370 SH       OTHER                  8870              4500
D ECHOSTAR COMMUNICATIONS                         278762109      106     2000 SH       SOLE                   2000
D ECHOSTAR COMMUNICATIONS                         278762109     2791    52910 SH       OTHER                   180             52730
D ECLIPSE SMALL CAP VALUE FUND                    278846100      364    31868 SH       OTHER                                   31868
D ECOLAB INCORPORATED                             278865100       25      700 SH       SOLE                                      700
D ECOLAB INCORPORATED                             278865100     2725    75560 SH       OTHER                 48150             27410
D EDISON INTERNATIONAL                            281020107       39     2029 SH       SOLE                   2029
D EDISON INTERNATIONAL                            281020107        4      200 SH       SHARED                  200
D EDISON INTERNATIONAL                            281020107     3147   162924 SH       OTHER                 20414            142510
D EDWARDS LIFESCIENCES CORPORATIO                 28176E108      234    10720 SH       SOLE                     20             10700
D EDWARDS LIFESCIENCES CORPORATIO                 28176E108        9      430 SH       SHARED                  430
D EDWARDS LIFESCIENCES CORPORATIO                 28176E108    11973   548872 SH       OTHER                 28314            520558
D EDWARDS A G INCORPORATED                        281760108      719    13741 SH       OTHER                 11841              1900
D EISAI LTD                                       282579309      800    25354 SH       OTHER                 15154             10200
D EL PASO ELECTRIC COMPANY                        283677854      216    15700 SH       OTHER                  3000             12700
D EL PASO ENERGY PARTNERS L P                     28368B102      230     8600 SH       OTHER                  4600              4000
D EL PASO ENERGY CORPORATION                      283905107       91     1472 SH       SOLE                   1472
D EL PASO ENERGY CORPORATION                      283905107       37      604 SH       SHARED                                    604
D EL PASO ENERGY CORPORATION                      283905107     7949   128995 SH       OTHER                 24232            104763
D ELAN INTERNATIONAL FINANCE CORP                 284129AA1       97   120000 SH       OTHER
D ELAN FINANCE CORPORATION                        284129AC7       81   100000 SH       OTHER
D ELAN PUBLIC LIMITED CORPORATION                 284131208     3078    56228 SH       SOLE                  49978              6250
D ELAN PUBLIC LIMITED CORPORATION                 284131208      186     3405 SH       SHARED                 3005               400
D ELAN PUBLIC LIMITED CORPORATION                 284131208    95054  1736147 SH       OTHER               1510799            225348
D ELAN CORPORATION PLC                            284131703     4637    62450 SH       OTHER                 55950              6500
D ELANTEC SEMICONDUCTOR INC                       284155108      296     2976 SH       OTHER                  2376               600
D ELCOR CORP                                      284443108      315    21750 SH       OTHER                                   21750
D ELDORADO BANCSHARES INC                         28467W106      848   115000 SH       OTHER                                  115000
D ELECTRO RENT CORPORATION                        285218103      204    16000 SH       OTHER                                   16000
D ELECTRO SCIENTIFIC INDUSTRIES I                 285229100      337     9600 SH       OTHER                  5000              4600
D ELECTRONICS ARTS                                285512109      267     5400 SH       OTHER                                    5400
D ELECTRONIC DATA SYSTEMS CORP                    285661104      178     4300 SH       SOLE                    300              4000
D ELECTRONIC DATA SYSTEMS CORP                    285661104       15      360 SH       SHARED                  360
D ELECTRONIC DATA SYSTEMS CORP                    285661104    17155   413384 SH       OTHER                 60964            352420
D ELECTRONICS BOUTIQUE HLDGS C                    286045109     3070   142800 SH       OTHER                 12300            130500
D ELOT INC                                        290143106      119    73000 SH       OTHER                 18000             55000
D EMCORE CORP                                     290846104     6216   149500 SH       OTHER                 52100             97400
D EMERSON ELECTRIC COMPANY                        291011104      840    12531 SH       SOLE                  11824               707
D EMERSON ELECTRIC COMPANY                        291011104      328     4900 SH       SHARED                 4800               100
D EMERSON ELECTRIC COMPANY                        291011104    34377   513092 SH       OTHER                273175            239917
D EMMIS BROADCASTING CORPORATION                  291525103     2279    92075 SH       OTHER                 62275             29800
D EMULEX CORPORATION                              292475209     1012     8265 SH       OTHER                  1915              6350
D EMUSIC COM INC                                  292476108       20    12268 SH       OTHER                 12268
D ENCOMPASS SERVICES CORPORATION                  29255U104    11028  1357232 SH       OTHER               1357232
D ENCORE COMPUTER CORP                            292555109             25000 SH       OTHER                 25000
D ENDESA SA                                       29258N107     3255   173602 SH       OTHER                110192             63410
D ENDOCARE INC                                    29264P104      296    15000 SH       OTHER                                   15000
D ENERGEN CORPORATION                             29265N108      253     8500 SH       OTHER                                    8500
D ENERGY EAST CORPORATION                         29266M109                16 SH       SOLE                     16
D ENERGY EAST CORPORATION                         29266M109      622    27500 SH       OTHER                   400             27100
D ENERGIZER HOLDINGS INCORPORATED                 29266R108      847    34557 SH       SOLE                  25157              9400
D ENERGIZER HOLDINGS INCORPORATED                 29266R108       20      800 SH       SHARED                  800
D ENERGIZER HOLDINGS INCORPORATED                 29266R108     2410    98386 SH       OTHER                 15125             83261
D ENERGY FACTORS INCORPORATED                     292667AB8      172   207000 SH       OTHER
D ENGLEHARD CORPORATION                           292845104      443    27250 SH       OTHER                  9750             17500
D ENGLE HOMES INC                                 292896107      218    14000 SH       OTHER                  4000             10000
D ENRON CORPORATION OREGON                        293561106     1627    18565 SH       SOLE                  18010      250      305
D ENRON CORPORATION OREGON                        293561106      380     4340 SH       SHARED                 4040      300
D ENRON CORPORATION OREGON                        293561106    41146   469572 SH       OTHER                284764            184808
D ENRON CORP                                      293561882      725    20400 SH       OTHER                 19400              1000
D ENTERCOM COMMUNICATIONS CORP                    293639100      306    10210 SH       OTHER                                   10210
D ENTERGY CORPORATION                             29364G103       30      800 SH       SHARED                  800
D ENTERGY CORPORATION                             29364G103     2123    56982 SH       OTHER                  3752             53230
D ENTERPRISE PRODS PARTNERS L                     293792107      462    15950 SH       OTHER                 11950              4000
D ENTRAVISION COMMUNICATIONS C                    29382R107      346    19900 SH       OTHER                 17900              2000
D ENZON INC                                       293904108      347     5260 SH       OTHER                   160              5100
D EPCOS AG                                        29410P107      226     2800 SH       OTHER                  2800
D ENZO BIOCHEMICAL INCORPORATED                   294100102      459     9458 SH       OTHER                  4850              4608
D EQUANT NV                                       294409107      327     8915 SH       SOLE                   8915
D EQUANT NV                                       294409107      955    26040 SH       OTHER                 26040
D EQUIFAX INCORPORATED                            294429105     5977   221867 SH       OTHER                 63250            158617
D EQUITABLE RESOURCES INCORPORATE                 294549100     1026    16189 SH       OTHER                  2239             13950
D EQUITY INCOME FUND                              294700703      779     5000 SH       SOLE                   5000
D EQUITY INCOME FUND                              294700703      193     1235 SH       OTHER                  1235
D EQUITY OFFICE PROPERTIES TRUST                  294741103        9      300 SH       SOLE                    300
D EQUITY OFFICE PROPERTIES TRUST                  294741103     3436   110613 SH       OTHER                 26829             83784
D EQUITY RESIDENTIAL PROPERTIES                   29476L107     4617    96191 SH       OTHER                 57964             38227
D EQUITY RESIDENTIAL PROPERTIES T                 29476L883     1834    68550 SH       OTHER                 26000             42550
D ERICSSON L M TELEPHONE COMPANY                  294821400     1299    87715 SH       SOLE                  83915     1800     2000
D ERICSSON L M TELEPHONE COMPANY                  294821400      250    16890 SH       SHARED                16890
D ERICSSON L M TELEPHONE COMPANY                  294821400    91937  6206495 SH       OTHER               5666771            539724
D ESCO TECHNOLOGIES INC                           296315104     2736   157450 SH       OTHER                  4650            152800
D ESPEED INC                                      296643109      455    16000 SH       OTHER                                   16000
D ETHAN ALLEN INTERIORS INCORPORA                 297602104     3436   121345 SH       OTHER                 24845             96500
D AMERICAN FUNDS                                  298706102    45528  1195909 SH       OTHER                675112            520797
D EUROPE FUND INCORPORATED                        29874M103      217    12700 SH       OTHER                  5700              7000
D EVERGREEN RESOURCES INCORPORATE                 299900308     6006   172823 SH       OTHER                 88723             84100
D EVERGREEN SMALL CAPITAL VALUE                   299922104      297    18087 SH       OTHER                 18087
D EVERGREEN FUNDS                                 30023R845      293    24152 SH       OTHER                 24152
D EXAR CORP                                       300645108     1370    11325 SH       OTHER                   325             11000
D EXCEL LEGACY CORPORATION                        300665106       48    20000 SH       OTHER                 20000
D EXE TECHNOLOGIES INC                            301504106      159    10600 SH       OTHER                                   10600
D EXODUS COMMUNICATIONS INCORPORA                 302088109     1952    39535 SH       OTHER                 10310             29225
D EXPEDITORS INTERNATIONAL                        302130109       74     1640 SH       SOLE                   1640
D EXPEDITORS INTERNATIONAL                        302130109     1849    41025 SH       OTHER                 13400             27625
D EXPRESS SCRIPTS INC.                            302182100     2399    33210 SH       SOLE                  26235              6975
D EXPRESS SCRIPTS INC.                            302182100      857    11860 SH       OTHER                  1460             10400
D EXTENDED STAY AMERICA INC                       30224P101        1      100 SH       SOLE                    100
D EXTENDED STAY AMERICA INC                       30224P101      525    39653 SH       OTHER                 23253             16400
D EXTREME NETWORKS INC                            30226D106     2646    23105 SH       OTHER                                   23105
D EZCORP INCORPORATED                             302301106       59    47295 SH       OTHER                 14300             32995
D EXXON MOBIL CORPORATION                         30231G102    28908   324359 SH       SOLE                 320871      647     2841
D EXXON MOBIL CORPORATION                         30231G102     1326    14875 SH       SHARED                13979      396      500
D EXXON MOBIL CORPORATION                         30231G102   109339  1226801 SH       OTHER                668727            558074
D FMC CORPORATION                                 302491303      833    12422 SH       OTHER                  2322             10100
D FPA                                             302544101     1751   165029 SH       OTHER                  2859            162170
D FPL GROUP INCORPORATED                          302571104      181     2760 SH       SOLE                   2760
D FPL GROUP INCORPORATED                          302571104       13      200 SH       SHARED                  200
D FPL GROUP INCORPORATED                          302571104     9941   151193 SH       OTHER                 13507            137686
D FIRST TRUST LEHMAN BROTHERS                     30264K350      475    53500 SH       OTHER                                   53500
D F Y I INC                                       302712104      406    10850 SH       OTHER                  1000              9850
D FAHNESTOCK VINER HLDGS LTD                      302921101      410    18200 SH       OTHER                   700             17500
D FAIRFIELD CMNTYS INC                            304231301     1408   139100 SH       OTHER                                  139100
D FAMILY DOLLAR STORES                            307000109        2      100 SH       SOLE                                      100
D FAMILY DOLLAR STORES                            307000109     1648    85615 SH       OTHER                 21015             64600
D FAMILY GOLF CENTERS INCORPORATE                 30701AAC0        3    30000 SH       OTHER
D FARM FAMILY HLDGS INC                           307901108      775    24500 SH       OTHER                  5000             19500
D FASTENAL COMPANY                                311900104      693    12025 SH       OTHER                 12025
D FEDERAL AGRICULTURAL MORTGAGE C                 313148306     2101   119200 SH       OTHER                102900             16300
D FREDDIE MAC                                     313400301      454     8400 SH       SOLE                   8400
D FREDDIE MAC                                     313400301    21511   397891 SH       OTHER                167386            230505
D FEDERAL MOGUL CORPORATION                       313549107     1163   213910 SH       OTHER                 94349            119561
D FANNIE MAE                                      313586109    12499   174806 SH       SOLE                 173690      400      716
D FANNIE MAE                                      313586109      952    13310 SH       SHARED                12360      550      400
D FANNIE MAE                                      313586109   146405  2047624 SH       OTHER               1391259            656365
D FEDERAL SIGNAL CORPORATION                      313855108       24     1196 SH       SOLE                   1196
D FEDERAL SIGNAL CORPORATION                      313855108      179     8998 SH       OTHER                  1998              7000
D FEDERATED STOCK TRUST FUND #19                  313900102      283     7910 SH       SOLE                   7910
D FEDERATED                                       313912107      357    42239 SH       OTHER                 42239
D FEDERATED EQUITY INCM FD INC                    313915100      455    20480 SH       SOLE                  20480
D FEDERATED DEPARTMENT STORES (NE                 31410H101     5583   213710 SH       OTHER                120431             93279
D FEDERATED DEPT STORES                           31410H127      203    44500 SH       OTHER                 36500              8000
D FEDERATED INVS INC PA                           314211103      536    21665 SH       OTHER                                   21665
D FEDERATED                                       31428P103      813    77299 SH       OTHER                 77299
D FEDEX CORPORATION                               31428X106     4016    90568 SH       OTHER                 13120             77448
D FELCOR LODGING TRUST INCORPORAT                 31430F101      271    11700 SH       OTHER                                   11700
D THE FEMALE HEALTH COMPANY                       314462102       10    14000 SH       OTHER                                   14000
D FIDELITY ADVISOR SERIES II                      315807206     3102    72217 SH       OTHER                 51114             21103
D FIDELITY ADVISOR SERIES II                      315807404      466    26313 SH       OTHER                   383             25930
D FIDELITY COMMONWEALTH TRUST                     315912204      377     3806 SH       OTHER                                    3806
D FIDELITY                                        316069103      331    17322 SH       OTHER                 17322
D FIDELITY INVESTMENTS                            316145101      298    10613 SH       OTHER                 10613
D FIDELITY FUND INCORPORATED                      316153105      547    14274 SH       SOLE                  14274
D FIDELITY FUND INCORPORATED                      316153105      141     3673 SH       OTHER                  3673
D FIDELITY MAGELLAN                               316184100       23      171 SH       SOLE                    171
D FIDELITY MAGELLAN                               316184100    83193   621584 SH       OTHER                  6665            614918
D FIDELITY NATIONAL FINANCIAL                     316326107      405    16356 SH       OTHER                  9930              6426
D FIDELITY OVERSEAS FUND                          316343102      312     7356 SH       OTHER                  7356
D FIDELITY PURITAN FUND                           316345107       28     1463 SH       SOLE                   1463
D FIDELITY PURITAN FUND                           316345107    26863  1423564 SH       OTHER                  5969           1417595
D FIDELITY SECURITIES FUND                        316389204      215     4800 SH       SHARED                 4800
D FIDELITY SECURITIES FUND                        316389204    12048   268861 SH       OTHER                  3651            265210
D FIDELITY SELECT PORTFOLIOS                      316390202     2868    18625 SH       OTHER                 18625
D FIDELITY SELECT PORTFOLIOS                      316390772      113     1151 SH       SOLE                   1151
D FIDELITY SELECT PORTFOLIOS                      316390772      335     3401 SH       OTHER                  2174              1226
D FIFTH THIRD BANCORP                             316773100       43      807 SH       SOLE                    807
D FIFTH THIRD BANCORP                             316773100     8455   156937 SH       OTHER                129569             27368
D FINANCIAL FEDERAL CORPORATION                   317492AC0       89    95000 SH       OTHER
D FINISH LINE INC.                                317923100      391    53400 SH       OTHER                 38000             15400
D FINOVA GROUP INCORPORATED                       317928109        1      150 SH       SHARED                                    150
D FINOVA GROUP INCORPORATED                       317928109      818   112759 SH       OTHER                112759
D FIRST AUSTRALIA PRIME INCOME FU                 318653102      105    25000 SH       OTHER                 25000
D FIRST CENTRAL FINANCIAL CORP                    318908100             72700 SH       OTHER                 72700
D FIRST CITIZENS BANCSHARES INC                   31946M103      673     9400 SH       OTHER                                    9400
D FIRST DATA CORP                                 319963104      223     5700 SH       SOLE                   2500              3200
D FIRST DATA CORP                                 319963104       27      700 SH       SHARED                  700
D FIRST DATA CORP                                 319963104    27306   699014 SH       OTHER                420304            278710
D FIRST EAGLE SOGEN FUNDS INC                     32008F101      486    32916 SH       OTHER                  7906             25011
D FIRST EAGLE SOGEN FDS INC                       32008F507      519    19989 SH       OTHER                 10958              9031
D FIRST FINANCIAL FUND INCORPORAT                 320228109      155    15985 SH       OTHER                                   15985
D FIRST INDUSTRIAL REALTY TRUST                   32054K103      707    22977 SH       OTHER                 21767              1210
D FIRST INDIANA CORPORATION                       32054R108     6344   243427 SH       OTHER                                  243427
D FIRST MIDWEST BANCORP INC/IL                    320867104       58     2194 SH       SHARED                 2194
D FIRST MIDWEST BANCORP INC/IL                    320867104      211     7927 SH       OTHER                  7927
D FIRST NATIONAL BANCORPORATION                   320920101      844    12500 SH       SHARED                12500
D FIRST NATIONAL BANCORPORATION                   320920101       14      205 SH       OTHER                   205
D FIRST HEALTH GROUP CORPORATION                  320960107     1044    32380 SH       OTHER                 19780             12600
D FIRST NORTHERN CAPITAL CORPORAT                 335832101      897    61200 SH       OTHER                 52600              8600
D FIRST OAK BROOK BANCSHARES                      335847208      273    17566 SH       OTHER                  4442             13124
D FIRST SECURITY CORPORATION                      336294103      408    25000 SH       OTHER                                   25000
D FIRST TENNESSEE NATIONAL CORPOR                 337162101     1001    49000 SH       OTHER                 47000              2000
D FIRST TRUST SPECIAL SITUATIONS                  33734T209       20    10000 SH       OTHER                 10000
D FIRST UNION CORPORATION                         337358105     2863    88932 SH       SOLE                  88932
D FIRST UNION CORPORATION                         337358105       24      750 SH       SHARED                  750
D FIRST UNION CORPORATION                         337358105     5919   183891 SH       OTHER                 32411            151480
D FIRST YRS INC                                   337610109     1531   175000 SH       OTHER                                  175000
D FIRSTAR CORPORATION                             33763V109      276    12330 SH       SOLE                  12330
D FIRSTAR CORPORATION                             33763V109       47     2100 SH       SHARED                 2100
D FIRSTAR CORPORATION                             33763V109    17770   794200 SH       OTHER                617826            176374
D FISERV INCORPORATED WISCONSIN                   337738108     6211   103730 SH       OTHER                 76555             27175
D FIRSTFED FINL CORP DEL                          337907109      523    22750 SH       OTHER                   500             22250
D FIRSTMERIT CORP                                 337915102     3390   147796 SH       OTHER                                  147796
D FIRSTENERGY CORPORATION                         337932107       19      694 SH       SOLE                    694
D FIRSTENERGY CORPORATION                         337932107       14      516 SH       SHARED                  516
D FIRSTENERGY CORPORATION                         337932107      910    33781 SH       OTHER                 17981             15800
D FIRSTAR FUNDS INCORPORATED                      337938765     4441   161369 SH       OTHER                161369
D FLAG INVS VALUE BLDR FD INC                     33832R105     4252   179645 SH       OTHER                179645
D FLAG INVESTORS                                  338331101       28      768 SH       SOLE                    768
D FLAG INVESTORS                                  338331101      479    13326 SH       SHARED                13326
D FLAG INVESTORS                                  338331101       19      520 SH       OTHER                   520
D FLEET BOSTON FINANCIAL CORPORAT                 339030108      161     4132 SH       SOLE                   2342              1790
D FLEET BOSTON FINANCIAL CORPORAT                 339030108       23      600 SH       SHARED                                    600
D FLEET BOSTON FINANCIAL CORPORAT                 339030108    14375   368579 SH       OTHER                 99219            269360
D FLEETWOOD CAPITAL TRUST                         339072407      242    10300 SH       OTHER                  8300              2000
D FLORIDA EXPRESS INCORPORATED                    340646AA6       60    60000 SH       OTHER
D FLORIDA PROGRESS CORPORATION                    341109106       21      400 SH       SOLE                    400
D FLORIDA PROGRESS CORPORATION                    341109106      881    16644 SH       OTHER                  9794              6850
D FLOWERS INDUSTRIES INCORPORATED                 343496105      907    46498 SH       OTHER                  6648             39850
D FLOWSERVE CORPORATION                           34354P105      197    12000 SH       OTHER                                   12000
D FLUOR CORPORATION                               343861100       12      400 SH       SHARED                  400
D FLUOR CORPORATION                               343861100      738    24600 SH       OTHER                   900             23700
D FOCAL COMMUNICATIONS CORPORATIO                 344155106        4      250 SH       SOLE                    250
D FOCAL COMMUNICATIONS CORPORATIO                 344155106      380    24635 SH       OTHER                  3000             21635
D FONAR CORP                                      344437108       84    42100 SH       OTHER                                   42100
D FORD MOTOR COMPANY                              345370860      224     8840 SH       SOLE                   2491              6349
D FORD MOTOR COMPANY                              345370860       38     1498 SH       SHARED                 1498
D FORD MOTOR COMPANY                              345370860     7660   302607 SH       OTHER                 56331            246277
D FOREST CITY ENTERPRISES                         345550107     7074   196500 SH       OTHER                                  196500
D FOREST CITY ENTERPRISES INCORPO                 345550305     7089   192900 SH       OTHER                                  192900
D FOREST LABORATORIES INCORPORATE                 345838106       36      310 SH       SOLE                    310
D FOREST LABORATORIES INCORPORATE                 345838106     1898    16546 SH       OTHER                  1196             15350
D FOREST OIL CORPORATION                          346091606      708    43731 SH       OTHER                 15220             28511
D FORRESTER RESEARCH INCORPORATED                 346563109     1092    17126 SH       OTHER                 10526              6600
D FORT JAMES CORPORATION                          347471104        6      200 SH       SOLE                    200
D FORT JAMES CORPORATION                          347471104     6946   227272 SH       OTHER                 48735            178537
D FORTEL INC CALIF                                349550103      103    96450 SH       OTHER                 96450
D FORTUNE BRANDS INCOPORATED                      349631101      138     5200 SH       SOLE                   5200
D FORTUNE BRANDS INCOPORATED                      349631101     3472   131034 SH       OTHER                 19495            111539
D FORWARD AIR CORPORATION                         349853101      625    17750 SH       OTHER                  8800              8950
D FOSTERS BREWING GROUP LIMITED                   350258307       98    42247 SH       OTHER                 42247
D FOUNDRY NETWORKS INCORPORATED                   35063R100      226     3369 SH       OTHER                  2169              1200
D FOUR SEASONS HOTELS INCORPORATE                 35100E104      721     9850 SH       OTHER                  9850
D FOX ENTERTAINMENT GROUP INC                     35138T107     5842   220470 SH       OTHER                112110            108360
D FRANCE GROWTH FUND INCORPORATED                 35177K108      138    10903 SH       OTHER                  6733              4170
D FRANCHISE FINANCE CORPORATION O                 351807102     2555   113544 SH       OTHER                  8044            105500
D FRANK RUSSELL FUND FAMILY                       351999131     5473   122672 SH       OTHER                122672
D FRANK RUSSELL FUND FAMILY                       351999149     1561    30844 SH       OTHER                 30844
D FRANK RUSSELL FUND FAMILY                       351999156      798    21415 SH       OTHER                 21415
D FRANK RUSSELL FUND FAMILY                       351999164     2079    65217 SH       OTHER                 65217
D FRANK RUSSELL FUND FAMILY                       351999172     5490   309855 SH       OTHER                309855
D FRANKLIN BALANCE SHEET INVESTME                 352423107     4713   138050 SH       OTHER                138050
D FRANKLIN CALIFORNIA 250 GROWTH                  35251D103      226     3873 SH       SOLE                   3873
D FRANKLIN CALIFORNIA                             352518104      100    14254 SH       SOLE                  14254
D FRANKLIN CAPITAL CORPORATION                    35252P105       99    11450 SH       OTHER                  6450              5000
D FRANKLIN INCOME FUND                            353496300      172    73068 SH       SOLE                  73068
D FRANKLIN INCOME FUND                            353496300       21     8791 SH       OTHER                  8791
D FRANKLIN RESOURCES INCORPORATED                 354613101      252     5674 SH       SOLE                   5074               600
D FRANKLIN RESOURCES INCORPORATED                 354613101      160     3600 SH       SHARED                 3300               300
D FRANKLIN RESOURCES INCORPORATED                 354613101     1220    27467 SH       OTHER                  1277             26190
D FRANKLIN                                        354713109      200     3945 SH       SOLE                   3945
D FRANKLIN                                        354713109     1263    24930 SH       OTHER                 24930
D FRANKLIN TX FREE TR                             354723504      226    19080 SH       OTHER                 19080
D FRANKLIN TAX FREE TR                            354723710      963    89827 SH       OTHER                 89827
D FREEMARKETS INCORPORATED                        356602102      731    12800 SH       OTHER                  1000             11800
D FREEPORT MCMORAN COPPER&GOLD                    35671D501      305    24400 SH       OTHER                 23100              1300
D FREEMAN DECORATING COMPANY                      356990135    70487    99982 SH       OTHER                                   99982
D FRIEDMANS INC                                   358438109       94    18760 SH       OTHER                                   18760
D FRONTIER OIL CORP                               35914P105       74    10000 SH       OTHER                 10000
D FUJI PHOTO FILM LIMITED                         359586302      376    11214 SH       OTHER                  2166              9048
D FUJITSU LIMITED                                 359590304      405     3490 SH       SOLE                   3490
D FUJITSU LIMITED                                 359590304       80      693 SH       OTHER                   592               101
D FUNDAMENTAL INVESTMENT                          360802102       71     1535 SH       SOLE                   1535
D FUNDAMENTAL INVESTMENT                          360802102     1963    57840 SH       OTHER                 57840
D FURNITURE BRANDS INTERNATIONAL                  360921100      179    10737 SH       OTHER                  2437              8300
D G & K SERVICES INCORPORATED                     361268105     1980    70550 SH       OTHER                 32800             37750
D GATX CORPORATION                                361448103     1773    42348 SH       OTHER                 10258             32090
D GC COS INC                                      36155Q109       34    11405 SH       OTHER                     5             11400
D GMO                                             362007304    12437   584998 SH       OTHER                                  584998
D GP STRATEGIES CORP                              36225V104       76    12000 SH       OTHER                                   12000
D GPU INCORPORATED                                36225X100       14      433 SH       SOLE                    433
D GPU INCORPORATED                                36225X100       26      800 SH       SHARED                  800
D GPU INCORPORATED                                36225X100      238     7344 SH       OTHER                  1544              5800
D GABELLI MONEY MARKET FUNDS                      36239W106       41    41135 SH       OTHER                 41135
D GABELLI ASSET FUND                              362395105      215     5357 SH       OTHER                  1224              4133
D GABELLI GROWTH FUND                             362398109      218     4654 SH       OTHER                  4654
D GABLES RESIDENTIAL TRUST                        362418105      367    13500 SH       OTHER                  3400             10100
D GALILEO INTERNATIONAL INCORPORA                 363547100      721    46500 SH       OTHER                 40500              6000
D GALLAGHER ARTHUR J & COMPANY                    363576109     1711    28940 SH       SOLE                  22280              6660
D GALLAGHER ARTHUR J & COMPANY                    363576109     5182    87645 SH       OTHER                  6345             81300
D GALLAHER GROUP PLC                              363595109       79     3400 SH       SOLE                   3400
D GALLAHER GROUP PLC                              363595109      246    10560 SH       OTHER                  7296              3264
D GAM                                             364590109      690    30885 SH       OTHER                 30885
D GANNETT INCORPORATED                            364730101       42      800 SH       SOLE                    800
D GANNETT INCORPORATED                            364730101    46520   877740 SH       OTHER                817100             60640
D GAP INCORPORATED                                364760108       19      937 SH       SOLE                    937
D GAP INCORPORATED                                364760108     2268   112713 SH       OTHER                 69703             43010
D GARTNER GROUP INCORPORATED                      366651206        3      318 SH       SOLE                    318
D GARTNER GROUP INCORPORATED                      366651206      415    38205 SH       OTHER                 34774              3431
D GATEWAY INCORPORATED                            367626108     5033   107652 SH       OTHER                 85737             21915
D GAYLORD ENTERTAINMENT CORP                      367905106      436    18250 SH       OTHER                 18250
D FIRST WINTHROP                                  367990108       10    10000 SH       OTHER                                   10000
D GAYLORD CONTAINER CORP.                         368145116       33    18751 SH       OTHER                 18751
D GELTEX PHARMACEUTICALS INC                      368538104       19      400 SH       SOLE                    400
D GELTEX PHARMACEUTICALS INC                      368538104     3577    76400 SH       OTHER                                   76400
D GEMSTAR-TV GUIDE INTL INC                       36866W106    19078   218817 SH       OTHER                133746             85071
D GENENTECH INCORPORATED                          368710406       89      480 SH       SOLE                    480
D GENENTECH INCORPORATED                          368710406    14213    76540 SH       OTHER                 41420             35120
D GENER S.A.                                      368731AA3      640   620000 SH       OTHER
D GENERAL BINDING CORPORATION                     369154109        5      674 SH       SHARED                  674
D GENERAL BINDING CORPORATION                     369154109      474    64300 SH       OTHER                 41225             23075
D GENERAL COMMUNICATION INCORPORA                 369385109      143    20000 SH       OTHER                 20000
D GENERAL DATACOMM                                369487103      480    92500 SH       OTHER                                   92500
D GENERAL DYNAMICS CORPORATION                    369550108      126     2000 SH       SOLE                   2000
D GENERAL DYNAMICS CORPORATION                    369550108     6070    96641 SH       OTHER                 32843             63798
D GENERAL ELECTRIC COMPANY                        369604103    61955  1073969 SH       SOLE                1059163     2775    12031
D GENERAL ELECTRIC COMPANY                        369604103     9250   160342 SH       SHARED               158092     1650      600
D GENERAL ELECTRIC COMPANY                        369604103   392015  6795428 SH       OTHER               4804348           1991080
D GENERAL GROWTH PROPERTIES INC                   370021107       56     1750 SH       SOLE                   1750
D GENERAL GROWTH PROPERTIES INC                   370021107       10      300 SH       SHARED                                    300
D GENERAL GROWTH PROPERTIES INC                   370021107      320     9950 SH       OTHER                  9050               900
D GENERAL MILLS INCORPORATED                      370334104       39     1100 SH       SOLE                   1100
D GENERAL MILLS INCORPORATED                      370334104     2415    68036 SH       OTHER                 49030             19006
D GENERAL MOTORS CORPORATION                      370442105      111     1700 SH       SOLE                   1700
D GENERAL MOTORS CORPORATION                      370442105       21      325 SH       SHARED                  325
D GENERAL MOTORS CORPORATION                      370442105    11431   175866 SH       OTHER                 47134            128732
D GENERAL MOTORS                                  370442832        3       84 SH       SOLE                     84
D GENERAL MOTORS                                  370442832       33      900 SH       SHARED                                    900
D GENERAL MOTORS                                  370442832    11442   307752 SH       OTHER                133311            174441
D GENERAL SEMICONDUCTOR INC                       370787AB9      390   400000 SH       OTHER
D GENERAL SEMICONDUCTOR INCORPORA                 370787103      238    19500 SH       OTHER                                   19500
D GENESCO INCORPORATED                            371532AL6       38    40000 SH       OTHER
D GENTEX CORPORATION                              371901109     7025   281000 SH       SOLE                 258005      750    22245
D GENTEX CORPORATION                              371901109       28     1100 SH       SHARED                 1100
D GENTEX CORPORATION                              371901109     2303    92105 SH       OTHER                 37640             54465
D GENEVA GROUP, INC.                              371990102    87244   990841 SH       OTHER                                  990841
D GENLYTE GROUP INCORPORATED                      372302109      460    18000 SH       OTHER                                   18000
D GENZYME TRANSGENICS CORPORATION                 37246E105     8640   245100 SH       OTHER                  2000            243100
D GENUINE PARTS COMPANY                           372460105      157     8225 SH       SOLE                    225              8000
D GENUINE PARTS COMPANY                           372460105     7355   385841 SH       OTHER                 26516            359325
D GENUITY INCORPORATED                            37248E103      104    15900 SH       OTHER                                   15900
D GENZYME CORPORATION                             372917104    12404   181908 SH       OTHER                 50308            131600
D GENZYME CORP-TISSUE REPAIR                      372917401     2669   652017 SH       OTHER                 17989            634028
D GENZYME-MOLECULAR ONCOLOGY                      372917500     3263   235182 SH       OTHER                  1332            233850
D GENZYME CORP SURGICAL PRODUCTS                  372917609      775   103333 SH       OTHER                  4636             98697
D GEORGIA PACIFIC CORPORATION                     373298108     1849    78665 SH       OTHER                  7275             71390
D GEOTEK COMMUNICATIONS INCORPORA                 373654102             14000 SH       OTHER                 14000
D GILAT SATELLITE NETWORKS                        375255AC0      562   750000 SH       OTHER
D GILEAD SCIENCES INCORPORATED                    375558103     1385    12631 SH       OTHER                  2000             10631
D GILLETTE COMPANY                                375766102      252     8151 SH       SOLE                   7551               600
D GILLETTE COMPANY                                375766102       39     1269 SH       SHARED                 1269
D GILLETTE COMPANY                                375766102    16845   545580 SH       OTHER                329548            216032
D GLATFELTER P H CO                               377316104     2001   165000 SH       OTHER                 14300            150700
D GLAXO WELLCOME PLC                              37733W105     1180    19520 SH       SOLE                  19520
D GLAXO WELLCOME PLC                              37733W105     1954    32332 SH       OTHER                 15327             17005
D GLENBOROUGH RLTY TR INC                         37803P105      198    11000 SH       OTHER                                   11000
D GLOBAL INDUSTRIES LIMITED                       379336100      170    13600 SH       OTHER                                   13600
D GLOBAL MARINE INCORPORATED                      379352404     2496    80835 SH       OTHER                  5945             74890
D GLOBESPAN INCORPORATED                          379571102     2103    17239 SH       OTHER                   939             16300
D GOLDEN STAR RESOURCES LIMITED                   38119T104        8    10000 SH       OTHER                 10000
D GOLDEN STATE BANCORP INC                        381197102      344    14550 SH       OTHER                                   14550
D GOLDEN WEST FINANCIAL CORPORATI                 381317106     2506    46740 SH       OTHER                  8040             38700
D GOLDMAN SACHS GROUP INCORPORATE                 38141G104       11      100 SH       SOLE                    100
D GOLDMAN SACHS GROUP INCORPORATE                 38141G104     1465    12855 SH       OTHER                  2702             10153
D GOLDMAN SACHS TRUST                             38141W653     1167   136855 SH       OTHER                136855
D GOLF TRUST OF AMERICA INC                       38168B103      635    47050 SH       OTHER                 37750              9300
D GOODRICH B F COMPANY                            382388106     1397    35650 SH       OTHER                  9550             26100
D GOODYEAR TIRE & RUBBER COMPANY                  382550101        9      500 SH       SOLE                    500
D GOODYEAR TIRE & RUBBER COMPANY                  382550101      560    31118 SH       OTHER                 17678             13440
D GORMAN RUPP CO                                  383082104      241    14655 SH       OTHER                  3700             10955
D GOVERNMENT SECURITIES INCOME FU                 383743580        2    49140 SH       SHARED                49140
D GOVERNMENT SECURITIES INCOME FU                 383744208        2    23117 SH       SHARED                23117
D GOVERNMENT SECURITIES INCOME FU                 383744521        3    15000 SH       OTHER                 15000
D GRACO INCORPORATED                              384109104     2424    75150 SH       OTHER                 28525             46625
D GRAINGER W W INCORPORATED                       384802104       18      700 SH       SOLE                    700
D GRAINGER W W INCORPORATED                       384802104       26      999 SH       SHARED                  999
D GRAINGER W W INCORPORATED                       384802104     3371   128127 SH       OTHER                109087             19040
D GRAND UNION COMPANY                             386532402       12    76200 SH       OTHER                                   76200
D GRANT PRIDECO INC                               38821G101      856    39013 SH       OTHER                 15130             23883
D GREAT LAKES CHEMICAL CORPORATIO                 390568103      814    27775 SH       OTHER                  7740             20035
D GREAT LAKES FINANCIAL RESOURCES                 39061*104      704     7040 SH       OTHER                  7040
D GREAT LAKES REIT INCORPORATED                   390752103      345    19880 SH       OTHER                 16880              3000
D GREATER BAY BANCORP                             391648102     1386    19962 SH       OTHER                  6040             13922
D GREENPOINT FINANCIAL CORPORATIO                 395384100     2232    75350 SH       OTHER                  2000             73350
D GREY GLOBAL GROUP INCORPORATED                  39787M108     2428     3918 SH       OTHER                  1637              2281
D GREY WOLF INCORPORATED                          397888108       98    17000 SH       OTHER                                   17000
D GRIFFON CORPORATION                             398433102      152    20100 SH       OTHER                                   20100
D GROUP 1 AUTOMOTIVE INC                          398905109      207    19000 SH       OTHER                  4000             15000
D GROUPE DANONE                                   399449107      635    22745 SH       SOLE                  22745
D GROUPE DANONE                                   399449107      176     6317 SH       OTHER                  5243              1074
D GROWTH FUND OF AMERICA INCORPOR                 399874106     3469   100672 SH       OTHER                100672
D GRUPO TELEVISA SA DE MEXICO                     40049J206      239     4150 SH       OTHER                  3500               650
D GUCCI GROUP NV                                  401566104      383     3800 SH       OTHER                  3800
D GUIDANT CORPORATION                             401698105    14100   199470 SH       SOLE                 195850     1365     2255
D GUIDANT CORPORATION                             401698105      321     4535 SH       SHARED                 3835      700
D GUIDANT CORPORATION                             401698105    15781   223254 SH       OTHER                 77874            145380
D GUILFORD MILLS INCORPORATED                     401794102       41    22000 SH       OTHER                 12000             10000
D GULF CANADA RESOURCES LIMITED                   40218L305      538   100000 SH       OTHER                                  100000
D GULFMARK OFFSHORE INC                           402629109      206     7000 SH       OTHER                  1600              5400
D HCA - THE HEALTHCARE CORPORATIO                 404119109        5      130 SH       SHARED                  130
D HCA - THE HEALTHCARE CORPORATIO                 404119109     4128   111203 SH       OTHER                 50759             60444
D HCC INSURANCE HOLDINGS INCORPOR                 404132102     3733   183779 SH       OTHER                 83112            100667
D HNC SOFTWARE                                    40425P107     1555    19007 SH       OTHER                 15007              4000
D HRPT PROPERTIES TRUST                           40426W101        4      500 SH       SOLE                    500
D HRPT PROPERTIES TRUST                           40426W101      199    28400 SH       OTHER                   200             28200
D HSBC HOLDINGS PLC                               404280406     1611    22570 SH       SOLE                  22570
D HSBC HOLDINGS PLC                               404280406     1497    20971 SH       OTHER                  3692             17279
D HS RES INC                                      404297103      262     7800 SH       OTHER                                    7800
D HAEMONETICS CORPORATION                         405024100      951    37300 SH       OTHER                 19800             17500
D HAGLER BAILLY INC                               405183104       53    10000 SH       OTHER                 10000
D HALL KINION & ASSOCIATES INC                    406069104      214     7537 SH       OTHER                  4937              2600
D HALLIBURTON COMPANY                             406216101       17      350 SH       SOLE                                      350
D HALLIBURTON COMPANY                             406216101     7029   143632 SH       OTHER                 40274            103358
D HALLWOOD ENERGY CORP DEL                        40636X105      100    10035 SH       OTHER                 10035
D JOHN HANCOCK BANK & THRIFT                      409735107       11     1423 SH       SOLE                   1423
D JOHN HANCOCK BANK & THRIFT                      409735107     1879   236700 SH       OTHER                  2000            234700
D JOHN HANCOCK                                    41013T105      122    12000 SH       OTHER                 12000
D HANCOCK JOHN FINANCIAL SERVICES                 41014S106     3910   145476 SH       OTHER                  4936            140540
D HANDLEMAN COMPANY                               410252100      131    10600 SH       OTHER                                   10600
D HANOVER COMPRESSOR COMPANY                      410768105     2601    78965 SH       OTHER                 29450             49515
D HANOVER FOODS                                   41078W100      962    15899 SH       OTHER                  4399             11500
D HARBOR FUND                                     411511108      619    56553 SH       OTHER                 56553
D HARBOR FUND                                     411511306      514    12975 SH       OTHER                  8900              4075
D HARBOR CAPITAL APPRECIATION                     411511504      202     4010 SH       OTHER                   600              3410
D HARCOURT GENERAL INCORPORATED                   41163G101     4575    77550 SH       OTHER                 60850             16700
D HARKEN OIL & GAS INC                            412552101       13    20000 SH       OTHER                 20000
D HARLAND JOHN H COMPANY                          412693103      656    42844 SH       OTHER                 23744             19100
D HARLEY DAVIDSON INCORPORATED                    412822108     2264    47290 SH       SOLE                  42690              4600
D HARLEY DAVIDSON INCORPORATED                    412822108        6      125 SH       SHARED                  125
D HARLEY DAVIDSON INCORPORATED                    412822108     5280   110279 SH       OTHER                 39537             70742
D HARMAN INTERNATIONAL                            413086109     3210    82100 SH       OTHER                                   82100
D HARMONIC  INC                                   413160102        2      100 SH       SOLE                    100
D HARMONIC  INC                                   413160102      227     9475 SH       OTHER                  9475
D HARMONY HLDGS INC                               413223108        1    10000 SH       OTHER                                   10000
D HARRAH'S ENTERTAINMENT INCORPOR                 413619107     3036   110400 SH       OTHER                  1400            109000
D THE OAKMARK FUND                                413838103      276    10230 SH       OTHER                  8716              1514
D OAKMARK INTERNATIONAL                           413838202     2077   134900 SH       OTHER                 11347            123553
D OAKMARK SMALL CAPITAL FUND                      413838301      181    11972 SH       OTHER                  3538              8434
D OAKMARK SELECT FUND                             413838608      558    26025 SH       OTHER                  1455             24570
D HARRIS CORPORATION                              413875105     4846   170400 SH       OTHER                 63600            106800
D HARRIS INSIGHT FUNDS TRUST                      414548503      349    13467 SH       OTHER                 13467
D HARRIS INSIGHT FUNDS TRUST                      414548883      256    18176 SH       OTHER                 18176
D HARTE HANKS INC FORMERLY HARTE                  416196103      463    16990 SH       OTHER                 14500              2490
D HARTFORD FINANCIAL SERVICES GRO                 416515104      160     2192 SH       SOLE                   2192
D HARTFORD FINANCIAL SERVICES GRO                 416515104       15      200 SH       SHARED                  200
D HARTFORD FINANCIAL SERVICES GRO                 416515104     5911    81037 SH       OTHER                 20519             60518
D HARTMARX CORPORATION                            417119104      157    52167 SH       OTHER                 52167
D HASBRO INCORPORATED                             418056107     1087    95065 SH       OTHER                  8195             86870
D HAWAIIAN ELECTRIC                               419870100      691    19800 SH       OTHER                 13800              6000
D HEALTH CARE PROPERTY                            421915109        5      162 SH       SOLE                    162
D HEALTH CARE PROPERTY                            421915109      592    19997 SH       OTHER                 14196              5801
D HEALTHSOUTH CORPORATION                         421924AF8      749   900000 SH       OTHER
D HEALTHSOUTH CORP                                421924101       20     2400 SH       SOLE                   2400
D HEALTHSOUTH CORP                                421924101     2485   305900 SH       OTHER                 23800            282100
D HEALTH MANAGEMENT ASSOC INC NEW                 421933102      852    40925 SH       OTHER                 30525             10400
D HEALTHCARE REALTY TRUST                         421946AA2       69    75000 SH       OTHER
D HEALTHCARE REALTY TRUST                         421946104      601    28450 SH       OTHER                  5452             22998
D HEALTH MANAGEMENT SYSTEM INC                    42219M100      122    61100 SH       OTHER                 35800             25300
D HEARTLAND EXPRESS INC                           422347104      316    18165 SH       OTHER                 18165
D HEIDRICK & STRUGGLES INTERNATIO                 422819102      562    10937 SH       OTHER                   612             10325
D HEILIG MEYERS COMPANY                           422893107        2    11582 SH       OTHER                 11582
D HEINZ H J COMPANY                               423074103       45     1205 SH       SOLE                   1205
D HEINZ H J COMPANY                               423074103       15      400 SH       SHARED                  400
D HEINZ H J COMPANY                               423074103     8589   231732 SH       OTHER                111472            120260
D HELIX TECHNOLOGY CORPORATION                    423319102      299    10000 SH       OTHER                 10000
D HELLER FINANCIAL INCORPORATED                   423328103      186     6500 SH       SOLE                                     6500
D HELLER FINANCIAL INCORPORATED                   423328103     6107   213800 SH       OTHER                 16200            197600
D HELMERICH & PAYNE INCORPORATED                  423452101     1013    28050 SH       OTHER                 11650             16400
D HENRY JACK & ASSOCIATES INC                     426281101      614    14150 SH       OTHER                  3550             10600
D HERS APPAREL INDUSTRIES                         427788104             10000 SH       OTHER                                   10000
D HERSHEY FOODS CORPORATION                       427866108      135     2500 SH       SOLE                   2500
D HERSHEY FOODS CORPORATION                       427866108       59     1099 SH       SHARED                 1099
D HERSHEY FOODS CORPORATION                       427866108     1436    26538 SH       OTHER                 10738             15800
D HERTZ CORPORATION                               428040109     1076    33900 SH       OTHER                  2100             31800
D HEWLETT PACKARD CO                              428236AC7       96   130000 SH       OTHER
D HEWLETT PACKARD COMPANY                         428236103      837     8628 SH       SOLE                   8368               260
D HEWLETT PACKARD COMPANY                         428236103       39      400 SH       SHARED                  200               200
D HEWLETT PACKARD COMPANY                         428236103    40709   419679 SH       OTHER                203257            216422
D HEXCEL CORP NEW                                 428291108      321    24000 SH       OTHER                 23000              1000
D HIBERNIA CORPORATION                            428656102       25     2000 SH       SOLE                   2000
D HIBERNIA CORPORATION                            428656102      825    67340 SH       OTHER                   600             66740
D HILLENBRAND INDUSTRIES                          431573104      705    15750 SH       OTHER                 13750              2000
D HILLIARD CORP                                   431596105      464     1327 SH       OTHER                  1327
D HILTON HOTELS CORPORATION                       432848AL3      330   390000 SH       OTHER
D HILTON HOTELS CORPORATION                       432848109     1166   100809 SH       OTHER                 50023             50786
D HISPANIC BROADCASTING CORPORATI                 43357B104     1074    38540 SH       SOLE                  29930              8610
D HISPANIC BROADCASTING CORPORATI                 43357B104     1394    50010 SH       OTHER                  6320             43690
D HITACHI LIMITED                                 433578507      946     8280 SH       SOLE                   8280
D HITACHI LIMITED                                 433578507     1341    11735 SH       OTHER                  3570              8165
D HOLLINGER INTERNATIONAL                         435569108     1056    63062 SH       OTHER                 26777             36285
D HOME DEPOT INCORPORATED                         437076102    11998   226106 SH       SOLE                 221232     1150     3724
D HOME DEPOT INCORPORATED                         437076102      441     8319 SH       SHARED                 7819      500
D HOME DEPOT INCORPORATED                         437076102   165472  3118412 SH       OTHER               2372995            745417
D HOME PRODUCTS INTERNATIONAL INC                 437305105      108    68955 SH       OTHER                 56955             12000
D HOME PPTYS NY INC                               437306103      300    10050 SH       OTHER                  1100              8950
D HOMEFED CORPORATION                             43739D208        7    11246 SH       OTHER                  4340              6906
D HOMETOWN AUTO RETAILERS                         437858103       31    26250 SH       OTHER                                   26250
D HOMETOWN BUFFET INCORPORATED                    437862AA3       29    25000 SH       OTHER
D HON INDUSTRIES INCORPORATED                     438092108     3690   149860 SH       OTHER                  6400            143460
D HONDA MOTOR LIMITED                             438128308     1033    14120 SH       SOLE                  14120
D HONDA MOTOR LIMITED                             438128308      514     7020 SH       OTHER                  1675              5345
D HONEYWELL INTERNATIONAL INC                     438516106      273     7652 SH       SOLE                   7652
D HONEYWELL INTERNATIONAL INC                     438516106       13      375 SH       SHARED                  375
D HONEYWELL INTERNATIONAL INC                     438516106    11730   329264 SH       OTHER                189266            139998
D HONG KONG & CHINA GAS                           438550303       96    76665 SH       OTHER                 76665
D HONGKONG ELEC HLDGS LTD                         438580300       92    29910 SH       OTHER                 29910
D HOOPER HOLMES INC                               439104100     1182   124300 SH       OTHER                  8800            115500
D HORACE MANN EDUCATORS CORPORATI                 440327104      715    43690 SH       OTHER                  3990             39700
D HORMEL FOODS CORP                               440452100      564    33800 SH       OTHER                                   33800
D HOSPITALITY PROPERTIES TRUST                    44106M102      208     8900 SH       OTHER                  2500              6400
D HOST MARRIOTT CORPORATION                       44107P104        2      217 SH       SOLE                    217
D HOST MARRIOTT CORPORATION                       44107P104     1988   176753 SH       OTHER                  1334            175419
D HOTCHKIS & WILEY FUNDS                          441346400      501    19363 SH       OTHER                                   19363
D HOUGHTON MIFFLIN COMPANY                        441560109     1083    27605 SH       OTHER                 17700              9905
D HOUSEHOLD INTERNATIONAL INC                     441815107      266     4703 SH       SOLE                   4703
D HOUSEHOLD INTERNATIONAL INC                     441815107      112     1975 SH       SHARED                 1975
D HOUSEHOLD INTERNATIONAL INC                     441815107    86308  1524210 SH       OTHER               1236620            287590
D HOWTEK INCORPORATED                             443209101       59    20000 SH       SOLE                  20000
D HUB GROUP INCORPORATED                          443320106      132    13800 SH       SOLE                  13800
D HUB GROUP INCORPORATED                          443320106       88     9215 SH       OTHER                                    9215
D HUBBELL INCORPORATED                            443510201       30     1212 SH       SOLE                   1212
D HUBBELL INCORPORATED                            443510201     2423    96675 SH       OTHER                 17050             79625
D HUDSON CITY BANCORP INCORPORATE                 443683107      170    10000 SH       OTHER                 10000
D HUFFY CORPORATION                               444356109      169    16055 SH       OTHER                    55             16000
D HUGOTON ROYALTY TRUST                           444717102     3053   194600 SH       OTHER                177600             17000
D HUMANA INCORPORATED                             444859102      142    13173 SH       OTHER                   873             12300
D HUMAN GENOME SCIENCES INCORPORA                 444903108     2313    13360 SH       OTHER                  4500              8860
D HUNTINGTON BANCSHARES                           446150104      617    42006 SH       OTHER                 42006
D HUTCHINSON TECHNOLOGY INCORPORA                 448407106      213    10100 SH       OTHER                                   10100
D HUTCHINSON WHAMPOA LIMITED                      448415208      265     3990 SH       OTHER                  3002               988
D HYPERION                                        448918102      532    64500 SH       OTHER                                   64500
D ICN PHARMACEUTICAL INC NEW                      448924100      795    23915 SH       OTHER                  5715             18200
D ICAP FUNDS INCORPORATED                         448926204     7442   170535 SH       OTHER                170535
D HYPERSECUR CORP                                 44914N102       37    11500 SH       OTHER                                   11500
D IBP INCORPORATED                                449223106     1165    63640 SH       OTHER                 30380             33260
D ICO HLDGS INC                                   449293109      111    55500 SH       OTHER                 55500
D ICU MED INC                                     44930G107      470    18150 SH       OTHER                                   18150
D IDEC PHARMACEUTICALS CORP                       449370105      175     1000 SH       SOLE                   1000
D IDEC PHARMACEUTICALS CORP                       449370105      210     1196 SH       OTHER                                    1196
D IDG BOOKS WORLDWIDE INC                         449384106      122    13200 SH       OTHER                 13200
D IMS HEALTH INCORPORATED                         449934108       43     2050 SH       SOLE                   2050
D IMS HEALTH INCORPORATED                         449934108        6      300 SH       SHARED                  300
D IMS HEALTH INCORPORATED                         449934108    11582   558174 SH       OTHER                387797            170377
D IBEW-NECA                                       449990118    16882   794641 SH       OTHER                                  794641
D AMERICAN EXPRESS                                449999101     2733    51226 SH       OTHER                                   51226
D IRT PROPERTY COMPANY                            450058AA0      845   916000 SH       OTHER
D IRT PROPERTY COMPANY                            450058102      334    38155 SH       OTHER                 16939             21216
D ISTAR FINANCIAL INCORPORATED                    45031U101      913    40709 SH       OTHER                  5900             34809
D ITT EDUCATIONAL SERVICES INC                    45068B109      512    18875 SH       OTHER                 11200              7675
D IBASIS INCORPORATED                             450732AA0       12    25000 SH       OTHER
D ITT INDUSTRIES INCORPORATED                     450911102       15      448 SH       SOLE                    448
D ITT INDUSTRIES INCORPORATED                     450911102     1036    31952 SH       OTHER                  7252             24700
D IDACORP INC                                     451107106      484    10467 SH       OTHER                   400             10067
D IDEX CORPORATION                                45167R104     2909   104123 SH       OTHER                 41587             62536
D IDEXX LABORATORIES CORP                         45168D104      222     8300 SH       OTHER                                    8300
D IKON OFFICE SOLUTIONS INCORPORA                 451713101       48    12100 SH       OTHER                  5100              7000
D ILEX ONCOLOGY INC                               451923106     1642    54500 SH       OTHER                                   54500
D ILLINOIS TOOL WORKS                             452308109     9323   166855 SH       SOLE                 165205      400     1250
D ILLINOIS TOOL WORKS                             452308109      622    11135 SH       SHARED                10935               200
D ILLINOIS TOOL WORKS                             452308109    81405  1456921 SH       OTHER               1131978            324943
D ILLUMINET HOLDINGS INC                          452334105      230     8300 SH       OTHER                                    8300
D IMATION CORPORATION                             45245A107        2      100 SH       SOLE                    100
D IMATION CORPORATION                             45245A107     8509   456869 SH       OTHER                 13844            443025
D IMCLONE SYSTEMS INCORPORATED                    45245W109     1007     8600 SH       OTHER                                    8600
D IMMUNEX CORPORATION NEW                         452528102     8535   196200 SH       OTHER                  7800            188400
D IMPATH INCORPORATED                             45255G101     1651    26160 SH       OTHER                 19460              6700
D IMPERIAL BANCORP                                452556103      309    16176 SH       OTHER                  7882              8294
D IMRGLOBAL CORP                                  45321W106      126    10850 SH       OTHER                                   10850
D INDEPENDENCE CMNTY BK CORP                      453414104      347    24800 SH       OTHER                   500             24300
D INDEPENDENCE HOLDING COMPANY                    453440307      327    45167 SH       OTHER                                   45167
D INDEPENDENT ENERGY HLDGS PLC                    45384X108      527    69625 SH       OTHER                 69625
D INDUS INTL INC                                  45578L100      122    25015 SH       OTHER                  5015             20000
D INFINITY BROADCASTING CORPORATI                 45662S102     7124   215868 SH       OTHER                181278             34590
D INET TECHNOLOGIES INC                           45662V105      376    12845 SH       OTHER                                   12845
D INFORMATICA CORPORATION                         45666Q102      284     3050 SH       SOLE                   3050
D INFORMATICA CORPORATION                         45666Q102      159     1700 SH       OTHER                                    1700
D INFORMATION HLDGS INC                           456727106      360    10150 SH       OTHER                  9800               350
D INFORMIX CORPORATION                            456779107     1207   292500 SH       OTHER                                  292500
D ING GROUP N.V.                                  456837103     1441    21868 SH       SOLE                  21868
D ING GROUP N.V.                                  456837103     2355    35751 SH       OTHER                  7848             27903
D INGERSOLL RAND COMPANY                          456866102       20      600 SH       SHARED                                    600
D INGERSOLL RAND COMPANY                          456866102      654    19301 SH       OTHER                  5652             13649
D INTERSOLL-RAND                                  456867209      673    37380 SH       OTHER                 25680             11700
D INFORMATION RESOURCES INCORPORA                 456905108     6264   919429 SH       OTHER                919429
D INGRAM MICRO INC                                457153104      309    22500 SH       OTHER                  3400             19100
D INHALE THERAPEUTIC SYSTEMS INC                  457191104      552     9800 SH       OTHER                                    9800
D INKTOMI CORPORATION                             457277101     2306    20230 SH       OTHER                  3550             16680
D INNKEEPERS USA TR                               4576J0104      216    21100 SH       OTHER                                   21100
D INNOVEX INC                                     457647105     1920   140900 SH       OTHER                                  140900
D INSIGHT ENTERPRISES INCORPORATE                 45765U103      592    21736 SH       OTHER                   299             21437
D INSIGHT HEALTH SERVICES CORPORA                 45766Q101      134    17911 SH       OTHER                 17211               700
D INSITUFORM TECHNOLOGIES INC                     457667103      205     6100 SH       OTHER                                    6100
D INSTANT VIDEO TECHNOLOGIES, INC                 45774V118             10000 SH       OTHER                                   10000
D T ROWE PRICE                                    45775L101     5511   244064 SH       OTHER                244064
D INSTITUTIONAL INTERNATIONAL FDS                 457759108    21753  1089812 SH       OTHER                                 1089812
D INSURANCE AUTO AUCTIONS INC                     457875102      483    29850 SH       OTHER                 14250             15600
D INTEGRAL VISION INCORPORATED                    45811H106       40    29000 SH       OTHER                 22000              7000
D INTEGRATED DEVICE TECHNOLOGY                    458118106     3776    41725 SH       OTHER                  7720             34005
D INTEGRATED SILICON SOLUTION                     45812P107      209    14700 SH       OTHER                   200             14500
D INTELIDATA TECHNOLOGIES CORP                    45814T107      115    22000 SH       OTHER                 22000
D INTEL CORPORATION                               458140100    23212   558480 SH       SOLE                 547390     2800     8290
D INTEL CORPORATION                               458140100     1231    29620 SH       SHARED                27220     1600      800
D INTEL CORPORATION                               458140100   211567  5090278 SH       OTHER               3728974           1361304
D INTER PARFUMS INC                               458334109    10167  1161900 SH       OTHER               1161900
D INTERDIGITAL COMMUNICATION                      45866A105      311    22200 SH       OTHER                  4200             18000
D INTERFACE INCORPORATED                          458665106      431    54050 SH       OTHER                  5530             48520
D INTERMEDIA COMMUNICATIONS INC                   458801107      351    11900 SH       OTHER                                   11900
D INTERNATIONAL BRAVO RESOURCES C                 459158101       27   200000 SH       OTHER                200000
D INTERNATIONAL BUSINESS                          459200101     1439    12795 SH       SOLE                  11295              1500
D INTERNATIONAL BUSINESS                          459200101      787     6996 SH       SHARED                 6796               200
D INTERNATIONAL BUSINESS                          459200101    95840   851909 SH       OTHER                490253            361656
D INTERNATIONAL FLAVORS &                         459506101       37     2000 SH       SOLE                   2000
D INTERNATIONAL FLAVORS &                         459506101      468    25650 SH       OTHER                  3750             21900
D INTERNATIONAL GAME TECHNOLOGY                   459902102     2106    62620 SH       OTHER                  7400             55220
D INTERNATIONAL PAPER CAPITAL                     460137300      225     5600 SH       OTHER                  3600              2000
D INTERNATIONAL PAPER COMPANY                     460146103       29     1000 SH       SOLE                   1000
D INTERNATIONAL PAPER COMPANY                     460146103        8      275 SH       SHARED                  275
D INTERNATIONAL PAPER COMPANY                     460146103     5657   197192 SH       OTHER                 46881            150311
D INTERNATIONAL RECTIFIER CORPORA                 460254105     3746    74175 SH       OTHER                 32725             41450
D INTERNATIONAL SPECIALTY PROD                    460337108       70    13055 SH       OTHER                                   13055
D INTERNET SEC SYS INC                            46060X107      349     4650 SH       OTHER                  1850              2800
D INTERPOOL INCORPORATED                          46062R108      146    12750 SH       OTHER                                   12750
D INTERSIL HOLDING CORPORATION                    46069S109     1719    34475 SH       OTHER                                   34475
D INTERPUBLIC GROUP                               460690AF7       55    55000 SH       OTHER
D INTERPUBLIC GROUP                               460690100    16399   481428 SH       SOLE                 472239     2174     7015
D INTERPUBLIC GROUP                               460690100      739    21682 SH       SHARED                21306               376
D INTERPUBLIC GROUP                               460690100    11293   331531 SH       OTHER                206920            124611
D INTERSTATE BAKERIES                             46072H108     4971   339928 SH       OTHER                  6500            333428
D INTERTAN INCORPORATED                           461120107     8246   571150 SH       OTHER                                  571150
D INTERTRUST TECHNOLOGIES CORPORA                 46113Q109      350    29040 SH       OTHER                  9680             19360
D INTRABIOTICS PHARMACEUTICALS                    46116T100     1674   103000 SH       OTHER                                  103000
D INTUIT INCORPORATED                             461202103     5072    88982 SH       OTHER                 23652             65330
D INVACARE CORP                                   461203101     1428    44445 SH       OTHER                   995             43450
D INVENSYS PLC                                    461204109      453   102971 SH       OTHER                  2367            100604
D INVESCO STOCK FUNDS INCORPORATE                 46127G204     1226    38439 SH       OTHER                 38439
D INVESCO BOND FUNDS INCORPORATED                 46128R100       91    15157 SH       OTHER                 15157
D INVESCO BOND FUNDS INCORPORATED                 46128R209      107    18363 SH       OTHER                 18363
D INVESCO COMBINATION STOCK & BON                 46128W307      213     7842 SH       OTHER                                    7842
D AMERICAN FUNDS                                  461308108     1880    57606 SH       OTHER                 57606
D INVESTMENT SERIES FUNDS INC                     461444507      535    59733 SH       OTHER                 59733
D INVITROGEN CORP                                 46185R100     1044    14675 SH       OTHER                                   14675
D INVESTORS FINANCIAL SERVICES CO                 461915100      328     5201 SH       OTHER                  3601              1600
D IOMEGA CORPORATION                              462030107      140    28000 SH       OTHER                   800             27200
D IPALCO ENTERPRISES INCORPORATED                 462613100       27     1200 SH       SOLE                   1200
D IPALCO ENTERPRISES INCORPORATED                 462613100      384    16800 SH       OTHER                 12100              4700
D IRON MOUNTAIN INCORPORATED                      462846106      163     4400 SH       SOLE                   4400
D IRON MOUNTAIN INCORPORATED                      462846106      829    22400 SH       OTHER                 17500              4900
D ISHARES MSCI                                    464286848     1120    84515 SH       SOLE                  84515
D ISHARES MSCI                                    464286848      614    46375 SH       OTHER                 36875              9500
D ISHARES TR                                      464287507      699     6500 SH       OTHER                  2300              4200
D ISHARES TRUST                                   464287648      264     3260 SH       OTHER                  3260
D ISHARES TR                                      464287655      829     8000 SH       OTHER                  2300              5700
D ITO YOKADO LIMITED                              465714301      605    11570 SH       SOLE                  11570
D ITO YOKADO LIMITED                              465714301      252     4820 SH       OTHER                   320              4500
D I2 TECHNOLOGIES INCORPORATED                    465754109       16       88 SH       SOLE                     88
D I2 TECHNOLOGIES INCORPORATED                    465754109     4133    22095 SH       OTHER                  3770             18325
D IVAX CORPORATION                                465823102       35      750 SH       SOLE                    750
D IVAX CORPORATION                                465823102     1778    38651 SH       OTHER                  8780             29871
D IVEX PACKAGING CORP DEL                         465855104      259    26350 SH       OTHER                  6350             20000
D JTS CORP                                        465940104             10000 SH       OTHER                 10000
D J & J SNACK FOODS CORPORATION                   466032109     1457   112600 SH       OTHER                  2000            110600
D J ALEXANDERS                                    466096AA2       21    23000 SH       OTHER
D JDS UNIPHASE CORPORATION                        46612J101     5627    59425 SH       SOLE                  59425
D JDS UNIPHASE CORPORATION                        46612J101       24      250 SH       SHARED                  250
D JDS UNIPHASE CORPORATION                        46612J101    19127   201996 SH       OTHER                 77271            124725
D JG INDS INC                                     466145208       61    72464 SH       OTHER                 72464
D JLG INDUSTRIES INCORPORATED                     466210101      146    12000 SH       OTHER                                   12000
D JNI CORPORATION                                 46622G105     2245    25225 SH       SOLE                  19905              5320
D JNI CORPORATION                                 46622G105       97     1090 SH       OTHER                  1090
D JABIL CIRCUIT INCORPORATED                      466313103     1876    33050 SH       SOLE                  26050              7000
D JABIL CIRCUIT INCORPORATED                      466313103        6      100 SH       SHARED                  100
D JABIL CIRCUIT INCORPORATED                      466313103     2186    38525 SH       OTHER                  5075             33450
D JACK IN THE BOX INC                             466367109     3001   140000 SH       OTHER                  7100            132900
D JMB GROUP TRUST IV                              466990132      733   733165 SH       OTHER                                  733165
D JACOBS ENGINEERING GROUP INC                    469814107     1266    31400 SH       OTHER                                   31400
D JACOBSON STORES INCORPORATED                    469834AC9       34    50000 SH       OTHER
D JACOR COMMUNICATIONS INCORPORAT                 469858AA2       88   100000 SH       OTHER
D JACOR COMMUNICATIONS                            469858AB0       25    50000 SH       OTHER
D JAKKS PACIFIC INCORPORATED                      47012E106      235    25000 SH       OTHER                 25000
D JANUS FUND INCORPORATED                         471023101     1109    24251 SH       OTHER                 23809               442
D JANUS INVESTMENT FUND                           471023309       80     1080 SH       SHARED                 1080
D JANUS INVESTMENT FUND                           471023309     6519    88378 SH       OTHER                 22001             66377
D JANUS INVESTMENT FUND                           471023663      366    11919 SH       OTHER                  7171              4747
D JANUS INVT FD                                   471023747     3134   127091 SH       OTHER                127091
D JANUS INVESTMENT FUND                           471023846      704    20051 SH       OTHER                 20051
D JANUS INVESTMENT FUND                           471023853      321     7538 SH       OTHER                   762              6776
D JANUS INVESTMENT FUNDS                          471023879      418    18100 SH       OTHER                 18100
D JAPAN AIR LINES LTD                             471034306      173    21600 SH       OTHER                 21600
D JAPANESE OTC FUND                               471091108      172    21000 SH       OTHER                  4500             16500
D JARDINE MATHESON HOLDINGS LIMIT                 471115303      195    33278 SH       OTHER                 11208             22070
D JANUS INSTITUTIONAL                             471990135     3058   158694 SH       OTHER                158694
D JEFFERIES GROUP INC NEW                         472319102      752    27975 SH       OTHER                 15000             12975
D JEFFERSON PILOT CORPORATION                     475070108      278     4100 SH       OTHER                   300              3800
D JOHN NUVEEN COMPANY                             478035108      308     6375 SH       OTHER                  2375              4000
D JOHNSON & JOHNSON                               478160104    19099   203311 SH       SOLE                 199776      850     2685
D JOHNSON & JOHNSON                               478160104      413     4395 SH       SHARED                 4145      250
D JOHNSON & JOHNSON                               478160104   139673  1486858 SH       OTHER               1164630            322228
D JOHNSON CONTROLS INCORPORATED                   478366107      233     4376 SH       SOLE                   4376
D JOHNSON CONTROLS INCORPORATED                   478366107     1113    20923 SH       OTHER                 18258              2665
D JONES APPAREL GROUP INCORPORATE                 480074103       16      600 SH       SHARED                                    600
D JONES APPAREL GROUP INCORPORATE                 480074103     4231   159660 SH       OTHER                  2660            157000
D JOURNAL REGISTER CO                             481138105      286    17200 SH       OTHER                  9000              8200
D JULIUS BAER INVT FDS                            481370104      522    19999 SH       SOLE                  19999
D JUNIPER NETWORKS INCORPORATED                   48203R104     8126    37114 SH       OTHER                  5924             31190
D KLA-TENCOR CORPORATION                          482480100       83     2025 SH       SOLE                   2025
D KLA-TENCOR CORPORATION                          482480100     1776    43123 SH       OTHER                 16573             26550
D K MART CORPORATION                              482584109       21     3500 SH       SOLE                   3500
D K MART CORPORATION                              482584109      469    78110 SH       OTHER                  6710             71400
D K-SWISS INC                                     482686102     2322   103200 SH       OTHER                                  103200
D K2 INCORPORATED                                 482732104      542    60655 SH       OTHER                 10700             49955
D KSB AG- VORZUG                                  482990215     1066    13000 SH       OTHER                                   13000
D KANSAS CITY SOUTHN INDS INC                     485170302      115    13182 SH       OTHER                   782             12400
D KAUFMANN FUND INCORPORATED                      486250103     1073   152474 SH       OTHER                152474
D KAYDON CORPORATION                              486587108       21      900 SH       SOLE                    900
D KAYDON CORPORATION                              486587108      332    14450 SH       OTHER                   700             13750
D KEANE INCORPORATED                              486665102      407    23392 SH       OTHER                  4492             18900
D KELLOGG COMPANY                                 487836108        5      200 SH       SOLE                    200
D KELLOGG COMPANY                                 487836108     3014   124600 SH       OTHER                 70700             53900
D KELLSTROM INDUSTRIES INCORPORAT                 488035AC0       20    45000 SH       OTHER
D KEMET CORPORATION                               488360108      851    30790 SH       OTHER                 17390             13400
D KEMPER-DREMAN FUND INCORPORATED                 48840B702      214     6574 SH       OTHER                  6574
D KEMPER NEW EUROPE FUND INC                      48841Y404      436    17200 SH       OTHER                  7000             10200
D KEMFLEX                                         488990136    28809  8809220 SH       OTHER               8809220
D KENNAMETAL INCORPORATED                         489170100      385    14950 SH       OTHER                                   14950
D KENT ELECTRONICS CORPORATION                    490553AA2      493   600000 SH       OTHER
D KENT ELECTRONICS CORP                           490553104      329    13800 SH       OTHER                                   13800
D KERR MCGEE CORPORATION                          492386AL1       46    47000 SH       OTHER
D KERR MCGEE CORPORATION                          492386AP2      770   620000 SH       OTHER
D KERR MCGEE CORPORATION                          492386107     1613    24354 SH       OTHER                  2379             21975
D KEY PRODUCTION CO                               493138101     1029    46657 SH       OTHER                 15726             30931
D KEYCORP NEW                                     493267108     1824    72044 SH       OTHER                 15132             56912
D KEYSPAN CORPORATION                             49337W100       73     1827 SH       SOLE                   1827
D KEYSPAN CORPORATION                             49337W100     2258    56274 SH       OTHER                 38922             17352
D KFORCE.COM INC                                  493732101     1106   316000 SH       OTHER                                  316000
D KIMBALL INTERNATIONAL INCORPORA                 494274103      197    11000 SH       OTHER                                   11000
D KIMBALL INTERNATIONAL INC                       494274202      406    23300 SH       OTHER                                   23300
D KIMBERLY CLARK CORPORATION                      494368103      696    12478 SH       SOLE                  12168               310
D KIMBERLY CLARK CORPORATION                      494368103      313     5600 SH       SHARED                 5450               150
D KIMBERLY CLARK CORPORATION                      494368103    28283   506739 SH       OTHER                173215            333524
D KINDER MORGAN INC KANSAS                        49455P101     1503    36710 SH       OTHER                 11750             24960
D KINDER MORGAN ENERGY PARTNERSHI                 494550106     5564   117449 SH       OTHER                 97857             19592
D KING PHARMACEUTICALS INC                        495582108      352    10525 SH       OTHER                                   10525
D KNIGHT RIDDER INCORPORATED                      499040103    14693   289158 SH       OTHER                 22452            266706
D KNIGHT TRANSPORTATION INCORPORA                 499064103      267    17158 SH       OTHER                                   17158
D KOGER EQUITY INCORPORATED                       500228101      309    18195 SH       OTHER                                   18195
D KOHL'S CORP                                     500255104     1795    31115 SH       SOLE                  26460              4655
D KOHL'S CORP                                     500255104       13      230 SH       SHARED                  230
D KOHL'S CORP                                     500255104    10424   180692 SH       OTHER                 75692            105000
D KOMATSU LTD                                     500458401      893    36711 SH       OTHER                  7381             29330
D KONINKLIJKE AHOLD NV                            500467303      300    10637 SH       SOLE                  10637
D KONINKLIJKE AHOLD NV                            500467303      395    13999 SH       OTHER                 12996              1003
D KONINKLIJKE PHILIPS ELECTRS                     500472303       61     1427 SH       SOLE                   1427
D KONINKLIJKE PHILIPS ELECTRS                     500472303    19278   453592 SH       OTHER                307181            146411
D KOPIN CORPORATION                               500600101      575    31965 SH       OTHER                 19765             12200
D KRISPY KREME DOUGHNUTS INC                      501014104        7       85 SH       SOLE                     85
D KRISPY KREME DOUGHNUTS INC                      501014104      414     4944 SH       OTHER                  2944              2000
D KROGER COMPANY                                  501044101       27     1200 SH       SOLE                                     1200
D KROGER COMPANY                                  501044101    10379   459999 SH       OTHER                 79349            380650
D KYOCERA CORPORATION JAPAN                       501556203     1020     6780 SH       OTHER                  2165              4615
D L G & E ENERGY CORPORATION                      501917108      353    14464 SH       OTHER                 13963               501
D LTV CORP NEW                                    501921100       33    25100 SH       OTHER                 25100
D LNR PPTY CORP                                   501940100       33     1500 SH       SOLE                   1500
D LNR PPTY CORP                                   501940100      204     9200 SH       OTHER                                    9200
D LM INSTITUTIONAL FUND                           502082100     1113    68982 SH       OTHER                 68982
D L'OREAL COMPANY                                 502117203      881    56745 SH       SOLE                  56745
D L'OREAL COMPANY                                 502117203      228    14660 SH       OTHER                 14660
D LSI LOGIC CORPORATION                           502161102     6919   236538 SH       OTHER                 65653            170885
D LTX CORPORATION                                 502392103     2290   120900 SH       OTHER                  6700            114200
D L-3 COMMUNICATIONS HLDGS INC                    502424104     4584    81125 SH       OTHER                 60325             20800
D LABORATORY CORP OF AMERICA HOLD                 50540R409     1063     8881 SH       OTHER                   781              8100
D LABRANCHE & CO INC                              505447102      434    13000 SH       OTHER                                   13000
D LADY BALTIMORE FOODS INCORPORAT                 505804104      482     8000 SH       OTHER                  6000              2000
D LAFARGE COPPEE                                  505861203      408    17800 SH       OTHER                                   17800
D LAFARGE CORPORATION                             505862102      326    15000 SH       OTHER                  5800              9200
D LAFAYETTE BANCORPORATION                        505893107      867    58779 SH       OTHER                                   58779
D LAKEHEAD PIPE LINE PARTNERS                     511557100       33      800 SH       SOLE                    800
D LAKEHEAD PIPE LINE PARTNERS                     511557100      442    10650 SH       OTHER                  3650              7000
D LAM RESEARCH CORPORATION                        512807AC2       42    40000 SH       OTHER
D LAMAR ADVERTISING COMPANY                       512815AF8       40    40000 SH       OTHER
D LAMAR ADVERTISING CO                            512815101      800    21125 SH       OTHER                  5100             16025
D LANCASTER COLONY CORPORATION                    513847103      383    15575 SH       OTHER                 11525              4050
D LANDSTAR SYS INC                                515098101      910    20400 SH       OTHER                  1300             19100
D LASALLE HOTEL PROPERTIES                        517942108     1444    95500 SH       OTHER                 90500              5000
D LASERMETRICS INCORPORATED                       518079108        1    20000 SH       OTHER                 20000
D ESTEE LAUDER COMPANIES                          518439104     2288    62465 SH       OTHER                  9655             52810
D LAWSON PRODUCTS INCORPORATED                    520776105      231     9555 SH       OTHER                  1500              8055
D LAZARD FUNDS INCORPORATED                       52106N400    13672   913850 SH       OTHER                913850
D LEAP WIRELESS INTL INC                          521863100      300     4800 SH       OTHER                   200              4600
D LEAR CORP                                       521865105      146     7100 SH       SOLE                                     7100
D LEAR CORP                                       521865105        2      100 SH       SHARED                  100
D LEAR CORP                                       521865105     2325   113050 SH       OTHER                  5450            107600
D LEARNING TREE INTERNATIONAL                     522015106      494    10363 SH       OTHER                  9363              1000
D LEE ENTERPRISES INCORPORATED                    523768109    11846   410260 SH       OTHER                 20030            390230
D LEE ENTERPRISES INCORPORATED                    523768208      273    13628 SH       OTHER                                   13628
D LEGG MASON                                      524659109      218     3238 SH       OTHER                  3238
D LEGGETT & PLATT INCORPORATED                    524660107       32     2000 SH       SOLE                   2000
D LEGGETT & PLATT INCORPORATED                    524660107     2199   139033 SH       OTHER                 44663             94370
D LEHMAN BROTHERS HOLDINGS INC                    524908100     1889    12785 SH       SOLE                  10910              1875
D LEHMAN BROTHERS HOLDINGS INC                    524908100     9105    61627 SH       OTHER                 11444             50183
D LEHMAN BROTHERS HOLDING                         524908506      416     9000 SH       OTHER                  8300               700
D LENNAR CORPORATION                              526057104      968    32600 SH       OTHER                                   32600
D LEUCADIA NATIONAL CORPORATION                   527288104      458    17105 SH       OTHER                  5000             12105
D LEVEL 3 COMMUNICATIONS INCORPOR                 52729NAS9     2450  2895000 SH       OTHER
D LEVEL 3 COMMUNICATIONS INC                      52729N100     4166    54010 SH       OTHER                 36680             17330
D LEXINGTON CORPORATE PROPERTIES                  529043101       23     2000 SH       SOLE                   2000
D LEXINGTON CORPORATE PROPERTIES                  529043101      113    10000 SH       OTHER                                   10000
D LEXMARK INTERNATIONAL INC                       529771107       25      655 SH       SOLE                    655
D LEXMARK INTERNATIONAL INC                       529771107     1344    35830 SH       OTHER                  6775             29055
D LIBBEY INC                                      529898108      828    26600 SH       OTHER                  1950             24650
D LIBERTY MEDIA                                   530715AG6       19    20000 SH       OTHER
D LIBERTY PROPERTY TRUST                          531172104       11      400 SH       SHARED                                    400
D LIBERTY PROPERTY TRUST                          531172104      366    13300 SH       OTHER                                   13300
D LIBERTY SATELLITE & TECHNOLO                    531182103      416    39191 SH       OTHER                  4135             35056
D LIBERTY STEIN ROE FUNDS                         53127P101      512    55214 SH       OTHER                 25290             29924
D LIBERTY STEIN ROE FUNDS                         53127P200      208    24268 SH       OTHER                 24268
D LIBERTY STEIN ROE FUNDS                         53127P309     1096   128137 SH       OTHER                128137
D LIBERTY STEIN ROE FUNDS                         53127Q109      551    49952 SH       OTHER                                   49952
D LIBERTY STEIN ROE FUNDS                         53127Q208      282    25359 SH       SHARED                25359
D LIBERTY STEIN ROE FUNDS                         53127Q208      353    31769 SH       OTHER                  6807             24962
D LIBERTY STEIN ROE                               53127Q406      480    54939 SH       OTHER                 27009             27930
D LIBERTY STEIN ROE FUNDS                         531273100     1039    96635 SH       OTHER                 34057             62579
D LIBERTY STEIN ROE FUNDS                         531273209      343     9549 SH       OTHER                  9549
D LIBERTY STEIN ROE FUNDS                         531273308      249     7597 SH       SOLE                   7597
D LIBERTY STEIN ROE FUNDS                         531273308      555    16948 SH       OTHER                 13077              3871
D LIBERTY STEIN ROE FUNDS                         531273407     2248    37677 SH       OTHER                  6229             31448
D LIBERTY STEIN ROE FUNDS                         531273506      406     9621 SH       SHARED                 9621
D LIFE INS CO ALA                                 531864205       92    15029 SH       OTHER                 15029
D LIFECORE BIOMEDICAL                             532187101      134    17300 SH       OTHER                  5300             12000
D LIGAND PHARMACEUTICALS INC                      53220K207      188    14667 SH       OTHER                 14667
D LIGHTBRIDGE INC                                 532226107      145    12441 SH       OTHER                                   12441
D ELI LILLY & COMPANY                             532457108      789     9725 SH       SOLE                   8195              1530
D ELI LILLY & COMPANY                             532457108      772     9515 SH       SHARED                 9515
D ELI LILLY & COMPANY                             532457108    82609  1018296 SH       OTHER                847686            170610
D LILLY INDUSTRIAL INCORPORATED                   532491107      403    13650 SH       OTHER                                   13650
D LIMITED INCORPORATED                            532716107       13      600 SH       SOLE                    600
D LIMITED INCORPORATED                            532716107     3586   162521 SH       OTHER                 33183            129338
D LIMONEIRA CO                                    532746104      414    15916 SH       OTHER                 15916
D LINCARE HOLDINGS INCORPORATED                   532791100      462    16100 SH       OTHER                                   16100
D LINCOLN BANCORP IND                             532879103      616    51615 SH       OTHER                                   51615
D LINCOLN NATIONAL CORPORATION                    534187109      358     7440 SH       SOLE                   7040               400
D LINCOLN NATIONAL CORPORATION                    534187109      231     4800 SH       SHARED                 4800
D LINCOLN NATIONAL CORPORATION                    534187109     5062   105189 SH       OTHER                 49229             55960
D LINCOLN SNACKS COMPANY                          534744107       63    29500 SH       OTHER                 11500             18000
D LINEAR TECHNOLOGY INCORPORATED                  535678106      176     2718 SH       SOLE                   2718
D LINEAR TECHNOLOGY INCORPORATED                  535678106     6463    99819 SH       OTHER                 66419             33400
D LINENS 'N THINGS INCORPORATED                   535679104      230     9025 SH       OTHER                                    9025
D LITTELFUSE INCORPORATED                         537008104       18      600 SH       SOLE                    600
D LITTELFUSE INCORPORATED                         537008104     8651   291405 SH       OTHER                166580            124825
D LITTLE SWITZERLAND                              537528101      200   256000 SH       OTHER                  8000            248000
D LITTON INDUSTRIES INCORPORATED                  538021106      884    19779 SH       OTHER                  7129             12650
D LIZ CLAIBORNE INCORPORATED                      539320101     3126    81200 SH       OTHER                 14400             66800
D LOCAL FINANCIAL CORPORATION                     539553107      371    39000 SH       OTHER                  5000             34000
D LOCKHEED MARTIN CORPORATION                     539830109     3774   114494 SH       OTHER                 60820             53674
D LOEWS CORPORATION                               540424AL2      221   250000 SH       OTHER
D LOEWS CORPORATION                               540424108     2214    26559 SH       OTHER                  7639             18920
D LOGOATHLETIC INCORPORATED                       540990108      500      102 SH       OTHER                                     102
D LONE STAR TECHNOLOGIES                          542312103      277     6000 SH       OTHER                                    6000
D LONG DRUG STORES CORPORATION                    543162101      626    32720 SH       OTHER                  3520             29200
D LOOMIS SAYLES                                   543487607     3092   268211 SH       OTHER                                  268211
D LORD ABBETT DEVELOPING GROWTH                   544006505    25335  1422504 SH       OTHER               1422504
D LOUIS DREYFUS NATURAL GAS                       546011107     2888    72890 SH       OTHER                 36600             36290
D LOUISVILLE BEDDING CO                           546625104      442     4618 SH       OTHER                  4618
D LOWES COMPANIES INCORPORATED                    548661107     2280    50805 SH       SOLE                  49505              1300
D LOWES COMPANIES INCORPORATED                    548661107     5968   132996 SH       OTHER                 53958             79038
D LUBRIZOL CORPORATION                            549271104      226    11500 SH       OTHER                  5390              6110
D LUCENT TECHNOLOGIES INCORPORATE                 549463107     1325    43356 SH       SOLE                  42226              1130
D LUCENT TECHNOLOGIES INCORPORATE                 549463107      316    10345 SH       SHARED                10281                64
D LUCENT TECHNOLOGIES INCORPORATE                 549463107    32929  1077403 SH       OTHER                705342            372061
D LUFKIN INDS INC                                 549764108      306    15000 SH       OTHER                                   15000
D LUXOTTICA GROUP S P A                           55068R202      345    21400 SH       OTHER                 21400
D LYCOS INC                                       550818108      274     3990 SH       OTHER                  1000              2990
D LYONDELL CHEMICAL COMPANY                       552078107      640    54150 SH       OTHER                 11150             43000
D M & T BK CORP                                   55261F104     1364     2674 SH       OTHER                  2674
D MAF BANCORP INCORPORATED                        55261R108    31457  1264601 SH       OTHER                260043           1004558
D MBIA INCORPORATED                               55262C100       21      300 SH       SOLE                    300
D MBIA INCORPORATED                               55262C100    12695   178484 SH       OTHER                 92427             86057
D MBNA CORPORATION                                55262L100       84     2174 SH       SOLE                   2174
D MBNA CORPORATION                                55262L100    27429   712429 SH       OTHER                364488            347941
D MB FINANCIAL INCORPORATED                       55263D107     2118   156124 SH       SOLE                 156124
D MB FINANCIAL INCORPORATED                       55263D107      510    37574 SH       SHARED                37574
D MB FINANCIAL INCORPORATED                       55263D107     1438   106040 SH       OTHER                 78840             27200
D MCN CORPORATION                                 55267J100       40     1556 SH       SOLE                   1556
D MCN CORPORATION                                 55267J100      840    32762 SH       OTHER                 21034             11728
D MDU RESOURCE GROUP INC                          552690109       33     1122 SH       SOLE                   1122
D MDU RESOURCE GROUP INC                          552690109      350    11750 SH       OTHER                                   11750
D MEVC DRAPER FISHER                              55271E105      195    15000 SH       OTHER                 15000
D MFS                                             55272P208      389    32089 SH       OTHER                 32089
D MFRI INCORPORATED                               552721102       42    12000 SH       OTHER                  2000             10000
D MFS GROWTH OPPORTUNITIES                        552723108      203    10440 SH       OTHER                 10440
D MFS CHARTER INCOME TRUST                        552727109      160    18602 SH       OTHER                 18602
D MGIC INVESTMENT                                 552848103    19448   318161 SH       OTHER                159195            158966
D MGI PHARMA INC                                  552880106       60     2000 SH       SOLE                   2000
D MGI PHARMA INC                                  552880106      370    12325 SH       OTHER                 12325
D MAS POOLED TRUST FUND                           552913303    41234  3665283 SH       OTHER                                 3665283
D MAS FUNDS                                       552913436      986    28351 SH       OTHER                 28351
D MAS FUNDS                                       552913568     2777   246821 SH       SOLE                                   246821
D ADVISORY MORTGAGE                               552913592     9536   963229 SH       OTHER                                  963229
D M G M MIRAGE INC                                552953101      296     7750 SH       OTHER                  7750
D MFS SERIES TRUST V                              552981300      217    14293 SH       SOLE                  14293
D MFS SERIES TRUST V                              552981300       48     3153 SH       OTHER                  3153
D MFS SERIES TRUST II                             552985103      271     4216 SH       OTHER                  4216
D MFS                                             552987109       22    22029 SH       OTHER                 22029
D M I SCHOTTENSTEIN HOMES INC                     55305B101      245    12000 SH       OTHER                  2200              9800
D MRV COMMUNICATIONS INCORPORATED                 553477100      795    17550 SH       OTHER                 14000              3550
D MACERICH CO                                     554382101      287    13500 SH       OTHER                                   13500
D MACROVISION CORPORATION                         555904101     1898    23435 SH       SOLE                  18435              5000
D MACROVISION CORPORATION                         555904101     1828    22562 SH       OTHER                  8002             14560
D MACROMEDIA INCORPORATED                         556100105      259     3200 SH       OTHER                                    3200
D MADE2MANAGE SYS INC                             556466100       49    15000 SH       OTHER                                   15000
D MADISON GAS & ELECTRIC COMPANY                  557497104       15      675 SH       SHARED                  675
D MADISON GAS & ELECTRIC COMPANY                  557497104     2498   109800 SH       OTHER                  9300            100500
D MAGNETEK INCORPORATED                           559424106      285    26800 SH       OTHER                   500             26300
D MALLINCKRODT INCORPORATED                       561232109     1457    31939 SH       OTHER                 10139             21800
D MANAGERS FDS                                    561717406     2209    41537 SH       OTHER                 41537
D MANDALAY RESORT GROUP                           562567107        4      150 SH       SHARED                  150
D MANDALAY RESORT GROUP                           562567107      233     9100 SH       OTHER                  9100
D MANDARIN ORIENTAL INTL LTD                      562600205      319    49000 SH       OTHER                                   49000
D MANHATTAN ASSOCS INC                            562750109      331     5400 SH       OTHER                                    5400
D MANNING GREG AUCTIONS INC                       563823111             10000 SH       OTHER                                   10000
D MANPOWER INCORPORATED WISCONSIN                 56418H100     1081    33850 SH       OTHER                 13650             20200
D MAPICS INC                                      564910107      179    26500 SH       OTHER                  6500             20000
D MANUFACTURERS SVCS LTD                          565005105      159    13400 SH       OTHER                                   13400
D MANUGISTICS GROUP INC                           565011103      442     4500 SH       OTHER                                    4500
D MARCHFIRST INCORPORATED                         566244109       19     1200 SH       SOLE                   1200
D MARCHFIRST INCORPORATED                         566244109      364    23196 SH       OTHER                 14491              8705
D MARCONI PLC                                     566306205      223     8150 SH       OTHER                  3300              4850
D MARCUS CORPORATION                              566330106      223    21200 SH       OTHER                  2000             19200
D MARINE DRILLING CO., INC.                       568240204      488    17100 SH       OTHER                  6250             10850
D MARKS & SPENCER LTD                             570697607      415    23035 SH       OTHER                   725             22310
D MARSH & MCLENNAN COMPANIES                      571748102      129      970 SH       SOLE                    765               205
D MARSH & MCLENNAN COMPANIES                      571748102       63      475 SH       SHARED                  475
D MARSH & MCLENNAN COMPANIES                      571748102    15806   119067 SH       OTHER                 79082             39985
D MARSHALL & ILSLEY CORPORATION                   571834100     2489    49656 SH       OTHER                 40145              9511
D MARRIOTT INTERNATIONAL                          571903202     3431    94150 SH       SOLE                  93650      500
D MARRIOTT INTERNATIONAL                          571903202      180     4940 SH       SHARED                 3640     1200      100
D MARRIOTT INTERNATIONAL                          571903202     1702    46704 SH       OTHER                 38604              8100
D MARTEK BIOSCIENCES CORP                         572901106     1010    51800 SH       OTHER                 17800             34000
D MARTIN MARIETTA MATERIALS INC                   573284106       17      450 SH       SOLE                    450
D MARTIN MARIETTA MATERIALS INC                   573284106     4424   115575 SH       OTHER                 10713            104862
D MARVEL ENTERTAINMENT                            573913100        5    34576 SH       OTHER                  1000             33576
D MASCO CORPORATION                               574599106      112     6000 SH       SOLE                   6000
D MASCO CORPORATION                               574599106     3115   167223 SH       OTHER                 47221            120002
D MASSACHUSETTS INVESTORS                         575719109     1441    65981 SH       OTHER                 65981
D MASSACHUSETTS INVESTOR TRUST                    575736103     3386   158739 SH       OTHER                114722             44017
D MASTER SELECT                                   576417109      318    21072 SH       OTHER                 15574              5498
D MASTERS SELECT FUNDS                            576417208      325    17390 SH       OTHER                  7547              9842
D MATRIA HEALTHCARE INCORPORATED                  576817100     1677   479000 SH       OTHER                                  479000
D MATRIX CORP NEW JERSEY                          576829AA3       38    55000 SH       OTHER
D MATRIXONE INCORPORATED                          57685P304      760    18994 SH       OTHER                 10000              8994
D MATSUSHITA ELECTRIC INDUSTRIAL                  576879209     1190     4530 SH       SOLE                   4530
D MATSUSHITA ELECTRIC INDUSTRIAL                  576879209      997     3796 SH       OTHER                  1571              2225
D MATTEL INCORPORATED                             577081102      104     9285 SH       SOLE                   9285
D MATTEL INCORPORATED                             577081102     6722   600864 SH       OTHER                153913            446951
D MAXIM INTEGRATED PRODUCTS INC                   57772K101      424     5270 SH       SOLE                   5270
D MAXIM INTEGRATED PRODUCTS INC                   57772K101       30      375 SH       SHARED                  375
D MAXIM INTEGRATED PRODUCTS INC                   57772K101     1046    13005 SH       OTHER                  2847             10158
D MAXYGEN INCORPORATED                            577776107      370     7130 SH       OTHER                   600              6530
D MAY DEPARTMENT STORES COMPANY(D                 577778103        6      300 SH       SOLE                    300
D MAY DEPARTMENT STORES COMPANY(D                 577778103     4361   212743 SH       OTHER                 68143            144600
D MAYTAG COMPANY                                  578592107      162     5200 SH       SOLE                   5200
D MAYTAG COMPANY                                  578592107      719    23137 SH       OTHER                  6208             16929
D MATTINGLY FOODS INC                             578990137     4140     9000 SH       OTHER                                    9000
D MCCLATCHY NEWSPAPERS INCORPORAT                 579489105     3937   111895 SH       OTHER                 13000             98895
D MCCORMICK & COMPANY INCORPORATE                 579780206       10      350 SH       SOLE                    350
D MCCORMICK & COMPANY INCORPORATE                 579780206     1787    60060 SH       OTHER                 19865             40195
D MCDATA CORP                                     580031102      295     2400 SH       OTHER                                    2400
D MCDERMOTT INTERNATIONAL INCORPO                 580037109      495    45025 SH       OTHER                 45025
D MCDONALDS CORPORATION                           580135101     1129    37398 SH       SOLE                  36018      400      980
D MCDONALDS CORPORATION                           580135101      143     4725 SH       SHARED                 4725
D MCDONALDS CORPORATION                           580135101    32938  1091092 SH       OTHER                544912            546180
D MCGRAW HILL COMPANIES INC.                      580645109     3769    59293 SH       OTHER                 28843             30450
D MCGUIRE ROAD INVESTMENTS                        580990109       18    18454 SH       OTHER                 18454
D MCKESSON HBOC INCORPORATED                      58155Q103      582    19038 SH       OTHER                 10678              8360
D MCLEOD INCORPORATED                             582266102     3096   216300 SH       OTHER                 53080            163220
D MEAD CORPORATION                                582834107       61     2604 SH       SOLE                   2604
D MEAD CORPORATION                                582834107      506    21635 SH       OTHER                  5423             16212
D MEADOW VY CORP                                  583185103       96    31900 SH       OTHER                                   31900
D MEADOWBROOK INS GROUP INC                       58319P108      415   103800 SH       OTHER                103800
D MEDAREX INCORPORATED                            583916101      989     8430 SH       OTHER                                    8430
D MEDIA GENERAL INCORPORATED                      584404107      692    16100 SH       OTHER                                   16100
D MEDIACOM COMMUNICATIONS CORP                    58446K105      310    19200 SH       OTHER                                   19200
D MEDICIS PHARMACEUTICAL CORP                     584690309      998    16235 SH       OTHER                   885             15350
D MEDIMMUNE INCORPORATED                          584699102     2095    27125 SH       SOLE                  21385              5740
D MEDIMMUNE INCORPORATED                          584699102    16118   208650 SH       OTHER                 28780            179870
D MEDQUIST INC                                    584949101      754    37340 SH       OTHER                 33595              3745
D MEDIA COMMUNICATIONS PARTNERS                   584990105     1237   528743 SH       OTHER                528743
D MEDITRUST CORPORATION                           58501T306        3     1081 SH       SOLE                   1081
D MEDITRUST CORPORATION                           58501T306      167    56926 SH       OTHER                 47379              9547
D MEDTRONIC INCORPORATED                          585055106      319     6165 SH       SOLE                   2965     2100     1100
D MEDTRONIC INCORPORATED                          585055106      141     2725 SH       SHARED                 2725
D MEDTRONIC INCORPORATED                          585055106   132395  2555255 SH       OTHER               1856244            699011
D MELLON EB                                       585509A10    30069    19838 SH       OTHER                                   19838
D MELLON FINANCIAL CORPORATION                    58551A108       33      720 SH       SOLE                    720
D MELLON FINANCIAL CORPORATION                    58551A108      140     3025 SH       SHARED                 3025
D MELLON FINANCIAL CORPORATION                    58551A108    69122  1490495 SH       OTHER               1318020            172475
D MEN'S WEARHOUSE INCORPORATED                    587118100      637    22488 SH       OTHER                                   22488
D MENTOR CORPORATION MINNESOTA                    587188103      310    19700 SH       OTHER                 19700
D MENTOR GRAPHICS CORPORATION                     587200106     1317    55900 SH       OTHER                                   55900
D MERCANTILE BANKSHARES CORPORATI                 587405101      492    13550 SH       OTHER                  9150              4400
D MERCK AND COMPANY INCORPORATED                  589331107    18589   249718 SH       SOLE                 246428     1950     1340
D MERCK AND COMPANY INCORPORATED                  589331107      388     5218 SH       SHARED                 4168      450      600
D MERCK AND COMPANY INCORPORATED                  589331107   140404  1886184 SH       OTHER               1261166            625018
D MERCURY GENERAL CORPORATION NEW                 589400100      266     9400 SH       OTHER                  6000              3400
D MERCURY INTERACTIVE CORPORATION                 589405109     8577    54720 SH       SOLE                  50320              4400
D MERCURY INTERACTIVE CORPORATION                 589405109     3649    23282 SH       OTHER                  4202             19080
D MEREDITH CORPORATION                            589433101      590    20000 SH       OTHER                  7800             12200
D MERIDIAN RESOURCE CORP                          58977Q109       76    11000 SH       OTHER                                   11000
D MERISTAR HOSPITALITY CORPORATIO                 58984Y103      213    10517 SH       OTHER                  9017              1500
D MERIX CORPORATION                               590049102      773    11934 SH       OTHER                  1284             10650
D MERRILL LYNCH & COMPANY INCORPO                 590188108       21      320 SH       SOLE                                      320
D MERRILL LYNCH & COMPANY INCORPO                 590188108     7045   106736 SH       OTHER                 32294             74442
D MESSAGEMEDIA INC                                590787107       25    10000 SH       OTHER                 10000
D MESIROW CAPITAL PARTNERS VI                     590999108     1485  1397557 SH       OTHER               1397557
D MESIROW CAPITAL PARTNERS VII                    590999132      216   212302 SH       SOLE                 212302
D MESIROW CAPITAL PARTNERS VII                    590999132     1946  1910713 SH       OTHER               1910713
D METAL MANAGEMENT INCORPORATED                   591097100              1000 SH       SOLE                   1000
D METAL MANAGEMENT INCORPORATED                   591097100        5    19400 SH       OTHER                  6400             13000
D METHANEX CORP                                   59151K108      135    26621 SH       OTHER                 26621
D METHODE ELECTRS INC                             591520200      306     6900 SH       OTHER                  1300              5600
D METLIFE INCORPORATED                            59156R108     5730   218800 SH       OTHER                 82000            136800
D METRICOM INCORPORATED                           591596101      884    34325 SH       OTHER                 33275              1050
D METRIS COMPANIES INCORPORATED                   591598107     2421    61300 SH       OTHER                 17525             43775
D METRO-GOLDWYN-MAYER INC NEW                     591610100     1044    43504 SH       OTHER                 42176              1328
D METROMEDIA FIBER NETWORK-A                      591689104     1590    65390 SH       OTHER                 10950             54440
D METROMEDIA INTL GROUP INC                       591695101       86    23000 SH       OTHER                 20000              3000
D METROPOLITAN FINL CORP OHIO                     59189N108      231    59540 SH       OTHER                                   59540
D METTLER-TOLEDO INTERNATIONAL                    592688105      906    20600 SH       OTHER                                   20600
D MEXICO FUND INCORPORATED                        592835102      334    21200 SH       OTHER                  5000             16200
D METROPOLITAN WEST FUNDS                         592905509     7549   746724 SH       OTHER                746724
D METROPOLITAN WEST FUNDS                         592905608     4313   433905 SH       OTHER                433905
D MICHAELS STORES INCORPORATED                    594087108      392     9800 SH       OTHER                                    9800
D MICREL INCORPORATED                             594793101      645     9625 SH       OTHER                                    9625
D MICROSOFT CORPORATION                           594918104    17803   295183 SH       SOLE                 288888     1440     4855
D MICROSOFT CORPORATION                           594918104     1806    29944 SH       SHARED                28444      700      800
D MICROSOFT CORPORATION                           594918104   168808  2798865 SH       OTHER               2063512            735353
D MICROCELL TELECOMMUNICATIONS                    59501T304      410    14100 SH       OTHER                 14025                75
D MICROCHIP TECHNOLOGY INCORPORAT                 595017104     1818    54995 SH       OTHER                  8695             46300
D MICROMUSE INCORPORATED                          595094103     1965     9780 SH       OTHER                                    9780
D MICRON TECHNOLOGY INCORPORATED                  595112103     9910   215434 SH       OTHER                  8793            206641
D MID ATLANTIC MEDICAL SERVICES I                 59523C107      342    22625 SH       OTHER                  1525             21100
D MIDAS INCORPORATED                              595626102      855    61081 SH       OTHER                 42581             18500
D MIDCITY FINL CORP                               59563R105      231       42 SH       OTHER                    26                16
D MIDCOAST ENERGY RES INC                         59563W104      283    13775 SH       OTHER                  1000             12775
D S & P 400 MID-CAP                               595635103    20468   208321 SH       SOLE                 206771              1550
D S & P 400 MID-CAP                               595635103      297     3025 SH       SHARED                 3025
D S & P 400 MID-CAP                               595635103     2501    25460 SH       OTHER                 21460              4000
D MIDLAND FUNDING CORP                            597520AB1      140   120000 SH       OTHER
D MIDWAY AIRLINES INCORPORATED                    598130AA0       22  3460000 SH       OTHER
D MIDWEST BANC HOLDINGS INCORPORA                 598251106      130     9312 SH       SOLE                   9312
D MIDWEST BANC HOLDINGS INCORPORA                 598251106     1796   128278 SH       OTHER                 48536             79742
D MILLENNIUM PHARMACEUTICALS                      599902103     2803    19190 SH       OTHER                   300             18890
D MILLENNIUM CHEMICALS INCORPORAT                 599903101     1070    72220 SH       OTHER                 23020             49200
D MILLER HERMAN INCORPORATED                      600544100     3407   106250 SH       OTHER                  9425             96825
D MILLIPORE CORPORATION                           601073109      574    11845 SH       OTHER                  7470              4375
D MINERALS TECHNOLOGIES INC                       603158106      943    20500 SH       OTHER                  2500             18000
D MINIMED INCORPORATED                            60365K108     2334    26120 SH       SOLE                  20285              5835
D MINIMED INCORPORATED                            60365K108     1011    11310 SH       OTHER                  2360              8950
D MINNESOTA MUTUAL LIFE                           603990128     2529  1350176 SH       OTHER               1350176
D MINNESOTA MINING &                              604059105      433     4750 SH       SOLE                   4750
D MINNESOTA MINING &                              604059105      106     1160 SH       SHARED                 1160
D MINNESOTA MINING &                              604059105    32271   354144 SH       OTHER                180389            173755
D MODIS PROFESSIONAL SERVICES INC                 607830106     1565   301700 SH       OTHER                                  301700
D MOWHAWK INDUSTRIES INCORPORATED                 608190104      810    37150 SH       OTHER                   750             36400
D MOLECULAR DEVICES CORP                          60851C107      305     3100 SH       OTHER                                    3100
D MOLEX INCORPORATED                              608554101       80     1472 SH       SOLE                   1472
D MOLEX INCORPORATED                              608554101     3986    73220 SH       OTHER                 70563              2657
D MOLEX INCORPORATED                              608554200      424    10237 SH       SOLE                  10237
D MOLEX INCORPORATED                              608554200    21723   524222 SH       OTHER                374688            149534
D MONMOUTH REAL ESTATE INVT TR                    609720107       50    10000 SH       OTHER                 10000
D MONSANTO COMPANY                                611662305      718    13700 SH       OTHER                 13100               600
D MONTANA POWER COMPANY                           612085100       43     1300 SH       SOLE                   1300
D MONTANA POWER COMPANY                           612085100      701    20990 SH       OTHER                 13300              7690
D MONY GROUP INCORPORATED                         615337102        3       67 SH       SOLE                                       67
D MONY GROUP INCORPORATED                         615337102     3578    89727 SH       OTHER                 52427             37300
D MOORE CORP LIMITED                              615785102       72    25000 SH       OTHER                                   25000
D MORGAN JP & COMPANY INCORPORATE                 616880100      629     3850 SH       SOLE                   3850
D MORGAN JP & COMPANY INCORPORATE                 616880100      136      830 SH       SHARED                  830
D MORGAN JP & COMPANY INCORPORATE                 616880100    14650    89668 SH       OTHER                 55888             33780
D MORGAN STANLEY FIN PLC                          616906608      555    22200 SH       OTHER                  1000             21200
D MORGAN STANLEY DEAN WITTER                      616983102      105   104794 SH       OTHER                104794
D MORGAN STANLEY DEAN WITTER                      616989208      842    19816 SH       OTHER                 19816
D MORGAN GRENFELL                                 61735K836     2804   274059 SH       SOLE                                   274059
D MSDW INSTITUTIONAL                              61744J382      366     8284 SH       OTHER                                    8284
D MORGAN STANLEY DEAN WITTER                      61744J499      518    26035 SH       OTHER                 26035
D MORGAN STANLEY, DEAN WITTER,                    617446448    16427   179655 SH       SOLE                 176680     1025     1950
D MORGAN STANLEY, DEAN WITTER,                    617446448      698     7634 SH       SHARED                 7334      300
D MORGAN STANLEY, DEAN WITTER,                    617446448    32373   354038 SH       OTHER                223485            130553
D MORGAN STANLEY DEAN WITTER                      61745P205       40    11500 SH       OTHER                 11500
D MORGAN STANLEY POOLED                           617990106    64663   675069 SH       OTHER                                  675069
D MORRISON MGMT SPECIALISTS IN                    618459101      930    31480 SH       OTHER                  3850             27630
D MOTOROLA INCORPORATED                           620076109     1534    54298 SH       SOLE                  54298
D MOTOROLA INCORPORATED                           620076109      856    30300 SH       SHARED                28500              1800
D MOTOROLA INCORPORATED                           620076109    67981  2406393 SH       OTHER               1452039            954354
D MULTI-EMPLOYER PROPERTY TRUST                   625990130    23665     6535 SH       OTHER                  2566              3969
D FRAMLINGTON INTERNATIONAL                       626120844      340    25428 SH       OTHER                 25428
D MUNDER FUNDS INCORPORATED                       626124846      171     8803 SH       SOLE                   8803
D MUNDER FUNDS INCORPORATED                       626124846      132     6805 SH       OTHER                  6805
D MUNDER FDS TR                                   626129381      258    26016 SH       SOLE                  26016
D MUNDER FUNDS TRUST                              626129522      129    13052 SH       SOLE                  13052
D MUNDER FUNDS TRUST                              626129563      312    33899 SH       SOLE                  33899
D MUNDER FUNDS TRUST                              626129563       45     4914 SH       OTHER                  4914
D MUNDER FUNDS TRUST                              626129837      310    15486 SH       OTHER                 15486
D MUNICIPAL INSURANCE COMPANY                     626218101      174    13767 SH       OTHER                 13767
D MUNICIPAL INVESTMENT TRUST FUND                 62623C472       13   218731 SH       OTHER                218731
D MUNICIPAL MTG & EQUITY L L C                    62624B101      638    30000 SH       OTHER                 30000
D MUNIVEST FUND INCORPORATED                      626295109      405    49500 SH       SOLE                  49500
D MUNIVEST FUND INCORPORATED                      626295109      143    17507 SH       OTHER                 17507
D MURPHY OIL CORPORATION                          626717102      412     6363 SH       OTHER                  3663              2700
D FRAMLINGTON INTERNATIONAL GROWT                 626990113      231    15102 SH       OTHER                                   15102
D MUNDER MICRO-CAP EQUITY FUND                    626990139      259     8469 SH       OTHER                                    8469
D MUNDER FUNDS TRUST                              626990196      232    13083 SH       OTHER                                   13083
D MUTUAL SERIES FUND, INC.                        628380206      272    15602 SH       OTHER                 15602
D MUTUAL SERIES FUND, INC.                        628380404      434    19939 SH       OTHER                  5017             14922
D MUTUAL SERIES FUND INCORPORATED                 628380503      884    50320 SH       OTHER                                   50320
D MUTUAL SERIES FUND INCORPORATED                 628380834      563    32418 SH       OTHER                 32418
D MYLAN LABORATORIES INCORPORATED                 628530107       16      600 SH       SOLE                    600
D MYLAN LABORATORIES INCORPORATED                 628530107     9116   338412 SH       OTHER                315612             22800
D MYRIAD GENETICS INC                             62855J104     1114    12900 SH       OTHER                                   12900
D NABI INCORPORATED                               628716102       70    10005 SH       OTHER                     5             10000
D NCR CORPORATION                                 62886E108       12      327 SH       SOLE                    283                44
D NCR CORPORATION                                 62886E108        3       78 SH       SHARED                   78
D NCR CORPORATION                                 62886E108     3866   102252 SH       OTHER                 55070             47182
D NCS HEALTHCARE INCORPORATED                     628874AC3        3    30000 SH       OTHER
D NEC CORPORATION                                 629050204      321     2879 SH       OTHER                  2668               211
D NRG ENERGY INCORPORATED                         629377102      325     8900 SH       OTHER                                    8900
D NTL INC                                         629407107      352     7598 SH       OTHER                   868              6730
D NZ CORP                                         629497108      257    56250 SH       OTHER                  5250             51000
D NABISCO GROUP HLDG CORP                         62952P102     1599    56096 SH       OTHER                 46659              9437
D NABISCO HLDGS CORP                              629526104      333     6200 SH       OTHER                  2500              3700
D NABORS INDUSTRIES INCORPORATED                  629568106     6911   131891 SH       OTHER                 86087             45804
D NACCO INDUSTRIES INCORPORATED                   629579103      315     7500 SH       OTHER                   100              7400
D NAPRO BIOTHERAPEUTICS INC                       630795102      319    35000 SH       OTHER                                   35000
D NASDAQ 100 SHARES                               631100104     9665   108977 SH       SOLE                 107337      775      865
D NASDAQ 100 SHARES                               631100104      317     3575 SH       SHARED                 3575
D NASDAQ 100 SHARES                               631100104     1839    20740 SH       OTHER                 13540              7200
D NATIONAL AUSTRALIA BANK                         632525309      620    24500 SH       OTHER                 21000              3500
D NATIONAL AUSTRALIA BANK LIMITED                 632525408      851    12269 SH       OTHER                  5769              6500
D NATIONAL CITY BANCORPORATION                    635312101     1328    71083 SH       OTHER                                   71083
D NATIONAL CITY CORPORATION                       635405103       27     1224 SH       SOLE                   1224
D NATIONAL CITY CORPORATION                       635405103     2712   122585 SH       OTHER                 34205             88380
D NATIONAL COMMERCE BANCORP                       635449101      346    17350 SH       OTHER                  9000              8350
D NATIONAL DATA CORPORATION                       635621105        7      224 SH       SOLE                    224
D NATIONAL DATA CORPORATION                       635621105      295     9000 SH       OTHER                                    9000
D NATIONAL DENTEX CORPORATION                     63563H109      271    15700 SH       OTHER                                   15700
D NATIONAL INSTRUMENTS CORPORATIO                 636518102     1560    35344 SH       OTHER                 16950             18394
D NATIONAL-OILWELL INC                            637071101     2732    87425 SH       OTHER                 38950             48475
D NATIONAL PWR PLC                                637194705      310     4489 SH       OTHER                  1813              2676
D NATIONAL R.V. HOLDINGS INCORPOR                 637277104      104    10300 SH       OTHER                 10300
D NATIONAL SEMICONDUCTOR CORPORAT                 637640103     2759    68537 SH       OTHER                   700             67837
D NATIONWIDE FINANCIAL SERVICES I                 638612101     1347    36050 SH       OTHER                 10000             26050
D NATIONWIDE HEALTH                               638620104        6      400 SH       SOLE                    400
D NATIONWIDE HEALTH                               638620104      985    61800 SH       OTHER                 48800             13000
D NATURAL MICROSYSTEMS CORP                       638882100     1521    28277 SH       OTHER                 21577              6700
D NAUTICA ENTERPRISES INCORPORATE                 639089101       12      914 SH       SOLE                    914
D NAUTICA ENTERPRISES INCORPORATE                 639089101      281    21750 SH       OTHER                 21750
D NAVISTAR INTERNATIONAL CORPORAT                 63934E108      434    14493 SH       OTHER                  1378             13115
D NAVIGANT CONSULTING INC                         63935N107      283    82200 SH       OTHER                 31600             50600
D NAVIGATION TECHNOLOGIES CORPORA                 639990134      482   567295 SH       OTHER                567295
D COPY OF STATEMENT INDICATING                    639991132     3859  2084035 SH       OTHER                532615           1551420
D COPY OF STATEMENT INDICATING                    639991140       65    60143 SH       OTHER                 17228             42915
D COPY OF STATEMENT INDICATING                    639991157      169   133520 SH       OTHER                 40449             93071
D COPY OF STATEMENT INDICATING                    639991165      243   182220 SH       OTHER                 40352            141867
D COPY OF STATEMENT INDICATING                    639991173      628   443326 SH       OTHER                114988            328338
D COPY OF STATEMENT INDICATING                    639991181       70    59413 SH       OTHER                 21698             37716
D COPY OF STATEMENT INDICATING                    639992130     8227  7097932 SH       OTHER               3479988           3617943
D NEOZYME CORP                                    64066D108        2   152600 SH       OTHER                  3500            149100
D NEUBERGER & BERMAN INCOME FUND                  640915203      171    18221 SH       OTHER                 18221
D NEUBERGER & BERMAN EQUITY TRUST                 640917209      217    14870 SH       OTHER                                   14870
D NETWORKS ASSOCIATES INCORPORATE                 640938AB2       23    60000 SH       OTHER
D NETWORKS ASSOCS INC                             640938106       10      450 SH       SOLE                    450
D NETWORKS ASSOCS INC                             640938106     1868    82551 SH       OTHER                 74651              7900
D NESTLE S A                                      641069406      735     7060 SH       SOLE                   7060
D NESTLE S A                                      641069406     7125    68418 SH       OTHER                 49255             19163
D NETRO CORPORATION                               64114R109      498     8400 SH       OTHER                                    8400
D NETWORK APPLIANCE INCORPORATED                  64120L104    16603   130345 SH       OTHER                 70310             60035
D NETWORK EQUIPMENT TECHNOLOGIES                  641208103      497    46500 SH       OTHER                 46500
D NETWORK ENGINES INCORPORATED                    64121A107      307     7500 SH       OTHER                                    7500
D NEUBERGER & BERMAN EQUITY FUND                  641224100     2261   125893 SH       OTHER                                  125893
D NEUBERGER & BERMAN EQUITY FUND                  641224209       69     3612 SH       SOLE                   3612
D NEUBERGER & BERMAN EQUITY FUND                  641224209     9982   522872 SH       OTHER                                  522872
D NEW AMERICAN HIGH                               641876107      493   140900 SH       OTHER                 25900            115000
D COPY OF STATEMENT INDICATING                    641990130     1149   760150 SH       OTHER                417682            342468
D NEW ENGLAND BUSINESS SERVICE                    643872104      341    18800 SH       OTHER                                   18800
D NEW ERA OF NETWORKS INC                         644312100      432    17770 SH       OTHER                   400             17370
D NEW GERMANY FUND INCORPORATED                   644465106      152    12394 SH       OTHER                  4131              8263
D NEW PERSPECTIVE FUND INCORPORAT                 648018109     1099    38349 SH       OTHER                 38349
D NEW WORLD DEV LTD                               649274305       81    28600 SH       OTHER                 23459              5141
D NEW YORK TIMES COMPANY                          650111107     3322    84508 SH       OTHER                 53698             30810
D NEWELL RUBBERMAID INCORPORATED                  651229106     6823   299073 SH       OTHER                101913            197160
D NEWFIELD EXPLORATION CO                         651290108      509    10900 SH       OTHER                                   10900
D NEWHALL LAND & FARMING                          651426108      499    21234 SH       OTHER                 19212              2022
D NEWMONT MINING CORPORATION (NEW                 651639106        2       93 SH       SOLE                     93
D NEWMONT MINING CORPORATION (NEW                 651639106        2      119 SH       SHARED                  119
D NEWMONT MINING CORPORATION (NEW                 651639106      215    12647 SH       OTHER                   158             12489
D NEWPARK RES INC                                 651718504      146    15800 SH       OTHER                                   15800
D NEWPORT CORPORATION                             651824104     4397    27610 SH       OTHER                  5310             22300
D NEWPORT NEWS SHIPBUILDING                       652228107      342     7888 SH       OTHER                    60              7828
D NEWS CORPORATION LIMITED                        652487703     2600    46385 SH       OTHER                 27325             19060
D NEWSCORP LTD                                    652487802     5125   109336 SH       OTHER                 51748             57588
D NEXTEL COMMUNICATIONS INCORPORA                 65332V103      218     4666 SH       SOLE                   2650              2016
D NEXTEL COMMUNICATIONS INCORPORA                 65332V103     5223   111718 SH       OTHER                 43080             68638
D NEXTEL PARTNERS INCORPORATED                    65333F107     1120    38450 SH       OTHER                 38450
D NEXTLINK COMMUNICATIONS                         65333H707     5447   154800 SH       OTHER                 50020            104780
D NIAGARA MOHAWK HOLDINGS INC                     653520106      322    20454 SH       OTHER                  1754             18700
D NICHOLAS APPLG GLB HEALTH CA                    65369S106      295     6919 SH       OTHER                                    6919
D NICHOLAS-APPLEGATE MUTUAL FUNDS                 653699306    10126   248621 SH       OTHER                                  248621
D NICHOLAS-APPLEGATE                              653699678      651    36619 SH       OTHER                 36619
D NICHOLAS-APPLEGATE MUTUAL FUNDS                 653699769     2844   119850 SH       OTHER                                  119850
D NICHOLAS-APPLEGATE MUTUAL FUNDS                 653700880      568     4507 SH       OTHER                                    4507
D NICOR INC                                       654086107      143     3951 SH       SOLE                   3951
D NICOR INC                                       654086107      770    21270 SH       OTHER                 14958              6312
D NIKE INCORPORATED                               654106103        4      100 SH       SOLE                    100
D NIKE INCORPORATED                               654106103      796    19881 SH       OTHER                  3581             16300
D NINTENDO COMPANY LIMITED                        654445303      482    21100 SH       OTHER                  3400             17700
D NIPPON TELEG & TEL CORP                         654624105      889    18150 SH       SOLE                  18150
D NIPPON TELEG & TEL CORP                         654624105     1244    25395 SH       OTHER                  3145             22250
D NISOURCE INC                                    65473P105        5      200 SH       SOLE                    200
D NISOURCE INC                                    65473P105      956    39210 SH       OTHER                  5310             33900
D NOBEL INSURANCE LIMITED                         654885102       19    35020 SH       OTHER                 19000             16020
D NOBLE AFFILIATES INCORPORATED                   654894104     1758    47350 SH       OTHER                  7000             40350
D NOKIA CORP                                      654902204     8599   215993 SH       SOLE                 210617     1304     4072
D NOKIA CORP                                      654902204       69     1725 SH       SHARED                 1725
D NOKIA CORP                                      654902204    10747   269949 SH       OTHER                150190            119759
D NOBLE DRILLING CORPORATION                      655042109     1224    24350 SH       OTHER                  4900             19450
D NORAM ENERGY                                    655419AC3       44    50000 SH       OTHER
D NORDSTROM INCORPORATED                          655664100     1201    77200 SH       OTHER                 69200              8000
D NORFOLK SOUTHERN CORPORATION                    655844108       52     3560 SH       SOLE                   3560
D NORFOLK SOUTHERN CORPORATION                    655844108     1718   117475 SH       OTHER                 63050             54425
D NORSK HYDRO A S                                 656531605      409     9660 SH       OTHER                  9660
D NORTEL NETWORKS CORPORATION                     656568102    10255   172179 SH       SOLE                 169104      850     2225
D NORTEL NETWORKS CORPORATION                     656568102       69     1155 SH       SHARED                  955      200
D NORTEL NETWORKS CORPORATION                     656568102    56670   951436 SH       OTHER                608256            343180
D NORTH FORK BANCORPORATION                       659424105     4762   220200 SH       OTHER                 94500            125700
D NORTHEAST INVESTORS TRUST                       664210101      152    16748 SH       OTHER                                   16748
D NORTHEAST UTILITIES                             664397106       14      667 SH       SOLE                    667
D NORTHEAST UTILITIES                             664397106      214     9874 SH       OTHER                   574              9300
D NORTHERN BORDER PARTNERS,                       664785102     1782    56350 SH       OTHER                 51350              5000
D NORTHERN TRUST CORPORATION                      665859104       18      200 SH       SOLE                    200
D NORTHERN TRUST CORPORATION                      665859104    55178   620849 SH       OTHER                393009            227840
D NORTHFIELD LABORATORIES INC                     666135108      434    34350 SH       OTHER                 34350
D NORTHFIELD PRECISION INSTR                      666280102      133    12951 SH       OTHER                 12951
D NORTHGATE COMPUTER CORP                         666408109        1    12000 SH       OTHER                 12000
D NORTHROP GRUMMAN CORP                           666807102      509     5596 SH       OTHER                  4096              1500
D NORTHWEST NATURAL GAS COMPANY                   667655104        3      112 SH       SOLE                    112
D NORTHWEST NATURAL GAS COMPANY                   667655104      456    20050 SH       OTHER                   150             19900
D NORTHWESTERN CORP                               668074107        7      348 SH       SOLE                    348
D NORTHWESTERN CORP                               668074107      420    21550 SH       OTHER                 10900             10650
D NORTRAN PHARMACEUTICALS INCORPO                 66877L104      439   400000 SH       SOLE                 400000
D NOVA CORP/GEORGIA                               669784100      217    12700 SH       SOLE                    500             12200
D NOVA CORP/GEORGIA                               669784100     7095   414325 SH       OTHER                  4000            410325
D NOVARTIS AG                                     66987V109      691    17860 SH       SOLE                  17860
D NOVARTIS AG                                     66987V109     2118    54745 SH       OTHER                 18825             35920
D NU HORIZONS ELECTRS CORP                        669908105      213     7675 SH       OTHER                  4775              2900
D NOVELL INCORPORATED                             670006105     3108   312725 SH       OTHER                247225             65500
D NOVELLUS SYSTEMS INCORPORATED                   670008101     1573    33775 SH       OTHER                  7725             26050
D NOVEN PHARMACEUTICALS INCORPORA                 670009109      558    13058 SH       OTHER                  6058              7000
D NOVO-NORDISK A/S                                670100205      289     2606 SH       OTHER                   706              1900
D NUCOR CORPORATION                               670346105     1221    40545 SH       OTHER                  8213             32332
D NUMAC ENERGY INC                                67052A103       59    15000 SH       OTHER                 15000
D NUVEEN INSURED PREMIUM                          6706D8104       74     6503 SH       SHARED                 6503
D NUVEEN INSURED PREMIUM                          6706D8104       53     4650 SH       OTHER                  4650
D NUVEEN INSD CA PREM INCM MUN                    67061U108      206    15000 SH       OTHER                                   15000
D NUVEEN INSURED QUALITY MUNI FUN                 67062N103        5      334 SH       SOLE                    334
D NUVEEN INSURED QUALITY MUNI FUN                 67062N103      146    10732 SH       OTHER                  7732              3000
D NUVEEN PERFORMANCE PLUS                         67062P108      298    24300 SH       OTHER                 24300
D NUVEEN                                          67062P504      200        8 SH       OTHER                     8
D NUVEEN PREMIUM INCOME                           67063W102      300    22000 SH       SOLE                  22000
D NUVEEN PREMIUM INCOME                           67063W102       69     5030 SH       OTHER                  5030
D NUVEEN FLAGSHIP MUN TR                          67065Q400      133    14624 SH       SOLE                  14624
D NUVEEN FLAGSHIP MUN TR                          67065Q400       46     5101 SH       OTHER                  5101
D NVIDIA CORPORATION                              67066G104      732     8935 SH       OTHER                  6835              2100
D OGE ENERGY CORPORATION                          670837103       13      600 SH       SOLE                    600
D OGE ENERGY CORPORATION                          670837103      203     9542 SH       OTHER                  7270              2272
D OM GROUP INCORPORATED                           670872100      617    14140 SH       OTHER                   140             14000
D NUVEEN MUNICIPAL VALUE                          670928100        9     1000 SH       SOLE                   1000
D NUVEEN MUNICIPAL VALUE                          670928100      279    32136 SH       OTHER                 12636             19500
D NUVEEN CALIFORNIA SELECT QUALIT                 670975101      189    12000 SH       OTHER                                   12000
D NUVEEN                                          670977305      250       10 SH       SOLE                                       10
D NUVEEN TAX EXEMPT UNIT TRUSTS                   67101A609      243     2411 SH       OTHER                  2411
D OAK ASSOCS FDS                                  671081206      283     3585 SH       OTHER                  3585
D RED OAK                                         671081305      793    20164 SH       OTHER                 20164
D OAK TECHNOLOGY INCORPORATED                     671802106     1248    45594 SH       OTHER                 19844             25750
D OAKLEY INCORPORATED                             673662102      302    17178 SH       OTHER                 17178
D OCCIDENTAL PETROLEUM CORPORATIO                 674599105       29     1321 SH       SOLE                   1321
D OCCIDENTAL PETROLEUM CORPORATIO                 674599105       53     2426 SH       SHARED                 2426
D OCCIDENTAL PETROLEUM CORPORATIO                 674599105     2967   135997 SH       OTHER                 51977             84020
D OCEAN ENERGY INCORPORATED                       67481E106     1854   120100 SH       OTHER                 12750            107350
D OCEANFIRST FINANCIAL CORPORATIO                 675234108      206     9950 SH       OTHER                  9950
D OCWEN FINANCIAL CORPORATION                     675746101      282    48050 SH       OTHER                 48050
D ODETICS INCORPORATED                            676065204      347    20185 SH       OTHER                                   20185
D OFFICEMAX INCORPORATED                          67622M108      143    40000 SH       OTHER                 10000             30000
D OFFICE DEPOT INCORPORATED                       676220106      170    21800 SH       SOLE                                    21800
D OFFICE DEPOT INCORPORATED                       676220106    14873  1903625 SH       OTHER                117725           1785900
D OFFSHORE LOGISTICS INC                          676255102     3371   188600 SH       OTHER                 12600            176000
D OGDEN CORPORATION                               676346109      314    23168 SH       OTHER                   168             23000
D OIL DRI CORPORATION AMERICA                     677864100      220    25180 SH       OTHER                  5700             19480
D OLD KENT FINANCIAL CORPORATION                  679833103     4842   167330 SH       SOLE                 167330
D OLD KENT FINANCIAL CORPORATION                  679833103     2237    77311 SH       OTHER                 67380              9931
D OLD REPUBLIC INTERNATIONAL                      680223104     8077   335655 SH       OTHER                 85144            250511
D OLIN CORPORATION                                680665205      346    21400 SH       OTHER                   350             21050
D OMNICARE INCORPORATED                           681904AD0       74   100000 SH       OTHER
D OMNICARE INC                                    681904108                 1 SH       SOLE                      1
D OMNICARE INC                                    681904108     3770   233800 SH       OTHER                  3000            230800
D OMNICOM GROUP                                   681919106     1378    18886 SH       SOLE                  14731              4155
D OMNICOM GROUP                                   681919106    17677   242363 SH       OTHER                179048             63315
D ONE GROUP                                       681937249      800    31891 SH       SOLE                  31891
D 1-800 CONTACTS INCORPORATED                     681977104      365     7600 SH       OTHER                  4300              3300
D ON ASSIGNMENT INC                               682159108      488    15550 SH       OTHER                   800             14750
D ONE GROUP                                       68231N305      156    10655 SH       SOLE                  10655
D ONE GROUP                                       68231N834      580    36345 SH       SOLE                  36345
D OPPENHEIMER                                     68379A107      263     4519 SH       OTHER                  4519
D OPPENHEIMER QUEST VALUE FUND IN                 68380H109      514    27437 SH       OTHER                 27437
D OPPENHEIMER                                     68380M207      136    16913 SH       OTHER                 16913
D OPTIMAL ROBOTICS CORP                           68388R208        4      100 SH       SOLE                    100
D OPTIMAL ROBOTICS CORP                           68388R208      211     5238 SH       OTHER                                    5238
D ORACLE CORPORATION                              68389X105    16324   207288 SH       SOLE                 202293      900     4095
D ORACLE CORPORATION                              68389X105      473     6005 SH       SHARED                 5755      250
D ORACLE CORPORATION                              68389X105    77854   988616 SH       OTHER                377329            611287
D OPPENHEIMER GLOBAL FUND                         683924104      310     4597 SH       OTHER                  4597
D OPTI INCORPORATED                               683960108       32     5900 SH       SOLE                   5900
D OPTI INCORPORATED                               683960108       55    10000 SH       OTHER                 10000
D O REILLY AUTOMOTIVE INC                         686091109     1279    87450 SH       OTHER                 58800             28650
D ORIX CORPORATION                                686330101      419     7199 SH       OTHER                  6925               274
D ORTHOLOGIC CORP                                 68750J107      222    74000 SH       OTHER                 20000             54000
D ORTHODONTIC CTRS AMER INC                       68750P103      731    21930 SH       OTHER                  8955             12975
D OSCA INC                                        687836106      203    12200 SH       OTHER                                   12200
D OSMONICS INC                                    688350107      124    15500 SH       OTHER                  4500             11000
D OSTEOTECH INC                                   688582105      184    19200 SH       OTHER                  7200             12000
D OUTBACK STEAKHOUSE, INC.                        689899102      399    14700 SH       OTHER                   900             13800
D OWENS & MINOR INC HOLDING COMPA                 690732102      450    28575 SH       OTHER                 28175               400
D OWENS ILLINOIS INCORPORATED                     690768403      135    14600 SH       OTHER                 11300              3300
D OXFORD HEALTH PLANS INC.                        691471106     4128   134300 SH       OTHER                  7200            127100
D OXFORD INDUSTRIES INCORPORATED                  691497309      499    27900 SH       OTHER                                   27900
D PBOC HOLDINGS INCORPORATED                      69316G108      604    71000 SH       OTHER                 30800             40200
D PC CONNECTION INCORPORATED                      69318J100      433     7600 SH       OTHER                                    7600
D PCD INCORPORATED                                69318P106      130    11450 SH       OTHER                                   11450
D P C B BANCORP, INC.                             693181109      413    11000 SH       OTHER                 11000
D P-COM INC                                       693262107       66    10000 SH       OTHER                 10000
D PECO ENERGY COMPANY                             693304107      351     5795 SH       SOLE                   5595      200
D PECO ENERGY COMPANY                             693304107       75     1240 SH       SHARED                  940      300
D PECO ENERGY COMPANY                             693304107     6809   112429 SH       OTHER                  8105            104324
D PG & E CORPORATION                              69331C108        5      200 SH       SOLE                    200
D PG & E CORPORATION                              69331C108     2136    88305 SH       OTHER                 26165             62140
D PE CORP-PE BIOSYSTEMS GROUP                     69332S102    32597   279800 SH       OTHER                205280             74520
D PE CORP-CELERA GENOMICS GROUP                   69332S201     6287    63107 SH       OTHER                 44526             18581
D P I C INVT TR                                   693365405     7238   168297 SH       OTHER                168297
D PICO HLDGS INC                                  693366205      700    53579 SH       OTHER                 40079             13500
D PIMCO FUNDS                                     693390304    16198  1642829 SH       OTHER               1642829
D PIMCO FUNDS                                     693390700    35669  3535083 SH       OTHER               2987816            547267
D PIMCO                                           693390726      111    11010 SH       OTHER                 11010
D PIMCO FDS                                       693390841    19837  1960186 SH       OTHER               1960186
D PIMCO FUNDS PACIFIC INVESTMENT                  693390858    10909  1117719 SH       OTHER                                 1117719
D PMC-SIERRA INCORPORATED                         69344F106    10113    46983 SH       SOLE                  44023              2960
D PMC-SIERRA INCORPORATED                         69344F106       22      100 SH       SHARED                  100
D PMC-SIERRA INCORPORATED                         69344F106    14283    66354 SH       OTHER                 11644             54710
D PMI GROUP INC.                                  69344M101      169     2500 SH       SOLE                                     2500
D PMI GROUP INC.                                  69344M101     2818    41600 SH       OTHER                                   41600
D PNC FINANCIAL SERVICES GROUP IN                 693475105       13      200 SH       SHARED                                    200
D PNC FINANCIAL SERVICES GROUP IN                 693475105    12937   199029 SH       OTHER                 63499            135530
D PPG INDUSTRIES INCORPORATED                     693506107      285     7171 SH       SOLE                   7171
D PPG INDUSTRIES INCORPORATED                     693506107      789    19881 SH       OTHER                  8531             11350
D PPL CORPORATION                                 69351T106       50     1200 SH       SOLE                   1200
D PPL CORPORATION                                 69351T106     1388    33248 SH       OTHER                  8148             25100
D PRI AUTOMATION INCORPORATED                     69357H106      325    17800 SH       OTHER                                   17800
D PACE HEALTH MGMT SYS INC                        693723108        6    30000 SH       OTHER                 30000
D PACHOLDER FUND INCORPORATED                     693742108      140    11244 SH       OTHER                  2000              9244
D PACER TECHNOLOGY                                693905101        9    10000 SH       OTHER                 10000
D PACIFIC CAPITAL BANCORP GROUP                   69404P101      225     8402 SH       OTHER                  8402
D PACIFIC CENTURY FINANCIAL CORP                  694058108     2520   147162 SH       OTHER                 56294             90868
D PACIFIC GATEWAY PROPERTIES INC                  694330994     1629   129033 SH       OTHER                 63200             65833
D PACIFICARE HEALTH SYSTEMS-A                     695112102      383    11000 SH       OTHER                  1450              9550
D PACTIV CORP                                     695257105        1      106 SH       SHARED                  106
D PACTIV CORP                                     695257105      155    13815 SH       OTHER                  2773             11042
D PAGE INTL INC                                   695526103       16   175000 SH       OTHER                                  175000
D PAINE WEBBER GROUP INCORPORATED                 695629105      612     8984 SH       OTHER                   684              8300
D PALL CORPORATION                                696429307       12      600 SH       SOLE                    600
D PALL CORPORATION                                696429307      361    18085 SH       OTHER                 15985              2100
D PALM INCORPORATED                               696642107    10602   200271 SH       SOLE                 199814               457
D PALM INCORPORATED                               696642107      163     3085 SH       SHARED                 3085
D PALM INCORPORATED                               696642107     3684    69591 SH       OTHER                 32201             37390
D PANAMSAT CORPORATION                            697933109     1004    31450 SH       OTHER                                   31450
D PAMECO CORP                                     697934305       59    18900 SH       OTHER                  2700             16200
D PARALLEL PETE CORP                              699157103       45    10000 SH       OTHER                                   10000
D PARAMETRIC TECHNOLOGY CORP                      699173100     1154   105506 SH       OTHER                 88506             17000
D PARK PL ENTMT CORP                              700690100       76     5000 SH       SOLE                   5000
D PARK PL ENTMT CORP                              700690100       76     5000 SH       OTHER                  5000
D PARKER DRILLING                                 701081AD3       85   100000 SH       OTHER
D PARKER HANNIFIN CORPORATION                     701094104     1254    37163 SH       OTHER                  1883             35280
D HIGGINBOTHAM INSURANCE AGENCY I                 702990136    12825    18750 SH       OTHER                                   18750
D PATTERSON DENTAL COMPANY                        703412106      412    18330 SH       OTHER                 11430              6900
D PAXAR CORP                                      704227107      388    43400 SH       OTHER                                   43400
D PAYCHEX INCORPORATED                            704326107        8      150 SH       SOLE                    150
D PAYCHEX INCORPORATED                            704326107    20083   382530 SH       OTHER                224031            158499
D PAYLESS SHOESOURCE INCORPORATED                 704379106      257     4585 SH       OTHER                  4585
D PEAPOD INCORPORATED                             704718105       24    17500 SH       OTHER                  1000             16500
D PEARSON PLC                                     705015105      529    18755 SH       SOLE                  18755
D PEARSON PLC                                     705015105      283    10025 SH       OTHER                 10025
D PEC SOLUTIONS INC                               705107100       70    10925 SH       OTHER                                   10925
D PECO II INCORPORATED                            705221109      231     4930 SH       OTHER                   930              4000
D PEGASUS COMMUNICATIONS CORP                     705904100      752    15570 SH       OTHER                                   15570
D PENN ENGINEERING & MANUFACTURIN                 707389300      209     6650 SH       OTHER                                    6650
D PENNACO ENERGY INC                              708046107     2311   133000 SH       OTHER                 89000             44000
D PENNEY J C INCORPORATED                         708160106        8      700 SH       SHARED                  700
D PENNEY J C INCORPORATED                         708160106      905    76600 SH       OTHER                 14300             62300
D PENTAIR INCORPORATED                            709631105      723    27012 SH       OTHER                 24763              2249
D PENTON MEDIA INCORPORATED                       709668107      901    32754 SH       OTHER                 18854             13900
D PEOPLES ENERGY CORPORATION                      711030106      552    16525 SH       SOLE                  16525
D PEOPLES ENERGY CORPORATION                      711030106       66     1983 SH       SHARED                 1983
D PEOPLES ENERGY CORPORATION                      711030106     1005    30101 SH       OTHER                 26520              3581
D PEOPLES SVGS BK TROY OHIO                       712289107       39    11100 SH       OTHER                 11100
D PEOPLESOFT INC                                  712713106      842    30141 SH       OTHER                  2041             28100
D PEP BOYS                                        713278AJ8      117   200000 SH       OTHER
D PEPSI BOTTLING GROUP INC                        713409100      280     9310 SH       OTHER                  7810              1500
D PEPSICO INCORPORATED                            713448108     1543    33543 SH       SOLE                  33543
D PEPSICO INCORPORATED                            713448108       33      725 SH       SHARED                  725
D PEPSICO INCORPORATED                            713448108    91633  1992028 SH       OTHER               1493431            498597
D PEREGRINE SYSTEMS INCORPORATED                  71366Q101     1201    63397 SH       SOLE                  48862             14535
D PEREGRINE SYSTEMS INCORPORATED                  71366Q101      658    34738 SH       OTHER                 12663             22075
D PERFORMANCE FOOD GROUP COMPANY                  713755106      346     9200 SH       OTHER                                    9200
D PERICOM SEMICONDUCTOR CORP                      713831105      637    16950 SH       OTHER                                   16950
D PERKINELMER INCORPORATED                        714046AA7       54    80000 SH       OTHER
D PERRIGO COMPANY                                 714290103      535    78200 SH       OTHER                 36800             41400
D PERSONNEL GROUP OF AMERCIA                      715338AE9       48   100000 SH       OTHER
D PETROBANK ENERGY & RESOURCES                    71645P106      196   155000 SH       OTHER                155000
D PETROBRAS BRASILEIRO                            71654V101      347    12130 SH       OTHER                   780             11350
D PETROLEO BRASILEIRO SA PETRO                    71654V408      631    21005 SH       OTHER                 17969              3036
D PETSMART INCORPORATED                           716768AB2     3317  4315000 SH       OTHER
D PETSMART INCORPORATED                           716768106     1021   217700 SH       OTHER                                  217700
D PHARMACEUTICAL FORMULATION                      716932108        9    35049 SH       OTHER                    49             35000
D PFIZER INCORPORATED                             717081103    31534   701725 SH       SOLE                 691393     2300     8032
D PFIZER INCORPORATED                             717081103     3369    74960 SH       SHARED                73910     1050
D PFIZER INCORPORATED                             717081103   225521  5018493 SH       OTHER               3510804           1507689
D PHARMACEUTICAL PRODUCT DEVELOPM                 717124101      274    10300 SH       OTHER                                   10300
D PHARMACIA CORPORATION                           71713U102      273     4528 SH       SOLE                   4528
D PHARMACIA CORPORATION                           71713U102    28695   476761 SH       OTHER                186929            289832
D PHILIP MORRIS COMPANIES                         718154107      463    15730 SH       SOLE                  14250              1480
D PHILIP MORRIS COMPANIES                         718154107      318    10800 SH       SHARED                 1200              9600
D PHILIP MORRIS COMPANIES                         718154107    14599   495907 SH       OTHER                272972            222935
D PHILLIPS PETROLEUM COMPANY                      718507106      365     5812 SH       SOLE                   5662               150
D PHILLIPS PETROLEUM COMPANY                      718507106       39      620 SH       SHARED                  620
D PHILLIPS PETROLEUM COMPANY                      718507106     6569   104684 SH       OTHER                 23759             80925
D PHILLIPS VAN HEUSEN CORPORATION                 718592108      114    11100 SH       OTHER                                   11100
D PHOENIX SERIES FUND                             718900103     3079    99043 SH       OTHER                                   99043
D PHOENIX HEALTHCARE CORP                         719072100        5    18000 SH       SOLE                  18000
D PHOENIX INVESTMENT PARTNERS                     719085AA0      179    93000 SH       OTHER
D PHONE COM INC                                   71920Q100      340     2990 SH       OTHER                  1600              1390
D PHONETEL TECHNOLOGIES INC                       71921H505        4    13300 SH       OTHER                 11400              1900
D PHYAMERICA PHYSICIAN GROUP I                    71940A101        3    20000 SH       SOLE                  20000
D PHYCOR INCORPORATED                             71940FAB6       12   100000 SH       OTHER
D PHYCOR INCORPORATED                             71940F100      271  2710000 SH       OTHER                 50000           2660000
D PIEDMONT NATURAL GAS COMPANY                    720186105      422    13775 SH       OTHER                 10575              3200
D PIER 1 IMPORTS INCORPORATED                     720279108      848    62529 SH       OTHER                 14474             48055
D PILGRIM SMALL CAP OPPORTUNITY                   72146K208      208     3205 SH       SOLE                   3205
D PINNACLE HOLDINGS INCORPORATED                  72346N101     1158    43505 SH       OTHER                 13475             30030
D PINNACLE WEST CAPITAL CORPORATI                 723484101        3       67 SH       SOLE                     67
D PINNACLE WEST CAPITAL CORPORATI                 723484101       10      200 SH       SHARED                                    200
D PINNACLE WEST CAPITAL CORPORATI                 723484101      753    14800 SH       OTHER                  4100             10700
D PIONEER CORPORATION                             723646105      327     7916 SH       OTHER                  7071               845
D PIONEER NATURAL RESOURCES COMPA                 723787107      471    33176 SH       OTHER                 10176             23000
D PIONEER STANDARD                                723877106      966    71200 SH       OTHER                  6500             64700
D PIONEER                                         723907101     3277   161691 SH       OTHER                161691
D PITNEY BOWES INCORPORATED                       724479100       95     2400 SH       SOLE                   2400
D PITNEY BOWES INCORPORATED                       724479100       28      700 SH       SHARED                  700
D PITNEY BOWES INCORPORATED                       724479100     3411    86500 SH       OTHER                 65794             20706
D PITTSBURGH TUBE COMPANY                         724990130    35000    70000 SH       OTHER                                   70000
D PITTSTON BRINK'S GROUP                          725701106     1749   112834 SH       OTHER                 51125             61709
D PIXELWORKS INC                                  72581M107      224     4700 SH       OTHER                                    4700
D PIXAR INCORPORATED                              725811103      270     8400 SH       OTHER                  8400
D PLAINS RESOURCES INCORPORATED                   726540503     2072   109800 SH       OTHER                 89800             20000
D PLANISOL INC                                    727052102             35800 SH       OTHER                                   35800
D PLANTRONICS INCORPORATED                        727493108     4577   120444 SH       OTHER                101694             18750
D PLEXUS CORP                                     729132100      253     3595 SH       OTHER                    95              3500
D PLUM CREEK TIMBER COMPANY INC                   729251108        4      200 SH       SOLE                    200
D PLUM CREEK TIMBER COMPANY INC                   729251108     7824   350650 SH       OTHER                226150            124500
D POHANG IRON & STEEL                             730450103      381    20460 SH       OTHER                   200             20260
D POLARIS INDS INC                                731068102       32      900 SH       SOLE                    900
D POLARIS INDS INC                                731068102     3017    85600 SH       OTHER                  5500             80100
D R L POLK & COMPANY                              73111E102      512     2800 SH       OTHER                  2800
D POLYCOM INC                                     73172K104    15691   234300 SH       OTHER                 91600            142700
D POLYMEDICA INDS INC                             731738100     1243    29000 SH       OTHER                 11000             18000
D POLYONE CORPORATION                             73179P106     3393   463975 SH       OTHER                  1675            462300
D POLYPHASE CORP                                  731791109       22    25000 SH       OTHER                                   25000
D POPULAR INCORPORATED                            733174106       81     3000 SH       SOLE                   3000
D POPULAR INCORPORATED                            733174106      163     6015 SH       OTHER                                    6015
D PORTAL SOFTWARE INCORPORATED                    736126103      885    22125 SH       OTHER                   400             21725
D PORTUGAL TELECOM S A                            737273102     1033   102005 SH       SOLE                 102005
D PORTUGAL TELECOM S A                            737273102      981    96845 SH       OTHER                  1245             95600
D POTLATCH CORPORATION                            737628107      211     6674 SH       OTHER                  1874              4800
D POWERGEN PLC                                    738905405      367    11636 SH       OTHER                  4216              7420
D POWER-ONE INCORPORATED                          739308104     4715    77911 SH       OTHER                 15311             62600
D POWERCERV CORP                                  73931P105       10    10000 SH       OTHER                                   10000
D POWERTEL INCORPORATED                           73936C109     1898    24955 SH       OTHER                  1325             23630
D POWERWAVE TECHNOLOGIES INC                      739363109      636    16755 SH       OTHER                  9055              7700
D PRAXAIR INCORPORATED                            74005P104     2549    68211 SH       OTHER                  8611             59600
D PRECISION CASTPARTS CORPORATION                 740189105      384    10000 SH       OTHER                                   10000
D PREFORMED LINE PRODS CO                         740444104      284    17600 SH       OTHER                 17600
D PREMIER FARNELL PLC                             74050U107      469    36064 SH       OTHER                 10399             25665
D PREMIER FARNELL PLC                             74050U206      443    21474 SH       OTHER                  2910             18564
D PRENTISS PPTYS TR                               740706106     6529   249900 SH       OTHER                                  249900
D PRIDEX WILSHIRE                                 740990130     1679    66247 SH       OTHER                 66247
D PRESSTEK INCORPORATED                           741113104     2303   120000 SH       SOLE                 120000
D PRICE T ROWE & ASSOCIATES                       741477103      825    17575 SH       OTHER                  6075             11500
D PRICE T ROWE GROWTH STK FD I                    741479109      240     6603 SH       OTHER                  6603
D PRIMACOM AG                                     74154N108      493    35200 SH       OTHER                 34800               400
D PRIME RETAIL INC                                741570303       64    18000 SH       OTHER                 18000
D PRIME GROUP REALTY TRUST                        74158J103      310    19700 SH       OTHER                 16700              3000
D PRIMA ENERGY CORP                               741901201      767    14400 SH       OTHER                 12000              2400
D PRIMUS TELECOMM GROUP INC                       741929103      198    20800 SH       OTHER                 17035              3765
D PRIDE INTERNATIONAL INCORPORATE                 741932107      525    19800 SH       OTHER                  1000             18800
D PRISON RLTY TRUST INC                           74264N105       77    65000 SH       OTHER                  3000             62000
D PRIORITY HEALTHCARE CORPORATION                 74264T102      305     4000 SH       OTHER                   100              3900
D PROCTER & GAMBLE COMPANY                        742718109     1274    19011 SH       SOLE                  17811      700      500
D PROCTER & GAMBLE COMPANY                        742718109     3425    51120 SH       SHARED                50620               500
D PROCTER & GAMBLE COMPANY                        742718109    44367   662198 SH       OTHER                489232            172966
D PROFESSIONALLY MANAGED PTFLS                    742935612      217    12930 SH       OTHER                 12930
D PRIVATEBANCORP INCORPORATED                     742962103      635    46000 SH       OTHER                 35600             10400
D PRINCIPAL FINANCIAL GROUP                       742990138     1568    45428 SH       OTHER                 45428
D PROFIT RECOVERY GROUP INTERNATI                 743168106       14     1410 SH       SOLE                   1410
D PROFIT RECOVERY GROUP INTERNATI                 743168106      135    13700 SH       OTHER                  3500             10200
D PROGRESS SOFTWARE CORPORATION                   743312100     1915   140550 SH       OTHER                 29750            110800
D PROGRESSIVE CORPORATION OF OHIO                 743315103     2908    35512 SH       OTHER                 23137             12375
D PROLOGIS TR                                     743410102    11327   476921 SH       OTHER                198506            278415
D PROLOGIS TR                                     743410300     7037   228850 SH       OTHER                113950            114900
D PROTECTIVE LIFE CORPORATION                     743674103     9451   316368 SH       OTHER                185146            131222
D PROTEIN DESIGN LABS INC                         74369L103     6930    57510 SH       OTHER                  1160             56350
D PROVIDENT FINANCIAL GROUP                       743866105     2238    76187 SH       OTHER                                   76187
D PROVIDIAN FINANCIAL CORPORATION                 74406A102    11751    92525 SH       OTHER                 49035             43490
D PROXIM INCORPORATED                             744284100      223     5000 SH       OTHER                                    5000
D PRUDENTIAL CORP PLC                             74435K204     1372    50812 SH       SOLE                  50812
D PRUDENTIAL CORP PLC                             74435K204      149     5522 SH       OTHER                  5522
D PSINET INCORPORATED                             74437C101      413    42875 SH       OTHER                 13300             29575
D PUBLIC SERVICE COMPANY OF                       744499104      732    28300 SH       OTHER                                   28300
D PUBLIC SERVICE ENTERPRISE                       744573106       67     1500 SH       SOLE                    500              1000
D PUBLIC SERVICE ENTERPRISE                       744573106     1558    34864 SH       OTHER                  7297             27567
D PUBLIC STORAGE INCORPORATED                     74460D109     1974    82477 SH       OTHER                 69417             13060
D PUERTO RICAN CEMENT COMPANY INC                 745075101     2460    78400 SH       OTHER                                   78400
D PUGET SOUND ENERGY INC                          745332106       32     1275 SH       SOLE                   1275
D PUGET SOUND ENERGY INC                          745332106      370    14594 SH       OTHER                  8984              5610
D PULTE CORP                                      745867101      815    24700 SH       OTHER                                   24700
D PURCHASEPRO.COM INC                             746144104      465     5296 SH       OTHER                  5296
D PUTNAM HIGH YIELD ADVANTAGE FUN                 74678J104      121    17281 SH       SOLE                  17281
D PUTNAM MASS TAX EX INCOME FD                    74683H309      102    11373 SH       OTHER                 11373
D QLT INC                                         746927102      275     3875 SH       OTHER                   800              3075
D PUTNAM                                          746932102      213     7745 SH       SOLE                   7745
D PUTNAM INTERNATIONAL GROWTH FUN                 746932201       27     1021 SH       SOLE                   1021
D PUTNAM INTERNATIONAL GROWTH FUN                 746932201      212     7899 SH       OTHER                  7899
D PUTNAM VISTA FUND INCORPORATED                  747011203       35     1767 SH       SOLE                   1767
D PUTNAM VISTA FUND INCORPORATED                  747011203      174     8875 SH       SHARED                 8875
D PUTNAM VOYAGER FUND INCORPORATE                 747012102    23233   769254 SH       OTHER                176463            592791
D PUTNAM VOYAGER FUND INCORPORATE                 747012201       30     1074 SH       SOLE                   1074
D PUTNAM VOYAGER FUND INCORPORATE                 747012201      173     6277 SH       SHARED                 6277
D PUTNAM VOYAGER FUND INCORPORATE                 747012201      166     5992 SH       OTHER                  5992
D QRS MUSIC TECHNOLOGIES INC                      74726W107       23    22400 SH       OTHER                                   22400
D QLOGIC CORPORATION                              747277101     1771    20120 SH       SOLE                  15800              4320
D QLOGIC CORPORATION                              747277101     1271    14440 SH       OTHER                  8540              5900
D QUADRAMED CORPORATION                           74730WAC5       14    40000 SH       OTHER
D QUAKER OATS COMPANY                             747402105     2744    34679 SH       SOLE                  34679
D QUAKER OATS COMPANY                             747402105       47      600 SH       SHARED                  600
D QUAKER OATS COMPANY                             747402105     3418    43198 SH       OTHER                 20828             22370
D QUALCOMM INCORPORATED                           747525103    11751   164922 SH       SOLE                 163402      500     1020
D QUALCOMM INCORPORATED                           747525103      104     1455 SH       SHARED                 1255      200
D QUALCOMM INCORPORATED                           747525103    12387   173856 SH       OTHER                103198             70658
D QUANTA SERVICES INCORPORATED                    74762EAA0       24    30000 SH       OTHER
D QUANTA SVCS INC                                 74762E102      697    25350 SH       OTHER                                   25350
D QUANTUM CORP                                    747906204      914    60673 SH       OTHER                 28350             32323
D QUANTUM CORP                                    747906303      115    11561 SH       OTHER                                   11561
D QUEST DIAGNOSTICS INCORPORATED                  74834L100      735     6404 SH       OTHER                  1423              4981
D QUIDEL CORP                                     74838J101      604   139970 SH       OTHER                139970
D QUINTILES TRANSNATIONAL CORPORA                 748767100      443    27800 SH       OTHER                   200             27600
D QUORUM HEALTH GROUP INC                         749084109      177    13650 SH       OTHER                                   13650
D R & B FALCON CORPORATION                        74912E101     2773    99480 SH       OTHER                  4550             94930
D QWEST COMMUNICATIONS INTERNATIO                 749121109    13623   283440 SH       SOLE                 280926     1500     1014
D QWEST COMMUNICATIONS INTERNATIO                 749121109      505    10515 SH       SHARED                 9761      400      354
D QWEST COMMUNICATIONS INTERNATIO                 749121109    16989   353469 SH       OTHER                130961            222508
D RBB BOSTON PARTNERS                             749255436      496    42905 SH       OTHER                 42905
D RCN CORPORATION                                 749361101      727    35035 SH       OTHER                 15865             19170
D RFS HOTEL INVESTORS INCORPORATE                 74955J108      497    39350 SH       OTHER                 28250             11100
D R H DONNELLEY CORPORATION                       74955W307        3      120 SH       SOLE                    120
D R H DONNELLEY CORPORATION                       74955W307     4871   230593 SH       OTHER                112913            117680
D R G S ENERGY GROUP INC                          74956K104      244     8652 SH       OTHER                   752              7900
D RLI CORPORATION                                 749607107      650    16850 SH       OTHER                 12950              3900
D RPM INCORPORATED OHIO                           749685103        6      702 SH       SOLE                    702
D RPM INCORPORATED OHIO                           749685103      752    83021 SH       OTHER                 20971             62050
D RSA SECURITY INC                                749719100      257     5950 SH       OTHER                  3600              2350
D RF MICRO DEVICES INCORPORATED                   749941100       33     1020 SH       SOLE                    420               600
D RF MICRO DEVICES INCORPORATED                   749941100      331    10330 SH       OTHER                   200             10130
D R N W INC                                       749990107      200      200 SH       SOLE                    200
D RADIAN GROUP INCORPORATED                       750236101      270     4000 SH       OTHER                   700              3300
D RADIANCE MED SYS INC                            750241101     3552   305559 SH       OTHER                 15000            290559
D RADIO ONE INCORPORATED                          75040P108        7      870 SH       SOLE                    870
D RADIO ONE INCORPORATED                          75040P108      193    23260 SH       OTHER                                   23260
D RADIO ONE INCORPORATED                          75040P405      220    31190 SH       OTHER                                   31190
D RADIOSHACK CORP                                 750438103     6544   101255 SH       OTHER                 22455             78800
D RADISYS CORP                                    750459109      794    15700 SH       OTHER                 11000              4700
D RAINBOW TECHNOLOGIES INC                        750862104     2795    79000 SH       OTHER                  4400             74600
D RAMBUS INCORPORATED                             750917106     1216    15400 SH       OTHER                  1500             13900
D RALCORP HOLDINGS INCORPORATED                   751028101      469    33209 SH       OTHER                 24209              9000
D RALSTON PURINA GROUP                            751277302       16      690 SH       SOLE                                      690
D RALSTON PURINA GROUP                            751277302       57     2400 SH       SHARED                 2400
D RALSTON PURINA GROUP                            751277302     4172   176128 SH       OTHER                 63359            112769
D RAND CAPITAL CORPORATION                        752185108      115    40000 SH       OTHER                                   40000
D RATIONAL SOFTWARE CORPORATION                   75409P202     1282    18480 SH       OTHER                 10320              8160
D RAYMOND JAMES FINANCIAL INCORPO                 754730109      879    26700 SH       OTHER                  8400             18300
D RAYONIER INCORPORATED                           754907103       10      286 SH       SOLE                    286
D RAYONIER INCORPORATED                           754907103      822    22872 SH       OTHER                  7367             15505
D RAYOVAC CORP                                    755081106      741    43250 SH       OTHER                 17300             25950
D RAYTHEON COMPANY                                755111309        3      124 SH       SOLE                    124
D RAYTHEON COMPANY                                755111309                14 SH       SHARED                   14
D RAYTHEON COMPANY                                755111309      963    35172 SH       OTHER                   680             34492
D RAYTHEON COMPANY                                755111408       68     2400 SH       SOLE                   2400
D RAYTHEON COMPANY                                755111408      523    18395 SH       OTHER                  1305             17090
D READERS DIGEST ASSOCIATION                      755267101     5209   147500 SH       OTHER                135100             12400
D READING ENTERTAINMENT INCORPORA                 755358108       70    18188 SH       OTHER                 18188
D RECKSON ASSOCIATES REALTY CORP                  75621K106      217     8500 SH       OTHER                                    8500
D RECKSON ASSOC REALTY                            75621K205     3747   160300 SH       OTHER                 82600             77700
D RECOTON CORPORATION                             756268108      259    16400 SH       OTHER                  2000             14400
D REDBACK NETWORKS INC                            757209101     1663    10140 SH       OTHER                                   10140
D REEBOK INTERNATIONAL LIMITED                    758110100      310    16490 SH       OTHER                   390             16100
D REGAL BELOIT CORPORATION                        758750103     1417    83565 SH       OTHER                  6000             77565
D REGIS CORPORATION/MINNESOTA                     758932107      582    38825 SH       OTHER                 16400             22425
D REGIONS FINANCIAL CORPORATION                   758940100      952    41976 SH       OTHER                   200             41776
D REHABCARE GROUP , INC.                          759148109      319     7500 SH       OTHER                  1000              6500
D REINSURANCE GROUP OF AMERICA                    759351109      385    11255 SH       OTHER                  5255              6000
D RELIANT ENERGY INC                              75952J108      123     2649 SH       SOLE                   1049              1600
D RELIANT ENERGY INC                              75952J108       14      300 SH       SHARED                  300
D RELIANT ENERGY INC                              75952J108     5888   126625 SH       OTHER                 13975            112650
D REMEC INC                                       759543101      529    17975 SH       OTHER                                   17975
D REMINGTON OIL & GAS CORP                        759594302      232    22200 SH       OTHER                 12200             10000
D RENAL CARE GROUP INCORPORATED                   759930100      371    19900 SH       OTHER                                   19900
D RENT WAY INC                                    76009U104      216     7125 SH       OTHER                                    7125
D REPSOL YPF SA                                   76026T205      571    31200 SH       OTHER                 11700             19500
D REPUBLIC SVCS INC                               760759100     4471   340650 SH       OTHER                 14525            326125
D RES-CARE INCORPORATED                           760943AC4      440  1005000 SH       OTHER
D RESEARCH IN MOTION LTD                          760975102      502     5090 SH       OTHER                                    5090
D RESTORATION HARDWARE INC DEL                    760981100       42    12100 SH       OTHER                 12100
D RESMED INCORPORATED                             761152107     3345   107042 SH       OTHER                101242              5800
D RETEK INCORPORATED                              76128Q109      435     8200 SH       OTHER                                    8200
D REUTERS GROUP PLC                               76132M102     9884    87959 SH       OTHER                 79654              8305
D REYNOLDS & REYNOLDS COMPANY                     761695105      179     9000 SH       SOLE                                     9000
D REYNOLDS & REYNOLDS COMPANY                     761695105     4495   226150 SH       OTHER                  3350            222800
D RHEOLOGICAL SYSTEM INCORPORATED                 762071207             25000 SH       OTHER                                   25000
D RIBOZYME PHARMACEUTICALS INC                    762567105      493    17000 SH       OTHER                                   17000
D RIO TINTO                                       767202104      220     4100 SH       OTHER                                    4100
D RIO TINTO PLC                                   767204100     1028    17273 SH       OTHER                  2073             15200
D RITE AID CORPORATION                            767754AL8      268   750000 SH       OTHER
D RIVIERA TOOL CO                                 769648106      256   102273 SH       OTHER                                  102273
D ROBBINS & MYERS INC                             770196103      756    32000 SH       OTHER                                   32000
D ROBERT HALF INTERNATIONAL                       770323103     5671   163498 SH       OTHER                 41098            122400
D ROBOTIC VISION SYSTEM INCORPORA                 771074101       96    16150 SH       OTHER                  8350              7800
D ROCHE HOLDINGS LIMITED                          771195104      498     5665 SH       SOLE                   5665
D ROCHE HOLDINGS LIMITED                          771195104     1557    17710 SH       OTHER                 15510              2200
D ROCHE HOLDINGS INCORPORATEDQ                    771196AC6       54   100000 SH       OTHER
D ROCKFELLER CENTER PROPERTIES TR                 773102AA6     1988  2325000 SH       OTHER
D ROCKWELL INTERNATIONAL CORPORAT                 773903109       15      500 SH       SOLE                    500
D ROCKWELL INTERNATIONAL CORPORAT                 773903109       21      700 SH       SHARED                  700
D ROCKWELL INTERNATIONAL CORPORAT                 773903109     2983    98607 SH       OTHER                 13107             85500
D ROHM & HAAS COMPANY                             775371107       12      400 SH       SOLE                    400
D ROHM & HAAS COMPANY                             775371107     1653    56868 SH       OTHER                  1568             55300
D ROSS STORES INCORPORATED                        778296103      178    12350 SH       OTHER                  1600             10750
D ROTTLUND INC                                    779077106       35    10000 SH       OTHER                 10000
D ROUSE COMPANY                                   779273101      996    39950 SH       OTHER                  3710             36240
D ROWAN COMPANIES INCORPORATED                    779382100     6217   214395 SH       OTHER                  1475            212920
D ROWE T PRICE                                    77954G108      291    14715 SH       OTHER                 14715
D ROWE T PRICE EQUITY INCOME FUND                 779547108      511    20753 SH       OTHER                 20753
D ROWE T PRICE                                    779556109       31      698 SH       SOLE                    698
D ROWE T PRICE                                    779556109       46     1032 SH       SHARED                 1032
D ROWE T PRICE                                    779556109     9095   202918 SH       OTHER                100091            102827
D ROWE T PRICE                                    77956H203       69     4125 SH       SOLE                   4125
D ROWE T PRICE                                    77956H203     1658    98773 SH       OTHER                 76311             22463
D ROWE T PRICE                                    779562107      597    18991 SH       SOLE                  18991
D ROWE T PRICE                                    779562107       57     1800 SH       SHARED                 1800
D ROWE T PRICE                                    779562107      558    17738 SH       OTHER                 17738
D ROWE T PRICE SCIENCE & TECHNOLO                 77957M102      233     3768 SH       SOLE                   3768
D ROWE T PRICE SCIENCE & TECHNOLO                 77957M102       98     1578 SH       SHARED                 1578
D ROWE T PRICE SCIENCE & TECHNOLO                 77957M102     1331    21490 SH       OTHER                 21490
D ROWE T PRICE SMALL CAP VALUE FU                 77957Q103      241    11667 SH       OTHER                 10484              1183
D T ROWE PRICE SMALL CAP STOCK                    779572106     2108    79709 SH       OTHER                 79709
D ROWE T PRICE SPECTRUM FD INC                    779906106      118    11108 SH       OTHER                 11108
D ROYAL BANK OF SCOTLAND                          780097887      572    26000 SH       OTHER                  2000             24000
D ROYAL DUTCH PETROLEUM COMPANY                   780257804      819    13665 SH       SOLE                  13665
D ROYAL DUTCH PETROLEUM COMPANY                   780257804       47      790 SH       SHARED                  790
D ROYAL DUTCH PETROLEUM COMPANY                   780257804    16653   277845 SH       OTHER                202430             75415
D ROYCE FUND                                      780905840      255    30517 SH       SOLE                  30517
D RUBY TUESDAY INCORPORATED                       781182100      170    15100 SH       OTHER                                   15100
D RUDDICK CORP                                    781258108      176    12700 SH       OTHER                                   12700
D RURAL/METRO CORPORATION                         781748108        1      500 SH       SOLE                    500
D RURAL/METRO CORPORATION                         781748108       88    47000 SH       OTHER                 32000             15000
D RUSSEL METALS INCORPORATED                      781903604      296   118457 SH       OTHER                                  118457
D RURAL CELLULAR CORP                             781904107     3338    49000 SH       OTHER                 31200             17800
D RUSS BERRIE & COMPANY INCORPORA                 782233100      333    16850 SH       OTHER                                   16850
D RUSSELL CORPORATION                             782352108      175    11000 SH       OTHER                   300             10700
D RUSSELL FRANK INVESTMENT COMPAN                 782493498      251    23770 SH       OTHER                                   23770
D RUSSELL FRANK INVESTMENT COMPAN                 782493779       12    11614 SH       OTHER                 11614
D RYANS FAMILY STEAK                              783519101      426    55350 SH       OTHER                  6350             49000
D RYERSON TULL INCORPORATED                       78375P107      444    47062 SH       SOLE                                    47062
D RYERSON TULL INCORPORATED                       78375P107       41     4320 SH       OTHER                  2900              1420
D SBC COMMUNICATIONS INCORPORATED                 78387G103     9447   188947 SH       SOLE                 187034              1913
D SBC COMMUNICATIONS INCORPORATED                 78387G103     1009    20172 SH       SHARED                17128      700     2344
D SBC COMMUNICATIONS INCORPORATED                 78387G103    58203  1164053 SH       OTHER                586358            577695
D SBA COMMUNICATIONS CORPORATION                  78388J106      901    21475 SH       OTHER                 10275             11200
D SAMCO                                           78388M109    15270  1580698 SH       OTHER               1580698
D SCI SYSTEMS INCORPORATED                        783890106     1713    41775 SH       OTHER                 19400             22375
D S.C. JOHNSON & SON, INC.                        783990302      217   216603 SH       OTHER                216603
D SCPIE HOLDINGS INCORPORATED                     78402P104      233    11595 SH       OTHER                  2100              9495
D SDL INCORPORATED                                784076101     5949    19233 SH       OTHER                   468             18765
D SEI INVESTMENT COMPANY                          784117103      226     3200 SH       OTHER                                    3200
D SL GREEN RLTY CORP                              78440X101      425    15130 SH       OTHER                   630             14500
D STANDARD & POOR'S 500                           78462F103     4551    31689 SH       SOLE                  29885              1804
D STANDARD & POOR'S 500                           78462F103      591     4112 SH       SHARED                 4112
D STANDARD & POOR'S 500                           78462F103    18015   125430 SH       OTHER                 70250             55180
D SPSS INCORPORATED                               78462K102     3167   118100 SH       OTHER                  1500            116600
D SPS TECHNOLOGIES                                784626103      447     9225 SH       OTHER                  9225
D SPX CORPORATION                                 784635104      969     6826 SH       SOLE                   5436              1390
D SPX CORPORATION                                 784635104      170     1200 SH       SHARED                 1200
D SPX CORPORATION                                 784635104    58682   413432 SH       OTHER                390219             23213
D SSGA FUNDS                                      784924888    19053   755614 SH       OTHER                157015            598599
D SPAR GROUP INC                                  784933103       44    22500 SH       OTHER                 22500
D S & P INDEX                                     784992133    22514  2513783 SH       OTHER               1851139           0662644
D SABRATEK CORPORATION                            78571UAA6       12    50000 SH       OTHER
D SABRE GROUP HLDGS INC                           785905100       15      530 SH       SOLE                                      530
D SABRE GROUP HLDGS INC                           785905100     2896   100092 SH       OTHER                 10200             89892
D SAFECO CORPORATION                              786429100      456    16725 SH       OTHER                   375             16350
D SAFEWAY INCORPORATED                            786514208    14913   319412 SH       SOLE                 314702     1500     3210
D SAFEWAY INCORPORATED                            786514208      277     5925 SH       SHARED                 5425      500
D SAFEWAY INCORPORATED                            786514208    24159   517447 SH       OTHER                367227            150220
D ST JOE COMPANY                                  790148100     5139   185200 SH       OTHER                 20900            164300
D ST JUDE MEDICAL INCORPORATED                    790849103     3086    60510 SH       OTHER                 59010              1500
D ST PAUL COMPANIES INCORPORATED                  792860108     2652    53777 SH       OTHER                 31299             22478
D SALIENT 3 COMMUNICATIONS INC                    794721100       26    10000 SH       OTHER                 10000
D SAN PAOLO-IMI S P A                             799175104      987    30316 SH       OTHER                  3531             26785
D SANDISK CORPORATION                             80004C101      387     5800 SH       OTHER                   600              5200
D SANFILIPPO JOHN B & SON INC                     800422107       12     3000 SH       SOLE                   3000
D SANFILIPPO JOHN B & SON INC                     800422107       42    10500 SH       OTHER                   500             10000
D SANMINA CORPORATION                             800907107     3565    38082 SH       OTHER                 15520             22562
D SANFORD C BERNSTEIN                             800990137     2793    91489 SH       OTHER                                   91489
D SANTA FE ENERGY TRUST                           802013102      201    10000 SH       OTHER                 10000
D SAP AG                                          803054204      674    10960 SH       OTHER                  4960              6000
D SAPIENT CORPORATION                             803062108      229     5616 SH       OTHER                  3016              2600
D SARA LEE CORPORATION                            803111103      429    21108 SH       SOLE                  20508               600
D SARA LEE CORPORATION                            803111103      231    11370 SH       SHARED                10730               640
D SARA LEE CORPORATION                            803111103     8189   403145 SH       OTHER                307745             95400
D SARATOGA ADVANTAGE TRUST                        803431105      157   157086 SH       OTHER                                  157086
D SARATOGA ADVANTAGE TRUST                        803431204      178    17924 SH       OTHER                                   17924
D SAUCONY INCORPORATED                            804120202      180    19900 SH       OTHER                  4900             15000
D SAWTEK INCORPORATED                             805468105      258     6700 SH       OTHER                                    6700
D SCANA CORP NEW                                  80589M102       82     2670 SH       SOLE                   2670
D SCANA CORP NEW                                  80589M102      547    17705 SH       OTHER                  5350             12355
D SCAN-TRON                                       805897AA3       66    85000 SH       OTHER
D SCHEIN HENRY INC                                806407102     2406   120650 SH       OTHER                 15400            105250
D SCHERING-PLOUGH CORPORATION                     806605101    16540   355709 SH       SOLE                 352044      300     3365
D SCHERING-PLOUGH CORPORATION                     806605101      579    12460 SH       SHARED                11985      475
D SCHERING-PLOUGH CORPORATION                     806605101    54074  1162878 SH       OTHER                566158            596720
D SCHLUMBERGER LIMITED                            806857108    14521   176407 SH       SOLE                 174682     1000      725
D SCHLUMBERGER LIMITED                            806857108      324     3940 SH       SHARED                 3540      400
D SCHLUMBERGER LIMITED                            806857108    50919   618601 SH       OTHER                405478            213123
D SCHNITZER STEEL INDUSTRIES, INC                 806882106      211    14790 SH       OTHER                  5700              9090
D SCHOLASTIC CORPORATION                          807066AD7       49    45000 SH       OTHER
D SCHOLASTIC CORP                                 807066105      371     4665 SH       OTHER                   465              4200
D SCHOOL SPECIALTY INCORPORATED                   807863105     3516   164947 SH       OTHER                  5300            159647
D SCHREIBER FOODS INCORPORATED                    808082135    91425  2612131 SH       OTHER                                 2612131
D SCHREIBER FOODS INCORPORATED                    808082143    40842   498076 SH       OTHER                                  498076
D SCHWAB CAPITAL TRUST                            808509103      272    15384 SH       OTHER                                   15384
D SCHWAB CHARLES CORPORATION                      808513105       48     1355 SH       SOLE                    100              1255
D SCHWAB CHARLES CORPORATION                      808513105    11250   316894 SH       OTHER                149592            167302
D SCHWEITZER-MAUDUIT INTERNATIONA                 808541106      265    19819 SH       OTHER                   412             19407
D SCIENTIFIC ATLANTA INCORPORATED                 808655104       76     1196 SH       SOLE                   1196
D SCIENTIFIC ATLANTA INCORPORATED                 808655104     2854    44861 SH       OTHER                 15441             29420
D SCIENTIFIC LEASING INCORPORATED                 808761AA8       24    50000 SH       OTHER
D SCHRODERS EMERGING MARKETS                      808990147    13655     5678 SH       OTHER                                    5678
D SCOTTISH POWER PLC                              81013T705       16      545 SH       SOLE                    545
D SCOTTISH POWER PLC                              81013T705      363    12060 SH       OTHER                   580             11480
D SCOTTS COMPANY                                  810186106      697    20800 SH       OTHER                   100             20700
D SCUDDER                                         810902205      258    24799 SH       OTHER                 18867              5932
D SCRIPPS COMPANY E.W. NEW                        811054204     2281    42233 SH       OTHER                 30758             11475
D SCUDDER INTERNATIONAL FUND                      811165109      509     9400 SH       SOLE                   9400
D SCUDDER INTERNATIONAL FUND                      811165109      505     9331 SH       OTHER                  6268              3063
D SCUDDER INTERNATIONAL EQUITY SE                 811165133     3919   230814 SH       OTHER                                  230814
D SCUDDER INTERNATIONAL FUND INC                  811165406      408    12805 SH       OTHER                 12805
D SCUDDER PORTFOLIO TRUST                         811192103      378    30765 SH       OTHER                  7988             22777
D SEACOAST FINANCIAL SERVICES COR                 81170Q106      418    38000 SH       OTHER                 17000             21000
D SEAGATE TECHNOLOGY                              811804103     2212    32060 SH       SOLE                  26025              6035
D SEAGATE TECHNOLOGY                              811804103      859    12446 SH       OTHER                  5026              7420
D SEAGO GROUP INC                                 811807106       10    19364 SH       OTHER                 19364
D SEAGRAM COMPANY LTD                             811850106     2495    43445 SH       OTHER                  9675             33770
D SEACOR SMIT INCORPORATED                        811904AE1      111   100000 SH       OTHER
D SEACOR SMIT INC                                 811904101      239     5125 SH       OTHER                                    5125
D SCUDDER                                         811999101    18789   547147 SH       OTHER                                  547147
D SEALED AIR CORPORATION                          81211K100     1325    29275 SH       OTHER                 15875             13400
D SEALED AIR CORP NEW                             81211K209      556    12350 SH       OTHER                 10650              1700
D SEARS ROEBUCK & COMPANY                         812387108      374    11525 SH       SOLE                  11525
D SEARS ROEBUCK & COMPANY                         812387108       94     2894 SH       SHARED                 2894
D SEARS ROEBUCK & COMPANY                         812387108     5194   160213 SH       OTHER                 63424             96789
D SECTOR SPDR TRUST                               81369Y803      281     6060 SH       OTHER                  5760               300
D SECURITY CAPITAL GROUP                          81413P204    10694   564680 SH       OTHER                127030            437650
D SECURITY CAPITAL U S REALTY                     814136AA5      229   310000 SH       OTHER
D SECURITY CAPITAL U S REALTY                     814136AB3      272   360000 SH       OTHER
D SECURITY CAPITAL U S REALTY                     814136206     2024    94680 SH       OTHER                 75992             18689
D SECURITY FINANCIAL CORP                         814242103       43    43431 SH       OTHER                 43431
D SECURITY NATL FINL CORP                         814785309       36    12733 SH       OTHER                 12733
D SEGALL BRYANT & HAMILL                          81579Q103      967    61655 SH       OTHER                 39539             22116
D SELECTIVE INSURANCE GROUP                       816300107     2411   134900 SH       OTHER                  8300            126600
D SELIGMAN HIGH INCOME FUND SERIE                 816336309       80    14425 SH       OTHER                 14425
D SELIGMAN TX EXMP FD SER INC                     816346506      333    43554 SH       OTHER                 43554
D SEMTECH CORP                                    816850101     2136    51630 SH       OTHER                  1700             49930
D SEMPRA ENERGY                                   816851109       15      700 SH       SOLE                    700
D SEMPRA ENERGY                                   816851109        7      340 SH       SHARED                  340
D SEMPRA ENERGY                                   816851109      204     9802 SH       OTHER                  4000              5802
D SENIOR HOUSING PROPERTY TRUST                   81721M109                50 SH       SOLE                     50
D SENIOR HOUSING PROPERTY TRUST                   81721M109      140    15020 SH       OTHER                    70             14950
D SENSORMATIC ELECTRONICS                         817265101      480    31990 SH       OTHER                  3890             28100
D SEPRACOR INCORPORATED                           817315104     1949    15885 SH       OTHER                  6100              9785
D SERENA SOFTWARE INCORPORATED                    817492101      737    16000 SH       OTHER                                   16000
D SERONO S A                                      81752M101      845    27927 SH       OTHER                 22512              5415
D SERVICE CORPORATION INTERNATION                 817565104       10     4100 SH       SOLE                                     4100
D SERVICE CORPORATION INTERNATION                 817565104       98    40335 SH       OTHER                  5445             34890
D SERVICEMASTER COMPANY                           81760N109       24     2474 SH       SOLE                   2474
D SERVICEMASTER COMPANY                           81760N109       35     3500 SH       SHARED                 3500
D SERVICEMASTER COMPANY                           81760N109     1164   117855 SH       OTHER                 47630             70225
D SHAW GROUP INCORPORATED                         820280105      345     4899 SH       OTHER                  3899              1000
D SHAW INDUSTRIES INCORPORATED                    820286102      589    31816 SH       OTHER                  1416             30400
D SHELL TRANS & TRADING PLC                       822703104      779    91400 SH       OTHER                 90000              1400
D SHELL TRANSPORTATION & TRADING                  822703609      974    19900 SH       OTHER                  5700             14200
D SHERWIN WILLIAMS COMPANY                        824348106     3148   147265 SH       OTHER                 49955             97310
D SHOE CARNIVAL INCORPORATED                      824889109      105    20000 SH       OTHER                                   20000
D SHOPKO STORES INCORPORATED                      824911101      231    22310 SH       OTHER                  4210             18100
D SIEBEL SYSTEMS INCORPORATED                     826170102     2536    22785 SH       SOLE                  18735              4050
D SIEBEL SYSTEMS INCORPORATED                     826170102       11      100 SH       SHARED                  100
D SIEBEL SYSTEMS INCORPORATED                     826170102    16124   144856 SH       OTHER                  7492            137364
D SIEMENS A G                                     826197402     1060     8245 SH       SOLE                   8245
D SIEMENS A G                                     826197402      453     3526 SH       OTHER                  1806              1720
D SIGMA ALDRICH CORPORATION                       826552101     1685    51075 SH       OTHER                 10750             40325
D SIGNATURE EYEWEAR INCORPORATED                  826918104       74    32944 SH       OTHER                     9             32935
D SILICON IMAGE INCORPORATED                      82705T102      218     8800 SH       OTHER                                    8800
D SILICON STORAGE TECHNOLOGY                      827057100      468    17225 SH       OTHER                  7025             10200
D SILICON VALLEY BANCSHARES                       827064106      652    11200 SH       OTHER                  1000             10200
D SILICON VY GROUP INC                            827066101     3184   121000 SH       OTHER                  7100            113900
D SILVERLEAF RESORTS INC                          828395103      101    30000 SH       OTHER                                   30000
D SIMON PPTY GROUP INC NEW                        828806109      423    18036 SH       OTHER                 11716              6320
D SINCLAIR BROADCAST GROUP-A                      829226109      442    40400 SH       OTHER                  6400             34000
D SINGER COMPANY                                  82930F109        1    14930 SH       OTHER                 14930
D SIRIUS SATELLITE RADIO INC                      82966U103       26      500 SH       SOLE                    500
D SIRIUS SATELLITE RADIO INC                      82966U103      775    14650 SH       OTHER                 14150               500
D SITEL CORPORATION                               82980K107       31    10400 SH       OTHER                                   10400
D SIPEX CORP                                      829909100      215     5100 SH       OTHER                                    5100
D SIX FLAGS INCORPORATED                          83001P109     1910   123244 SH       OTHER                106234             17010
D SIX FLAGS INC                                   83001P208      284     9000 SH       OTHER                  7400              1600
D SIZELER PROPERTY INVESTOR                       830137AA3     1461  1635000 SH       OTHER
D SKYLINE CORPORATION                             830830105      645    30280 SH       OTHER                 20080             10200
D SKYLINE FUND                                    830833208      871    47031 SH       OTHER                 47031
D SMALLCAP WORLD FUND INCORPORATE                 831681101     2020    50204 SH       OTHER                 50204
D SMARTFORCE PLC                                  83170A206      535    11300 SH       OTHER                  7800              3500
D CHARLES E SMITH RESIDENTIAL REA                 832197131      206     4543 SH       SOLE                   4543
D SMITHKLINE BEECHAM PLC                          832378301     1497    21815 SH       SOLE                  21815
D SMITHKLINE BEECHAM PLC                          832378301     6060    88303 SH       OTHER                 58142             30161
D SMUCKER J M CO                                  832696306      299    12310 SH       OTHER                  1060             11250
D SMURFIT-STONE CONTAINER CORPORA                 832727101     5164   430372 SH       OTHER                388172             42200
D SNAP-ON INC                                     833034101      517    21944 SH       OTHER                 16944              5000
D SOCIETE GENERALE                                83364L109     1541   137836 SH       OTHER                 16636            121200
D SOFTWARE.COM INC                                83402P104     7221    39796 SH       OTHER                 32816              6980
D SOLA INTERNATIONAL INCORPORATED                 834092108      240    37350 SH       OTHER                 21100             16250
D SOLECTRON CORPORATION                           834182AJ6      114   155000 SH       OTHER
D SOLECTRON CORPORATION                           834182AK3     1377  2055000 SH       OTHER
D SOLECTRON CORPORATION                           834182107     6004   130166 SH       SOLE                 129816      350
D SOLECTRON CORPORATION                           834182107      108     2350 SH       SHARED                 1750      600
D SOLECTRON CORPORATION                           834182107    14551   315471 SH       OTHER                 86931            228540
D SOLUTIA INCORPORATED                            834376105      309    27147 SH       OTHER                  2744             24403
D SONERA GROUP PLC                                835433202      210     8300 SH       OTHER                  8100               200
D SONIC SOLUTIONS                                 835460106       24    10000 SH       OTHER                                   10000
D SONOCO PRODUCTS COMPANY                         835495102      182    10079 SH       OTHER                  8679              1400
D SONY CORPORATION                                835699307     1314    13020 SH       SOLE                  13020
D SONY CORPORATION                                835699307     3095    30665 SH       OTHER                 17003             13662
D SOTHEBYS HOLDINGS INCORPORATED                  835898107      689    27700 SH       OTHER                   600             27100
D SOUTHDOWN INCORPORATED                          841297104       55      768 SH       SOLE                    768
D SOUTHDOWN INCORPORATED                          841297104     4858    68188 SH       OTHER                  9848             58340
D SOUTHERN COMPANY                                842587107       85     2628 SH       SOLE                    478              2150
D SOUTHERN COMPANY                                842587107        7      224 SH       SHARED                  224
D SOUTHERN COMPANY                                842587107     5241   161569 SH       OTHER                 20195            141374
D SOUTHTRUST CORP                                 844730101     1595    50724 SH       OTHER                 20274             30450
D SOUTHWEST AIRLINES COMPANY                      844741108      117     4842 SH       SOLE                   2630              2212
D SOUTHWEST AIRLINES COMPANY                      844741108     2025    83514 SH       OTHER                 25437             58077
D SOUTHWEST SECS GROUP INC                        845224104      255     8720 SH       OTHER                                    8720
D SOUTHWESTERN ENERGY CORPORATION                 845467109      271    31000 SH       OTHER                                   31000
D SOVEREIGN BANCORP INC                           845905108     2885   311867 SH       OTHER                  5150            306717
D SPARTAN MILLS S.C.                              846812105      153    10200 SH       OTHER                 10200
D SPECIALTY EQUIPMENT COMPANIES                   847497203      844    34170 SH       OTHER                  3370             30800
D SPEIZMAN INDS INC                               847805108       27    12000 SH       OTHER                 12000
D SPIEGEL INCORPORATED                            848457107      147    21000 SH       OTHER                 21000
D SPINNAKER EXPLORATION COMPANY                   84855W109      571    16382 SH       OTHER                  8442              7940
D SPRINT CORPORATION                              852061100      170     5804 SH       SOLE                   5154               650
D SPRINT CORPORATION                              852061100     8489   289591 SH       OTHER                107668            181923
D SPRINT CORPORATION (PCS GROUP)                  852061506       36     1026 SH       SOLE                   1026
D SPRINT CORPORATION (PCS GROUP)                  852061506     6998   199588 SH       OTHER                108322             91266
D STANCORP FINL GROUP INC                         852891100      973    22750 SH       OTHER                  1000             21750
D STANDARD MOTORS PRODUCTS                        853666AB1       31    60000 SH       OTHER
D STANDEX INTERNATIONAL CORPORATI                 854231107      516    26700 SH       OTHER                                   26700
D STANFORD MICRODEVICES INCORPORA                 854399102      519     9700 SH       OTHER                                    9700
D STARBASE CORPORATION                            854910205      134    23500 SH       OTHER                 17500              6000
D STAPLES INCORPORATED                            855030102       46     3262 SH       SOLE                   2532      730
D STAPLES INCORPORATED                            855030102     2073   146076 SH       OTHER                 90036             56040
D STARBUCKS CORPORATION                           855244109     1061    26486 SH       SOLE                  20456              6030
D STARBUCKS CORPORATION                           855244109       40      999 SH       SHARED                  999
D STARBUCKS CORPORATION                           855244109    26870   670699 SH       OTHER                594485             76214
D STARTEC GLOBAL COMMUNICATION                    85569E103      137    23050 SH       OTHER                 15100              7950
D STARWOOD HOTELS & RESORTS WORLD                 85590A203       46     1482 SH       SOLE                   1482
D STARWOOD HOTELS & RESORTS WORLD                 85590A203     3054    97723 SH       OTHER                 64773             32950
D STATE STREET CORPORATION                        857477103     1172     9015 SH       SOLE                   8765               250
D STATE STREET CORPORATION                        857477103    30441   234159 SH       OTHER                 87411            146748
D STATE STREET RESEARCH INVESTMEN                 857483101      296    20080 SH       OTHER                 20080
D STATE STREET                                    857991137   107394   416357 SH       OTHER                 86224            330133
D SSGA                                            857991160     4737    71704 SH       OTHER                 71704
D STATE STREET                                    857991178    86715  8247590 SH       OTHER               8247590
D STATE STREET                                    857991186    11706   247828 SH       OTHER                                  247828
D STEIN ROE INSTITUTIONAL                         85842R103      303    30389 SH       OTHER                 30389
D STEIN ROE                                       858420409      213   212529 SH       OTHER                198365             14164
D STEIN ROE                                       858421407       59    58963 SH       OTHER                 58963
D STEPAN COMPANY                                  858586100     1430    71266 SH       OTHER                  3507             67759
D STERICYCLE INCORPORATED                         858912108     6701   273521 SH       OTHER                210239             63282
D STERLING FINL CORP WASH                         859319105      187    16400 SH       OTHER                   500             15900
D STEWART & STEVENSON SERVICES                    860342104      185    10584 SH       OTHER                                   10584
D STEWART ENTERPRISES INCORPORATE                 860370105       66    34000 SH       OTHER                 18000             16000
D STEWART INFORMATION SERVICES CO                 860372101      176    11475 SH       OTHER                 11075               400
D STILWELL FINANCIAL INCORPORATED                 860831106     2960    68038 SH       OTHER                  6438             61600
D STMICROELECTRONICS NV                           861012AB8       78    60000 SH       OTHER
D STMICROELECTRONICS N V                          861012102     1184    24869 SH       SOLE                  24869
D STMICROELECTRONICS N V                          861012102     2293    48151 SH       OTHER                 43272              4879
D STONE CONTAINER CORPORATION                     861589AE9       43    51000 SH       OTHER
D STONE ENERGY INC                                861642106     3550    64550 SH       OTHER                 36150             28400
D STORA ENSO CORP                                 86210M106      167    20289 SH       OTHER                  5374             14915
D STORAGENETWORKS INCORPORATED                    86211E103      215     2105 SH       OTHER                   300              1805
D STORAGE TECHNOLOGY CORPORATION                  862111200      956    70476 SH       OTHER                 65476              5000
D STRATOS LIGHTWAVE INC                           863100103      268     8300 SH       OTHER                                    8300
D STRATTEC SECURITY CORPORATION                   863111100     1579    47500 SH       OTHER                 15000             32500
D STRIDE RITE CORPORATION                         863314100     1119   221000 SH       OTHER                                  221000
D STRONG COMMON STOCK FUND INC                    86334C109      390    14906 SH       OTHER                  8789              6117
D STRONG DISCOVERY FUND INC                       86334H108      206     9980 SH       OTHER                                    9980
D STRONG HERITAGE RESERVE SERIES                  86334M107     4543  4542636 SH       OTHER                                 4542636
D STRONG GOVERNMENT SECURITIES FU                 863344107      247    24008 SH       OTHER                                   24008
D STRONG HIGH YIELD                               863345104      486    54841 SH       OTHER                                   54841
D STRONG MUN FDS INC                              86335P208      966   195585 SH       OTHER                195585
D STRUCTURAL DYNAMICS                             863555108     4991   304800 SH       OTHER                 15500            289300
D STRYKER CORPORATION                             863667101       43     1000 SH       SOLE                   1000
D STRYKER CORPORATION                             863667101    14631   340736 SH       OTHER                171116            169620
D SUIZA FOODS CORPORATION                         865077101      984    19405 SH       OTHER                  6905             12500
D SUMITOMO BANK LIMITED                           865601108     2217   179000 SH       OTHER                179000
D SUMMIT BANCORP                                  866005101      717    20790 SH       OTHER                  7190             13600
D SUMMIT PROPERTIES INC                           866239106      339    14100 SH       OTHER                                   14100
D SUN LIFE FINANCIAL SERVICES                     866796105      410    19889 SH       OTHER                                   19889
D SUN MICROSYSTEMS INCORPORATED                   866810104    12752   109228 SH       SOLE                 105531      975     2722
D SUN MICROSYSTEMS INCORPORATED                   866810104      354     3030 SH       SHARED                 2730      300
D SUN MICROSYSTEMS INCORPORATED                   866810104   100348   859509 SH       OTHER                489450            370059
D SUNGARD DATA SYSTEM INCORPORATE                 867363103       48     1120 SH       SOLE                   1120
D SUNGARD DATA SYSTEM INCORPORATE                 867363103    14879   347535 SH       OTHER                150940            196595
D SUNSTATES CORPORATION                           86787R108       15   252162 SH       OTHER                252000               162
D SUNRISE MEDICAL INCORPORATED                    867910101      234    39000 SH       OTHER                  9000             30000
D SUNTRUST BANKS INCORPORATED                     867914103       25      500 SH       SOLE                    500
D SUNTRUST BANKS INCORPORATED                     867914103     8387   168376 SH       OTHER                 43126            125250
D SUPERIOR ENERGY SERVICES INC                    868157108      117    11100 SH       OTHER                 11100
D SUPERIOR INDUSTRIES INTERNATION                 868168105      795    26500 SH       OTHER                 16300             10200
D SUPERVALU INC                                   868536103       13      860 SH       SOLE                                      860
D SUPERVALU INC                                   868536103     1319    87540 SH       OTHER                  9340             78200
D SWIFT ENERGY CO                                 870738101      614    14761 SH       OTHER                  7261              7500
D SWIFT TRANSPORTATION INC                        870756103      278    21250 SH       OTHER                  6250             15000
D SWIRE PACIFIC LTD                               870794302      246    39410 SH       OTHER                  2460             36950
D SYBASE INC.                                     871130100     1527    66400 SH       OTHER                  8000             58400
D SYBRON INTERNATIONAL CORPORATIO                 87114F106      211     8800 SH       SOLE                                     8800
D SYBRON INTERNATIONAL CORPORATIO                 87114F106     4940   205843 SH       OTHER                 38625            167218
D SYCAMORE NETWORKS INCORPORATED                  871206108      644     5960 SH       OTHER                                    5960
D SYLVAN LEARNING SYSTEMS INC                     871399101      897    60570 SH       OTHER                 60570
D SYMANTEC CORPORATION                            871503108        9      200 SH       SHARED                                    200
D SYMANTEC CORPORATION                            871503108     1269    28835 SH       OTHER                  2360             26475
D SYMBOL TECHNOLOGIES                             871508107    11362   316155 SH       OTHER                218853             97302
D SYMYX TECHNOLOGIES                              87155S108      260     6000 SH       OTHER                                    6000
D SYMS CORPORATION                                871551107       61    15690 SH       OTHER                                   15690
D SYNAVANT INC.                                   87157A105        1      137 SH       SOLE                    137
D SYNAVANT INC.                                   87157A105                15 SH       SHARED                   15
D SYNAVANT INC.                                   87157A105      113    16873 SH       OTHER                 14400              2473
D SYNCOR INTERNATIONAL CORPORATIO                 87157J106     3247    88200 SH       OTHER                  5000             83200
D SYNOPSYS INC                                    871607107      993    26210 SH       OTHER                  5285             20925
D SYNTHETECH INC                                  87162E100      106    40000 SH       OTHER                 40000
D SYSCO CORPORATION                               871829107      296     6400 SH       SOLE                   6400
D SYSCO CORPORATION                               871829107     6254   135038 SH       OTHER                 31038            104000
D SYSTEMS & COMPUTER TECHNOLOGY                   871873AB1       22    25000 SH       SOLE
D SYSTEMS & COMPUTER TECHNOLOGY                   871873AB1      810   935000 SH       OTHER
D TBC CORPORATION                                 872180104       98    20000 SH       OTHER                 20000
D TCF BANKING & SAVINGS F A                       872275102      144     3822 SH       SOLE                   3822
D TCF BANKING & SAVINGS F A                       872275102      475    12625 SH       OTHER                  1900             10725
D TCW GALILEO FDS INC                             87234N872      270     8325 SH       OTHER                  8325
D TDK CORP                                        872351408      350     2720 SH       OTHER                  2720
D TIP PENN CAPITAL STRATEGIC                      87252R508      723    87877 SH       SOLE                                    87877
D TJX COMPANIES INCORPORATED                      872540109     5315   236200 SH       OTHER                 62600            173600
D T-NETIX INC                                     872597109      190    56200 SH       OTHER                                   56200
D TPA AMER INC                                    872605100             40216 SH       OTHER                 40216
D TRW INCORPORATED                                872649108     3215    79134 SH       OTHER                  4204             74930
D TMP WORLDWIDE INCORPORATED                      872941109     3116    38710 SH       SOLE                  33030              5680
D TMP WORLDWIDE INCORPORATED                      872941109        6       75 SH       SHARED                   75
D TMP WORLDWIDE INCORPORATED                      872941109     3119    38745 SH       OTHER                  1430             37315
D TCW REALTY FUND V                               872990122     2097  2096925 SH       OTHER                                 2096925
D TXU CORPORATION                                 873168108     3085    77843 SH       OTHER                 27303             50540
D TALBOTS INC                                     874161102      245     3700 SH       OTHER                                    3700
D TALISMAN ENERGY INC                             87425E103      605    17250 SH       OTHER                 13250              4000
D TALON INTERNATIONAL ENERGY LIMI                 874834104       96  1566666 SH       OTHER               1566666
D TARGET CORPORATION                              87612E106    13467   525533 SH       SOLE                 518023     2700     4810
D TARGET CORPORATION                              87612E106      262    10210 SH       SHARED                 9210      600      400
D TARGET CORPORATION                              87612E106    11964   466896 SH       OTHER                 80153            386743
D TEAM INCORPORATED                               878155100       69    23066 SH       OTHER                 23066
D TECH DATA CORPORATION                           878237106      926    21650 SH       OTHER                  3200             18450
D TECH SYM CORPORATION                            878308105      443    14800 SH       OTHER                  4200             10600
D TECHNE CORPORATION                              878377100     1449    12940 SH       OTHER                  1135             11805
D TECHNICLONE CORPORATION                         878517309       37    15000 SH       SOLE                  15000
D TECHNICLONE CORPORATION                         878517309       12     5000 SH       OTHER                  5000
D TECHNITROL INC                                  878555101      613     6065 SH       OTHER                   665              5400
D TECUMSEH PRODUCTS CO.                           878895200     2583    61675 SH       OTHER                  3600             58075
D TEKTRONIX INCORPORATED                          879131100     1314    17100 SH       OTHER                  1350             15750
D TELECOM ITALIA SPA                              87927W106      447     4255 SH       OTHER                    35              4220
D TELEBRAS                                        879287308      521     6580 SH       OTHER                  1010              5570
D TELECORP PCS INCORPORATED                       879299105     1662    87470 SH       OTHER                 56000             31470
D TELEFONICA SA                                   879382208     1293    21747 SH       SOLE                  21747
D TELEFONICA SA                                   879382208     2159    36317 SH       OTHER                 31398              4919
D TELEFONOS DE MEXICO SA                          879403780      166     3125 SH       SOLE                   3125
D TELEFONOS DE MEXICO SA                          879403780     2252    42335 SH       OTHER                 28796             13539
D TELEGLOBE INC                                   87941V100     1050    50000 SH       OTHER                 14000             36000
D TELEPHONE & DATA SYSTEM INCORPO                 879433100       25      225 SH       SOLE                    225
D TELEPHONE & DATA SYSTEM INCORPO                 879433100     2129    19230 SH       OTHER                  1430             17800
D TELLABS INCORPORATED                            879664100    10131   212169 SH       SOLE                 209809      950     1410
D TELLABS INCORPORATED                            879664100      287     6020 SH       SHARED                 5220      800
D TELLABS INCORPORATED                            879664100    34302   718371 SH       OTHER                464371            254000
D TEMPLETON DEVELOPING MARKETS TR                 88018W302     5574   482615 SH       OTHER                482615
D TEMPLETON EMERGING MARKETS                      880190103      395    43000 SH       OTHER                 12000             31000
D TEMPLETON FUNDS INCORPORATED                    880196100      245    13485 SH       OTHER                 13485
D TEMPLETON                                       880196209      133    13009 SH       SOLE                  13009
D TEMPLETON                                       880196209                 8 SH       SHARED                    8
D TEMPLETON                                       880196209     7209   704729 SH       OTHER                 46203            658527
D TEMPLETON GROWTH FUND INC                       880199104     1765    92505 SH       OTHER                 92505
D TENET HEALTHCARE CORPORATION                    88033GAD2       62    75000 SH       OTHER
D TENET HEALTHCARE CORP                           88033G100    10891   299421 SH       OTHER                 53321            246100
D TENNANT COMPANY                                 880345103      545    12325 SH       OTHER                  4325              8000
D TERADYNE INCORPORATED                           880770102       14      390 SH       SOLE                                      390
D TERADYNE INCORPORATED                           880770102     1805    51565 SH       OTHER                 18185             33380
D TERAYON COMMUNICATION SYS                       880775101       17      500 SH       SOLE                    500
D TERAYON COMMUNICATION SYS                       880775101      369    10880 SH       OTHER                  9400              1480
D TESORO PETROLEUM CORPORATION                    881609101      113    11400 SH       OTHER                  2000              9400
D TEVA PHARMACEUTICAL                             881624209     9996   136576 SH       OTHER                 12022            124554
D TEXACO INCORPORATED                             881694103      215     4096 SH       SOLE                   3782               314
D TEXACO INCORPORATED                             881694103       74     1400 SH       SHARED                 1400
D TEXACO INCORPORATED                             881694103    17746   338021 SH       OTHER                 94731            243290
D TEXAS BIOTECHNOLOGY CORP                        88221T104      181    11300 SH       OTHER                                   11300
D TEXAS INDUSTRIES INCORPORATED                   882491103       64     1996 SH       SOLE                   1996
D TEXAS INDUSTRIES INCORPORATED                   882491103     1185    37180 SH       OTHER                  9330             27850
D TEXAS INSTRUMENTS INCORPORATED                  882508104     4520    95797 SH       SOLE                  93857      675     1265
D TEXAS INSTRUMENTS INCORPORATED                  882508104      113     2400 SH       SHARED                 2200      200
D TEXAS INSTRUMENTS INCORPORATED                  882508104    30024   636260 SH       OTHER                160670            475590
D TEXAS REGIONAL BANCSHARES INC                   882673106      277     9750 SH       OTHER                                    9750
D TEXTRON INCORPORATED                            883203101     3656    79261 SH       OTHER                  4979             74282
D THERMA-WAVE INCORPORATED                        88343A108      360    12525 SH       OTHER                                   12525
D THERMO CARDIOSYSTEMS INC                        88355K200     2949   334597 SH       OTHER                  5500            329097
D THERMO FIBERGEN INC                             88355U109     2232   181300 SH       OTHER                  9000            172300
D THERMO FIBERGEN INC                             88355U117       68   181300 SH       OTHER                  9000            172300
D THERMO FIBERTEK INCORPORATED                    88355WAA3     1227  1465000 SH       OTHER
D THERMO FIBERTEK, INC.                           88355W105      101    24076 SH       OTHER                   454             23622
D THERMO ELECTRON CORPORATION                     883556AH5       88   100000 SH       OTHER
D THERMO ELECTRON CORPORATION                     883556102    21925   843275 SH       OTHER                132129            711146
D THIRD AVENUE VALUE                              884116104      952    24517 SH       OTHER                 10012             14505
D THOMAS & BETTS CORPORATION (TN)                 884315102      398    22800 SH       OTHER                  7800             15000
D 3DO CO                                          88553W105       76    11400 SH       OTHER                                   11400
D 3COM CORPORATION                                885535104      333    17338 SH       SOLE                  17338
D 3COM CORPORATION                                885535104       36     1853 SH       SHARED                 1853
D 3COM CORPORATION                                885535104     1124    58600 SH       OTHER                 26200             32400
D THREE-FIVE SYSTEMS INCORPORATED                 88554L108     1632    55801 SH       OTHER                  5501             50300
D 3EEE INCORPORATED                               88555D105       17    13984 SH       OTHER                                   13984
D TIBCO SOFTWARE INCORPORATED                     88632Q103     1113    13180 SH       OTHER                   180             13000
D TIDEWATER INCORPORATED                          886423102     4641   102000 SH       OTHER                 12270             89730
D TIFFANY & COMPANY NEW                           886547108      938    24320 SH       SOLE                  18625              5695
D TIFFANY & COMPANY NEW                           886547108     4950   128350 SH       OTHER                107850             20500
D TIMBERLAND CO                                   887100105     3961    96600 SH       OTHER                  5400             91200
D TIME WARNER INCORPORATED                        887315109     6074    77625 SH       SOLE                  75660      400     1565
D TIME WARNER INCORPORATED                        887315109      245     3125 SH       SHARED                 3125
D TIME WARNER INCORPORATED                        887315109   113333  1448348 SH       OTHER               1139015            309333
D TIMES MIRROR COMPANY                            887364AE7      667  1020000 SH       OTHER
D TIMKEN COMPANY                                  887389104        5      400 SH       SOLE                    400
D TIMKEN COMPANY                                  887389104      271    19800 SH       OTHER                 10800              9000
D TNT POST GROEP N V                              888742103      272    11700 SH       OTHER                 11700
D TOKIO MARINE & FIRE INSURANCE L                 889090403      307     6110 SH       OTHER                   270              5840
D TOLLGRADE COMMUNICATIONS INC                    889542106      648     4665 SH       OTHER                  1065              3600
D TOOTSIE ROLL INDUSTRIES                         890516107      227     5785 SH       OTHER                  3651              2134
D TOPPS INCORPORATED                              890786106      348    37900 SH       OTHER                  1400             36500
D TORCHMARK CORPORATION                           891027104       22      800 SH       SOLE                    800
D TORCHMARK CORPORATION                           891027104     4833   173755 SH       OTHER                 16055            157700
D TORO COMPANY                                    891092108      699    22200 SH       OTHER                 12000             10200
D TORRAY FD                                       891402109     7779   178455 SH       OTHER                178455
D TOSCO CORPORATION                               891490302     6417   205750 SH       OTHER                 46450            159300
D TOTAL RENAL CARE HOLDINGS                       89151AAA5       21    30000 SH       OTHER
D TOTAL RENAL CARE HOLDINGS INC                   89151AAC1       64    90000 SH       OTHER
D TOTAL FINA ELF SA ADR                           89151E109     1527    20791 SH       OTHER                  6426             14365
D TOWER AUTOMOTIVE INCORPORATED                   891707AE1      159   200000 SH       OTHER
D TOYOTA MOTOR LTD                                892331307      450     5730 SH       OTHER                    80              5650
D TOYS R US INC.(HOLDING CO)                      892335100      187    11500 SH       SOLE                                    11500
D TOYS R US INC.(HOLDING CO)                      892335100        5      300 SH       SHARED                  300
D TOYS R US INC.(HOLDING CO)                      892335100     8236   506830 SH       OTHER                 28630            478200
D TRANS WORLD AIRLINES                            893349C57      149    27347 SH       OTHER                                   27347
D TRANSATLANTIC HOLDINGS INCORPOR                 893521104      705     7625 SH       OTHER                                    7625
D TRANSCANADA PIPELINES LTD                       893526103      516    55400 SH       OTHER                   400             55000
D TRANSMATION INC                                 893757104       55    20000 SH       OTHER                                   20000
D TRANSPORT CORPORATION OF AMERIC                 89385P102     1886   301800 SH       OTHER                 60100            241700
D TRANSWITCH CORPORATION                          894065101     1692    26540 SH       OTHER                                   26540
D TRENWICK GROUP INCORPORATED                     895290104      190    10000 SH       OTHER                 10000
D TREX MEDICAL CORPORATION                        89531R101       25    20036 SH       OTHER                                   20036
D TRIAD HOSPITALS INCORPORATED                    89579K109                 6 SH       SHARED                    6
D TRIAD HOSPITALS INCORPORATED                    89579K109      396    13480 SH       OTHER                 10192              3288
D TRIARC COMPANIES INCORPORATED                   895927AB7       46   150000 SH       OTHER
D TRIARC COMPANIES INCORPORATED                   895927101      857    34800 SH       OTHER                                   34800
D TRICON GLOBAL RESTAURANTS                       895953107       39     1271 SH       SOLE                   1271
D TRICON GLOBAL RESTAURANTS                       895953107     9945   324719 SH       OTHER                 64870            259849
D TRINER JOSEPH CORPORATION                       895996106       44    14676 SH       SOLE                  14676
D TRIBUNE COMPANY NEW                             896047107      214     4900 SH       SOLE                   4900
D TRIBUNE COMPANY NEW                             896047107       17      400 SH       SHARED                  400
D TRIBUNE COMPANY NEW                             896047107    35953   824131 SH       OTHER                722154            101977
D TRIGON HEALTHCARE INCORPORATED                  89618L100     1346    25600 SH       OTHER                  3500             22100
D TRINITY INDUSTRIES INCORPORATED                 896522109      484    20700 SH       OTHER                   500             20200
D TRIQUINT SEMICONDUCTOR INCORPOR                 89674K103     2440    66970 SH       OTHER                 38470             28500
D TRUE NORTH COMMUNICATIONS, INC.                 897844106     1259    35205 SH       OTHER                 29605              5600
D TRUSTCO BK CORP N Y                             898349105      369    30000 SH       OTHER                                   30000
D TUMBLEWEED COMMUNICATIONS CO                    899690101      228     4470 SH       OTHER                                    4470
D TUT SYSTEMS INCORPORATED                        901103101      770     8920 SH       OTHER                  4170              4750
D TWEEDY BROWNE FUND INCORPORATED                 901165100     4531   201130 SH       OTHER                 42742            158387
D TWEEDY BROWNE                                   901165209     2262    92330 SH       OTHER                 92330
D TWEETER HOME ENTMT GROUP INC                    901167106      748    20600 SH       OTHER                  3400             17200
D 21ST CENTY INS GROUP                            90130N103     3079   181785 SH       OTHER                161100             20685
D TYCO INTERNATIONAL LIMITED                      902124106     3687    71079 SH       SOLE                  68659              2420
D TYCO INTERNATIONAL LIMITED                      902124106      253     4883 SH       SHARED                 4283               600
D TYCO INTERNATIONAL LIMITED                      902124106    92770  1788344 SH       OTHER               1221624            566720
D UAL CORPORATION                                 902549500       25      600 SH       SOLE                    600
D UAL CORPORATION                                 902549500     2419    57587 SH       OTHER                 54628              2959
D UAM FUND                                        902555432      371    24810 SH       OTHER                 24810
D UAM FUNDS INCORPORATED                          902555549     2426   165351 SH       OTHER                165351
D UAM FUNDS INCORPORATED                          902555598     3789   262920 SH       OTHER                                  262920
D UAM                                             902555796      781    46750 SH       OTHER                 46750
D U A M                                           902556307     1109    79968 SH       OTHER                                   79968
D UCBH HLDGS INC                                  90262T308      405    11300 SH       OTHER                                   11300
D UGI CORP NEW                                    902681105      204     8400 SH       OTHER                  2000              6400
D USX MARATHON GROUP                              902905827        4      158 SH       SOLE                    158
D USX MARATHON GROUP                              902905827     3326   117212 SH       OTHER                 22405             94807
D UST INCORPORATED                                902911106        9      400 SH       SOLE                    400
D UST INCORPORATED                                902911106     7888   344830 SH       OTHER                133390            211440
D U.S. BANCORP NEW                                902973106     4784   210295 SH       OTHER                 99185            111110
D U S REALTEL INCORPORATED                        902979103      321    69500 SH       OTHER                 69500
D USA NETWORKS INCORPORATED                       902984103     2222   101300 SH       OTHER                100100              1200
D U S DIAGNOSTIC LABS INCORPORATE                 90328QAB4       29    50000 SH       OTHER
D U S F & G CORPORATION                           903290AD6       75    90000 SH       OTHER
D USG CORP.                                       903293405     2138    85310 SH       OTHER                  2400             82910
D USEC INCORPORATED                               90333E108      459   108000 SH       OTHER                 93000             15000
D US ONCOLOGY INC                                 90338W103      294    64846 SH       OTHER                 37746             27100
D UTI ENERGY CORP                                 903387108      484    10842 SH       OTHER                  3842              7000
D UBIQUITEL INC                                   903474302      236    26200 SH       OTHER                 25000              1200
D ULTIMATE ELECTRS INC                            903849107      210     5100 SH       OTHER                                    5100
D USA EDUCATION INCORPORATED                      90390U102     8103   168152 SH       OTHER                  9670            158482
D ULTRAMAR DIAMOND SHAMROCK CORP                  904000106      743    29300 SH       OTHER                                   29300
D UNIBANCO                                        90458E107      611    18500 SH       OTHER                                   18500
D UNILEVER PLC                                    904767704      869    33123 SH       OTHER                  6066             27057
D UNILEVER N V                                    904784709       13      267 SH       SOLE                    267
D UNILEVER N V                                    904784709     1638    33944 SH       OTHER                 16925             17019
D UNICOM CORPORATION                              904911104      617    10984 SH       SOLE                  10784               200
D UNICOM CORPORATION                              904911104       85     1520 SH       SHARED                 1320               200
D UNICOM CORPORATION                              904911104     1662    29581 SH       OTHER                 18043             11538
D ULLICO                                          904990108     6362      975 SH       OTHER                                     975
D ULLICO                                          904990116     4204      644 SH       OTHER                   644
D UNION CARBIDE CORPORATION                       905581104       49     1300 SH       SHARED                 1300
D UNION CARBIDE CORPORATION                       905581104     1043    27629 SH       OTHER                 14929             12700
D UNION PACIFIC CORPORATION                       907818108       45     1148 SH       SOLE                   1148
D UNION PACIFIC CORPORATION                       907818108     5219   134250 SH       OTHER                 73060             61190
D UNION PLANTERS CORPORATION                      908068109     1010    30540 SH       OTHER                  2940             27600
D UNIONBANCAL CORP                                908906100      487    20900 SH       OTHER                                   20900
D UNISOURCE ENERGY CORP                           909205106        1       34 SH       SHARED                                     34
D UNISOURCE ENERGY CORP                           909205106      375    22900 SH       OTHER                  7200             15700
D UNISYS CORPORATION                              909214108        3      291 SH       SOLE                    291
D UNISYS CORPORATION                              909214108     1285   114210 SH       OTHER                 73124             41086
D UNIT CORP                                       909218109      620    42050 SH       OTHER                                   42050
D UNITED FIRE & CASUALTY COMPANY                  910331107     1448    83949 SH       OTHER                 38550             45399
D UNITED FUNDS                                    910450105      383    38922 SH       SOLE                  38922
D UNITED PARCEL SERVICE INC                       911312AB2      679   670000 SH       OTHER
D UNITED PARCEL SERVICE CLASS B                   911312106       39      700 SH       SOLE                    700
D UNITED PARCEL SERVICE CLASS B                   911312106        6      100 SH       SHARED                  100
D UNITED PARCEL SERVICE CLASS B                   911312106    17042   302290 SH       OTHER                211050             91240
D UNITED RENTALS INC                              911363109      258    10700 SH       OTHER                  4800              5900
D US CELLULAR CORPORATION                         911684AA6      205   305000 SH       OTHER
D UNITED STATES CELLULAR CORPORAT                 911684108      973    13900 SH       OTHER                  8600              5300
D U S INDUSTRIES INCORPORATED                     912080108     7993   804328 SH       OTHER                  7140            797188
D UNITED STATES TRUST CO BOSTON                   912880507    29393  2812744 SH       OTHER               2812744
D UNITED STATES TRUST CO BOSTON                   912880606    29771  2819181 SH       OTHER               2819181
D UNITED STATIONERS INCORPORATED                  913004107      922    34300 SH       OTHER                                   34300
D UNITED TECHNOLOGIES CORPORATION                 913017109     1203    17365 SH       SOLE                  16842      200      323
D UNITED TECHNOLOGIES CORPORATION                 913017109       92     1330 SH       SHARED                  730      200      400
D UNITED TECHNOLOGIES CORPORATION                 913017109    23448   338601 SH       OTHER                119713            218888
D UNITED TELEVISION INCORPORATED                  913066106      221     1500 SH       OTHER                                    1500
D UNITED THERAPEUTICS CORP DEL                    91307C102      201     2300 SH       OTHER                                    2300
D UNITEDHEALTH GROUP INCORPORATED                 91324P102       69      700 SH       SOLE                    700
D UNITEDHEALTH GROUP INCORPORATED                 91324P102     4112    41639 SH       OTHER                  1389             40250
D UNITEDGLOBALCOM INCORPORATED                    913247508      452    15060 SH       OTHER                  8000              7060
D UNITRIN INCORPORATED                            913275103      914    28858 SH       OTHER                 25858              3000
D UNIVERSAL AUTOMOTIVE INDS                       913378105      219   106000 SH       OTHER                                  106000
D UNIVERSAL COMPRESSION HLDGS                     913431102      229     7400 SH       OTHER                                    7400
D UNIVERSAL CORPORATION VIRGINIA                  913456109      720    24500 SH       OTHER                 14200             10300
D UNIVERSAL FOODS CORPORATION                     913538104       26     1300 SH       SHARED                                   1300
D UNIVERSAL FOODS CORPORATION                     913538104     2306   113175 SH       OTHER                  6350            106825
D UNIVERSAL HEALTH SERVICES                       913903100     1113    13000 SH       OTHER                                   13000
D UNIVISION COMMUNICATIONS INC                    914906102     4524   121050 SH       OTHER                 71820             49230
D UNOCAL CORPORATION                              91528T207     1363    29400 SH       OTHER                 25600              3800
D UNOCAL CORPORATION                              915289102       86     2418 SH       SHARED                                   2418
D UNOCAL CORPORATION                              915289102    12443   351122 SH       OTHER                 78549            272573
D UNUMPROVIDENT CORPORATION                       91529Y106       18      650 SH       SHARED                  650
D UNUMPROVIDENT CORPORATION                       91529Y106    19978   733130 SH       OTHER                611456            121674
D USFREIGHTWAYS CORP                              916906100      451    19900 SH       OTHER                  7700             12200
D URBAN SHOPPING CENTERS INCORPOR                 917060105     5768   121442 SH       OTHER                116742              4700
D UTILITIES INCORPORATED                          917990137      342    12000 SH       OTHER                 12000
D UTILICORP UNITED INCORPORATED                   918005109     6890   266264 SH       OTHER                139714            126550
D V F CORPORATION                                 918204108      774    31350 SH       OTHER                 11250             20100
D VALASSIS COMMUNICATIONS INC                     918866104      684    30748 SH       OTHER                                   30748
D VALHI INC NEW                                   918905AC4      364   500000 SH       OTHER
D VALERO REFNG & MARKETING CO                     91913Y100      558    15850 SH       OTHER                  2550             13300
D VALLEY NATL BANCORP                             919794107      236     8640 SH       OTHER                                    8640
D VALSPAR CORPORATION                             920355104       11      500 SH       SOLE                    500
D VALSPAR CORPORATION                             920355104      276    12000 SH       OTHER                 11000              1000
D VALUE CITY DEPARTMENT STORES                    920387107      173    20985 SH       OTHER                    10             20975
D VALUEVISION INTERNATIONAL INC                   92047K107     4360   173550 SH       OTHER                153850             19700
D VAN KAMPEN AMERN CAP SR INCM                    920961109       88    10000 SH       SOLE                  10000
D VAN KAMPEN AMERN CAP SR INCM                    920961109      219    25049 SH       OTHER                 25049
D VAN ECK FUNDS                                   921075503       48    10814 SH       OTHER                 10814
D VAN KAMPEN AMERICAN VALUE-A                     921133401      229    10148 SH       OTHER                 10148
D VAN KAMPEN SERIES FUND INCORPOR                 921133674      300    22478 SH       OTHER                 22478
D VAN KAMPEN FOCUS PORTFOLIOS                     92114N257      239    27292 SH       OTHER                 27292
D VAN WAGONER FUNDS INCORPORATED                  921280202      297     4877 SH       OTHER                  4877
D VAN WAGONER                                     921280301      464    12824 SH       OTHER                                   12824
D VANGUARD SPECIALIZED PORTFOLIO                  921908208      122    17425 SH       OTHER                                   17425
D VANGUARD SPECIALIZED PORTFOLIO                  921908307       87      666 SH       SOLE                    666
D VANGUARD SPECIALIZED PORTFOLIO                  921908307       68      519 SH       SHARED                  519
D VANGUARD SPECIALIZED PORTFOLIO                  921908307       70      537 SH       OTHER                                     537
D VANGUARD STAR FUND                              921909107     1645    88875 SH       OTHER                 88875
D VANGUARD                                        921909602      297    23683 SH       OTHER                  1764             21919
D VANGUARD                                        921910105      443     9562 SH       SOLE                   9562
D VANGUARD                                        921910105    19246   415501 SH       OTHER                411444              4058
D VANGUARD WORLD FUND                             921910204       23     1100 SH       SOLE                   1100
D VANGUARD WORLD FUND                             921910204       55     2669 SH       SHARED                 2669
D VANGUARD WORLD FUND                             921910204     8314   399871 SH       OTHER                 90828            309042
D VANGUARD OHIO INSURED LONG-TERM                 921929204      550    48290 SH       OTHER                 48290
D VANGUARD FIXED INCOME SECURITIE                 921932208      221    22130 SH       OTHER                 22130
D VANGUARD ADMIRAL                                921932307      264    25855 SH       OTHER                 25855
D VANGUARD / WELLINGTON FUND                      921935102     2028    72116 SH       OTHER                 56437             15679
D VANGUARD TOTAL BOND MARKET                      921937108    12493  1270280 SH       OTHER               1107841            162438
D VANGUARD BOND INDEX FUND INC                    921937306     5911   610036 SH       OTHER                610036
D VANGUARD BOND INDEX FUND INC                    921937504    24822  2548476 SH       OTHER                 20751           2527724
D VANGUARD / WINDSOR FUND                         922018106      644    40077 SH       OTHER                 20115             19962
D VANGUARD / WINDSOR FUND INC                     922018205     5461   201440 SH       OTHER                201440
D VANGUARD FIXED INCOME SEC FD                    922031208       24     3402 SH       SHARED                 3402
D VANGUARD FIXED INCOME SEC FD                    922031208       97    13793 SH       OTHER                                   13793
D VANGUARD FIXED INCOME                           922031307       53     5277 SH       SOLE                                     5277
D VANGUARD FIXED INCOME                           922031307      393    39037 SH       OTHER                 28429             10609
D VANGUARD FIXED INCOME                           922031406      189    17844 SH       OTHER                 17844
D VANGUARD FIXED INCOME SECURTIES                 922031802      149    14319 SH       OTHER                 14319
D VANGUARD INSTITUTIONAL INDEX FU                 922040100    80331   611720 SH       OTHER                163756            447964
D VANGUARD INTERNATIONAL EQUITY                   922042106      137    13154 SH       OTHER                                   13154
D VANGUARD INTL EQUITY INDEX FUND                 922042205       11      439 SH       SOLE                    439
D VANGUARD INTL EQUITY INDEX FUND                 922042205      244     9393 SH       OTHER                                    9393
D VARCO INTERNATIONAL INCORPORATE                 922122106      525    25225 SH       OTHER                 20805              4420
D VARIAN MED SYS INC                              92220P105     1071    23700 SH       OTHER                                   23700
D VARIAN INCORPORATED                             922206107      348     8090 SH       OTHER                  2290              5800
D VARIAN SEMICONDUCTOR EQUIPMENT                  922207105      423    11286 SH       OTHER                  1100             10186
D VECTREN CORPORATION                             92240G101       22     1065 SH       SOLE                   1065
D VECTREN CORPORATION                             92240G101      259    12756 SH       OTHER                  2028             10728
D VEECO INSTRUMENTS INCORPORATED                  922417100      554     5210 SH       OTHER                                    5210
D VENTANA MEDICAL SYSTEMS INCORPO                 92276H106      980    38625 SH       OTHER                 30625              8000
D VENTIV HEALTH INC                               922793104      224    17766 SH       OTHER                 17766
D VANGUARD MONEY MARKET RESERVES                  922906201      170   170052 SH       OTHER                170052
D VANGUARD MONEY MARKET RESERVES                  922906508    21982  1981833 SH       OTHER               1981833
D VANGUARD MUNICIPAL BOND FUND IN                 922907209      193    14829 SH       SOLE                  14829
D VANGUARD MUNICIPAL BOND FUND IN                 922907209       76     5854 SH       OTHER                                    5854
D VANGUARD INDEX 500 FUND                         922908108      110      831 SH       SOLE                    831
D VANGUARD INDEX 500 FUND                         922908108      504     3802 SH       SHARED                 3802
D VANGUARD INDEX 500 FUND                         922908108    59545   449076 SH       OTHER                273132            175944
D VANGUARD INDEX TRUST                            922908207     6980   185886 SH       OTHER                 37549            148336
D VANGUARD INDEX TRUST                            922908306       28      845 SH       SOLE                    845
D VANGUARD INDEX TRUST                            922908306    19644   599255 SH       OTHER                588931             10324
D VANGUARD INDEX TRUST                            922908405     1075    46363 SH       OTHER                  1122             45241
D VANGUARD INDEX TRUST                            922908504     1720    46720 SH       OTHER                 14171             32549
D VANGUARD INDEX TRUST                            922908702       15      600 SH       SOLE                    600
D VANGUARD INDEX TRUST                            922908702     9107   372639 SH       OTHER                358167             14472
D VANGUARD INDEX TRUST                            922908793      268    18114 SH       OTHER                 18114
D VANGUARD INDEX TR                               922908850    10477   451999 SH       OTHER                                  451999
D VENATOR GROUP INCORPORATED                      922944103        4      324 SH       SOLE                    324
D VENATOR GROUP INCORPORATED                      922944103      159    12870 SH       OTHER                   670             12200
D VANGUARD RETIREMENT SAVINGS TRU                 922990130      491   491413 SH       OTHER                491413
D VERISIGN INCORPORATED                           92343E102     6657    32862 SH       OTHER                  4864             27998
D VERIZON COMMUNICATIONS                          92343V104     1929    39825 SH       SOLE                  38169      250     1406
D VERIZON COMMUNICATIONS                          92343V104      469     9687 SH       SHARED                 7593              2094
D VERIZON COMMUNICATIONS                          92343V104    43137   890569 SH       OTHER                347646            542923
D VERITAS SOFTWARE CORPORATION                    923436109      142     1001 SH       SOLE                   1001
D VERITAS SOFTWARE CORPORATION                    923436109    15923   112132 SH       OTHER                 21678             90454
D VERSUS TECHNOLOGY INC                           925313108       54   167500 SH       OTHER                 67500            100000
D VERTEX PHARMACEUTICALS INC                      92532F100      797     9435 SH       OTHER                  2485              6950
D VETERINARY CENTERS OF AMERICA,                  925514135      316    21252 SH       OTHER                                   21252
D VETERINARY CENTERS OF AMERICA,                  925514143      247    16631 SH       OTHER                                   16631
D VIAD CORPORATION                                92552R109        8      300 SH       SHARED                                    300
D VIAD CORPORATION                                92552R109     3968   149370 SH       OTHER                 17370            132000
D VIASAT INCORPORATED                             92552V100      577    25800 SH       OTHER                 18800              7000
D VIACOM INCORPORATED                             925524100       28      475 SH       SOLE                    475
D VIACOM INCORPORATED                             925524100      908    15520 SH       OTHER                   360             15160
D VIACOM INCORPORATED                             925524308     9293   158852 SH       SOLE                 157262      750      840
D VIACOM INCORPORATED                             925524308       53      900 SH       SHARED                  900
D VIACOM INCORPORATED                             925524308    57701   986348 SH       OTHER                648013            338335
D VIASYSTEMS GROUP INCORPORATED                   92553H100     1036    60940 SH       OTHER                                   60940
D VINTAGE PETE INC                                927460105      772    33950 SH       OTHER                  2550             31400
D VIRGINIA CAP BANCSHARES INC                     927758102      602    35000 SH       OTHER                 17000             18000
D VIROPHARMA INCORPORATED                         928241AA6      211   500000 SH       OTHER
D VISHAY INTERTECHNOLOGY INCORPOR                 928298108     1054    34287 SH       OTHER                 24476              9811
D VISTEON CORPORATION                             92839U107       15     1019 SH       SOLE                    586               433
D VISTEON CORPORATION                             92839U107        2      131 SH       SHARED                  131
D VISTEON CORPORATION                             92839U107     1862   123133 SH       OTHER                 46358             76774
D VISX INCORPORATED DELAWARE                      92844S105        4      150 SH       SOLE                    150
D VISX INCORPORATED DELAWARE                      92844S105      277    10280 SH       OTHER                  2600              7680
D VITESSE SEMICONDUCTOR CORP                      928497106    24245   272605 SH       SOLE                 263195      450     8960
D VITESSE SEMICONDUCTOR CORP                      928497106      218     2450 SH       SHARED                 2450
D VITESSE SEMICONDUCTOR CORP                      928497106     4413    49620 SH       OTHER                 14210             35410
D VIVENDI SA                                      92851S105      539    36390 SH       SOLE                  36390
D VIVENDI SA                                      92851S105      509    34395 SH       OTHER                  7795             26600
D VODAFONE GROUP PLC                              92857W100     1789    48345 SH       SOLE                  47595               750
D VODAFONE GROUP PLC                              92857W100      179     4845 SH       SHARED                 4345               500
D VODAFONE GROUP PLC                              92857W100    84373  2280348 SH       OTHER               2037046            243302
D VOICESTREAM WIRELESS CORP                       928615103      575     4950 SH       SOLE                   4950
D VOICESTREAM WIRELESS CORP                       928615103     2330    20079 SH       OTHER                  3990             16089
D VOYAGEUR COLORADO INSURED                       92907B106      472    35100 SH       OTHER                 35100
D VULCAN MATERIALS COMPANY                        929160109     2656    66100 SH       OTHER                 43300             22800
D WD-40 COMPANY                                   929236107      699    32900 SH       OTHER                 30200              2700
D WPS RESOURCES CORPORATION                       92931B106      105     3200 SH       SOLE                   3200
D WPS RESOURCES CORPORATION                       92931B106      177     5405 SH       OTHER                  2905              2500
D WRP CORP                                        929317105       23    15000 SH       OTHER                                   15000
D WABASH NATIONAL CORPORATION                     929566107     1140   124900 SH       OTHER                124000               900
D WACHOVIA CORPORATION                            929771103      136     2400 SH       SOLE                   2400
D WACHOVIA CORPORATION                            929771103     1782    31438 SH       OTHER                 20408             11030
D WADDELL & REED FINANCIAL INC                    930059100     1064    34335 SH       OTHER                 25023              9312
D WADDELL & REED FINANCIAL INC                    930059209      371    12792 SH       OTHER                   292             12500
D WAL-MART STORES INCORPORATED                    931142103    12721   264332 SH       SOLE                 259332      975     4025
D WAL-MART STORES INCORPORATED                    931142103      468     9735 SH       SHARED                 9735
D WAL-MART STORES INCORPORATED                    931142103    70031  1455183 SH       OTHER                917192            537991
D WALGREEN COMPANY                                931422109     9116   240293 SH       SOLE                 236453     3100      740
D WALGREEN COMPANY                                931422109     2952    77800 SH       SHARED                77000               800
D WALGREEN COMPANY                                931422109   147106  3877534 SH       OTHER               2780390           1097144
D WALLACE COMPUTER SERVICES                       932270101      741    48584 SH       OTHER                 37999             10585
D WALTER INDS INC                                 93317Q105       89    10000 SH       OTHER                 10000
D WARBURG PINCUS                                  933911109     2377   113661 SH       OTHER                                  113661
D WELLINGTON TRUST                                933911141    12997   445101 SH       OTHER                445101
D WASHINGTON FEDERAL INCORPORATED                 938824109     3669   161270 SH       OTHER                  9800            151470
D WASHINGTON GROUP INTL INC                       938862109      229    20000 SH       OTHER                                   20000
D WASHINGTON MUTUAL INCORPORATED                  939322103      291     7303 SH       SOLE                   1653              5650
D WASHINGTON MUTUAL INCORPORATED                  939322103    27146   681848 SH       OTHER                 37053            644795
D WASHINGTON MUTUAL INVESTORS                     939330106       43     1448 SH       SOLE                   1448
D WASHINGTON MUTUAL INVESTORS                     939330106    18302   613939 SH       OTHER                405447            208492
D WASHINGTON POST COMPANY                         939640108       26       50 SH       SOLE                     50
D WASHINGTON POST COMPANY                         939640108     1672     3168 SH       OTHER                  1643              1525
D WASTE MANAGEMENT INCORPORATED                   94106L109       13      725 SH       SOLE                    725
D WASTE MANAGEMENT INCORPORATED                   94106L109     6414   367811 SH       OTHER                 91992            275819
D WATERS CORPORATION                              941848103     2144    24092 SH       OTHER                  5392             18700
D WATSON PHARMACEUTICALS INC                      942683103      977    15059 SH       SOLE                  10404              4655
D WATSON PHARMACEUTICALS INC                      942683103        6      100 SH       SHARED                  100
D WATSON PHARMACEUTICALS INC                      942683103     1634    25190 SH       OTHER                 11390             13800
D WAUSAU-MOSINEE PAPER COMPANY                    943315101      375    48400 SH       OTHER                 11000             37400
D WEATHERFORD INTL INC NEW                        947074100     1872    43528 SH       OTHER                 11325             32203
D WEBMETHODS INCORPORATED                         94768C108      821     7135 SH       OTHER                  4227              2908
D WEBMD CORPORATION                               94769M105      173    11353 SH       OTHER                  6004              5349
D WEBSTER FINANCIAL CORPORATION                   947890109     5233   194256 SH       OTHER                 15256            179000
D WEBTRENDS CORP                                  94844D104      202     5400 SH       OTHER                                    5400
D WEIS MARKETS INCORPORATED                       948849104      194     4900 SH       SOLE                                     4900
D WEIS MARKETS INCORPORATED                       948849104     6505   163900 SH       OTHER                  6000            157900
D WEITZ SERIES FUND INCORPORATED                  949045108      404    12080 SH       OTHER                 12080
D WELLINGTON TRUST COMPANY                        949527A47     5459   533601 SH       OTHER                                  533601
D WELLMAN INCORPORATED                            949702104      221    15300 SH       OTHER                   100             15200
D WELLPOINT HEALTH NETWORK                        94973HAA6      911  1160000 SH       OTHER
D WELLPOINT HEALTH NETWORKS DEL                   94973H108     1636    17045 SH       OTHER                  1670             15375
D WELLS FARGO COMPANY                             949746101     5088   110751 SH       SOLE                 108521      300     1930
D WELLS FARGO COMPANY                             949746101      181     3950 SH       SHARED                 3450      500
D WELLS FARGO COMPANY                             949746101    60390  1314590 SH       OTHER                526724            787866
D WELLS GARDNER ELECTRONICS                       949765101       33    14380 SH       OTHER                 14380
D WELLSFORD REAL PPTYS INC                        950240200     1831    92700 SH       OTHER                 34350             58350
D WENDYS INTERNATIONAL INCORPORAT                 950590109        5      230 SH       SHARED                  230
D WENDYS INTERNATIONAL INCORPORAT                 950590109     4095   204120 SH       OTHER                 23620            180500
D WERNER ENTERPRISES INCORPORATED                 950755108        7      600 SH       SOLE                    600
D WERNER ENTERPRISES INCORPORATED                 950755108      283    24065 SH       OTHER                                   24065
D WESCO FINANCIAL CORPORATION                     950817106    17454    69537 SH       OTHER                  9230             60307
D WESTELL TECHNOLOGIES INC                        957541105        6      500 SH       SOLE                    500
D WESTELL TECHNOLOGIES INC                        957541105      987    76665 SH       OTHER                 55665             21000
D WESTERN WIRELESS CORP                           95988E204     1451    40740 SH       OTHER                   410             40330
D WESTVACO CORPORATION                            961548104     1100    41219 SH       OTHER                 14219             27000
D WESTWOOD ONE INCORPORATED                       961815107     2712   126500 SH       OTHER                 92000             34500
D WEYCO GROUP INC.                                962149100     1872    74064 SH       OTHER                 69060              5004
D WEYCO GROUP INCORPORATED                        962149209     1293    50652 SH       OTHER                 45648              5004
D WEYERHAEUSER COMPANY                            962166104       20      500 SH       SOLE                    500
D WEYERHAEUSER COMPANY                            962166104     3663    90720 SH       OTHER                 11638             79082
D WHARF HOLDINGS                                  962257994       36    15000 SH       OTHER                 15000
D WHIRLPOOL CORPORATION                           963320106     1288    33132 SH       OTHER                 13400             19732
D WHITEHALL JEWELLERS INC                         965063100      119    14950 SH       OTHER                                   14950
D WHITMAN CORPORATION                             96647R107     3053   264054 SH       OTHER                253829             10225
D WHITNEY HOLDING CO                              966612103      545    14995 SH       OTHER                  1000             13995
D WHOLE FOODS MARKET INCORPORATED                 966837106     9292   173065 SH       OTHER                  5565            167500
D WILEY JOHN & SONS INC                           968223206      232    10100 SH       OTHER                                   10100
D WILLAMETTE INDUSTRIES INCORPORA                 969133107      215     7675 SH       OTHER                  7055               620
D WILLIAMS COMPANIES INCORPORATED                 969457100       61     1450 SH       SOLE                                     1450
D WILLIAMS COMPANIES INCORPORATED                 969457100    14333   339240 SH       OTHER                130790            208450
D FBP CONTRARIAN                                  969557206      806    38839 SH       OTHER                 38839
D WILLIAMS SONOMA INCORPORATED                    969904101      799    22990 SH       SOLE                  17990              5000
D WILLIAMS SONOMA INCORPORATED                    969904101     3667   105533 SH       OTHER                 70223             35310
D W.M. BARR AND COMPANY INCORPORA                 969999028    26896  1600000 SH       OTHER                912248            687752
D WINTRUST FINANCIAL CORPORATION                  97650W108      346    20370 SH       OTHER                 15273              5097
D WISCONSIN CENTRAL                               976592105     5618   531873 SH       OTHER                505918             25955
D WISCONSIN ENERGY CORPORATION                    976657106       90     4515 SH       SOLE                   4515
D WISCONSIN ENERGY CORPORATION                    976657106      665    33342 SH       OTHER                 21442             11900
D WISCONSIN REAL ESTATE INVT T                    977011105       30    58200 SH       OTHER                 58100               100
D WIT SOUNDVIEW GROUP INC                         977383108      211    23400 SH       OTHER                                   23400
D WOODLEY                                         979990108     6215    56683 SH       OTHER                 56683
D WOODLEY                                         979990116    89706   793000 SH       OTHER                793000
D WOODLEY                                         979990132    42062   415000 SH       OTHER                415000
D WORLD ACCESS INCORPORATED                       98141A101      288    53225 SH       OTHER                 53225
D WORLDWAY CORPORATION                            98155FAA1       16    20000 SH       OTHER
D WORLDCOM INCORPORATED                           98157D106    10608   349241 SH       SOLE                 344926      500     3815
D WORLDCOM INCORPORATED                           98157D106      419    13792 SH       SHARED                12742     1050
D WORLDCOM INCORPORATED                           98157D106   157555  5187002 SH       OTHER               4065952           1121050
D WRIGLEY WILLIAM JR COMPANY                      982526105      799    10670 SH       SOLE                  10670
D WRIGLEY WILLIAM JR COMPANY                      982526105     3388    45251 SH       OTHER                 38082              7169
D WYNDHAM INTL INC                                983101106        2     1000 SH       SOLE                   1000
D WYNDHAM INTL INC                                983101106       45    25000 SH       OTHER                                   25000
D XCEL ENERGY INCORPORATED                        98389B100      212     7712 SH       SOLE                   7712
D XCEL ENERGY INCORPORATED                        98389B100       21      775 SH       SHARED                  775
D XCEL ENERGY INCORPORATED                        98389B100     2817   102419 SH       OTHER                 55374             47045
D XILINX INC                                      983919101    11630   135825 SH       SOLE                 134265      375     1185
D XILINX INC                                      983919101       78      915 SH       SHARED                  915
D XILINX INC                                      983919101    11373   132822 SH       OTHER                 64332             68490
D XIRCOM INCORPORATED                             983922105        3      100 SH       SOLE                                      100
D XIRCOM INCORPORATED                             983922105      203     8050 SH       OTHER                   250              7800
D XEROX CORPORATION                               984121BB8      459   900000 SH       OTHER
D XEROX CORPORATION                               984121103       18     1188 SH       SOLE                    988               200
D XEROX CORPORATION                               984121103     4234   281113 SH       OTHER                 82850            198263
D YAHOO INCORPORATED                              984332106       91     1000 SH       SOLE                   1000
D YAHOO INCORPORATED                              984332106        5       50 SH       SHARED                   50
D YAHOO INCORPORATED                              984332106     3353    36844 SH       OTHER                  9744             27100
D YOUNG & RUBICAM INCORPORATED                    987425AC9       29    30000 SH       OTHER
D YOUNG & RUBICAM INCORPORATED                    987425105      319     6450 SH       OTHER                  6050               400
D Z TEL TECHNOLOGIES INC                          988792107       73    10000 SH       OTHER                 10000
D ZALE CORPORATION                                988858106     1401    43175 SH       OTHER                  1100             42075
D ZANY BRAINY INC                                 98906Q101       39    19250 SH       OTHER                                   19250
D ZEBRA TECHNOLOGY                                989207105       48     1000 SH       SOLE                   1000
D ZEBRA TECHNOLOGY                                989207105     3701    76995 SH       OTHER                 56630             20365
D ZIONS BANCORPORATION                            989701107     1071    20941 SH       SOLE                  16341              4600
D ZIONS BANCORPORATION                            989701107      242     4740 SH       OTHER                  2320              2420
D ZURICH ALLIED AG                                98981P101      301     3259 SH       OTHER                   608              2651
D ZYGO CORPORATION                                989855101      496     5700 SH       OTHER                                    5700
D BANK OF AMERICA                                 991252206     2904    40599 SH       OTHER                 40599
S REPORT SUMMARY               3643 DATA RECORDS            20343706
</TABLE>


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