UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F
FORM 13F COVER PAGE
Report for the Calendar Year or Quarter Ended: June 30, 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 June 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: 3675
Form 13F Information Table Value Total: $19,946,758
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 1600 61620 SH OTHER 61620
D LERNOUT & HAUSPIE SPEECH PRODUC B5628B104 648 14700 SH OTHER 14700
D BAYER A G D07112119 2288 59330 SH OTHER 58580 750
D DAIMLERCHRYSLER AG D1668R123 31 604 SH SOLE 604
D DAIMLERCHRYSLER AG D1668R123 610 11709 SH OTHER 6190 5519
D DRESDNER BANK AG D22995134 3119 76545 SH OTHER 76545
D EPCOS AG MUENCHEN D2491H100 2145 17491 SH OTHER 17491
D MARSCHOLLEK LAUT UND PART-VO D52400104 2753 5789 SH OTHER 5789
D MUENCHENER RUECKVERSICHERUNGS D55535104 203 690 SH OTHER 690
D SIEMENS AG D69671218 3485 23537 SH OTHER 22587 950
D BANCO BILBAO VIZCAYA ARGENTARIA E12190182 2420 173034 SH OTHER 173034
D UNION ELECTRICA FENOSA SA E93171119 2586 124083 SH OTHER 124083
D BANQUE NATIONALE DE PARIS BNP F07875192 2272 25188 SH OTHER 25188
D CAP GEMINI SA EUR 8 F13587120 3880 20710 SH OTHER 20710
D SCOR NPV F15561107 1147 27949 SH OTHER 27949
D FRANCE TELECOM SA EUR4 F4113C103 1542 10563 SH OTHER 10563
D VIVENDI (EX-GEN DES EAUX) SA F43281116 3490 32542 SH OTHER 32542
D TOTAL FINA SA F92124100 3333 21165 SH OTHER 21165
D J FOR JOBS GA0007352 3973 622 SH OTHER 622
D THE PRUDENTIAL ASSET MGMT GROUP GA0007881 3982 1354 SH OTHER 1354
D ABBEY NATIONAL PLC G0016Z107 729 54900 SH OTHER 54900
D ACE LIMITED G0070K103 2470 88203 SH OTHER 26053 62150
D ALLIED IRISH BKS P L C G02072117 2187 237118 SH OTHER 237118
D AMDOCS LTD G02602103 640 8345 SH OTHER 1701 6644
D ANNUITY AND LIFE RE HOLDINGS G03910109 1666 68000 SH OTHER 28400 39600
D SAFEWAY PLC G04704113 143 38830 SH OTHER 38830
D AUTONOMY CORPORATION PLC G0669T101 1042 9600 SH OTHER 9600
D BARCLAYS PLC G08036108 1298 50000 SH OTHER 50000
D BP AMOCO PLC G15596110 1356 149000 SH OTHER 149000
D BRITISH TELECOMMUNICATIONS PLC G15820114 1684 115810 SH OTHER 112900 2910
D CALEDONIA INVESTMENTS PLC G17640106 810 79260 SH OTHER 79260
D CREIGHTON LABORATORIES PLC G25340103 17 112500 SH OTHER 112500
D DEVRO PLC G2743R101 1926 2475000 SH OTHER 2475000
D EARTHPORT.COM PLC G29014118 25 12500 SH OTHER 12500
D ED & F MAN GROUP PLC G2926X107 977 128800 SH OTHER 128800
D EMESS PLC G30324118 22 43000 SH SOLE 43000
D EVEREST RE GROUP LTD G3223R108 1517 46150 SH OTHER 37450 8700
D FIDELITY ADVISOR G33979108 765 40416 SH SOLE 40416
D GEMSTAR INTERNATIONL GRP LTD G3788V106 1874 30495 SH OTHER 10135 20360
D GKN PLC G39004182 1122 81100 SH OTHER 81100
D GLOBAL CROSSING LIMITED G3921A100 25 950 SH SOLE 950
D GLOBAL CROSSING LIMITED G3921A100 1588 60367 SH OTHER 46143 14224
D GLOBALSTAR TELECOMMUNICATION G3930H104 383 42575 SH OTHER 11475 31100
D GREAT UNIVERSAL STORES PLC G40768106 770 124600 SH OTHER 124600
D HONGKONG LD HLDGS LTD G4587L109 674 435000 SH OTHER 435000
D INVENSYS PLC G49133104 1283 266700 SH OTHER 266700
D LASMO PLC G53831106 27 15000 SH OTHER 15000
D LLOYDS TSB PLC G5542W106 1623 150000 SH OTHER 150000
D LORAL SPACE & COMMUNICATION LIM G56462107 7 1000 SH SOLE 1000
D LORAL SPACE & COMMUNICATION LIM G56462107 1212 174735 SH OTHER 170060 4675
D OXFORD MOLECULAR GROUP PLC G6840D105 43 110000 SH OTHER 110000
D PARTNERRE LTD G6852T105 2788 78659 SH OTHER 7659 71000
D PENINSULAR & ORIENT STEAM NAVIG G71710142 1203 114700 SH OTHER 114700
D PXRE GROUP LTD G73018106 332 24569 SH OTHER 24569
D RECKITT BENCKISER PLC G7423K110 144 13180 SH OTHER 13180
D RENAISSANCERE HOLDINGS LTD G7496G103 420 9650 SH OTHER 1450 8200
D RIO TINTO PLC G75754104 1005 68400 SH OTHER 68400
D ROYAL BANK OF SCOTLAND GROUP PL G76891111 1376 83720 SH OTHER 83720
D SANTA FE INTERNATIONAL CORP G7805C108 2586 74019 SH OTHER 48505 25514
D SMITHKLINE BEECHAM PLC G8232L174 1403 110000 SH OTHER 110000
D SMITH & NEPHEW ASSOC PLC G82343107 42 15500 SH OTHER 15500
D SMURFIT JEFFERSON GROUP LTD G82459119 373 217000 SH OTHER 217000
D ROYAL SUN ALLIANCE GROUP PLC G8566X133 128 21444 SH OTHER 21444
D TELEWEST COMMUNICATIONS PLC G8742C102 452 110900 SH OTHER 110900
D TOMKINS PLC G89158136 1798 630700 SH OTHER 630700
D TRANSOCEAN SEDCO FORDEX INC G90078109 33 623 SH SOLE 623
D TRANSOCEAN SEDCO FORDEX INC G90078109 3 57 SH SHARED 57
D TRANSOCEAN SEDCO FORDEX INC G90078109 7769 145390 SH OTHER 36527 108863
D TRITON ENERGY LIMITED G90751101 1156 29400 SH OTHER 29400
D VODAFONE AIRTOUCH PLC G9387S105 15 3246 SH SOLE 3246
D VODAFONE AIRTOUCH PLC G9387S105 3488 763540 SH OTHER 752300 11240
D WHITE MOUNTAINS INSURANCE GROUP G9618E107 798 4985 SH OTHER 1685 3300
D WIMPEY GEORGE PLC G96872109 28 16900 SH OTHER 16900
D WINDSOR PLC G97017100 32 133000 SH OTHER 133000
D XL CAPITAL LIMITED G98255105 2162 39941 SH OTHER 14516 25425
D NESTLE SA, CHAM ET VEVEY H57312227 1241 650 SH OTHER 650
D NEUE ZUERCHER ZEITUNG, ZUERICH, H57512107 5741 61 SH OTHER 21 40
D NOVARTIS AG, BASEL H5820Q101 4724 3200 SH OTHER 3200
D ROCHE HOLDING AG-GENUSSSHEIN H69293118 2396 227 SH OTHER 227
D SCHINDLER HOLDING AG H72588132 1010 650 SH OTHER 650
D ZURICH ALLIED AG H98469366 2738 5564 SH OTHER 5564
D FUJI MACHINE MANUFACTURING COMP J14910103 1689 35000 SH OTHER 35000
D FUJI PHOTO FILM COMPANY LIMITED J15036122 1954 56000 SH OTHER 56000
D KURITA WATER INDUSTRIES LIMITED J37221116 2328 111000 SH OTHER 111000
D MATSUSHITA COMMUNICATION INDUST J41035106 2153 20000 SH OTHER 20000
D MINEBEA COMPANY LIMITED J42884130 625 52900 SH OTHER 52900
D MITSUBISHI HEAVY INDS LTD J44002129 351 101000 SH OTHER 101000
D MITSUI & COMPANY LIMITED J44690139 2656 378000 SH OTHER 378000
D NISSHIN STEEL CO LIMITED J57805103 16 15000 SH OTHER 15000
D NOMURA SECURITIES COMPANY LIMIT J59009159 2571 103000 SH OTHER 103000
D NTT MOBILE COMMUNICATIONS J60990132 1832 71 SH OTHER 71
D OMRON CORPORATION J61374120 2168 84000 SH OTHER 84000
D ROHM COMPANY LIMITED J65328122 2183 7000 SH OTHER 7000
D SECOM CO LIMITED J69972107 1965 29000 SH OTHER 29000
D SHARP CORPORATION J71434112 2413 134000 SH OTHER 134000
D SHIN-ETSU CHEMICAL COMPANY LIMI J72810120 914 48000 SH OTHER 48000
D TDK CORP J82141136 2092 17000 SH OTHER 17000
D UNI-CHARM CORPORATION J94104114 2105 36000 SH OTHER 36000
D YAMANOUCHI PHARMACEUTICAL CO LT J96216122 1960 43000 SH OTHER 43000
D YOKOHAMA RUBBER COMPANY LIMITED J97536122 26 11000 SH OTHER 11000
D NOVO NORDISK A/S-B K7314N103 1942 11726 SH OTHER 11726
D ABN AMRO FUNDS SICAV L0017F161 3141 53933 SH SOLE 53933
D ABN AMRO FUNDS SICAV L0017F187 561 4000 SH SOLE 4000
D ABN AMRO FUNDS SICAV L0017F229 39753 236515 SH SOLE 236515
D ABN AMRO FUNDS SICAV L0017F294 537 7625 SH SOLE 7625
D ABN AMRO FUNDS SICAV L0017F302 536 7610 SH SOLE 7610
D ABN AMRO FUNDS SICAV L0017F419 3679 67961 SH SOLE 67961
D ABN AMRO FUNDS SICAV L0017K178 360 2347 SH SOLE 2347
D MILLICOM INTERNATIONAL CELLULAR L6388F102 362 10350 SH OTHER 1200 9150
D SBS BROADCASTING SA L8137F102 473 8676 SH OTHER 8076 600
D AUDIOCODES LIMITED M15342104 905 7545 SH OTHER 4100 3445
D CHECK POINT SOFTWARE TECHNOLOGI M22465104 1910 9020 SH OTHER 1020 8000
D COMM TOUCH SOFTWARE INC M25596103 325 10000 SH OTHER 10000
D GILAT SATELLITE NETWORKS LTD M51474100 819 11800 SH OTHER 10600 1200
D M-SYS FLASH DISK PIONEER LTD M7061C100 436 5600 SH OTHER 5600
D ORBOTECH LTD M75253100 409 4400 SH OTHER 2500 1900
D TTI TEAM TELECOM INTERNATIONAL M88258104 2893 80350 SH OTHER 80350
D AEGON NV N00890132 2315 64224 SH OTHER 64224
D ABN AMRO N0099A104 262 5600 SH SOLE 5600
D ASM LITHOGRAPHY HOLDING NV N07059111 986 22340 SH SOLE 22340
D ASM LITHOGRAPHY HOLDING NV N07059111 1165 26406 SH OTHER 1572 24834
D CNH GLOBAL N V N20935107 366 39550 SH OTHER 16450 23100
D COMPLETEL EUROPE NV N21590109 160 13300 SH OTHER 13300
D ELSEVIER EUR 0.06 N29370132 2224 237118 SH OTHER 237118
D ABN AMRO-UNIT JAPAN STOCK BS N3113JBQ3 245 1770 SH SOLE 1770
D HAUSSMANN HOLDINGS N.V. N38982109 306 210 SH SOLE 210
D TELEGRAAF HOLDINGSMIIJ-CVA N41207114 8507 351567 SH OTHER 124717 226850
D ORTHOFIX INTERNATIONAL N.V. N6748L102 4644 259800 SH OTHER 6500 253300
D PHILIPS ELECTRONICS NV N69797285 2495 55912 SH OTHER 55912
D QIAGEN NV N72482107 1046 6010 SH OTHER 130 5880
D TRANSEUROPE FUND N88517102 38055 192469 SH SOLE 192469
D UNILEVER NV N8981F156 2627 51735 SH OTHER 51735
D GRUPO TELEVISA SA DE CV P4987V137 154 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 425 467072 SH OTHER 467072
D PANAMERICAN BEVERAGES INC P74823108 37 2500 SH SOLE 300 2200
D PANAMERICAN BEVERAGES INC P74823108 742 49695 SH OTHER 18105 31590
D STEINER LEISURE LTD P8744Y102 1329 58750 SH OTHER 57750 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 566 38000 SH OTHER 38000
D NEWS CORPORATION LIMITED Q67027138 653 68000 SH OTHER 68000
D QANTAS AIRWAYS LIMITED Q77974105 292 158000 SH OTHER 158000
D TELECOM CORPORATION OF NEW ZEAL Q89499109 1245 355000 SH OTHER 355000
D S & P 500 INDEX FUND SP5003335 25017 710890 SH SOLE 524951 185939
D S & P 500 INDEX FUND SP5003335 146346 4158611 SH OTHER 3867170 291441
D ENI SPA T3643A111 1795 333012 SH OTHER 316012 17000
D MONTEFIBRE SPA T69861101 14 25000 SH OTHER 25000
D MONTEFIBRE SPA-RNC T69861119 5 10000 SH OTHER 10000
D PIRELLI SPA EUR 0.52 T76687119 54 21000 SH OTHER 21000
D RIUNIONE ADRIATICA DI SICURTA R T79470109 1983 210949 SH OTHER 210949
D SONDEL NORDELETTRICA SPA T87313101 32 10000 SH OTHER 10000
D TELECOM ITALIA MOBILE SPA T9276A112 578 137100 SH OTHER 135000 2100
D TELECOM ITALIA SPA T9277N105 9823 1584109 SH OTHER 1079109 505000
D TELECOM ITALIA SPA T9277N121 3233 234254 SH OTHER 231254 3000
D APP FINANCE VII MAURITIUS LIMIT V03230AA3 21 30000 SH OTHER
D DBS GROUP HOLDINGS LIMITED V27915137 132 13243 SH SOLE 13243
D SINGAPORE PRESS HOLDINGS V81378107 843 56000 SH OTHER 56000
D ERICSSON(LM)TELFON W26049119 2601 128168 SH OTHER 128168
D S.K.F. AB-B SHS W84237143 1986 108554 SH OTHER 108554
D SVENSKA HANDELSBANKEN W90937181 2288 162000 SH OTHER 162000
D NOKIA AB X61873133 2704 51970 SH OTHER 51970
D SONERA CORPORATION X82596101 2377 46950 SH OTHER 46950
D CHEUNG KONG HOLDINGS LIMITED Y13189108 914 100000 SH OTHER 100000
D FLEXTRONICS INTERNATIONAL LIMIT Y2573F102 2382 34685 SH OTHER 16915 17770
D HUTCHISON WHAMPOA LTD Y38024108 673 58300 SH OTHER 58300
D NATSTEEL ELECTRONICS LIMITED Y62538106 524 178000 SH OTHER 178000
D OVERSEA-CHINESE BANKING-ORD Y64248126 931 165500 SH OTHER 165500
D PACIFIC CENTURY CYBERWORKS Y6801N100 67 34500 SH OTHER 34500
D SWIRE PAC LIMITED CLASS Y83310105 578 118000 SH OTHER 118000
D TEEKAY SHIPPING CORPORATION Y8564W103 736 22388 SH OTHER 4588 17800
D ABN AMRO TAXABLE FIXED INCOME F 00078H109 60414 6306219 SH SOLE 6306022 197
D ABN AMRO TAXABLE FIXED INCOME F 00078H109 6876 717708 SH SHARED 717708
D ABN AMRO TAXABLE FIXED INCOME F 00078H109 63745 6653946 SH OTHER 6440284 213662
D ABN AMRO TAX EXEMPT 00078H505 19114 1905725 SH SOLE 1905725
D ABN AMRO TAX EXEMPT 00078H505 3922 391057 SH SHARED 391057
D ABN AMRO TAX EXEMPT 00078H505 355 35355 SH OTHER 18008 17347
D ABN AMRO REAL ESTATE FUND 00078H620 5242 604652 SH SOLE 604652
D ABN AMRO REAL ESTATE FUND 00078H620 4268 492242 SH OTHER 492242
D ABN AMRO LATIN AMERICAN EQUITY 00078H646 11669 865044 SH SOLE 858489 6554
D ABN AMRO LATIN AMERICAN EQUITY 00078H646 520 38565 SH SHARED 36565 2000
D ABN AMRO LATIN AMERICAN EQUITY 00078H646 9609 712311 SH OTHER 712311
D ABN AMRO INTERNATIONAL FIXED IN 00078H703 2541 272935 SH SOLE 272935
D ABN AMRO INTERNATIONAL FIXED IN 00078H703 206 22145 SH SHARED 22145
D ABN AMRO INTERNATIONAL FIXED IN 00078H703 8016 861050 SH OTHER 861050
D ABN AMRO ASIAN TIGERS FUND 00078H737 11709 1267226 SH SOLE 1263614 3611
D ABN AMRO ASIAN TIGERS FUND 00078H737 278 30075 SH SHARED 27547 2529
D ABN AMRO ASIAN TIGERS FUND 00078H737 8360 904764 SH OTHER 904764
D ABN AMRO INTERNATIONAL EQUITY F 00078H778 63970 2869911 SH SOLE 2833151 11187 25572
D ABN AMRO INTERNATIONAL EQUITY F 00078H778 3392 152185 SH SHARED 141745 10440
D ABN AMRO INTERNATIONAL EQUITY F 00078H778 57841 2594924 SH OTHER 2529927 64996
D ABN AMRO SMALL CAP GROWTH FUND 00078H794 19270 1364725 SH SOLE 1359847 1830 3048
D ABN AMRO SMALL CAP GROWTH FUND 00078H794 1521 107712 SH SHARED 98080 9632
D ABN AMRO SMALL CAP GROWTH FUND 00078H794 23513 1665242 SH OTHER 1589181 76061
D ABN AMRO GROWTH FUND 00078H828 50988 2754644 SH SOLE 2754557 88
D ABN AMRO GROWTH FUND 00078H828 8917 481751 SH SHARED 481751
D ABN AMRO GROWTH FUND 00078H828 5552 299922 SH OTHER 287349 12573
D ABN AMRO VALUE FUND 00078H844 24313 2198279 SH SOLE 2198198 81
D ABN AMRO VALUE FUND 00078H844 2751 248702 SH SHARED 248702
D ABN AMRO VALUE FUND 00078H844 34315 3102583 SH OTHER 3049934 52649
D ABN AMRO BALANCED FUND 00078H869 7356 646431 SH SOLE 646431
D ABN AMRO BALANCED FUND 00078H869 2821 247913 SH OTHER 130810 117103
D AC MOORE ARTS & CRAFTS INCORPOR 00086T103 89 14000 SH OTHER 14000
D ADC TELECOMMUNICATIONS 000886101 35992 429116 SH SOLE 424416 1100 3600
D ADC TELECOMMUNICATIONS 000886101 769 9170 SH SHARED 8570 600
D ADC TELECOMMUNICATIONS 000886101 20583 245404 SH OTHER 113221 132183
D ABN AMRO HOLDING N.V. 000937102 311 12666 SH SOLE 12666
D ABN AMRO HOLDING N.V. 000937102 967 39370 SH OTHER 9360 30010
D ADT OPERATIONS 000945AC9 252 98000 SH OTHER
D AFLAC CORPORATION 001055102 5956 129650 SH OTHER 16250 113400
D AGCO CORPORATION 001084102 187 15300 SH OTHER 1000 14300
D AES CORPORATION 00130HAN5 428 245000 SH OTHER
D AES CORPORATION 00130H105 87 1900 SH SOLE 800 1100
D AES CORPORATION 00130H105 25501 558934 SH OTHER 405310 153624
D AHT CORPORATION 00130R103 20 10000 SH SOLE 10000
D AIM INVESTMENT FUNDS 00141T718 558 83826 SH OTHER 83826
D AIM EQUITY FUNDS INCORPORATED 001413202 57 1295 SH SOLE 1295
D AIM EQUITY FUNDS INCORPORATED 001413202 3969 90049 SH OTHER 68048 22001
D AIM 001413301 363 11428 SH OTHER 10983 446
D AIM EQUITY FUNDS INCORPORATED 001413707 25 330 SH SOLE 330
D AIM EQUITY FUNDS INCORPORATED 001413707 189 2485 SH OTHER 2068 416
D AIM EQUITY FUNDS INCORPORATED 001413863 411 19063 SH OTHER 19063
D AK STEEL HOLDING CORP 001547108 86 10750 SH OTHER 450 10300
D AMFM INCORPORATED 001693100 6173 89459 SH OTHER 64714 24745
D AMLI RESIDENTIAL PROPERTY TRUST 001735109 177 7500 SH SOLE 7500
D AMLI RESIDENTIAL PROPERTY TRUST 001735109 9123 387192 SH OTHER 66925 320267
D AMR CORPORATION DELAWARE 001765106 3925 148477 SH OTHER 5477 143000
D A T & T CORPORATION 001957109 3646 115301 SH SOLE 111892 300 3109
D A T & T CORPORATION 001957109 363 11491 SH SHARED 10791 400 300
D A T & T CORPORATION 001957109 29754 940837 SH OTHER 502952 437885
D A T & T CORPORATION 001957208 98 4044 SH SOLE 4044
D A T & T CORPORATION 001957208 53620 2211118 SH OTHER 1397663 813455
D AT&T CORPORATION WIRELESS GROUP 001957406 10437 374425 SH OTHER 190150 184275
D AFL-CIO HOUSING INVESTMENT TRUS 001994136 19206 18714 SH OTHER 1982 16732
D A T & T CDA INC 00207Q202 7 200 SH SOLE 200
D A T & T CDA INC 00207Q202 647 19490 SH OTHER 19490
D ATMI INCORPORATED 00207R101 553 11900 SH OTHER 6100 5800
D AVX CORPORATION 002444107 467 20340 SH OTHER 4140 16200
D AXA FINANCIAL INCORPORATED 002451102 24 700 SH SOLE 700
D AXA FINANCIAL INCORPORATED 002451102 687 20203 SH OTHER 3288 16915
D ABB AB 00256Q103 353 25900 SH SOLE 25900
D ABBOTT LABORATORIES 002824100 6306 141500 SH SOLE 138420 3080
D ABBOTT LABORATORIES 002824100 1385 31078 SH SHARED 29878 1200
D ABBOTT LABORATORIES 002824100 89768 2014402 SH OTHER 1635304 379098
D ABERCROMBIE & FITCH COMPANY 002896207 2666 218700 SH OTHER 18800 199900
D ABBEY NATIONAL PLC 002920106 227 9530 SH OTHER 9530
D AFL-CIO 002990117 8163 3633 SH OTHER 1088 2545
D ABGENIX INCORPORATED 00339B107 1305 10890 SH OTHER 10890
D ABITIBI-CONSOLIDATED INC 003924107 97 10396 SH OTHER 2557 7839
D NTQA FE 003998200 5916 272710 SH OTHER 272710
D ACCREDO HEALTH INC 00437V104 338 9775 SH OTHER 5800 3975
D ACKERLY COMMUNICATIONS INCORPOR 004527107 494 42000 SH OTHER 37000 5000
D ACNIELSEN CORPORATION 004833109 4 199 SH SOLE 199
D ACNIELSEN CORPORATION 004833109 1 50 SH SHARED 50
D ACNIELSEN CORPORATION 004833109 1753 79693 SH OTHER 35777 43916
D ACORN INVESTMENT TRUST 004851101 753 43701 SH SOLE 43701
D ACORN INVESTMENT TRUST 004851101 1337 77636 SH OTHER 41477 36159
D ACORN INVESTMENT TRUST 004851200 55 1665 SH SOLE 1665
D ACORN INVESTMENT TRUST 004851200 9295 283204 SH OTHER 278248 4956
D ACORN 004851309 312 22691 SH OTHER 22691
D ACTION PERFORMANCE COMPANIES IN 004933107 214 29450 SH OTHER 27925 1525
D ACTEL CORPORATION 004934105 1182 25900 SH OTHER 7000 18900
D ACTUATE CORPORATION 00508B102 320 6000 SH OTHER 6000
D ACUSON 005113105 486 36000 SH OTHER 36000
D ACXIOM CORPORATION 005125109 4028 147819 SH SOLE 147819
D ACXIOM CORPORATION 005125109 2191 80410 SH OTHER 33860 46550
D ADAC LABS 005313200 479 19962 SH OTHER 15862 4100
D ADAMS R P INC 006239107 253 11298 SH OTHER 11298
D ADAPTEC INC 00651F108 563 24750 SH OTHER 2140 22610
D ADELPHIA COMMUNICATIONS CORP 006848105 2845 60690 SH OTHER 17290 43400
D ADMINISTAFF INCORPORATED 007094105 657 10340 SH OTHER 9640 700
D ADOBE SYSTEM INC DEL 00724F101 2594 19950 SH OTHER 9810 10140
D ADTRAN INC 00738A106 338 5640 SH OTHER 2340 3300
D ADVANCED DIGITAL INFO CORP 007525108 210 13180 SH OTHER 10680 2500
D ADVANCED HARDWARE ARCHITECTURES 00753#113 1077 256976 SH OTHER 256976
D ADVANCED FIBRE COMMUNICATIONS 00754A105 526 11605 SH OTHER 4675 6930
D ADVANCED OXYGEN TECHNOLOGIES IN 00754B103 3 64000 SH OTHER 64000
D AEROFLEX INCORPORATED 007768104 457 9200 SH OTHER 9200
D ADVANCED MICRO DEVICES 007903107 7392 95686 SH OTHER 14586 81100
D AEGON N.V. 007924103 173 4864 SH SOLE 4864
D AEGON N.V. 007924103 2586 72584 SH OTHER 67041 5543
D ADVANCED ENERGY INDUSTRIES 007973100 59 1000 SH SOLE 1000
D ADVANCED ENERGY INDUSTRIES 007973100 395 6700 SH OTHER 300 6400
D ADVENT SOFTWARE INCORPORATED 007974108 387 6000 SH OTHER 6000
D ADVANCED METABOLIC SYSTEMS, INC 007990203 4 40000 SH OTHER 40000
D AES TRUST III 00808N202 2890 40000 SH OTHER 9700 30300
D AETNA INCORPORATED 008117103 225 3500 SH SOLE 3500
D AETNA INCORPORATED 008117103 2909 45320 SH OTHER 9145 36175
D AFFILIATED COMPUTER SERVICES A 008190100 253 7650 SH OTHER 5750 1900
D AFFYMETRIX INCORPORATED 00826T108 608 3680 SH OTHER 480 3200
D AGILENT TECHNOLOGIES INC 00846U101 171 2312 SH SOLE 2312
D AGILENT TECHNOLOGIES INC 00846U101 11 152 SH SHARED 76 76
D AGILENT TECHNOLOGIES INC 00846U101 13661 185235 SH OTHER 99159 86076
D AIM FDS GROUP VALUE 008879306 1388 28529 SH OTHER 27999 530
D AIM FDS GROUP 008879710 725 725118 SH OTHER 725118
D AIM FUNDS GROUP 008879728 166 3534 SH SHARED 3534
D AIM FUNDS GROUP 008879728 824 17605 SH OTHER 17605
D AIM FUNDS GROUP 008879744 4150 125934 SH OTHER 125934
D AIM INTERNATIONAL FUNDS INC 008882102 588 23563 SH OTHER 22986 577
D AIM INTERNATIONAL FUNDS INC 008882300 2294 83657 SH OTHER 83657
D AIMGLOBAL TECHNOLOGIES INC 00900N100 495 42800 SH OTHER 42800
D AIR PRODUCTS & 009158106 154 5000 SH SOLE 5000
D AIR PRODUCTS & 009158106 1544 50098 SH OTHER 31778 18320
D AIRBORNE FREIGHT CORPORATION 009266107 345 18200 SH OTHER 1000 17200
D AIRGAS INCORPORATED 009363102 70 12300 SH OTHER 12300
D AKAMAI TECHNOLOGIES INCORPORATE 00971T101 220 1855 SH OTHER 1000 855
D AKZO NOBEL N.V. 010199305 378 8985 SH SOLE 8985
D AKZO NOBEL N.V. 010199305 434 10311 SH OTHER 5871 4440
D ALAMO GROUP INC 011311107 638 51035 SH OTHER 5510 45525
D ALAMOSA PCS HOLDINGS INCORPORAT 011593100 209 10000 SH OTHER 10000
D ALARIS MED INC 011637105 21 12000 SH OTHER 12000
D ALASKA AIR GROUP 011659109 475 17500 SH OTHER 5500 12000
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D UNITED STATIONERS INCORPORATED 913004107 800 24700 SH OTHER 24700
D UNITED TECHNOLOGIES CORPORATION 913017109 992 16854 SH SOLE 16331 200 323
D UNITED TECHNOLOGIES CORPORATION 913017109 93 1580 SH SHARED 980 200 400
D UNITED TECHNOLOGIES CORPORATION 913017109 20046 340476 SH OTHER 145533 194943
D UNITED THERAPEUTICS CORP DEL 91307C102 607 5600 SH OTHER 1700 3900
D UNITEDHEALTH GROUP INCORPORATED 91324P102 86 1000 SH SOLE 1000
D UNITEDHEALTH GROUP INCORPORATED 91324P102 2840 33119 SH OTHER 1644 31475
D UNITEDGLOBALCOM INCORPORATED 913247508 374 8000 SH OTHER 8000
D UNITRIN INCORPORATED 913275103 848 28860 SH OTHER 25860 3000
D UNIVERSAL ACCESS INCORPORATED 913363107 221 9000 SH OTHER 9000
D UNIVERSAL AUTOMOTIVE INDS 913378105 245 106000 SH OTHER 106000
D UNIVERSAL COMPRESSION HLDGS 913431102 238 7100 SH OTHER 6300 800
D UNIVERSAL CORPORATION VIRGINIA 913456109 518 24500 SH OTHER 14200 10300
D UNIVERSAL FOODS CORPORATION 913538104 24 1300 SH SHARED 1300
D UNIVERSAL FOODS CORPORATION 913538104 1498 80975 SH OTHER 5775 75200
D UNIVERSAL HEALTH SERVICES 913903100 1683 25700 SH OTHER 25700
D UNIVISION COMMUNICATIONS INC 914906102 430 4156 SH OTHER 256 3900
D UNOCAL CORPORATION 91528T207 1026 20700 SH OTHER 19900 800
D UNOCAL CORPORATION 915289102 17 500 SH SOLE 500
D UNOCAL CORPORATION 915289102 80 2418 SH SHARED 2418
D UNOCAL CORPORATION 915289102 10556 318672 SH OTHER 58299 260373
D UNUMPROVIDENT CORPORATION 91529Y106 13 650 SH SHARED 650
D UNUMPROVIDENT CORPORATION 91529Y106 12504 623244 SH OTHER 518982 104262
D USFREIGHTWAYS CORP 916906100 619 25200 SH OTHER 9000 16200
D URBAN SHOPPING CENTERS INCORPOR 917060105 5451 161812 SH OTHER 120612 41200
D UTILITIES INCORPORATED 917990137 342 12000 SH OTHER 12000
D UTILICORP UNITED INCORPORATED 918005109 2996 150724 SH OTHER 23174 127550
D V F CORPORATION 918204108 809 33985 SH OTHER 11885 22100
D VALASSIS COMMUNICATIONS INC 918866104 2172 56973 SH OTHER 56973
D VALHI INC NEW 918905AC4 375 525000 SH OTHER
D VALERO REFNG & MARKETING CO 91913Y100 496 15610 SH OTHER 1550 14060
D VALOR INVT FD INC 920257102 550 50000 SH OTHER 50000
D VALSPAR CORPORATION 920355104 17 500 SH SOLE 500
D VALSPAR CORPORATION 920355104 405 12000 SH OTHER 11000 1000
D VALUE CITY DEPARTMENT STORES 920387107 199 20985 SH OTHER 2610 18375
D VALUEVISION INTL INC 92047K107 4108 171165 SH OTHER 148500 22665
D VAN KAMPEN TAX FREE MONEY FUND 920906104 200 200000 SH OTHER 200000
D VAN KAMPEN AMERN CAP SR INCM 920961109 211 25049 SH OTHER 25049
D VAN ECK FUNDS 921075503 54 10814 SH OTHER 10814
D VAN KAMPEN AMERICAN VALUE-A 921133401 234 10148 SH OTHER 10148
D VAN KAMPEN SERIES FUND INCORPOR 921133674 320 22478 SH OTHER 22478
D VAN WAGONER FUNDS INCORPORATED 921280202 246 4877 SH OTHER 4877
D VAN WAGONER 921280301 392 12824 SH OTHER 12824
D VANGUARD SPECIALIZED PORTFOLIO 921908208 119 17425 SH OTHER 17425
D VANGUARD SPECIALIZED PORTFOLIO 921908307 144 1206 SH SOLE 1206
D VANGUARD SPECIALIZED PORTFOLIO 921908307 62 519 SH SHARED 519
D VANGUARD SPECIALIZED PORTFOLIO 921908307 64 537 SH OTHER 537
D VANGUARD STAR FUND 921909107 1567 89009 SH OTHER 89009
D VANGUARD STAR FUND 921909602 300 21919 SH OTHER 21919
D VANGUARD 921910105 438 9562 SH SOLE 9562
D VANGUARD 921910105 18974 413824 SH OTHER 411106 2719
D VANGUARD WORLD FUND 921910204 25 1100 SH SOLE 1100
D VANGUARD WORLD FUND 921910204 62 2669 SH SHARED 2669
D VANGUARD WORLD FUND 921910204 9385 406637 SH OTHER 91376 315261
D VANGUARD OHIO INSURED LONG-TERM 921929204 531 47107 SH OTHER 47107
D VANGUARD FIXED INCOME SECURITIE 921932208 214 21612 SH OTHER 21612
D VANGUARD ADMIRAL 921932307 257 25504 SH OTHER 25504
D VANGUARD / WELLINGTON FUND 921935102 1969 72566 SH OTHER 56916 15651
D VANGUARD FUNDS 921937108 11815 1229466 SH OTHER 1067671 161794
D VANGUARD BOND INDEX FUND INC 921937306 5642 592684 SH OTHER 592684
D VANGUARD BOND INDEX FUND INC 921937504 20352 2117800 SH OTHER 6106 2111694
D VANGUARD / WINDSOR FUND 922018106 583 39134 SH OTHER 19943 19191
D VANGUARD / WINDSOR FUND INC 922018205 4869 198583 SH OTHER 198583
D VANGUARD FIXED INCOME SEC FD 922031208 23 3301 SH SHARED 3301
D VANGUARD FIXED INCOME SEC FD 922031208 94 13287 SH OTHER 13287
D VANGUARD FIXED INCOME 922031307 51 5128 SH SOLE 5128
D VANGUARD FIXED INCOME 922031307 382 38557 SH OTHER 28248 10309
D VANGUARD FIXED INCOME 922031406 185 17679 SH OTHER 17679
D VANGUARD FIXED INCOME SECURTIES 922031802 157 15277 SH OTHER 15277
D VANGUARD INSTITUTIONAL INDEX FU 922040100 74395 559995 SH OTHER 126477 433518
D VANGUARD INTERNATIONAL EQUITY 922042106 145 12584 SH OTHER 12584
D VANGUARD INTL EQUITY INDEX FUND 922042205 12 439 SH SOLE 439
D VANGUARD INTL EQUITY INDEX FUND 922042205 263 9393 SH OTHER 9393
D VARCO INTL INC DEL 922122106 702 30195 SH OTHER 24353 5843
D VARIAN MED SYS INC 92220P105 869 22200 SH OTHER 22200
D VARIAN INCORPORATED 922206107 567 12300 SH OTHER 900 11400
D VARIAN SEMICONDUCTOR EQUIPMENT 922207105 251 4000 SH OTHER 600 3400
D VASTAR RESOURCES INCORPORATED 922380100 456 5550 SH OTHER 3700 1850
D VECTREN CORPORATION 92240G101 18 1065 SH SOLE 1065
D VECTREN CORPORATION 92240G101 246 14254 SH OTHER 4126 10128
D VEECO INSTRUMENTS INCORPORATED 922417100 403 5500 SH OTHER 3900 1600
D VENTANA MEDICAL SYSTEMS INCORPO 92276H106 2010 85519 SH OTHER 77519 8000
D VENTIV HEALTH INC 922793104 198 17766 SH OTHER 17766
D VANGUARD MONEY MARKET RESERVES 922906201 165 164760 SH OTHER 164760
D VANGUARD MONEY MARKET RESERVES 922906508 21634 1633580 SH OTHER 1633580
D VANGUARD MUNICIPAL BOND FUND IN 922907209 187 14521 SH SOLE 14521
D VANGUARD MUNICIPAL BOND FUND IN 922907209 74 5732 SH OTHER 5732
D VANGUARD FUNDS 922907704 311 29487 SH OTHER 29487
D VANGUARD INDEX 500 FUND 922908108 111 831 SH SOLE 831
D VANGUARD INDEX 500 FUND 922908108 509 3793 SH SHARED 3793
D VANGUARD INDEX 500 FUND 922908108 59646 444460 SH OTHER 265998 178462
D VANGUARD INDEX TRUST 922908207 8419 232702 SH OTHER 35767 196935
D VANGUARD INDEX TRUST 922908306 17487 533474 SH OTHER 521729 11745
D VANGUARD INDEX TRUST 922908405 958 44766 SH OTHER 44766
D VANGUARD INDEX TRUST 922908504 2289 56689 SH OTHER 14160 42530
D VANGUARD INDEX TRUST 922908702 15 600 SH SOLE 600
D VANGUARD INDEX TRUST 922908702 8875 365825 SH OTHER 351353 14472
D VANGUARD INDEX TRUST 922908793 256 18114 SH OTHER 18114
D VANGUARD INDEX TR 922908850 9626 450033 SH OTHER 450033
D VENATOR GROUP INCORPORATED 922944103 3 324 SH SOLE 324
D VENATOR GROUP INCORPORATED 922944103 101 9870 SH OTHER 670 9200
D VANGUARD RETIREMENT SAVINGS TRU 922990130 464 464006 SH OTHER 464006
D VERISIGN INCORPORATED 92343E102 397 2250 SH SOLE 2250
D VERISIGN INCORPORATED 92343E102 3523 19963 SH OTHER 4820 15143
D VERITAS SOFTWARE CORPORATION 923436109 50 445 SH SOLE 445
D VERITAS SOFTWARE CORPORATION 923436109 10081 89197 SH OTHER 17173 72024
D VERSUS TECHNOLOGY INC 925313108 58 168500 SH OTHER 68500 100000
D VERTEX PHARMACEUTICALS INC 92532F100 511 4845 SH OTHER 4845
D VETERINARY CENTERS OF AMERICA, 925514135 288 21252 SH OTHER 21252
D VETERINARY CENTERS OF AMERICA, 925514143 226 16631 SH OTHER 16631
D VIAD CORPORATION 92552R109 8 300 SH SHARED 300
D VIAD CORPORATION 92552R109 3995 146620 SH OTHER 9120 137500
D VIASAT INCORPORATED 92552V100 705 13000 SH OTHER 9400 3600
D VIACOM INCORPORATED 925524100 36 525 SH SOLE 525
D VIACOM INCORPORATED 925524100 1072 15673 SH OTHER 513 15160
D VIACOM INCORPORATED 925524308 9123 133795 SH SOLE 132340 750 705
D VIACOM INCORPORATED 925524308 66555 976057 SH OTHER 662972 313085
D VIASYSTEMS GROUP INCORPORATED 92553H100 588 36340 SH OTHER 36340
D VIANT CORPORATION 92553N107 234 7900 SH OTHER 7900
D VIGNETTE CORPORATION 926734104 312 6000 SH SOLE 6000
D VIGNETTE CORPORATION 926734104 307 5900 SH OTHER 300 5600
D VINTAGE PETE INC 927460105 582 25800 SH OTHER 2500 23300
D VIRGINIA CAP BANCSHARES INC 927758102 595 39000 SH OTHER 17000 22000
D VIROPHARMA INCORPORATED 928241AA6 184 500000 SH OTHER
D VISHAY INTERTECHNOLOGY INCORPOR 928298108 1611 42452 SH OTHER 16766 25686
D VISTEON CORP 92839U107 8 651 SH SOLE 165 486
D VISTEON CORP 92839U107 2 196 SH SHARED 196
D VISTEON CORP 92839U107 377 31052 SH OTHER 6810 24242
D VISUAL NETWORKS INCORPORATED 928444108 234 8200 SH OTHER 6700 1500
D VITRIA TECHNOLOGY INCORPORATED 92849Q104 261 4270 SH OTHER 4270
D VITESSE SEMICONDUCTOR CORP 928497106 18554 252220 SH SOLE 250830 450 940
D VITESSE SEMICONDUCTOR CORP 928497106 180 2450 SH SHARED 2450
D VITESSE SEMICONDUCTOR CORP 928497106 4747 64530 SH OTHER 11560 52970
D VIVENDI SA 92851S105 581 32765 SH SOLE 32765
D VIVENDI SA 92851S105 1171 66065 SH OTHER 26111 39954
D VODAFONE AIRTOUCH PLC 92857T107 1880 45371 SH SOLE 44621 750
D VODAFONE AIRTOUCH PLC 92857T107 201 4845 SH SHARED 4345 500
D VODAFONE AIRTOUCH PLC 92857T107 89551 2161079 SH OTHER 1925640 235439
D VOICESTREAM WIRELESS CORP 928615103 576 4950 SH SOLE 4950
D VOICESTREAM WIRELESS CORP 928615103 3087 26542 SH OTHER 5550 20992
D VOYAGEUR COLORADO INSURED 92907B106 459 35100 SH OTHER 35100
D VULCAN MATERIALS COMPANY 929160109 3178 74450 SH OTHER 44200 30250
D WD-40 COMPANY 929236107 714 34400 SH OTHER 31700 2700
D WPP GROUP PLC 929309300 472 6500 SH OTHER 6500
D WPS RESOURCES CORPORATION 92931B106 96 3200 SH SOLE 3200
D WPS RESOURCES CORPORATION 92931B106 132 4405 SH OTHER 2905 1500
D WRP CORP 929317105 20 15000 SH OTHER 15000
D WABASH NATIONAL CORPORATION 929566107 754 63200 SH OTHER 54000 9200
D WACHOVIA CORPORATION 929771103 130 2400 SH SOLE 2400
D WACHOVIA CORPORATION 929771103 16 300 SH SHARED 300
D WACHOVIA CORPORATION 929771103 3103 57207 SH OTHER 21077 36130
D WADDELL & REED FINANCIAL INC 930059100 1022 31160 SH OTHER 21623 9537
D WADDELL & REED FINANCIAL INC 930059209 372 12792 SH OTHER 292 12500
D WAL-MART STORES INCORPORATED 931142103 13617 236307 SH SOLE 231427 975 3905
D WAL-MART STORES INCORPORATED 931142103 557 9660 SH SHARED 9660
D WAL-MART STORES INCORPORATED 931142103 84636 1468737 SH OTHER 899798 568939
D WALGREEN COMPANY 931422109 7334 227857 SH SOLE 224757 3100
D WALGREEN COMPANY 931422109 2510 77980 SH SHARED 77180 800
D WALGREEN COMPANY 931422109 120495 3743468 SH OTHER 2718955 1024513
D WALLACE COMPUTER SERVICES 932270101 807 81761 SH OTHER 43301 38460
D WARBURG PINCUS 933911109 2377 113661 SH OTHER 113661
D WELLINGTON TRUST 933911141 14047 442561 SH OTHER 442561
D WARNACO GROUP INCORPORATED 934390105 2 200 SH SHARED 200
D WARNACO GROUP INCORPORATED 934390105 78 10000 SH OTHER 10000
D WASHINGTON FEDERAL INCORPORATED 938824109 2887 158170 SH OTHER 9800 148370
D WASHINGTON MUTUAL INCORPORATED 939322103 274 9503 SH SOLE 1653 7850
D WASHINGTON MUTUAL INCORPORATED 939322103 22418 776373 SH OTHER 56798 719575
D WASHINGTON MUTUAL INVESTORS 939330106 70 2475 SH SOLE 2475
D WASHINGTON MUTUAL INVESTORS 939330106 17202 611503 SH OTHER 400146 211358
D WASHINGTON POST COMPANY 939640108 24 50 SH SOLE 50
D WASHINGTON POST COMPANY 939640108 1514 3168 SH OTHER 1643 1525
D WASTE MANAGEMENT INCORPORATED 94106L109 14 725 SH SOLE 725
D WASTE MANAGEMENT INCORPORATED 94106L109 7736 407163 SH OTHER 36169 370994
D WATERS CORP 941848103 776 6216 SH OTHER 2016 4200
D WATSON PHARMACEUTICALS INC 942683103 1497 27859 SH SOLE 27509 350
D WATSON PHARMACEUTICALS INC 942683103 38 700 SH SHARED 700
D WATSON PHARMACEUTICALS INC 942683103 2492 46371 SH OTHER 20080 26291
D WAUSAU-MOSINEE PAPER COMPANY 943315101 414 48400 SH OTHER 11000 37400
D WEATHERFORD INTL INC NEW 947074100 1692 42508 SH OTHER 14875 27633
D WEBSTER FINANCIAL CORPORATION 947890109 4170 187956 SH OTHER 14656 173300
D WEBTRENDS CORP 94844D104 234 6060 SH OTHER 160 5900
D WEIS MARKETS INCORPORATED 948849104 160 4900 SH SOLE 4900
D WEIS MARKETS INCORPORATED 948849104 5631 171950 SH OTHER 7800 164150
D WEITZ SERIES FUND INCORPORATED 949045108 340 11225 SH OTHER 11225
D WELLINGTON TRUST COMPANY 949527A47 5239 523906 SH OTHER 523906
D WELLMAN INCORPORATED 949702104 163 10100 SH OTHER 100 10000
D WELLPOINT HEALTH NETWORK 94973HAA6 551 800000 SH OTHER
D WELLPOINT HEALTH NETWORKS DEL 94973H108 882 12175 SH OTHER 12175
D WELLS FARGO COMPANY 949746101 3315 85546 SH SOLE 83316 300 1930
D WELLS FARGO COMPANY 949746101 167 4300 SH SHARED 3800 500
D WELLS FARGO COMPANY 949746101 54471 1405704 SH OTHER 569996 835708
D WELLS GARDNER ELECTRONICS 949765101 37 11530 SH OTHER 11530
D WELLSFORD REAL PPTYS INC 950240200 1475 97550 SH OTHER 39200 58350
D WENDYS INTERNATIONAL INCORPORAT 950590109 3313 186000 SH OTHER 9300 176700
D WERNER ENTERPRISES INCORPORATED 950755108 7 600 SH SOLE 600
D WERNER ENTERPRISES INCORPORATED 950755108 228 19730 SH OTHER 880 18850
D WESCO FINANCIAL CORPORATION 950817106 14255 69537 SH OTHER 9230 60307
D WESTELL TECHNOLOGIES INC 957541105 8 500 SH SOLE 500
D WESTELL TECHNOLOGIES INC 957541105 1157 77149 SH OTHER 56149 21000
D WESTERN GAS RES INC 958259103 281 13362 SH OTHER 10362 3000
D WESTERN WIRELESS CORP 95988E204 1997 36650 SH OTHER 50 36600
D WESTVACO CORPORATION 961548104 1039 41869 SH OTHER 14119 27750
D WESTWOOD ONE INCORPORATED 961815107 4049 118650 SH OTHER 95250 23400
D WEYCO GROUP INC. 962149100 1889 74064 SH OTHER 69060 5004
D WEYCO GROUP INCORPORATED 962149209 1292 50652 SH OTHER 45648 5004
D WEYERHAEUSER COMPANY 962166104 22 500 SH SOLE 500
D WEYERHAEUSER COMPANY 962166104 2196 51070 SH OTHER 13272 37798
D WHARF HOLDINGS 962257994 27 15000 SH OTHER 15000
D WHIRLPOOL CORPORATION 963320106 3719 79755 SH OTHER 27223 52532
D WHITEHALL JEWELLERS INC 965063100 309 16575 SH OTHER 16575
D WHITMAN CORPORATION 96647R107 3298 266529 SH OTHER 254004 12525
D WHITNEY HOLDING CO 966612103 431 12595 SH OTHER 1725 10870
D WHOLE FOODS MARKET INCORPORATED 966837106 7129 172565 SH OTHER 3965 168600
D WILEY JOHN & SONS INC 968223206 227 10100 SH OTHER 10100
D WILLAMETTE INDUSTRIES INCORPORA 969133107 288 10575 SH OTHER 6955 3620
D WILLIAMS COMMUNICATIONS GRP 969455104 368 11100 SH OTHER 2700 8400
D WILLIAMS COMPANIES INCORPORATED 969457100 46 1100 SH SOLE 1100
D WILLIAMS COMPANIES INCORPORATED 969457100 14445 346495 SH OTHER 136695 209800
D FBP CONTRARIAN 969557206 776 38788 SH OTHER 38788
D WILLIAMS SONOMA INCORPORATED 969904101 682 21040 SH SOLE 21040
D WILLIAMS SONOMA INCORPORATED 969904101 3458 106605 SH OTHER 70295 36310
D W.M. BARR AND COMPANY INCORPORA 969999028 26896 1600000 SH OTHER 912248 687752
D WINSTAR COMMUNICATIONS 975515107 210 6210 SH OTHER 3110 3100
D WINTRUST FINANCIAL CORPORATION 97650W108 284 18370 SH OTHER 13273 5097
D WISCONSIN CENTRAL 976592105 388 29855 SH OTHER 6950 22905
D WISCONSIN ENERGY CORPORATION 976657106 89 4515 SH SOLE 4515
D WISCONSIN ENERGY CORPORATION 976657106 658 33232 SH OTHER 20332 12900
D WISCONSIN REAL ESTATE INVT T 977011105 30 58200 SH OTHER 58100 100
D WIT SOUNDVIEW GROUP INC 977383108 159 14800 SH OTHER 14800
D WOLVERINE WORLD WIDE INCORPORAT 978097103 152 15400 SH OTHER 15400
D WOODLEY 979990108 6176 56683 SH OTHER 56683
D WOODLEY 979990116 84914 793000 SH OTHER 793000
D WOODLEY 979990132 45857 415000 SH OTHER 415000
D WORLD ACCESS INCORPORATED 98141A101 415 37475 SH OTHER 37475
D WORLDWAY CORPORATION 98155FAA1 16 20000 SH OTHER
D WORLDCOM INCORPORATED 98157D106 20204 440418 SH SOLE 436798 500 3120
D WORLDCOM INCORPORATED 98157D106 743 16199 SH SHARED 15149 1050
D WORLDCOM INCORPORATED 98157D106 217697 4745449 SH OTHER 3937326 808123
D WRIGLEY WILLIAM JR COMPANY 982526105 856 10670 SH SOLE 10670
D WRIGLEY WILLIAM JR COMPANY 982526105 4305 53686 SH OTHER 37502 16184
D WYNDHAM INTL INC 983101106 3 1000 SH SOLE 1000
D WYNDHAM INTL INC 983101106 63 25000 SH OTHER 25000
D XILINX INC 983919101 10581 128155 SH SOLE 126965 375 815
D XILINX INC 983919101 70 850 SH SHARED 850
D XILINX INC 983919101 7523 91117 SH OTHER 22377 68740
D XEROX CORPORATION 984121BB8 473 900000 SH OTHER
D XEROX CORPORATION 984121103 43 2088 SH SOLE 988 1100
D XEROX CORPORATION 984121103 5168 249061 SH OTHER 148298 100763
D YAHOO INCORPORATED 984332106 211 1700 SH SOLE 1700
D YAHOO INCORPORATED 984332106 4055 32736 SH OTHER 8629 24107
D YOUNG & RUBICAM INC 987425105 23 400 SH SOLE 400
D YOUNG & RUBICAM INC 987425105 941 16450 SH OTHER 9050 7400
D Z TEL TECHNOLOGIES INC 988792107 120 10000 SH OTHER 10000
D ZALE CORP NEW 988858106 741 20300 SH OTHER 4300 16000
D ZANY BRAINY INC 98906Q101 51 19250 SH OTHER 19250
D ZEBRA TECHNOLOGY 989207105 44 1000 SH SOLE 1000
D ZEBRA TECHNOLOGY 989207105 3195 72095 SH OTHER 49780 22315
D ZIFF-DAVIS INCORPORATED ZDNET 989511209 656 72890 SH SOLE 72890
D ZIFF-DAVIS INCORPORATED ZDNET 989511209 216 24050 SH OTHER 2500 21550
D ZINDART LTD 989597109 97 32400 SH OTHER 9600 22800
D ZIONS BANCORPORATION 989701107 894 19481 SH SOLE 19481
D ZIONS BANCORPORATION 989701107 311 6780 SH OTHER 2480 4300
D ZURICH ALLIED AG 98981P101 248 2500 SH OTHER 2500
D ZYGO CORPORATION 989855101 590 6500 SH OTHER 6500
D ZOLL MEDICAL CORPORATION 989922109 350 7150 SH OTHER 7150
D BANK OF AMERICA 991252206 2824 43179 SH OTHER 43179
S REPORT SUMMARY 3675 DATA RECORDS 19946758
</TABLE>