LASALLE BANK N A
13F-HR, 2000-07-07
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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: 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
D ALBANY MOLECULAR RESEARCH                       012423109      539     9900 SH       OTHER                  2300              7600
D ALBERTSONS INCORPORATED                         013104104      145     4346 SH       SOLE                   3836               510
D ALBERTSONS INCORPORATED                         013104104       10      300 SH       SHARED                  300
D ALBERTSONS INCORPORATED                         013104104     4787   143964 SH       OTHER                 53099             90865
D ALCAN ALUMINUM LIMITED NEW                      013716105     1404    45293 SH       OTHER                 15343             29950
D ALCOA INCORPORATED                              013817101       17      580 SH       SOLE                                      580
D ALCOA INCORPORATED                              013817101    11937   411615 SH       OTHER                 45251            366364
D ALCATEL SA                                      013904305     1222    18380 SH       SOLE                  18380
D ALCATEL SA                                      013904305     3264    49084 SH       OTHER                 18174             30910
D ALEXANDER & BALDWIN INCORPORATE                 014482103      880    39900 SH       OTHER                                   39900
D ALEXANDRIA REAL ESTATE EQUITIES                 015271109      474    13800 SH       OTHER                  9700              4100
D ALEXION PHARMACEUTICALS INC                     015351109      379     5300 SH       OTHER                  4700               600
D ALKERMES INCORPORATED                           01642T108      240     5090 SH       OTHER                  3400              1690
D ALLAIRE CORPORATION                             016714107      445    12100 SH       OTHER                  3400              8700
D ALLEGHANY CORPORATION                           017175100     1128     6712 SH       OTHER                  6712
D ALLEGHENY ENERGY INCORPORATED                   017361106      298    10884 SH       OTHER                  8084              2800
D ALLEGHENY TECHNOLOGIES INCORPOR                 01741R102      269    14936 SH       OTHER                 11486              3450
D ALLERGAN INCORPORATED                           018490102       60      800 SH       SOLE                    800
D ALLERGAN INCORPORATED                           018490102     5645    75771 SH       OTHER                 15441             60330
D ALLIANCE BANCORP INCORPORATED                   01852J105     1280    77864 SH       SOLE                  77864
D ALLIANCE BANCORP INCORPORATED                   01852J105       34     2055 SH       OTHER                                    2055
D ALLIANCE BOND FUND                              018528406      102    14535 SH       SOLE                           14535
D ALLIANCE CAPITAL MANAGEMENT HOL                 01855A101     1202    25332 SH       SOLE                  25332
D ALLIANCE CAPITAL MANAGEMENT HOL                 01855A101       47      990 SH       OTHER                   990
D ALLIANCE CAPITAL RESERVES                       018550103     1050  1049987 SH       OTHER               1049987
D ALLIANCE FUND INCORPORATED                      01859K105      204    30734 SH       OTHER                 30734
D ALLIANCE GROWTH & INCOME FUND,                  018597104      367    97459 SH       OTHER                 97459
D ALLIANCE PREMIER GROWTH FUND                    01877C101      293     7740 SH       OTHER                  7740
D ALLIANCE QUASAR FUND INCORPORAT                 01877E107      935    31584 SH       OTHER                 31584
D ALLAINCE SEMICONDUCTOR CORPORAT                 01877H100      282    11483 SH       OTHER                  5483              6000
D ALLIANCE TECHNOLOGY FUND                        018780106      297     2074 SH       OTHER                  2074
D ALLIANCE TECHNOLOGY FUND INC                    018780304      130      959 SH       SOLE                    959
D ALLIANCE TECHNOLOGY FUND INC                    018780304       74      546 SH       OTHER                   546
D ALLIANT ENERGY CORPORATION                      018802108       58     2222 SH       SOLE                   2222
D ALLIANT ENERGY CORPORATION                      018802108      966    37157 SH       OTHER                 20557             16600
D ALLIANT TECHSYSTEM INCORPORATED                 018804104     1639    24300 SH       OTHER                                   24300
D ALLIED CAPITAL CORPORATION                      01903Q108      400    23500 SH       OTHER                   500             23000
D ALLIED IRISH BANKS PLC                          019228402      610    34388 SH       OTHER                  8377             26011
D ALLIED PRODUCTS CORPORATION DEL                 019411107       31    20000 SH       OTHER                 20000
D ALLIED ZURICH PLC                               01959Q101     1298    55004 SH       OTHER                   635             54369
D ALLMERICA FINANCIAL CORPORATION                 019754100     1472    28100 SH       OTHER                  1000             27100
D ALLSTATE CORPORATION                            020002101      358    16096 SH       SOLE                  15638               458
D ALLSTATE CORPORATION                            020002101      176     7920 SH       SHARED                 7920
D ALLSTATE CORPORATION                            020002101    16131   725006 SH       OTHER                328681            396325
D ALLTEL CORPORATION                              020039103       66     1072 SH       SOLE                   1072
D ALLTEL CORPORATION                              020039103     4208    67938 SH       OTHER                 15760             52178
D ALLTRISTA CORPORATION                           020040101      231    10800 SH       OTHER                   500             10300
D ALPHA INDUSTRIES INCORPORATED                   020753109      528    11980 SH       OTHER                  3780              8200
D ALPHARMA INCORPORATED                           020813101     1519    24400 SH       OTHER                  5500             18900
D ALTERA CORPORATION                              021441100     1804    17700 SH       SOLE                  17400               300
D ALTERA CORPORATION                              021441100       82      800 SH       SHARED                  800
D ALTERA CORPORATION                              021441100    14170   139005 SH       OTHER                 43584             95421
D ALTEON WEBSYSTEMS INCORPORATED                  02145A109      620     6200 SH       OTHER                                    6200
D ALTERNATIVE RESOURCE CORPORATIO                 02145R102       40    21200 SH       OTHER                 21200
D ALZA CORPORATION                                022615AC2       98   125000 SH       OTHER
D ALZA CORPORATION                                022615AD0     2059  1325000 SH       OTHER
D ALZA CORPORATION                                022615108     8047   136098 SH       OTHER                 39228             96870
D AMBAC FINANCIAL GROUP INC                       023139108     1059    19320 SH       OTHER                                   19320
D AMCOR LIMITED                                   02341R302      480    34892 SH       OTHER                  4892             30000
D AMERADA HESS CORPORATION                        023551104       27      432 SH       SOLE                    432
D AMERADA HESS CORPORATION                        023551104     3016    48846 SH       OTHER                  7446             41400
D AMEREN CORPORATION                              023608102       81     2413 SH       SOLE                   2413
D AMEREN CORPORATION                              023608102      758    22455 SH       OTHER                 14663              7792
D AMERICA ONLINE INC DEL                          02364J104    10348   196400 SH       SOLE                 195280      500      620
D AMERICA ONLINE INC DEL                          02364J104      120     2280 SH       SHARED                 1980      300
D AMERICA ONLINE INC DEL                          02364J104    22669   430259 SH       OTHER                252955            177304
D AMERICA WEST HOLDING CORP                       023657208      240    14010 SH       OTHER                    10             14000
D AMERICAN AADVANTAGE FUNDS                       02368A406     2401   123447 SH       OTHER                123447
D AMERICAN FUNDS                                  024071102        4      244 SH       SOLE                    244
D AMERICAN FUNDS                                  024071102      602    41312 SH       OTHER                 41312
D AMERICAN CLASSIC VOYAGER COMPAN                 024928103      526    25500 SH       OTHER                 21000              4500
D AMERICAN CAP STRATEGIES LTD                     024937104      657    27500 SH       OTHER                 18500              9000
D COPY OF STATEMENT INDICATING                    024990137     3699  1763970 SH       OTHER                521771           1242199
D AMERICAN CENTURY                                025076886      323    25127 SH       OTHER                                   25127
D AMERICAN CENTURY                                025082108      208    20585 SH       SOLE                  20585
D AMERICAN CENTURY MUTUAL FUNDS I                 025083882    89680  2037255 SH       OTHER                174045           1863210
D AMERICAN CENTURY MUTUAL FUNDS I                 025086505      777    44685 SH       OTHER                                   44685
D AMERICAN ELECTRIC POWER COMPANY                 025537101       35     1178 SH       SOLE                   1178
D AMERICAN ELECTRIC POWER COMPANY                 025537101        4      120 SH       SHARED                  120
D AMERICAN ELECTRIC POWER COMPANY                 025537101     2907    98140 SH       OTHER                 40410             57730
D AMERICAN EXPRESS COMPANY                        025816109      570    10944 SH       SOLE                  10458               486
D AMERICAN EXPRESS COMPANY                        025816109       31      600 SH       SHARED                                    600
D AMERICAN EXPRESS COMPANY                        025816109    28605   548782 SH       OTHER                358256            190526
D AMERICAN EXPRESS                                025990110    14827   282324 SH       OTHER                                  282324
D AMERICAN FINANCIAL HOLDINGS INC                 026075101      298    18800 SH       OTHER                                   18800
D AMERICAN GENERAL CORPORATION                    026351106      294     4824 SH       SOLE                   4824
D AMERICAN GENERAL CORPORATION                    026351106     7635   125170 SH       OTHER                 23370            101800
D AMERICAN GREETINGS CORPORATION                  026375105     3212   169043 SH       OTHER                 18003            151040
D AMERICAN HOME PRODUCTS CORPORAT                 026609107     3549    60404 SH       SOLE                  60404
D AMERICAN HOME PRODUCTS CORPORAT                 026609107      430     7325 SH       SHARED                 7325
D AMERICAN HOME PRODUCTS CORPORAT                 026609107    27488   467876 SH       OTHER                205432            262444
D AMERICAN INTERNATIONAL                          026874107    24593   209299 SH       SOLE                 206630      916     1753
D AMERICAN INTERNATIONAL                          026874107     1442    12270 SH       SHARED                11709      350      211
D AMERICAN INTERNATIONAL                          026874107   136024  1157652 SH       OTHER                824202            333450
D AMERICAN MANAGEMENT                             027352103       13      390 SH       SOLE                    390
D AMERICAN MANAGEMENT                             027352103      394    12000 SH       OTHER                  2700              9300
D AMERICAN MED SEC GROUP INC                      02744P101      134    19500 SH       OTHER                                   19500
D AMERICAN MUTUAL FUND INCORPORAT                 027681105      232    10289 SH       OTHER                 10289
D AMERICAN NATIONAL                               028591105      400     7835 SH       OTHER                   550              7285
D AMERICAN POWER CONVERSION                       029066107       33      800 SH       SOLE                    800
D AMERICAN POWER CONVERSION                       029066107       57     1400 SH       SHARED                                   1400
D AMERICAN POWER CONVERSION                       029066107     9114   223312 SH       OTHER                150607             72705
D AMERICAN STANDARD COMPANIES                     029712106     4610   112450 SH       OTHER                 56150             56300
D AMERICAN TOWER CORPORATION                      029912201     3665    87925 SH       OTHER                 56600             31325
D AMERICAN WAGERING INC                           030405104      108    36000 SH       OTHER                 36000
D AMERICAN WOODMARK CORPORATION                   030506109     1855    90500 SH       OTHER                                   90500
D AMERIPATH INCORPORATED                          03071D109      183    20600 SH       OTHER                                   20600
D AMERUS LIFE HOLDINGS INCORPORAT                 030732101      250    12100 SH       OTHER                  2000             10100
D AMES DEPT STORES CORP                           030789507      302    38993 SH       OTHER                 38993
D AMGEN INCORPORATED                              031162100     4476    63712 SH       SOLE                  61217      400     2095
D AMGEN INCORPORATED                              031162100      368     5245 SH       SHARED                 4645               600
D AMGEN INCORPORATED                              031162100    45247   644086 SH       OTHER                390231            253855
D AMPHENOL CORP NEW                               032095101      788    11900 SH       OTHER                                   11900
D AMSOUTH BANCORPORATION                          032165102      746    47374 SH       OTHER                 30374             17000
D AMSTED INDUSTRIES INCORPORATED                  032177107  1416413  7680782 SH       OTHER               7680782
D AMSURG CORPORATION                              03232P108       82    15250 SH       OTHER                                   15250
D AMTRAN INCORPORATED                             03234G106      134    10800 SH       OTHER                  3000              7800
D AMYLIN PHARMACEUTICALS INC                      032346108      278    18300 SH       OTHER                 16100              2200
D ANADARKO PETROLEUM CORPORATION                  032511AP2       52    80000 SH       OTHER
D ANADARKO PETROLEUM COMPANY                      032511107     2097    42520 SH       OTHER                 18120             24400
D ANADIGICS INCORPORATED                          032515108        3      100 SH       SOLE                    100
D ANADIGICS INCORPORATED                          032515108      535    15700 SH       OTHER                  1200             14500
D ANALOG DEVICES INCORPORATED                     032654105       16      210 SH       SOLE                                      210
D ANALOG DEVICES INCORPORATED                     032654105     7253    95438 SH       OTHER                 42496             52942
D ANOLOGIC CORPORATION                            032657207      240     6000 SH       OTHER                                    6000
D ANAREN MICROWAVE INCORPORATED                   032744104      808     6160 SH       OTHER                  1560              4600
D ANDERSON TULLY COMPANY                          034159103     1025       10 SH       OTHER                    10
D ANDREW CORPORATION                              034425108      621    18505 SH       OTHER                  2630             15875
D ANDRX CORPORATION                               034551101      115     1800 SH       SOLE                   1800
D ANDRX CORPORATION                               034551101      569     8900 SH       OTHER                  4300              4600
D ANGIOTECH PHARMACEUTICALS IN                    034918102      205     4900 SH       OTHER                  4200               700
D ANHEUSER BUSCH COMPANIES                        035229103      579     7753 SH       SOLE                   7603               150
D ANHEUSER BUSCH COMPANIES                        035229103    11110   148756 SH       OTHER                 59926             88830
D ANIXTER INTERNATIONAL INCORPORA                 035290105      318    12000 SH       OTHER                  8200              3800
D ANNTAYLOR STORES CORPORATION                    036115103     3412   103000 SH       OTHER                 13400             89600
D ANSYS INC                                       03662Q105      206    18100 SH       OTHER                  4100             14000
D ANTEC CORP                                      03664P105     1521    36600 SH       OTHER                  6600             30000
D ANTHRACITE CAPITAL INCORPORATED                 037023108      556    78000 SH       OTHER                 68000             10000
D AON CORPORATION                                 037389103     1453    46776 SH       SOLE                  46776
D AON CORPORATION                                 037389103    10301   331632 SH       OTHER                132932            198700
D APACHE CORPORATION                              037411105        7      120 SH       SOLE                                      120
D APACHE CORPORATION                              037411105     4984    84736 SH       OTHER                 40246             44490
D APARTMENT INVESTMENT & MANAGEME                 03748R101     2572    59462 SH       OTHER                 27377             32085
D APOLLO GROUP INCORPORATED                       037604105      440    15700 SH       OTHER                  5000             10700
D APPLE COMPUTER INCORPORATED                     037833100      305     5830 SH       SOLE                   5830
D APPLE COMPUTER INCORPORATED                     037833100    12749   243410 SH       OTHER                 62960            180450
D APPLEBEES INTERNATIONAL INCORPO                 037899101      629    20750 SH       OTHER                                   20750
D APPLIED INNOVATION INC                          037916103     1707   160700 SH       OTHER                 10200            150500
D APRIA HEALTHCARE GROUP                          037933108      279    22800 SH       OTHER                                   22800
D APPLIED MICRO CIRCUITS CORPORAT                 03822W109     1632    16522 SH       OTHER                  2642             13880
D APPLIED MATERIALS INCORPORATED                  038222105     2492    27501 SH       SOLE                  27501
D APPLIED MATERIALS INCORPORATED                  038222105    24611   271568 SH       OTHER                 97809            173759
D APPLIED POWER INCORPORATED                      038225108      524    15633 SH       OTHER                  9858              5775
D APTARGROUP INCORPORATED                         038336103     5080   188136 SH       OTHER                 94886             93250
D ARCH CHEMICALS INC                              03937R102      260    11875 SH       OTHER                  1875             10000
D ARCHER DANIELS MIDLAND COMPANY                  039483102      973    99166 SH       OTHER                 28502             70664
D ASN US - ARCHSTONE COMMUNITIES                  039581103       20      972 SH       SOLE                    972
D ASN US - ARCHSTONE COMMUNITIES                  039581103     8710   413514 SH       OTHER                146255            267259
D ARCHSTONE COMMUNICATIONS INC                    039581202     3918   126400 SH       OTHER                 39400             87000
D ARCTIC CAT INC                                  039670104      177    14900 SH       OTHER                                   14900
D ARIAD PHARMACEUTICALS INC                       04033A100      240    18000 SH       OTHER                                   18000
D ARIBA INCORPORATED                              04033V104      498     5080 SH       SOLE                   5080
D ARIBA INCORPORATED                              04033V104      304     3100 SH       OTHER                  1300              1800
D ARIEL                                           040337404    15483  1584707 SH       OTHER                                 1584707
D ARNOLD INDUSTRIES INCORPORATED                  042595108     2473   205025 SH       OTHER                 24725            180300
D ARROW ELECTRONICS INCORPORATED                  042735100     3341   107775 SH       OTHER                 35775             72000
D ARTESYN TECHNOLOGIES INCORPORAT                 043127109      565    20319 SH       OTHER                  8519             11800
D ARTHROCARE CORPORATION                          043136100      225     4220 SH       OTHER                  1720              2500
D ARVIN INDUSTRIES                                043339100     2148   123639 SH       OTHER                  9339            114300
D ASHLAND INCORPORATED                            044204105      780    22247 SH       OTHER                  2495             19752
D ASIA PACIFIC FUND                               044901106      290    29900 SH       OTHER                  4000             25900
D ASIA SATELLITE TELECOMMUN                       04516X106      555    16200 SH       OTHER                  3200             13000
D ASPECT COMMUNICATIONS INC                       04523Q102      283     7198 SH       OTHER                  4798              2400
D ASPEN TECHNOLOGY INCORPORATED                   045327103      670    17400 SH       OTHER                  7400             10000
D ASSOCIATED BANC CORP                            045487105      337    15458 SH       SOLE                  15458
D ASSOCIATED BANC CORP                            045487105     2165    99240 SH       OTHER                 76493             22747
D AT HOME CORPORATION                             045919107       24     1150 SH       SOLE                   1150
D AT HOME CORPORATION                             045919107      370    17826 SH       OTHER                 17826
D ASSOCIATES FIRST CAPITAL CORPOR                 046008108        6      262 SH       SHARED                  262
D ASSOCIATES FIRST CAPITAL CORPOR                 046008108     5873   263207 SH       OTHER                 86639            176568
D ASTORIA FINANCIAL CORPORATION                   046265104     2579   100160 SH       OTHER                  7100             93060
D ASTRAZENECA PLC                                 046353108       74     1599 SH       SOLE                   1599
D ASTRAZENECA PLC                                 046353108     3056    65710 SH       OTHER                  6736             58974
D ASYST TECHNOLOGIES INCORPORATED                 04648X107        3      100 SH       SOLE                    100
D ASYST TECHNOLOGIES INCORPORATED                 04648X107      404    11800 SH       OTHER                                   11800
D ATCHISON CASTING CORP                           046613105      151    26300 SH       OTHER                 26300
D ATHENS NEUROSCI                                 046854AB1      421   300000 SH       OTHER
D ATMEL CORP                                      049513104     1407    38160 SH       OTHER                  9900             28260
D ATRIX LABS INCORPORATED                         04962LAA9      426   540000 SH       OTHER
D ATRIX LABS INCORPORATED                         04962LAC5      276   350000 SH       OTHER
D ATRIX LABORATORIES INC.                         04962L101      177    18855 SH       OTHER                 16800              2055
D ATWOOD OCEANICS INCORPORATED                    050095108      264     5950 SH       OTHER                                    5950
D AULT INC                                        051503100       66    10000 SH       OTHER                                   10000
D AURORA BIOSCIENCES CORPORATION                  051920106      936    13725 SH       OTHER                   175             13550
D AUTODESK INCORPORATED                           052769106      416    12000 SH       OTHER                   100             11900
D AUTOLIV INCORPORATED W/I                        052800109      361    15000 SH       OTHER                                   15000
D AUTOMATIC DATA                                  053015103     1318    24600 SH       SOLE                  22300     2300
D AUTOMATIC DATA                                  053015103      321     6000 SH       SHARED                 6000
D AUTOMATIC DATA                                  053015103    43605   814092 SH       OTHER                380465            433627
D AUTONATION INCORPORATED                         05329W102      417    59000 SH       OTHER                  8000             51000
D AUTOZONE INCORPORATED                           053332102      896    40725 SH       OTHER                 11400             29325
D AVADO BRANDS INC                                05336P108       78    52000 SH       OTHER                 11500             40500
D AVATAR HOLDINGS INCORPORATED                    053494100      524    22800 SH       OTHER                 14300              8500
D AVENTIS                                         053561106     2150    29636 SH       OTHER                  7062             22574
D AVERY DENNISON CORPORATION                      053611109     9833   146494 SH       OTHER                 46050            100444
D AVNET INCORPORATED                              053807103       15      247 SH       SOLE                    247
D AVNET INCORPORATED                              053807103     2715    45819 SH       OTHER                 21230             24589
D AVON PRODUCTS INCORPORATED                      054303102       40      900 SH       SOLE                    900
D AVON PRODUCTS INCORPORATED                      054303102     9065   203709 SH       OTHER                 53609            150100
D AXA-UAP                                         054536107     1162    14605 SH       SOLE                  14605
D AXA-UAP                                         054536107     1230    15454 SH       OTHER                  5371             10083
D AXYS PHARMACEUTICALS INC                        054635107     1349   227100 SH       OTHER                 12200            214900
D BB & T CORPORATION                              054937107       17      722 SH       SOLE                    722
D BB & T CORPORATION                              054937107      228     9557 SH       OTHER                  9557
D B C ROGERS POULTRY INCORPORATED                 054990130    32512  6143130 SH       OTHER                                 6143130
D B C ROGERS PROCESSORS INCORPORA                 054991138    14960  5880000 SH       OTHER                                 5880000
D BASF AG                                         055262505      724    17930 SH       OTHER                  1330             16600
D BBN CORPORATION                                 055283AA3       72    75000 SH       OTHER
D BCE INCORPORATED                                05534B109       17      700 SH       SOLE                    700
D BCE INCORPORATED                                05534B109      671    28182 SH       OTHER                 24932              3250
D BHA GROUP HOLDINGS INC                          055446108     1579   161983 SH       OTHER                                  161983
D BHC COMMUNICATIONS INC                          055448104     1482     9752 SH       OTHER                    45              9707
D BISYS GROUP INCORPORATED                        055472104      332     5400 SH       OTHER                                    5400
D BJS WHSL CLUB INC                               05548J106     4984   151032 SH       OTHER                109322             41710
D BJ SERVICES COMPANY                             055482103      528     8440 SH       OTHER                  3790              4650
D BP AMOCO PLC                                    055622104     4551    80460 SH       SOLE                  80460
D BP AMOCO PLC                                    055622104      526     9297 SH       SHARED                 7513              1784
D BP AMOCO PLC                                    055622104    52382   926075 SH       OTHER                656680            269395
D BRE PROPERTIES INCORPORATED                     05564E106      372    12900 SH       OTHER                 11000              1900
D BMC SOFTWARE INCORPORATED                       055921100     1656    45383 SH       SOLE                  44563               820
D BMC SOFTWARE INCORPORATED                       055921100       73     2000 SH       SHARED                 2000
D BMC SOFTWARE INCORPORATED                       055921100     6036   165440 SH       OTHER                 85200             80240
D BT INSTITUTIONAL FUNDS                          055924500    12362    67883 SH       OTHER                                   67883
D BT DEUTSCHE                                     055924856    13079   800451 SH       OTHER                800451
D BT PYRAMID S & P 500                            055999106   320443    91046 SH       SOLE                  91046
D BAKER HUGHES INCORPORATED                       057224107     2591    80973 SH       OTHER                 17013             63960
D BALDOR ELEC CO                                  057741100      367    19700 SH       OTHER                                   19700
D BALDWIN AND LYONS INCORPORATED                  057755209      339    19845 SH       OTHER                   250             19595
D BALL CORPORATION                                058498106     1135    35255 SH       OTHER                 31355              3900
D BALLY TOTAL FITNESS HOLDING COR                 05873K108       32     1250 SH       SOLE                   1250
D BALLY TOTAL FITNESS HOLDING COR                 05873K108      245     9650 SH       OTHER                  1250              8400
D BANCO BILBAO VIZCAYA                            05946K101      780    52905 SH       SOLE                  52905
D BANCO BILBAO VIZCAYA                            05946K101      113     7651 SH       OTHER                  2118              5533
D BANCO BRADESCO                                  059460105      200    23000 SH       OTHER                                   23000
D BANCO SANTANDER CENT HISPANO SA                 05964H105      219    21144 SH       OTHER                 21144
D BANCWEST CORP NEW                               059790105      435    26476 SH       OTHER                 14476             12000
D BANDAG INC                                      059815308      200     8700 SH       OTHER                  2500              6200
D BANK OF AMERICA CORPORATION                     060505104      318     7404 SH       SOLE                   6884               520
D BANK OF AMERICA CORPORATION                     060505104        9      200 SH       SHARED                  200
D BANK OF AMERICA CORPORATION                     060505104    24799   576714 SH       OTHER                271490            305224
D BANK AUSTRIA A G                                060593100      504    51500 SH       OTHER                                   51500
D BANK OF AMERICA                                 060990132    17691  7691238 SH       OTHER               7691238
D BANK OF AMERICA                                 060990140    11719  1719331 SH       OTHER               1719331
D BANK OF MONTREAL                                063671101       21      500 SH       SHARED                  500
D BANK OF MONTREAL                                063671101      738    17284 SH       OTHER                  6534             10750
D BANK OF NEW YORK INCORPORATED                   064057102      328     7060 SH       SOLE                   6560               500
D BANK OF NEW YORK INCORPORATED                   064057102       28      600 SH       SHARED                  600
D BANK OF NEW YORK INCORPORATED                   064057102     8171   175710 SH       OTHER                145389             30321
D BANK ONE CORPORATION                            06423A103     1883    70884 SH       SOLE                  68491              2393
D BANK ONE CORPORATION                            06423A103      120     4508 SH       SHARED                 4357               151
D BANK ONE CORPORATION                            06423A103    27698  1042739 SH       OTHER                861484            181255
D BANK OF TOKYO-MITSUBISHI                        065379109     1022    84265 SH       OTHER                 15365             68900
D BANK UTD CORP                                   065412108     3763   106950 SH       OTHER                  7200             99750
D BANKATLANTIC BANCORP INCORPORAT                 065908AB1       38    45000 SH       OTHER
D BANKATLANTIC BNC                                065908AC9       23    35000 SH       OTHER
D BANKNORTH GROUP INC NEW                         06646R107     3844   251000 SH       OTHER                 34700            216300
D BANKUNITED FINANCIAL CORPORATIO                 06652B103      399    55000 SH       OTHER                                   55000
D BANTA CORPORATION                               066821109      201    10625 SH       OTHER                  3125              7500
D BANKERS TRUST COLLECTIVE FUND                   066999038    76844    22379 SH       OTHER                                   22379
D BANKERS TRUST COLLECTIVE FUND                   066999046       17    16687 SH       OTHER                                   16687
D BARD C R INCORPORATED                           067383109      899    18680 SH       OTHER                   380             18300
D BARNES & NOBLE INCORPORATED                     067774109      441    19810 SH       OTHER                   210             19600
D BARCLAYS GLOBAL INVESTORS                       067990143      283     9859 SH       OTHER                                    9859
D BARCLAYS GLOBAL INVESTORS                       067990150      588     9067 SH       OTHER                                    9067
D BARCLAYS GLOBAL INVESTORS                       067990168     1306    10217 SH       OTHER                                   10217
D BARCLAYS GLOBAL INVESTORS                       067990184     6637   583447 SH       OTHER                                  583447
D BARRETVILLE BANK & TRUST COMPAN                 068491109      373       50 SH       OTHER                    50
D BARING INTERNATIONAL GROUP                      068990134    33432   157970 SH       OTHER                157970
D BAUSCH & LOMB INCORPORATED                      071707103     5495    71024 SH       OTHER                 44904             26120
D BAXTER INTERNATIONAL INCORPORAT                 071813109      170     2412 SH       SOLE                   2412
D BAXTER INTERNATIONAL INCORPORAT                 071813109      198     2811 SH       SHARED                 2811
D BAXTER INTERNATIONAL INCORPORAT                 071813109    34807   495033 SH       OTHER                242393            252640
D BAXTER INTERNATIONAL INCORPORAT                 071813125        5    30100 SH       OTHER                 30100
D BAYER AG                                        072730302      295     7541 SH       OTHER                  2541              5000
D BAYERISCHE HYPO-UND                             072735103      716    10965 SH       SOLE                  10965
D BAYERISCHE HYPO-UND                             072735103      133     2041 SH       OTHER                  2041
D BAYERISCHE MOTOREN WERKE A G                    072743107      223     7390 SH       OTHER                                    7390
D BEA SYSTEMS INCORPORATED                        073325102      544    11000 SH       SOLE                  11000
D BEA SYSTEMS INCORPORATED                        073325102     2540    51380 SH       OTHER                  5200             46180
D BEAR STEARN'S COMPANY INCORPORA                 073902108     1455    34947 SH       OTHER                  5134             29813
D BECKMAN COULTER INCORPORATED                    075811109        9      146 SH       SOLE                    146
D BECKMAN COULTER INCORPORATED                    075811109     1920    32890 SH       OTHER                 21840             11050
D BECTON DICKINSON & COMPANY                      075887109       37     1300 SH       SOLE                   1300
D BECTON DICKINSON & COMPANY                      075887109     9976   347734 SH       OTHER                 78452            269282
D BED BATH & BEYOND INCORPORATED                  075896100      529    14605 SH       SOLE                  14605
D BED BATH & BEYOND INCORPORATED                  075896100     1397    38550 SH       OTHER                 28640              9910
D BELDEN INC                                      077459105      771    30100 SH       OTHER                                   30100
D BELL & HOWELL COMPANY                           077852101     1161    47880 SH       OTHER                 17070             30810
D BELL ATLANTIC CORPORATION                       077853109     1747    34380 SH       SOLE                  33424      250      706
D BELL ATLANTIC CORPORATION                       077853109      390     7666 SH       SHARED                 5760      300     1606
D BELL ATLANTIC CORPORATION                       077853109    20862   410565 SH       OTHER                107492            303073
D BELL MICROPRODUCTS INC                          078137106      459    25000 SH       OTHER                 10000             15000
D BELLSOUTH CORPORATION                           079860102     2708    63542 SH       SOLE                  62442              1100
D BELLSOUTH CORPORATION                           079860102      358     8396 SH       SHARED                 7596               800
D BELLSOUTH CORPORATION                           079860102    17402   408248 SH       OTHER                200273            207975
D BELO A H CORPORATION                            080555105      687    39704 SH       OTHER                 33000              6704
D BENTON OIL & GAS COMPANY                        083288100      206    75000 SH       OTHER                                   75000
D BERGEN BRUNSWIG CORPORATION                     083739102      156    28449 SH       OTHER                  5800             22649
D BERGER OMNI INVESTMENT FUND TRU                 083902205     3556   157749 SH       OTHER                157749
D BERKSHIRE HATHAWAY                              084670108   240486     4470 SH       OTHER                   538              3932
D BERKSHIRE HATHAWAY INC DELAWARE                 084670207      202      115 SH       SOLE                    115
D BERKSHIRE HATHAWAY INC DELAWARE                 084670207       63       36 SH       SHARED                   36
D BERKSHIRE HATHAWAY INC DELAWARE                 084670207     4731     2688 SH       OTHER                  2414               274
D BERNSTEIN SANFORD C FUND INC                    085568707      220    10171 SH       OTHER                 10171
D BEST BUY INCORPORATED                           086516101       76     1200 SH       SOLE                   1200
D BEST BUY INCORPORATED                           086516101     3620    57229 SH       OTHER                 17054             40175
D BESTFOODS                                       08658U101      256     3700 SH       SOLE                   3700
D BESTFOODS                                       08658U101      180     2600 SH       SHARED                 2400               200
D BESTFOODS                                       08658U101     6980   100791 SH       OTHER                 74531             26260
D BETHLEHEM STEEL CORPORATION                     087509105       37    10500 SH       OTHER                 10500
D BEVERLY ENTERPRISES INC                         087851309      248    88200 SH       OTHER                 26100             62100
D BILLITON PLC                                    090171109      112    27800 SH       OTHER                 27800
D BINDLEY WESTERN INDUSTRIES                      090324104     4389   166004 SH       OTHER                 78547             87457
D BIO RAD LABORATORIES                            090572207     1675    66980 SH       OTHER                 57280              9700
D BIO TECHNOLOGY GENERAL CORPORAT                 090578105      215    16316 SH       OTHER                  6916              9400
D BIOCONTROL TECHNOLOGY INCORPORA                 090586108        9    50000 SH       OTHER                 50000
D BIOGEN N.V.                                     090597105     3093    47955 SH       SOLE                  47745               210
D BIOGEN N.V.                                     090597105     4421    68541 SH       OTHER                 43451             25090
D BIOMET INCORPORATED                             090613100     3953   102830 SH       SOLE                 101430      400     1000
D BIOMET INCORPORATED                             090613100      149     3875 SH       SHARED                 2925      800      150
D BIOMET INCORPORATED                             090613100     9490   246903 SH       OTHER                140950            105953
D BIOTECH HOLDRS TRUST                            09067D201      210     1180 SH       SOLE                   1180
D BIOTECH HOLDRS TRUST                            09067D201      409     2300 SH       OTHER                  2300
D BIOSITE DIAGNOSTICS INCORPORATE                 090945106      523    10853 SH       OTHER                  4753              6100
D BLACK & DECKER CORPORATION                      091797100     6522   165888 SH       OTHER                 16937            148951
D BLACK BOX CORP                                  091826107      222     2800 SH       OTHER                                    2800
D BLACKROCK                                       091927202     1534  1533943 SH       OTHER                                 1533943
D BLACKROCK FUNDS                                 091927715      224    14265 SH       OTHER                 14265
D BLACKROCK FUNDS                                 091928309      568    16477 SH       OTHER                 16477
D BLACKROCK FUNDS                                 091928606      127    13025 SH       SOLE                  13025
D BLACK & VEATCH HOLDING COMPANY                  091990135    46504  3914495 SH       OTHER                                 3914495
D BLAIR CORPORATION                               092828102     1245    67310 SH       OTHER                 25100             42210
D BLAIR WILLIAM                                   093001204      102    10207 SH       SOLE                                    10207
D BLAIR WILLIAM                                   093001204      654    65658 SH       OTHER                 56162              9497
D BLAIR WILLIAM MUTUAL FUNDS INC                  093001402       56     2294 SH       SOLE                                     2294
D BLAIR WILLIAM MUTUAL FUNDS INC                  093001402     1427    58211 SH       OTHER                 58211
D BLAIR WILLIAM MUT FUNDS INC                     093001485      203    13599 SH       OTHER                 13599
D BLAIR WILLIAM MUTUAL FUNDS INC                  093001774      292    11906 SH       OTHER                 11906
D BLAIR WILLIAM MUT FUNDS INC                     093001865      492    23218 SH       SOLE                   2736             20482
D BLAIR WILLIAM MUT FUNDS INC                     093001865      193     9081 SH       OTHER                   215              8866
D BLOCK H & R INCORPORATED                        093671105     3824   118120 SH       OTHER                 50650             67470
D BLUE CIRCLE INDS PLC                            095342408       87    13440 SH       OTHER                 13440
D BLUEGREEN CORP                                  096231105       83    30000 SH       OTHER                                   30000
D BLYTH INC                                       09643P108     2261    76632 SH       OTHER                 66432             10200
D BOB EVANS FARM INCORPORATED                     096761101     2451   164075 SH       OTHER                  4050            160025
D BOCA RESORTS INC                                09688T106        1      100 SH       SOLE                    100
D BOCA RESORTS INC                                09688T106      955    96700 SH       OTHER                 46700             50000
D BOEING COMPANY                                  097023105      312     7455 SH       SOLE                   7055               400
D BOEING COMPANY                                  097023105      151     3600 SH       SHARED                 3525                75
D BOEING COMPANY                                  097023105    18226   435897 SH       OTHER                122443            313454
D BOISE CASCADE CORPORATION                       097383103     1122    43357 SH       OTHER                 17104             26253
D AMERICAN FUNDS                                  097873103        6      439 SH       SOLE                    439
D AMERICAN FUNDS                                  097873103     1854   145389 SH       OTHER                  9579            135811
D BORG WARNER INC                                 099724106      596    16982 SH       OTHER                   132             16850
D BOSTON CHICKEN INCORPORATED                     100578AA1            100000 SH       OTHER
D BOSTON CHICKEN INCORPORATED                     100578AC7            550000 SH       OTHER
D BOSTON PROPERTIES INCORPORATED                  101121101        8      200 SH       SHARED                                    200
D BOSTON PROPERTIES INCORPORATED                  101121101      481    12450 SH       OTHER                 10300              2150
D BOSTON SCIENTIFIC CORPORATION                   101137107     1229    56031 SH       OTHER                 30596             25435
D BOWATER INCORPORATED                            102183100     1172    26550 SH       OTHER                 24200              2350
D BRADY CORPORATION                               104674106     1613    49635 SH       OTHER                 13335             36300
D BRANDYWINE RLTY TR                              105368203      469    24500 SH       OTHER                  4400             20100
D BRASCAN CORP                                    10549P606      146    12300 SH       OTHER                 12300
D BRAZOS MUTUAL FUNDS                             10620M308      457    18708 SH       OTHER                 18708
D BRENTON BANKS INCORPORATED                      107211104      962    69300 SH       OTHER                                   69300
D BRINSON TRUST COMPANY                           107990103    12110    49639 SH       OTHER                 49639
D BRIGGS & STRATTON CORPORATION                   109043109      385    11250 SH       OTHER                  1000             10250
D BRIGHTPOINT INCORPORATED                        109473108      365    42150 SH       OTHER                  3750             38400
D BRINKER INTERNATIONAL INCORPORA                 109641100     1113    38043 SH       OTHER                 17165             20878
D BRINSON TRUST COMPANY                           10970C603     9229   574282 SH       OTHER                574282
D BRISTOL MYERS SQUIBB COMPANY                    110122108     8044   138087 SH       SOLE                 136757              1330
D BRISTOL MYERS SQUIBB COMPANY                    110122108      300     5150 SH       SHARED                 5150
D BRISTOL MYERS SQUIBB COMPANY                    110122108    55063   945295 SH       OTHER                560703            384592
D BRITISH AIRWAYS PUBLIC                          110419306      504     8771 SH       OTHER                  4077              4694
D BRITISH AMERN TOB PLC                           110448107      243    18062 SH       OTHER                   695             17367
D BRITISH TELECOMMUNICATIONS                      111021408      473     3580 SH       SOLE                   3580
D BRITISH TELECOMMUNICATIONS                      111021408      583     4410 SH       OTHER                   800              3610
D BROADBASE SOFTWARE INCORPORATED                 11130R100      233     7600 SH       OTHER                                    7600
D BROADCOM CORPORATION                            111320107    11752    53678 SH       OTHER                 15888             37790
D BROADVISION INCORPORATED                        111412102     1600    31490 SH       OTHER                 11720             19770
D BROCADE COMMUNICATIONS SYSTEMS                  111621108     6435    35071 SH       OTHER                  1371             33700
D BROOKLINE BANCORP INCORPORATED                  113739106      949    83000 SH       OTHER                 15000             68000
D BROOKS AUTOMATION INC                           11434A100      475     7425 SH       OTHER                                    7425
D BROOKSTONE INC                                  114537103      823    85800 SH       OTHER                                   85800
D BROOKSHIRE BROTHERS HOLDING INC                 114990138    38887  2746255 SH       OTHER                                 2746255
D BROOKSHIRE BROTHERS HOLDING INC                 114990146    13204   600182 SH       OTHER                                  600182
D BROWN & BROWN INC                               115236101      850    16350 SH       OTHER                  3750             12600
D BROWN (TOM) INCORPORATED                        115660201      397    17200 SH       OTHER                  2200             15000
D BRUNSWICK CORPORATION                           117043109        3      200 SH       SOLE                    200
D BRUNSWICK CORPORATION                           117043109      994    60010 SH       OTHER                  7010             53000
D BUCA INC                                        117769109      266    17000 SH       OTHER                  3000             14000
D BUCKEYE PARTNERS L.P.                           118230101      290    10800 SH       OTHER                 10800
D BUCKEYE TECHNOLOGIES INCORPORAT                 118255108     1358    61908 SH       OTHER                  7608             54300
D BUCKEYE PIPE LINE SERVICES COMP                 118990118    69092  2558958 SH       OTHER               2558958
D BUENOS AIRES EMBOTELLADORA                      119424208      817   502985 SH       OTHER                502985
D BURLINGTON COAT FACTORY                         121579106      431    39900 SH       OTHER                  4000             35900
D BURLINGTON NORTHERN SANTA FE                    12189T104      151     6573 SH       SOLE                   6573
D BURLINGTON NORTHERN SANTA FE                    12189T104       46     2010 SH       SHARED                                   2010
D BURLINGTON NORTHERN SANTA FE                    12189T104     7269   316911 SH       OTHER                 26421            290490
D BURLINGTON RESOURCES INCORPORAT                 122014103       90     2357 SH       SOLE                   2017               340
D BURLINGTON RESOURCES INCORPORAT                 122014103       48     1262 SH       SHARED                                   1262
D BURLINGTON RESOURCES INCORPORAT                 122014103     8468   221395 SH       OTHER                 38217            183178
D BURNHAM PACIFIC PROPERTIES INC                  12232C108       82    11884 SH       OTHER                 11884
D BURNS INTERNATIONAL SERVICES                    122374101      839    67150 SH       OTHER                  4000             63150
D BURR BROWN CORPORATION                          122574106      866     9990 SH       OTHER                  3790              6200
D BUSINESS OBJECTS S A                            12328X107      714     8100 SH       OTHER                   800              7300
D C&D TECHNOLOGIES INCORPORATED                   124661109     1181    20905 SH       OTHER                 19105              1800
D CBL & ASSOC PPTYS INC                           124830100     2875   115300 SH       OTHER                  6800            108500
D CBRL GROUP INCORPORATED                         12489V106        2      150 SH       SOLE                    150
D CBRL GROUP INCORPORATED                         12489V106      390    26525 SH       OTHER                  4600             21925
D CDW COMPUTER CTRS INC.                          125129106      113     1800 SH       SOLE                   1800
D CDW COMPUTER CTRS INC.                          125129106     7406   118500 SH       OTHER                 26500             92000
D CEC ENTMT INC                                   125137109      353    13775 SH       OTHER                  6875              6900
D CFM TECHNOLOGIES INCORPORATED                   12525K106      386    24900 SH       OTHER                                   24900
D C.H. ROBINSON WORLDWIDE INC                     12541W100      877    17725 SH       OTHER                 15000              2725
D CIGNA CORPORATION                               125509109     5144    55012 SH       OTHER                 12442             42570
D CIGNA HIGH INCOME SHARES                        12551D109       77    13500 SH       OTHER                 13500
D CIM                                             125527135     2654   238609 SH       OTHER                238609
D C.I.T. GROUP INCORPORATED - A                   125577106      204    12531 SH       OTHER                  9491              3040
D CLECO CORPORATION NEW                           12561W105      264     7870 SH       OTHER                   946              6924
D CMC TRUST FUND                                  125688101     4122   204485 SH       OTHER                                  204485
D CMC TRUST FUND                                  125688200     3421   184905 SH       OTHER                                  184905
D CMC FUND TRUST                                  125688309     1433   170572 SH       OTHER                                  170572
D CMGI INCORPORATED                               125750109      302     6600 SH       SOLE                   6600
D CMGI INCORPORATED                               125750109     1114    24315 SH       OTHER                 22840              1475
D CMP INDUSTRIES INCORPORATED                     125889105      600    15394 SH       OTHER                 15394
D CSS INDUSTRIES INCORPORATED                     125906107      327    16000 SH       OTHER                                   16000
D CRP HLDG CORP                                   125963108        2    23000 SH       OTHER                 23000
D CIGNA INVESTMENT MANAGEMENT INC                 125990135     4848     1145 SH       OTHER                                    1145
D CNA SURETY CORP                                 12612L108      125    10500 SH       OTHER                                   10500
D CNF TRANSPORTATION INCORPORATED                 12612W104      685    30100 SH       OTHER                 27000              3100
D C P & L ENERGY INC                              12614C106       44     1384 SH       SOLE                   1384
D C P & L ENERGY INC                              12614C106      421    13184 SH       OTHER                 13184
D CSG SYSTEM INTERNATIONAL INC                    126349109     1281    22850 SH       SOLE                  22850
D CSG SYSTEM INTERNATIONAL INC                    126349109      404     7210 SH       OTHER                  1010              6200
D CSR LTD                                         126396308      119    10667 SH       OTHER                 10667
D CSX CORPORATION                                 126408103       78     3700 SH       SOLE                   3700
D CSX CORPORATION                                 126408103       55     2600 SH       SHARED                 2600
D CSX CORPORATION                                 126408103     1464    69098 SH       OTHER                 43878             25220
D CT&T FUNDS                                      126413889     2811    83081 SH       OTHER                                   83081
D CT COMMUNICATIONS INCORPORATED                  126426402      384    13496 SH       OTHER                 13496
D CTS CORPORATION                                 126501105     1221    27140 SH       OTHER                 18000              9140
D CUC INTERNATIONAL INCORPORATED                  126545AD4       59    65000 SH       OTHER
D CVS CORPORATION                                 126650100      611    15277 SH       SOLE                  13857      400     1020
D CVS CORPORATION                                 126650100      131     3275 SH       SHARED                 2075      500      700
D CVS CORPORATION                                 126650100    21744   543607 SH       OTHER                363625            179982
D CV THERAPEUTICS INCORPORATED                    126667104      277     4000 SH       OTHER                  3000              1000
D CABLE & WIRELESS                                126830207      676    13510 SH       OTHER                  6018              7492
D CABLEVISION SYSTEMS CORPORATION                 12686C109      966    14234 SH       OTHER                  6462              7772
D CABLETRON SYS INC                               126920107        5      200 SH       SOLE                    200
D CABLETRON SYS INC                               126920107     2097    83050 SH       OTHER                 80790              2260
D CABLE DESIGN TECHNOLOGIES CORP                  126924109      245     7300 SH       OTHER                  1950              5350
D CABOT CORPORATION                               127055101      297    10900 SH       OTHER                  2700              8200
D CACHE INC.                                      127150308       68    18000 SH       OTHER                                   18000
D CACI INTERNATIONAL INC                          127190304      950    48700 SH       OTHER                  2500             46200
D CADBURY SCHWEPPES PUBLIC                        127209302      701    26700 SH       OTHER                  7225             19475
D CADENCE DESIGN SYSTEMS INCORPOR                 127387108       41     2000 SH       SOLE                   2000
D CADENCE DESIGN SYSTEMS INCORPOR                 127387108      782    38400 SH       OTHER                  2600             35800
D CAL DIVE INTL INC                               127914109      266     4900 SH       OTHER                  4100               800
D CALIBER LEARNING NETWORK INC                    129914107       81    20000 SH       OTHER                 18000              2000
D CALPINE CORPORATION                             131347106     1627    24750 SH       SOLE                  24750
D CALPINE CORPORATION                             131347106     3217    48930 SH       OTHER                  4630             44300
D CAMBREX CORPORATION                             132011107     1139    25300 SH       OTHER                  2200             23100
D CAMINUS CORPORATION                             133766105      250    10200 SH       OTHER                                   10200
D CAMPBELL SOUP COMPANY                           134429109      236     8098 SH       SOLE                   8098
D CAMPBELL SOUP COMPANY                           134429109       73     2512 SH       SHARED                 2260               252
D CAMPBELL SOUP COMPANY                           134429109     1950    66968 SH       OTHER                 30568             36400
D CANADIAN OIL SANDS TRUST                        135922102      239    12000 SH       OTHER                  3000              9000
D CANADIAN PACIFIC LIMITED                        135923100     3065   117040 SH       OTHER                 26855             90185
D CANADIAN TALON RESOURCES LTD                    135990109       16   433334 SH       OTHER                433334
D CANADIAN NATIONAL RAILWAY COMPA                 136375102      360    12320 SH       OTHER                  1020             11300
D CANANDAIGUA WINE INCORPORATED                   137219200     2759    54700 SH       OTHER                  3600             51100
D CANARC RESOURCE CORP                            13722D101       65   352000 SH       OTHER                                  352000
D CANON INCORPORATED                              138006309      528    10490 SH       SOLE                  10490
D CANON INCORPORATED                              138006309     2468    49000 SH       OTHER                 16456             32544
D CAPITAL AUTOMOTIVE                              139733109      595    42100 SH       OTHER                 39000              3100
D CAPITAL GROWTH MORTGAGE INVESTO                 140184102      250    25000 SH       OTHER                 25000
D CAPITAL ONE FINANCIAL CORPORATI                 14040H105     1745    39100 SH       SOLE                  39100
D CAPITAL ONE FINANCIAL CORPORATI                 14040H105     3312    74222 SH       OTHER                 69322              4900
D CAPITAL SOUTHWEST                               140501107     2013    33000 SH       OTHER                                   33000
D CAPITAL TRUST                                   14052H100      320    80000 SH       OTHER                 30000             50000
D CAPITAL TITLE GROUP INCORPORATE                 140919101      713   507000 SH       OTHER                507000
D CARDINAL HEALTH INCORPORATED                    14149Y108      128     1729 SH       SOLE                    929               800
D CARDINAL HEALTH INCORPORATED                    14149Y108       16      211 SH       SHARED                  211
D CARDINAL HEALTH INCORPORATED                    14149Y108    10098   136455 SH       OTHER                 80250             56205
D CAREER EDUCATION CORPORATION                    141665109      580    11950 SH       OTHER                  7950              4000
D CARIBBEAN SELECT INC                            141859108             20000 SH       OTHER                 20000
D CARLISLE COMPANIES INCORPORATED                 142339100      288     6400 SH       OTHER                                    6400
D CARLTON COMMUNICATIONS PUBLIC                   142872209      520     8000 SH       OTHER                                    8000
D CARMIKE CINEMAS INCORPORATED                    143436103       74    19163 SH       OTHER                 17563              1600
D CARNIVAL CORP                                   143658102      180     9250 SH       SOLE                   8500               750
D CARNIVAL CORP                                   143658102        8      400 SH       SHARED                                    400
D CARNIVAL CORP                                   143658102     2566   131586 SH       OTHER                 80661             50925
D CARPENTER TECHNOLOGY CORPORATIO                 144285103      376    17800 SH       OTHER                  1400             16400
D CARRAMERICA REALTY CORPORATION                  144418100      408    15400 SH       OTHER                 13400              2000
D CASCO INTL INC                                  147399109       33    10000 SH       OTHER                                   10000
D CASELLA WASTE SYSTEMS INC-A                     147448104      614    57100 SH       OTHER                                   57100
D CASEYS GENERAL STORES INCORPORA                 147528103      915    88200 SH       OTHER                 12000             76200
D CASTLE AM & COMPANY                             148411101      151    18133 SH       OTHER                 18133
D CASTLE ENERGY                                   148449309      267    42500 SH       OTHER                 42500
D CATALINA MARKETING CORP                         148867104     2315    22700 SH       OTHER                 14800              7900
D CATELLUS DEVELOPMENT CORPORATIO                 149111106      194    12900 SH       SOLE                                    12900
D CATELLUS DEVELOPMENT CORPORATIO                 149111106    14385   958982 SH       OTHER                 17265            941717
D CATERPILLAR INCORPORATED                        149123101      131     3880 SH       SOLE                   3880
D CATERPILLAR INCORPORATED                        149123101      139     4100 SH       SHARED                 3700               400
D CATERPILLAR INCORPORATED                        149123101     7327   216287 SH       OTHER                 23487            192800
D CAVALIER HOMES INCORPORATED                     149507105       26    16000 SH       OTHER                                   16000
D CEDAR FAIR LIMITED PARTNERSHIP                  150185106     9390   487808 SH       OTHER                366200            121608
D CELLSTAR CORPORATION                            150925105      137    49300 SH       OTHER                 12000             37300
D SECURITY FINANCIAL CORP                         150996EY8       57    56569 SH       OTHER                 56569
D CELESTICA INC                                   15101Q108       40      800 SH       SOLE                    800
D CELESTICA INC                                   15101Q108      314     6330 SH       OTHER                                    6330
D CELGENE CORPORATION                             151020104      750    12738 SH       OTHER                  5338              7400
D CELL PATHWAYS INCORPORATED NEW                  15114R101     2498   106288 SH       OTHER                105288              1000
D CENDANT CORPORATION                             151313103       18     1275 SH       SOLE                   1275
D CENDANT CORPORATION                             151313103     7101   507235 SH       OTHER                306424            200811
D CENDANT CORP                                    151313111      128    15150 SH       OTHER                 11550              3600
D CENDANT CORPORATION                             151313301      510    23450 SH       OTHER                 11850             11600
D CENTEX CORPORATION                              152312104      438    18650 SH       OTHER                  1550             17100
D CENTRAIS ELETRICAS BRASILEIR                    15234Q207      287    28170 SH       OTHER                  1530             26640
D CENTOCOR INCORPORATED                           152342AE1      566   420000 SH       OTHER
D CENTRAL GARDEN & PET CO.                        153527106      537    59925 SH       OTHER                 58475              1450
D CENTRAL NEWSPAPERS INCORPORATED                 154647101     3292    52045 SH       OTHER                 14465             37580
D CENTRAL PARK TST                                154787303      216    14500 SH       OTHER                 14500
D CENTURA BKS INC                                 15640T100      305     9000 SH       OTHER                                    9000
D CENTURY ALUM CO                                 156431108      147    13500 SH       OTHER                                   13500
D CENTURYTEL INCORPORATED                         156700106      254     8849 SH       SOLE                   7462              1387
D CENTURYTEL INCORPORATED                         156700106     6756   235005 SH       OTHER                149834             85171
D CEPHALON INCORPORATED                           156708109      500     8343 SH       OTHER                  7843               500
D CERIDIAN CORPORATION                            15677T106      156     6500 SH       SOLE                                     6500
D CERIDIAN CORPORATION                            15677T106    23918   993954 SH       OTHER                412754            581200
D CHAMPION COMMUNICATIONS SERVICE                 157901109       42    56700 SH       SOLE                  56700
D CHAMPION PARTS INCORPORATED                     158609107       37    39471 SH       OTHER                 39471
D CHANTAL PHARMACEUTICAL CORP                     159300201        5   250000 SH       OTHER                250000
D CHARLES RIV ASSOCS INC                          159852102      193    10975 SH       OTHER                                   10975
D CHARTER ONE FINANCIAL INCORPORA                 160903100       17      744 SH       SOLE                    744
D CHARTER ONE FINANCIAL INCORPORA                 160903100     9642   419232 SH       OTHER                119425            299807
D CHARMING SHOPPES INCORPORATED                   161133103     2325   456400 SH       OTHER                235000            221400
D CHARTER COMMUNICATIONS INC                      16117M107        3      200 SH       SOLE                    200
D CHARTER COMMUNICATIONS INC                      16117M107     1095    66600 SH       OTHER                 36200             30400
D CHASE MANHATTAN CORPORATION                     16161A108    11310   245527 SH       SOLE                 242090      525     2912
D CHASE MANHATTAN CORPORATION                     16161A108      126     2738 SH       SHARED                 2738
D CHASE MANHATTAN CORPORATION                     16161A108    79565  1727311 SH       OTHER               1279974            447337
D CHECKPOINT SYSTEMS INCORPORATED                 162825AB9       32    50000 SH       OTHER
D CHECKPOINT SYSTEM INCORPORATED                  162825103     1291   172100 SH       OTHER                  5300            166800
D CHEESECAKE FACTORY INC                          163072101      275    10000 SH       OTHER                 10000
D CHEMFIRST INC                                   16361A106      572    23700 SH       OTHER                                   23700
D CHEMFAB CORPORATION                             16361L102      570    48000 SH       OTHER                                   48000
D CHESAPEAKE ENERGY CORPORATION O                 165167107      229    29516 SH       OTHER                 29516
D CHEUNG KONG HOLDINGS LTD                        166744201      678    61300 SH       OTHER                  1000             60300
D CHEVRON TRUST FUND                              16675HAF9     8897  8709677 SH       SOLE
D CHEVRON TRUST FUND                              16675HAF9      121   118800 SH       OTHER
D CHEVRON CORPORATION                             166751107      901    10620 SH       SOLE                  10620
D CHEVRON CORPORATION                             166751107      104     1225 SH       SHARED                 1175                50
D CHEVRON CORPORATION                             166751107    16268   191807 SH       OTHER                 79314            112493
D CHEVY CHASE SAVINGS BANK, F.S.B                 166784207      351    13700 SH       OTHER                  6000              7700
D CHIEFTAIN INTERNATIONAL INCORPO                 16867C101     1403    73600 SH       OTHER                                   73600
D CHINA TELECOM HK LIMITED                        169428109      249     1400 SH       OTHER                  1400
D CHIREX INC                                      170038103      353    17650 SH       OTHER                 10600              7050
D CHIRON CORPORATION                              170040AB5      444   270000 SH       OTHER
D CHIRON CORPORATION                              170040109      622    13088 SH       OTHER                  1492             11596
D CHITTENDEN CORPORATION                          170228100      351    14375 SH       OTHER                   625             13750
D CHRIS CRAFT INDUSTRIES                          170520100     2307    34922 SH       OTHER                  5775             29147
D CHRONIMED INC                                   171164106      135    18300 SH       OTHER                  6400             11900
D CHUBB CORPORATION                               171232101     3184    51778 SH       OTHER                 25072             26706
D CHURCH & DWIGHT INCORPORATED                    171340102      308    17100 SH       OTHER                  8000              9100
D CIENA CORPORATION                               171779101     2578    15468 SH       OTHER                  3168             12300
D CINCINNATI FINANCIAL CORPORATIO                 172062101      537    17077 SH       OTHER                  2132             14945
D CINERGY CORP                                    172474108       34     1322 SH       SOLE                   1322
D CINERGY CORP                                    172474108      976    38368 SH       OTHER                 13946             24422
D CIRCUIT CITY STORES                             172737108      762    22957 SH       OTHER                  2047             20910
D CISCO SYSTEMS INCORPORATED                      17275R102    61538   968137 SH       SOLE                 949279     4648    14210
D CISCO SYSTEMS INCORPORATED                      17275R102     3617    56898 SH       SHARED                54898     2000
D CISCO SYSTEMS INCORPORATED                      17275R102   286706  4510573 SH       OTHER               3511406            999167
D CITADEL COMMUNICATIONS CORPORAT                 172853202      768    21970 SH       OTHER                  5100             16870
D CINTAS CORPORATION                              172908105      453    12355 SH       SOLE                  12355
D CINTAS CORPORATION                              172908105     5048   137600 SH       OTHER                 92706             44894
D CITIGROUP INCORPORATED                          172967101    30899   512850 SH       SOLE                 506356     1550     4944
D CITIGROUP INCORPORATED                          172967101     1169    19402 SH       SHARED                18128     1087      187
D CITIGROUP INCORPORATED                          172967101   143158  2376059 SH       OTHER               1537846            838213
D CITIZENS COMMUNICATIONS COMPANY                 17453B101      173    10000 SH       SOLE                                    10000
D CITIZENS COMMUNICATIONS COMPANY                 17453B101    12733   738129 SH       OTHER                206279            531850
D CITRIX SYSTEMS INCORPORATED                     177376100        8      400 SH       SOLE                    400
D CITRIX SYSTEMS INCORPORATED                     177376100      477    25177 SH       OTHER                 10627             14550
D CLAIRES STORES INCORPORATED                     179584107      683    35500 SH       OTHER                  1500             34000
D CLARCOR INCORPORATED                            179895107      312    15700 SH       OTHER                 15700
D CLARENT CORPORATION                             180461105      486     6800 SH       OTHER                   300              6500
D CLEAR CHANNEL                                   184502AE2      600   615000 SH       OTHER
D CLEAR CHANNEL COMMUNICATIONS                    184502102       45      600 SH       SOLE                                      600
D CLEAR CHANNEL COMMUNICATIONS                    184502102    14159   188789 SH       OTHER                144367             44422
D CLOROX COMPANY                                  189054109     1726    38510 SH       SOLE                  38210      300
D CLOROX COMPANY                                  189054109      172     3845 SH       SHARED                 3495      350
D CLOROX COMPANY                                  189054109     4872   108725 SH       OTHER                 49410             59315
D CLP HLDGS LTD                                   18946Q101      227    48757 SH       OTHER                  8557             40200
D COASTAL CORPORATION                             190441105     4475    73518 SH       OTHER                 34793             38725
D COBRA ELECTRONICS CORPORATION                   191042100     1935   286598 SH       OTHER                286598
D COCA COLA COMPANY                               191216100     7830   136327 SH       SOLE                 135827               500
D COCA COLA COMPANY                               191216100     1388    24171 SH       SHARED                23771               400
D COCA COLA COMPANY                               191216100    57538  1001746 SH       OTHER                457636            544110
D COCA-COLA FEMSA S A DE C V                      191241108        6      300 SH       SOLE                                      300
D COCA-COLA FEMSA S A DE C V                      191241108      566    30000 SH       OTHER                                   30000
D COFLEXIP                                        192384105      348     5750 SH       OTHER                  5050               700
D COGNOS INCORPORATED                             19244C109     1259    30432 SH       OTHER                   768             29664
D COHEN & STEERS                                  192476109     1481    37464 SH       OTHER                                   37464
D COHU INCORPORATED                               192576106     2098    77800 SH       OTHER                  7500             70300
D COINMACH LAUNDRY CORPORATION                    19259L101      768    54100 SH       OTHER                 50350              3750
D COLGATE PALMOLIVE CORPORATION                   194162103    23318   389439 SH       SOLE                 384779     2450     2210
D COLGATE PALMOLIVE CORPORATION                   194162103      875    14615 SH       SHARED                11315      900     2400
D COLGATE PALMOLIVE CORPORATION                   194162103   207535  3466132 SH       OTHER                261255           3204877
D COLGATE PALMOLIVE CO.                           194162905  2532213  5342222 SH       OTHER                                 5342222
D COLONIAL BANCGROUP INC                          195493309      145    16100 SH       OTHER                  7700              8400
D COLONIAL PROPERTIES TRUST (AL)                  195872106      526    19200 SH       OTHER                  2300             16900
D COLONIAL MUTUAL FUNDS                           196094775       37     2301 SH       SHARED                 2301
D COLONIAL MUTUAL FUNDS                           196094775      155     9630 SH       OTHER                                    9630
D COLT TELECOM GROUP PLC                          196877104      316     2333 SH       OTHER                  2183               150
D COLUMBIA ENERGY GROUP INC                       197648108      716    10905 SH       OTHER                  1305              9600
D COLUMBIA                                        198297103     2350   144533 SH       OTHER                144533
D COLUMBIA SPORTSWEAR COMPANY                     198516106     3131   116500 SH       OTHER                  6100            110400
D COMCAST CORPORATION                             200300101     5006   128772 SH       OTHER                 62091             66681
D COMCAST CORPORATION                             200300200       18      450 SH       SOLE                    450
D COMCAST CORPORATION                             200300200    31640   781223 SH       OTHER                617672            163551
D COMDISCO INCORPORATED                           200336105       89     3980 SH       SOLE                   3980
D COMDISCO INCORPORATED                           200336105     2626   117700 SH       OTHER                 91900             25800
D COMERICA INCORPORATED                           200340107    33731   751657 SH       SOLE                 751657
D COMERICA INCORPORATED                           200340107    16609   370124 SH       OTHER                329834             40290
D COMMERCE BANCSHARES INCORPORATE                 200525103      540    18145 SH       OTHER                 18145
D COMMERCE GROUP INC MASS                         200641108      289     9800 SH       OTHER                                    9800
D COMMERCE ONE INCORPORATED                       200693109      272     6000 SH       SOLE                   6000
D COMMERCE ONE INCORPORATED                       200693109      102     2250 SH       OTHER                   650              1600
D COMMERCIAL FEDERAL CORPORATION                  201647104      293    18795 SH       OTHER                 12195              6600
D COMMONWEALTH INDS INC DEL                       203004106      600   102200 SH       OTHER                                  102200
D COMMNICTN INTLGNC CP DEL NEW                    20338K106      157    35000 SH       OTHER                 35000
D COMMUNITY HEALTH SYSTEMS INC                    203668108      354    21880 SH       OTHER                                   21880
D COMMUNITY FIRST BANKSHARES                      203902101      210    12900 SH       OTHER                                   12900
D COMPASS FUNDS                                   203999131     1614  1614262 SH       OTHER               1614262
D COMMUNITY SVGS BNKSHS INC NE                    204037105      519    45600 SH       OTHER                 15000             30600
D CIA CERVEJARIA BRAHMA                           20440X103      269    15805 SH       OTHER                   785             15020
D CIA VALE DO RIO DOCE                            204412100      271     9600 SH       OTHER                  9600
D COMPAQ COMPUTER CORPORATION                     204493100      108     4220 SH       SOLE                   3420               800
D COMPAQ COMPUTER CORPORATION                     204493100        5      200 SH       SHARED                  200
D COMPAQ COMPUTER CORPORATION                     204493100     9124   356936 SH       OTHER                107296            249640
D COMPLETE MANAGEMENT INCORPORATE                 20452CAA2       17   100000 SH       OTHER
D COMPLETE MANGEMENT                              20452CAB0        3    20000 SH       OTHER
D COMPLETE MANAGEMENT INCORPORATE                 20452CA12      460   919153 SH       OTHER
D COMPLETE MANAGEMENT INCORPORATE                 20452C104        6   641663 SH       OTHER                 41000            600663
D COMPLETE BUSINESS SOLUTIONS                     20452F107      270    15400 SH       OTHER                                   15400
D COMPUCREDIT CORP                                20478N100      451    15025 SH       OTHER                 14125               900
D COMPUTER ASSOCIATES                             204912109      330     6450 SH       SOLE                   6450
D COMPUTER ASSOCIATES                             204912109       36      700 SH       SHARED                                    700
D COMPUTER ASSOCIATES                             204912109    23205   453323 SH       OTHER                112532            340791
D COMPUTER NETWORK TECH CORP                      204925101      535    30775 SH       OTHER                 27000              3775
D COMPUTER SCIENCES CORPORATION                   205363104       90     1200 SH       SOLE                   1200
D COMPUTER SCIENCES CORPORATION                   205363104     8613   115319 SH       OTHER                 59182             56137
D COMPUWARE CORPORATION                           205638109     2449   236079 SH       OTHER                  4479            231600
D COMTECH TELECOMMUNICATIONS                      205826209      767    46500 SH       OTHER                                   46500
D COMVERSE TECHNOLOGY INCORPORATE                 205862402     1875    20160 SH       OTHER                  9480             10680
D CONAGRA INCORPORATED                            205887102     1642    86146 SH       OTHER                 53840             32306
D COM21 INC                                       205937105      219     8750 SH       OTHER                                    8750
D COMPUTERLOGIC INCORPORATED                      205990138      206   412500 SH       OTHER                                  412500
D CONCORD EFS INCORPORATED                        206197105     2363    90899 SH       SOLE                  89824              1075
D CONCORD EFS INCORPORATED                        206197105    39709  1527266 SH       OTHER               1039104            488162
D CONEXANT SYSTEMS INCORPORATED                   207142100      114     2350 SH       SOLE                   2350
D CONEXANT SYSTEMS INCORPORATED                   207142100       46      950 SH       SHARED                  950
D CONEXANT SYSTEMS INCORPORATED                   207142100      349     7175 SH       OTHER                  6975               200
D CONOCO INCORPORATED                             208251306     4658   211716 SH       OTHER                 18435            193281
D CONOCO INCORPORATED                             208251405       17      700 SH       SOLE                                      700
D CONOCO INCORPORATED                             208251405     4505   183391 SH       OTHER                 72219            111172
D CONSECO INCORPORATED                            208464107       10     1000 SH       SHARED                                   1000
D CONSECO INCORPORATED                            208464107     1539   157897 SH       OTHER                 10403            147494
D CONSECO STRATEGIC INCOME FUND                   20847A102      113    11000 SH       OTHER                 11000
D CONSOLIDATED EDISON INCORPORATE                 209115104      182     6130 SH       SOLE                   6130
D CONSOLIDATED EDISON INCORPORATE                 209115104     1490    50300 SH       OTHER                 31250             19050
D CONSOLIDATED PAPERS INCORPORATE                 209759109      106     2900 SH       SOLE                   2900
D CONSOLIDATED PAPERS INCORPORATE                 209759109      859    23500 SH       OTHER                 16500              7000
D CONSOLIDATED STORES CORPORATION                 210149100     2206   183854 SH       OTHER                 14271            169583
D CONSTELLATION ENERGY GROUP I                    210371100        7      225 SH       SHARED                  225
D CONSTELLATION ENERGY GROUP I                    210371100      389    11949 SH       OTHER                  3849              8100
D CONVERGYS CORP                                  212485106       62     1200 SH       SOLE                   1200
D CONVERGYS CORP                                  212485106      789    15200 SH       OTHER                  3100             12100
D CONVERSE INCORPORATED                           212540AA6        3    25000 SH       SOLE
D MINNESOTA MUTUAL                                213990138     3815  3391386 SH       OTHER               3391386
D MINNESOTA MUTUAL                                213990146     4065  3410692 SH       OTHER               3410692
D COOPER CAMERON CORP                             216640102      482     7300 SH       OTHER                  1225              6075
D COOPER INDUSTRIES INCORPORATED                  216669101       76     2332 SH       SOLE                   2332
D COOPER INDUSTRIES INCORPORATED                  216669101     3945   121160 SH       OTHER                 10260            110900
D COOPER TIRE & RUBBER COMPANY                    216831107      523    47053 SH       OTHER                  4253             42800
D COPPER MOUNTAIN NETWORKS INC                    217510106      523     5930 SH       OTHER                                    5930
D COPYTELE INCORPORATED                           217721109       22    14000 SH       SOLE                   4000             10000
D COR THERAPEUTICS INC                            217753102      264     3100 SH       OTHER                  2700               400
D CORN PRODUCTS INTERNATIONAL INC                 219023108        6      225 SH       SOLE                    225
D CORN PRODUCTS INTERNATIONAL INC                 219023108        6      225 SH       SHARED                  200                25
D CORN PRODUCTS INTERNATIONAL INC                 219023108      191     7195 SH       OTHER                  6195              1000
D CORNING INCORPORATED                            219350105       58      215 SH       SOLE                    215
D CORNING INCORPORATED                            219350105    29008   107485 SH       OTHER                 34615             72870
D CORPORATE EXECUTIVE BOARD COMPA                 21988R102     1042    17400 SH       OTHER                  3500             13900
D CORPORATE SYSTEMS HOLDING INC                   22003T131     9121   942281 SH       SOLE                 492084            450197
D CORUS GROUP PLC                                 22087M101      236    16390 SH       OTHER                   190             16200
D CORUS GROUP PLC                                 22087M135       18    12400 SH       OTHER                                   12400
D CORUS BANKSHARES INCORPORATED                   220873103      230     8700 SH       OTHER                  4800              3900
D CRATE & BARREL HOLDINGS, INC                    220990147       25    24750 SH       OTHER                 24750
D COSTCO WHOLESALE CORPORATION                    22160K105       21      628 SH       SOLE                    628
D COSTCO WHOLESALE CORPORATION                    22160K105        7      200 SH       SHARED                                    200
D COSTCO WHOLESALE CORPORATION                    22160K105     3773   114324 SH       OTHER                 63482             50842
D COSTCO COMPANIES INCORPORATED                   22160QAC6       53    65000 SH       OTHER
D COUNTRYWIDE CREDIT                              222372104     3974   131100 SH       OTHER                   500            130600
D COVAD COMMUNICATIONS GROUP                      222814204     1097    68022 SH       OTHER                 34522             33500
D COVANCE INCORPORATED                            222816100     1041   118150 SH       OTHER                   637            117513
D COX COMMUNICATIONS INCORPORATED                 224044AW7       23    22000 SH       OTHER
D COX COMMUNICATIONS INCORPORATED                 224044AX5      494   950000 SH       OTHER
D COX COMMUNICATIONS INC NEW                      224044107     4259    93471 SH       OTHER                 71821             21650
D CRANE COMPANY                                   224399105       89     3672 SH       SOLE                   3672
D CRANE COMPANY                                   224399105      123     5051 SH       OTHER                  5051
D CREDENCE SYSTEMS CORPORATION                    225302108      615    11150 SH       OTHER                  2600              8550
D CREDIT ACCEPTANCE CORPORATION M                 225310101       71    12820 SH       OTHER                  1175             11645
D CREDIT SUISSE GROUP                             225401108      984    19725 SH       SOLE                  19725
D CREDIT SUISSE GROUP                             225401108        8      170 SH       OTHER                   170
D CREE RESH INC                                   225447101     1811    13564 SH       OTHER                  7464              6100
D CROSS TIMBERS OIL COMPANY                       227573102      381    17232 SH       OTHER                 17232
D CROWN CASTLE INTL CORP                          228227104     2956    80980 SH       OTHER                 13695             67285
D CROWN CORK & SEAL INCORPORATED                  228255105      625    41660 SH       OTHER                 16860             24800
D CRYOMEDICAL SCIENCES INC                        229049309      203   120200 SH       OTHER                120200
D CULLEN FROST BANKERS INCORPORAT                 229899109      813    30900 SH       OTHER                  2000             28900
D CUISINE SOLUTIONS INC                           229904107       61    40000 SH       OTHER                                   40000
D CUMMINS ENGINE INCORPORATED                     231021106       14      500 SH       SOLE                    500
D CUMMINS ENGINE INCORPORATED                     231021106      608    22300 SH       OTHER                   200             22100
D CURATIVE HEALTH SERVICES, INC.                  231264102      277    46000 SH       OTHER                                   46000
D CYBEX CORP                                      232522102      284     6700 SH       OTHER                  5500              1200
D CYLINK CORP                                     232565101      670    40000 SH       OTHER                                   40000
D CYMER INCORPORATED                              232572107      287     6000 SH       OTHER                   700              5300
D CYPRESS SEMICONDUCTOR CORPORATI                 232806109     1094    25900 SH       OTHER                  3700             22200
D CYSIVE INC                                      23281T108      236     9900 SH       OTHER                  4100              5800
D CYRK INC                                        232817106       60    11900 SH       OTHER                  4500              7400
D CYTEC INDUSTRIES INCORPORATED                   232820100      758    30721 SH       OTHER                 16671             14050
D CYTYC CORP                                      232946103      702    13144 SH       OTHER                  7644              5500
D D A CONSULTING GROUP INC                        233027101       20    10000 SH       OTHER                 10000
D DBS GROUP HOLDINGS                              23304Y100      447     8708 SH       OTHER                  2882              5826
D DPL INCORPORATED                                233293109       77     3518 SH       SOLE                   3518
D DPL INCORPORATED                                233293109      357    16287 SH       OTHER                  5287             11000
D DRS TECHNOLOGIES INCORPORATED                   23330XAB6       29    25000 SH       OTHER
D D R HORTON INC                                  23331A109      247    18200 SH       OTHER                 12300              5900
D DSP GROUP INCORPORATED                          23332B106      578    10330 SH       OTHER                  3230              7100
D DST SYSTEMS INCORPORATED                        233326107      293     3850 SH       OTHER                  3150               700
D DTE ENERGY COMPANY                              233331107        9      300 SH       SHARED                  300
D DTE ENERGY COMPANY                              233331107     1108    36241 SH       OTHER                  3151             33090
D DAIN RAUSCHER CORPORATION                       233856103      285     4325 SH       OTHER                  4325
D DAILY JOURNAL CORPORATION                       233912104      557    19050 SH       OTHER                                   19050
D PAINE WEBBER MANAGED PORTFOLIO                  233993203     2406  2405895 SH       OTHER                                 2405895
D DAISYTEK INTERNATIONAL CORPORAT                 234053106      143    15102 SH       OTHER                  5802              9300
D DALLAS SEMICONDUCTOR CORPORATIO                 235204104     3048    74800 SH       OTHER                 58800             16000
D DANA CORPORATION                                235811106      600    28323 SH       OTHER                 15723             12600
D DANAHER CORPORATION                             235851102     2078    42042 SH       OTHER                 29582             12460
D DANDEES ENTERPRISES INC                         236061107             14000 SH       OTHER                 14000
D DANKA BUSINESS                                  236277AB5       68   100000 SH       OTHER
D DARDEN RESTAURANTS INC-W/I                      237194105      640    39359 SH       OTHER                  1959             37400
D DASSAULT SYS S A                                237545108      244     2600 SH       OTHER                  2600
D DATASCOPE CORPORATION                           238113104     3488    96900 SH       OTHER                  4800             92100
D DATASTREAM SYSTEM INCORPORATED                  238124101      341    27300 SH       OTHER                 27300
D DE BEERS CONSOLIDATED MINES  LT                 240253302      433    17829 SH       OTHER                 14079              3750
D DEAN FOODS COMPANY                              242361103       13      400 SH       SOLE                    400
D DEAN FOODS COMPANY                              242361103        3      100 SH       SHARED                  100
D DEAN FOODS COMPANY                              242361103     2568    81034 SH       OTHER                 54452             26582
D DEERE & COMPANY                                 244199105       47     1275 SH       SOLE                   1275
D DEERE & COMPANY                                 244199105     2437    65855 SH       OTHER                 37665             28190
D DEL MONTE FOODS COMPANY                         24522P103       78    11500 SH       OTHER                  1000             10500
D DELAWARE POOLED                                 246248108     5924   440118 SH       OTHER                                  440118
D DELAWARE POOLED                                 246248306     6471   341659 SH       OTHER                                  341659
D DELL COMPUTER CORPORATION                       247025109      419     8500 SH       SOLE                   8500
D DELL COMPUTER CORPORATION                       247025109       30      600 SH       SHARED                  600
D DELL COMPUTER CORPORATION                       247025109    22714   460608 SH       OTHER                219788            240820
D DELPHI AUTOMOTIVE SYS CORP                      247126105       13      918 SH       SOLE                    918
D DELPHI AUTOMOTIVE SYS CORP                      247126105     2908   199697 SH       OTHER                 39078            160619
D DELPHI FINANCIAL GROUP INCORPOR                 247131105       21      624 SH       SHARED                                    624
D DELPHI FINANCIAL GROUP INCORPOR                 247131105     1293    38095 SH       OTHER                                   38095
D DELTA & PINE LD CO                              247357106      293    11698 SH       OTHER                  9198              2500
D DELTA AIR LINES INCORPORATED                    247361108     2878    56913 SH       OTHER                 22696             34217
D DELTEK SYS INC                                  24785A108       67    11300 SH       OTHER                 11300
D DELUXE CORPORATION                              248019101       35     1500 SH       SOLE                   1500
D DELUXE CORPORATION                              248019101      696    29524 SH       OTHER                 29067               457
D DEN DANSKE BANK                                 248206203     1347    11155 SH       OTHER                    25             11130
D DENALI INC                                      248221103      178    85000 SH       OTHER                                   85000
D DENTSPLY INTERNATIONAL INCORPOR                 249030107       34     1100 SH       SHARED                                   1100
D DENTSPLY INTERNATIONAL INCORPOR                 249030107     7114   230886 SH       OTHER                 48286            182600
D DEUTSCHE BANK                                   251525309      878    10600 SH       SOLE                  10600
D DEUTSCHE BANK                                   251525309     1119    13515 SH       OTHER                  4315              9200
D DEUTSCHE TELEKOM AG                             251566105      428     7550 SH       OTHER                  2580              4970
D DEVELOPERS DIVERSIFIED REALTY C                 251591103      218    14600 SH       OTHER                  9600              5000
D DEVON ENERGY CORPORATIOIN                       25179MAA1      117   122000 SH       OTHER
D DEVON ENERGY CORPORATION                        25179M103      530     9425 SH       OTHER                  4089              5336
D DEVRY INCORPORATED                              251893103     6296   238144 SH       OTHER                208244             29900
D DIAGEO PLC                                      25243Q205     4476   125872 SH       OTHER                 17422            108450
D DIAL CORPORATION                                25247D101        3      300 SH       SHARED                                    300
D DIAL CORPORATION                                25247D101     4843   466820 SH       OTHER                  1520            465300
D DIAMOND OFFSHORE                                25271CAA0       21    20000 SH       OTHER
D DIAMOND OFFSHORE                                25271CAB8      441   950000 SH       OTHER
D DIAMOND OFFSHORE DRILLNG INC                    25271C102     1298    36950 SH       OTHER                  9450             27500
D DIAMOND TECHNOLGY PRTNRS INC                    252762109     1412    16040 SH       OTHER                  3090             12950
D DIANON SYSTEMS INCORPORATED                     252826102      491    19448 SH       OTHER                 19448
D DIEBOLD INCORPORATED                            253651103        8      300 SH       SOLE                    300
D DIEBOLD INCORPORATED                            253651103      666    23897 SH       OTHER                 11997             11900
D DIGEX INC DEL                                   253756100      679     9990 SH       OTHER                  2800              7190
D DIGITAL LIGHTWAVE INCORPORATED                  253855100     1808    17974 SH       OTHER                  3974             14000
D DIGITAL MICROWAVE CORPORATION                   253859102      259     6800 SH       OTHER                                    6800
D DIGITAS INCORPORATED                            25388K104      184    11300 SH       OTHER                                   11300
D DILLARD'S INCORPORATED                          254067101      200    16300 SH       OTHER                  4200             12100
D DIME BANCORP INCORPORATED                       25429Q102      246    15600 SH       OTHER                  4300             11300
D DIONEX CORPORATION                              254546104       27     1000 SH       SOLE                   1000
D DIONEX CORPORATION                              254546104      322    12050 SH       OTHER                  9750              2300
D DISCOUNT AUTO PARTS, INC.                       254642101      120    11950 SH       OTHER                  1615             10335
D DISCOVERY LABORATORIES INC N                    254668106      110    24500 SH       OTHER                 15500              9000
D DISNEY WALT COMPANY(HOLDING COM                 254687106     1233    31778 SH       SOLE                  29573     1275      930
D DISNEY WALT COMPANY(HOLDING COM                 254687106       83     2150 SH       SHARED                 2150
D DISNEY WALT COMPANY(HOLDING COM                 254687106    51719  1332509 SH       OTHER                762271            570238
D DITECH COMMUNICATIONS CORPORATI                 25500M103     1352    14300 SH       OTHER                  5300              9000
D DOBSON COMMUNICATIONS CORPORATI                 256069105     1852    96200 SH       OTHER                 51000             45200
D DOCUMENTUM INCORPORATED                         256159104      885     9900 SH       OTHER                                    9900
D DODGE & COX                                     256201104    11833   189442 SH       OTHER                  6045            183397
D DODGE & COX                                     256210105    13219  1158576 SH       OTHER               1158576
D DODGE & COX                                     256219106    13401   144013 SH       OTHER                     9            144004
D DOLE FOOD INCORPORATED                          256605106     1083    77335 SH       OTHER                  2135             75200
D DOLLAR GENERAL CORPORATION                      256669102       41     2121 SH       SOLE                                     2121
D DOLLAR GENERAL CORPORATION                      256669102    28917  1482930 SH       OTHER                889401            593529
D DOLLAR THRIFTY AUTOMOTIVE GROUP                 256743105      470    25495 SH       OTHER                  2990             22505
D DOLLAR TREE STORES INCORPORATED                 256747106      666    16841 SH       SOLE                  16841
D DOLLAR TREE STORES INCORPORATED                 256747106      121     3060 SH       OTHER                   660              2400
D DOMINION RESOURCES INC/VA                       25746U109      100     2336 SH       SOLE                   2336
D DOMINION RESOURCES INC/VA                       25746U109       21      500 SH       SHARED                  500
D DOMINION RESOURCES INC/VA                       25746U109      704    16416 SH       OTHER                  9600              6816
D DONALDSON INCORPORATED                          257651109      207    10504 SH       OTHER                  2600              7904
D DONALDSON LUFKIN & JENRETTE                     257661108      348     8200 SH       OTHER                  3500              4700
D DONNELLEY R R & SONS COMPANY                    257867101       14      639 SH       SOLE                    639
D DONNELLEY R R & SONS COMPANY                    257867101      950    42120 SH       OTHER                 16670             25450
D DONNELLY CORP                                   257870105      246    18900 SH       OTHER                  5000             13900
D DOMINION EQUITY RESOURCE FUND I                 257990101      967    91157 SH       OTHER                 82870              8287
D DOUBLECLICK INCORPORATED                        258609304      523    13725 SH       OTHER                  4520              9205
D DOVER CORPORATION                               260003108    10619   261800 SH       OTHER                133558            128242
D DOW CHEMICAL COMPANY                            260543103      171     5664 SH       SOLE                   5664
D DOW CHEMICAL COMPANY                            260543103      113     3752 SH       SHARED                 3752
D DOW CHEMICAL COMPANY                            260543103     6797   225156 SH       OTHER                 80166            144990
D DOW JONES & COMPANY INCORPORATE                 260561105       22      300 SH       SOLE                                      300
D DOW JONES & COMPANY INCORPORATE                 260561105      775    10577 SH       OTHER                  8527              2050
D DREYFUS                                         261938104       15     1600 SH       SOLE                                     1600
D DREYFUS                                         261938104      228    25000 SH       OTHER                                   25000
D DREAMS INC                                      261983100       58    43500 SH       OTHER                                   43500
D DREYFUS GROWTH & VALUE FDS                      26200C502     2146    54231 SH       OTHER                 54231
D DREYFUS                                         26200Q105      115     2700 SH       SOLE                   2700
D DREYFUS                                         26200Q105      337     7900 SH       SHARED                 7900
D DREYFUS                                         26200Q105     2354    55258 SH       OTHER                 11799             43459
D DREYFUS                                         26201Q104      177    15534 SH       OTHER                 15534
D DREYFUS                                         26202F107      296    36700 SH       SOLE                  36700
D DREYFUS                                         26202F107      159    19745 SH       OTHER                 19745
D DRIL-QUIP                                       262037104      281     6000 SH       OTHER                  4200              1800
D DU PONT E I DE NEMOURS & COMPAN                 263534109      614    14026 SH       SOLE                  13638               388
D DU PONT E I DE NEMOURS & COMPAN                 263534109       56     1280 SH       SHARED                  880               400
D DU PONT E I DE NEMOURS & COMPAN                 263534109    18912   432279 SH       OTHER                205057            227222
D DUANE READE INCORPORATED                        263578106      221     8600 SH       OTHER                  6100              2500
D DUFF & PHELPS UTILITIES INCOME                  264324104        7      747 SH       SOLE                    747
D DUFF & PHELPS UTILITIES INCOME                  264324104      194    20140 SH       OTHER                 20140
D DUKE ENERGY CORP                                264399106      128     2274 SH       SOLE                   2274
D DUKE ENERGY CORP                                264399106      112     1984 SH       SHARED                 1184               800
D DUKE ENERGY CORP                                264399106     6872   121904 SH       OTHER                 17871            104033
D DUKE REALTY INVESTMENTS INCORPO                 264411505      850    37993 SH       OTHER                 16023             21970
D DUN & BRADSTREET CORPORATION                    26483B106      160     5600 SH       SOLE                    400              5200
D DUN & BRADSTREET CORPORATION                    26483B106        4      150 SH       SHARED                  150
D DUN & BRADSTREET CORPORATION                    26483B106    34865  1217982 SH       OTHER                634782            583200
D DUNDEE BANCORP INC                              264901109      222    20200 SH       OTHER                  7200             13000
D DUPONT PHOTOMASKS INCORPORATED                  26613X101      313     4575 SH       OTHER                                    4575
D DURA PHARMACEUTICALS                            26632SAA7       21    25000 SH       SOLE
D DURA PHARMACEUTICALS                            26632SAA7      757   908000 SH       OTHER
D DURA PHARMACEUTICALS INC                        26632S109      246    17100 SH       OTHER                  5200             11900
D DYCOM INDUSTRIES INCORPORATED                   267475101     1233    26794 SH       SOLE                  26794
D DYCOM INDUSTRIES INCORPORATED                   267475101      420     9125 SH       OTHER                  2200              6925
D DYNAMEX INCORPORATED                            26784F103       55    25000 SH       OTHER                                   25000
D DYNEGY INCORPORATED                             26816Q101     1031    15085 SH       OTHER                  5285              9800
D ECI TELECOM LIMITED                             268258100    11236   314300 SH       OTHER                                  314300
D EGL INC                                         268484102      301     9800 SH       OTHER                  7900              1900
D EII REALTY SECURITIES FUND                      268529104     4537   464885 SH       OTHER                464885
D EMC CORPORATION MASSACHUSETTS                   268648102    26911   349775 SH       SOLE                 342165     1950     5660
D EMC CORPORATION MASSACHUSETTS                   268648102     1373    17840 SH       SHARED                17040      800
D EMC CORPORATION MASSACHUSETTS                   268648102   278031  3613702 SH       OTHER               2854280            759422
D EMC INSURANCE GROUP                             268664109      114    13000 SH       OTHER                                   13000
D E MEDSOFT COM                                   26873Q101      172    21475 SH       OTHER                 21475
D ENSCO INTL INC                                  26874Q100     2548    71157 SH       OTHER                  6645             64512
D ENI SPA                                         26874R108       17      300 SH       SOLE                    300
D ENI SPA                                         26874R108     3662    62933 SH       OTHER                 38513             24420
D EOG RESOURCES INCORPORATED                      26875P101     3854   115031 SH       OTHER                 65256             49775
D EPIX MED INC                                    26881Q101      592    39800 SH       OTHER                 38300              1500
D E.PIPHANY INCORPORATED                          26881V100      107     1000 SH       SOLE                   1000
D E.PIPHANY INCORPORATED                          26881V100      238     2220 SH       OTHER                                    2220
D ESCO ELECTRONICS CORPORATION                    269030102        1       45 SH       SOLE                     45
D ESCO ELECTRONICS CORPORATION                    269030102     2648   155775 SH       OTHER                  4675            151100
D E SPIRE COMMUNICATIONS INC                      269153102      213    31500 SH       OTHER                 23500              8000
D E-SYNC NETWORKS INCORPORATED                    269156105        6     1000 SH       SOLE                   1000
D E-SYNC NETWORKS INCORPORATED                    269156105      304    52000 SH       OTHER                 45500              6500
D E-TEK DYNAMICS INCORPORATED                     269240107       26      100 SH       SOLE                    100
D E-TEK DYNAMICS INCORPORATED                     269240107      272     1030 SH       OTHER                   200               830
D E TRADE GROUP INC                               269246104      501    30370 SH       OTHER                  5700             24670
D EARTHGRAINS COMPANY                             270319106                16 SH       SOLE                     16
D EARTHGRAINS COMPANY                             270319106      273    14052 SH       OTHER                   392             13660
D EAST WEST BANCORP INC                           27579R104      249    17300 SH       OTHER                 10000              7300
D EASTERN ENTERPRISES                             27637F100      487     7737 SH       SOLE                   7737
D EASTERN ENTERPRISES                             27637F100        1       10 SH       OTHER                    10
D EASTMAN CHEMICAL COMPANY                        277432100     1069    22392 SH       OTHER                 13046              9346
D EASTMAN KODAK COMPANY                           277461109       24      400 SH       SOLE                    400
D EASTMAN KODAK COMPANY                           277461109       18      300 SH       SHARED                  300
D EASTMAN KODAK COMPANY                           277461109    10041   168751 SH       OTHER                 35249            133502
D EASYRIDERS INCORPORATED                         277848107       15    20400 SH       OTHER                                   20400
D EATON VANCE SPL EQUITIES FD                     277905105      166    17611 SH       SOLE                  17611
D EATON VANCE MUTUAL FUNDS INC                    277911509       70    10000 SH       OTHER                 10000
D EATON CORPORATION                               278058102     2431    36290 SH       OTHER                  1000             35290
D EATON VANCE                                     27826L108      624    66125 SH       OTHER                 66125
D EATON VANCE SENIOR INCOME TRUST                 27826S103      233    25000 SH       SOLE                  25000
D EBAY INCORPORATED                               278642103      992    18270 SH       OTHER                  9470              8800
D ECHOSTAR COMMUNICATIONS                         278762109       66     2000 SH       SOLE                   2000
D ECHOSTAR COMMUNICATIONS                         278762109     1491    45040 SH       OTHER                  2000             43040
D ECLIPSE SMALL CAP VALUE FUND                    278846100      358    31868 SH       OTHER                                   31868
D ECLIPSYS CORP                                   278856109      106    14187 SH       OTHER                  6850              7337
D ECOLAB INCORPORATED                             278865100       27      700 SH       SOLE                                      700
D ECOLAB INCORPORATED                             278865100     4114   105325 SH       OTHER                 83775             21550
D EDISON INTERNATIONAL                            281020107       42     2029 SH       SOLE                   2029
D EDISON INTERNATIONAL                            281020107        4      200 SH       SHARED                  200
D EDISON INTERNATIONAL                            281020107     2109   102867 SH       OTHER                 21832             81035
D EDWARDS LIFESCIENCES CORPORATIO                 28176E108      199    10760 SH       SOLE                     60             10700
D EDWARDS LIFESCIENCES CORPORATIO                 28176E108       10      562 SH       SHARED                  562
D EDWARDS LIFESCIENCES CORPORATIO                 28176E108    10357   559859 SH       OTHER                 32163            527696
D EDWARDS A G INCORPORATED                        281760108      681    17467 SH       OTHER                 12167              5300
D 800 JR CIGAR INCORPORATED                       282491109       99    10000 SH       OTHER                 10000
D EINSTEIN / NOAH BAGEL CORP                      282577105        1    10000 SH       OTHER                 10000
D EISAI LTD                                       282579309      706    21954 SH       OTHER                 11754             10200
D EL PASO ELECTRIC COMPANY                        283677854      140    12500 SH       OTHER                  3000              9500
D EL PASO ENERGY PARTNERS L P                     28368B102      224     9200 SH       OTHER                  5200              4000
D EL PASO ENERGY CORPORATION                      283905107       42      822 SH       SOLE                    822
D EL PASO ENERGY CORPORATION                      283905107       31      604 SH       SHARED                                    604
D EL PASO ENERGY CORPORATION                      283905107     7610   149395 SH       OTHER                 28396            120999
D ELAN INTERNATIONAL FINANCE CORP                 284129AA1       80   110000 SH       OTHER
D ELAN FINANCE CORPORATION                        284129AC7       73   100000 SH       OTHER
D ELAN PUBLIC LIMITED CORPORATION                 284131208     2547    52588 SH       SOLE                  52588
D ELAN PUBLIC LIMITED CORPORATION                 284131208      160     3300 SH       SHARED                 2900               400
D ELAN PUBLIC LIMITED CORPORATION                 284131208    82936  1712212 SH       OTHER               1486513            225699
D ELAN CORPORATION PLC                            284131703     3581    58700 SH       OTHER                 52200              6500
D ELCOR CORP                                      284443108      521    22650 SH       OTHER                                   22650
D ELDER BEERMAN STORES CORP NE                    284470101       62    15000 SH       OTHER                                   15000
D ELDORADO BANCSHARES INC                         28467W106      834   115000 SH       OTHER                                  115000
D ELECTRO RENT CORPORATION                        285218103      196    16000 SH       OTHER                                   16000
D ELECTRO SCIENTIFIC INDUSTRIES I                 285229100      445    10100 SH       OTHER                  7000              3100
D ELECTRONIC DATA SYSTEMS CORP                    285661104      190     4600 SH       SOLE                    600              4000
D ELECTRONIC DATA SYSTEMS CORP                    285661104       15      360 SH       SHARED                  360
D ELECTRONIC DATA SYSTEMS CORP                    285661104    14134   342637 SH       OTHER                 41287            301350
D ELECTRONICS BOUTIQUE HLDGS C                    286045109     2338   142800 SH       OTHER                 12300            130500
D ELECTRONICS FOR IMAGING INC                     286082102      554    21905 SH       SOLE                  21355               550
D ELECTRONICS FOR IMAGING INC                     286082102      683    26980 SH       OTHER                  2160             24820
D ELOT INC                                        290143106      137    73000 SH       OTHER                 18000             55000
D EMCORE CORP                                     290846104      638     5315 SH       OTHER                  4615               700
D EMERSON ELECTRIC COMPANY                        291011104      815    13491 SH       SOLE                  12784               707
D EMERSON ELECTRIC COMPANY                        291011104      296     4900 SH       SHARED                 4800               100
D EMERSON ELECTRIC COMPANY                        291011104    29253   484530 SH       OTHER                230150            254380
D EMMIS BROADCASTING CORPORATION                  291525103     4173   100850 SH       OTHER                 67675             33175
D EMULEX CORPORATION                              292475209      602     9168 SH       OTHER                  6118              3050
D ENCOMPASS SVCS CORP                             29255U104     7914  1376357 SH       OTHER               1376357
D ENCORE COMPUTER CORP                            292555109        1    25000 SH       OTHER                 25000
D ENDESA SA                                       29258N107     3648   187074 SH       OTHER                108774             78300
D ENDOCARE INC                                    29264P104      275    13600 SH       OTHER                                   13600
D ENERGEN CORP                                    29265N108      715    32800 SH       OTHER                                   32800
D ENERGY EAST CORPORATION                         29266M109      673    35300 SH       OTHER                 10600             24700
D ENERGIZER HOLDINGS INCORPORATED                 29266R108      172     9400 SH       SOLE                                     9400
D ENERGIZER HOLDINGS INCORPORATED                 29266R108       15      800 SH       SHARED                  800
D ENERGIZER HOLDINGS INCORPORATED                 29266R108     1803    98815 SH       OTHER                  6164             92651
D ENERGY FACTORS INCORPORATED                     292667AB8      172   207000 SH       OTHER
D ENGLEHARD CORPORATION                           292845104      716    41950 SH       OTHER                  9750             32200
D ENRON CORPORATION OREGON                        293561106     1113    17260 SH       SOLE                  16705      250      305
D ENRON CORPORATION OREGON                        293561106      304     4720 SH       SHARED                 4420      300
D ENRON CORPORATION OREGON                        293561106    28841   447147 SH       OTHER                282721            164426
D ENTERCOM COMMUNICATIONS CORP                    293639100      600    12310 SH       OTHER                                   12310
D ENTERGY CORPORATION                             29364G103        3       94 SH       SOLE                     94
D ENTERGY CORPORATION                             29364G103       22      800 SH       SHARED                  800
D ENTERGY CORPORATION                             29364G103      598    21982 SH       OTHER                  3752             18230
D ENTERPRISE PRODS PARTNERS L                     293792107      289    12850 SH       OTHER                  8850              4000
D ENTRADE INC                                     29382L100        2      300 SH       SOLE                    300
D ENTRADE INC                                     29382L100       75    10650 SH       OTHER                 10050               600
D ENTRUST TECHNOLOGIES INCORPORAT                 293848107      794     9600 SH       OTHER                  2800              6800
D EPCOS AG                                        29410P107      276     2800 SH       OTHER                  2800
D ENZO BIOCHEMICAL INCORPORATED                   294100102      653     9458 SH       OTHER                  4850              4608
D EOTT ENERGY PARTNERS                            294103106      102     7200 SH       SOLE                   7200
D EOTT ENERGY PARTNERS                            294103106      234    16500 SH       OTHER                 16500
D EQUANT NV                                       294409107      322     7480 SH       SOLE                   7480
D EQUANT NV                                       294409107     1252    29115 SH       OTHER                 29015               100
D EQUIFAX INCORPORATED                            294429105     5578   212497 SH       OTHER                 66600            145897
D EQUITABLE RESOURCES INCORPORATE                 294549100      730    15139 SH       OTHER                  2239             12900
D EQUITY INCOME FUND                              294700703      873     5000 SH       SOLE                   5000
D EQUITY INCOME FUND                              294700703      216     1235 SH       OTHER                  1235
D EQUITY OFFICE PROPERTIES TRUST                  294741103        8      300 SH       SOLE                    300
D EQUITY OFFICE PROPERTIES TRUST                  294741103     1022    37094 SH       OTHER                 19855             17238
D EQUITY RESIDENTIAL PROPERTIES                   29476L107     4521    98274 SH       OTHER                 60047             38227
D EQUITY RESIDENTIAL PROPERTIES T                 29476L883     1662    64550 SH       OTHER                 26000             38550
D ERICSSON L M TELEPHONE COMPANY                  294821400     1945    97260 SH       SOLE                  93460     1800     2000
D ERICSSON L M TELEPHONE COMPANY                  294821400      339    16940 SH       SHARED                16940
D ERICSSON L M TELEPHONE COMPANY                  294821400   124105  6205259 SH       OTHER               5638036            567223
D ESPEED INC                                      296643109      434    10000 SH       OTHER                                   10000
D ETHAN ALLEN INTERIORS INCORPORA                 297602104     2621   109195 SH       OTHER                 23795             85400
D AMERICAN FUNDS                                  298706102    45083  1083200 SH       OTHER                550872            532328
D EVERGREEN RESOURCES INCORPORATE                 299900308     5624   189823 SH       OTHER                105723             84100
D EVERGREEN SMALL CAPITAL VALUE                   299922104      271    17593 SH       OTHER                 17593
D EVERGREEN FUNDS                                 30023R845      254    21201 SH       OTHER                 21201
D EXAR CORP                                       300645108      915    10500 SH       OTHER                  3400              7100
D EXCEL LEGACY CORPORATION                        300665106       54    20000 SH       OTHER                 20000
D EXTENDED SYS INC                                301973103      288     3000 SH       OTHER                                    3000
D EXODUS COMMUNICATIONS INCORPORA                 302088109     1904    41330 SH       OTHER                 12050             29280
D EXPEDITORS INTERNATIONAL                        302130109       78     1640 SH       SOLE                   1640
D EXPEDITORS INTERNATIONAL                        302130109     2083    43850 SH       OTHER                 16100             27750
D EXPRESS SCRIPTS INC.                            302182100     1896    30520 SH       SOLE                  30520
D EXPRESS SCRIPTS INC.                            302182100      392     6305 SH       OTHER                  1230              5075
D EXTENDED STAY AMERICA INC                       30224P101        1      100 SH       SOLE                    100
D EXTENDED STAY AMERICA INC                       30224P101      877    94850 SH       OTHER                 94850
D EXTREME NETWORKS INC                            30226D106     1991    18875 SH       OTHER                                   18875
D EZCORP INCORPORATED                             302301106       45    25595 SH       OTHER                   595             25000
D EXXON MOBIL CORPORATION                         30231G102    25093   319652 SH       SOLE                 316164      647     2841
D EXXON MOBIL CORPORATION                         30231G102     1213    15455 SH       SHARED                14559      396      500
D EXXON MOBIL CORPORATION                         30231G102    96888  1234244 SH       OTHER                693700            540544
D FMC CORPORATION                                 302491303      703    12122 SH       OTHER                  2322              9800
D FPA                                             302544101     1648   158892 SH       OTHER                                  158892
D FPL GROUP INCORPORATED                          302571104      137     2760 SH       SOLE                   2760
D FPL GROUP INCORPORATED                          302571104       10      200 SH       SHARED                  200
D FPL GROUP INCORPORATED                          302571104     6659   134533 SH       OTHER                 10412            124121
D FIRST TRUST LEHMAN BROTHERS                     30264K350      558    53500 SH       OTHER                                   53500
D F Y I INC                                       302712104      446    13250 SH       OTHER                  1000             12250
D FAHNESTOCK VINER HLDGS LTD                      302921101      341    18200 SH       OTHER                  5300             12900
D FAIRCHILD SEMICON INTERNATIONAL                 303726103      269     6650 SH       OTHER                                    6650
D FAIRFIELD CMNTYS INC                            304231301     1095   139100 SH       OTHER                                  139100
D FAIRMARKET INC                                  305158107       82    11600 SH       OTHER                                   11600
D FAMILY DOLLAR STORES                            307000109        2      100 SH       SOLE                                      100
D FAMILY DOLLAR STORES                            307000109     1294    66125 SH       OTHER                 22825             43300
D FAMILY GOLF CENTERS INCORPORATE                 30701AAC0        3    30000 SH       OTHER
D FASTENAL COMPANY                                311900104      607    11985 SH       OTHER                 11585               400
D FEDERAL AGRICULTURAL MORTGAGE C                 313148306     1799   123500 SH       OTHER                107200             16300
D FREDDIE MAC                                     313400301      312     7700 SH       SOLE                   7700
D FREDDIE MAC                                     313400301    20066   495456 SH       OTHER                169594            325862
D FEDERAL MOGUL CORPORATION                       313549107     2047   214070 SH       OTHER                 94349            119721
D FANNIE MAE                                      313586109    17421   333814 SH       SOLE                 329648     1675     2491
D FANNIE MAE                                      313586109      771    14765 SH       SHARED                13815      550      400
D FANNIE MAE                                      313586109    96175  1842853 SH       OTHER               1248537            594316
D FEDERAL SIGNAL CORPORATION                      313855108       20     1196 SH       SOLE                   1196
D FEDERAL SIGNAL CORPORATION                      313855108      170    10298 SH       OTHER                  2998              7300
D FEDERATED STOCK TRUST FUND #19                  313900102      283     8286 SH       SOLE                   8286
D FEDERATED                                       313912107      353    42239 SH       OTHER                 42239
D FEDERATED EQUITY INCM FD INC                    313915100      444    20113 SH       SOLE                  20113
D FEDERATED DEPARTMENT STORES (NE                 31410H101     8768   259793 SH       OTHER                114705            145088
D FEDERATED DEPT STORES                           31410H127      146    15150 SH       OTHER                 10150              5000
D FEDERATED INVS INC PA                           314211103      567    16160 SH       OTHER                  2560             13600
D FEDERATED                                       31428P103      844    81195 SH       OTHER                 81195
D FEDEX CORPORATION                               31428X106     3751    98713 SH       OTHER                 13365             85348
D THE FEMALE HEALTH COMPANY                       314462102        6    10000 SH       OTHER                                   10000
D FIDELITY ADVISOR SERIES II                      315807206     3075    69113 SH       OTHER                 48519             20594
D FIDELITY ADVISOR SERIES II                      315807404      458    25605 SH       OTHER                   381             25224
D FIDELITY COMMONWEALTH TRUST                     315912204      381     3806 SH       OTHER                                    3806
D FIDELITY MAGELLAN                               316184100       23      171 SH       SOLE                    171
D FIDELITY MAGELLAN                               316184100    84453   627297 SH       OTHER                 10006            617291
D FIDELITY NATIONAL FINANCIAL                     316326107      253    13830 SH       OTHER                  9530              4300
D FIDELITY OVERSEAS FUND                          316343102      336     7356 SH       OTHER                  7356
D FIDELITY PURITAN FUND                           316345107       28     1463 SH       SOLE                   1463
D FIDELITY PURITAN FUND                           316345107    25778  1368281 SH       OTHER                                 1368281
D FIDELITY SECURITIES FUND                        316389204      212     4487 SH       SHARED                 4487
D FIDELITY SECURITIES FUND                        316389204    11853   250535 SH       OTHER                  3651            246884
D FIDELITY SELECT PORTFOLIOS                      316390202     3055    18625 SH       OTHER                 18625
D FIDELITY SELECT PORTFOLIOS                      316390772      103     1151 SH       SOLE                   1151
D FIDELITY SELECT PORTFOLIOS                      316390772      302     3383 SH       OTHER                  2169              1214
D FIFTH THIRD BANCORP                             316773100       34      538 SH       SOLE                    538
D FIFTH THIRD BANCORP                             316773100    10103   159732 SH       OTHER                142420             17312
D FINANCIAL FEDERAL CORPORATION                   317492AC0       80    95000 SH       OTHER
D FINANCIAL SECURITY ASSURANCE                    31769P100      622     8200 SH       OTHER                                    8200
D FINISH LINE INC.                                317923100      413    50400 SH       OTHER                 38000             12400
D FINOVA GROUP INCORPORATED                       317928109        2      150 SH       SHARED                                    150
D FINOVA GROUP INCORPORATED                       317928109     1723   132513 SH       OTHER                132513
D FIRST AUSTRALIA PRIME INCOME FU                 318653102      116    25000 SH       OTHER                 25000
D FIRST CENT FINL CORP                            318908100        1    72700 SH       OTHER                 72700
D FST CTZNS BANCSHARES INC N C                    31946M103      559     9400 SH       OTHER                                    9400
D FIRST DATA CORP                                 319963104      308     6200 SH       SOLE                   3000              3200
D FIRST DATA CORP                                 319963104       35      700 SH       SHARED                  700
D FIRST DATA CORP                                 319963104    35104   707395 SH       OTHER                412069            295326
D FIRST EAGLE SOGEN FUNDS INC                     32008F101      473    32472 SH       OTHER                  7461             25011
D FIRST EAGLE SOGEN FDS INC                       32008F507     1129    44762 SH       OTHER                 35730              9031
D FIRST FINANCIAL FUND INCORPORAT                 320228109      130    15985 SH       OTHER                                   15985
D FIRST INDUSTRIAL REALTY TRUST                   32054K103     1470    49827 SH       OTHER                 15717             34110
D FIRST INDIANA CORPORATION                       32054R108     5285   265927 SH       OTHER                                  265927
D FIRST MIDWEST BANCORP INC/IL                    320867104      235    10122 SH       OTHER                 10122
D FIRST NATIONAL BANCORPORATION                   320920101      880    12705 SH       OTHER                 12705
D FIRST HEALTH GROUP CORPORATION                  320960107     1519    46280 SH       OTHER                 19780             26500
D FIRST NORTHERN CAPITAL CORP                     335832101      845    63200 SH       OTHER                 48600             14600
D FIRST OAK BROOK BANCSHARES                      335847208      239    17566 SH       OTHER                  4442             13124
D FIRST TENNESSEE NATIONAL CORPOR                 337162101      812    49000 SH       OTHER                 47000              2000
D FIRST TRUST SPECIAL SITUATIONS                  33734T209       19    10000 SH       OTHER                 10000
D FIRST UNION CORPORATION                         337358105     2483   100054 SH       SOLE                 100054
D FIRST UNION CORPORATION                         337358105       35     1395 SH       SHARED                 1320                75
D FIRST UNION CORPORATION                         337358105     3969   159955 SH       OTHER                 41830            118125
D FIRST YRS INC                                   337610109     1947   175000 SH       OTHER                                  175000
D FIRSTPLUS FINANCIAL GROUP INC                   33763B103        4    15000 SH       OTHER                                   15000
D FIRSTAR CORPORATION                             33763V109      260    12330 SH       SOLE                  12330
D FIRSTAR CORPORATION                             33763V109       44     2100 SH       SHARED                 2100
D FIRSTAR CORPORATION                             33763V109    16302   773957 SH       OTHER                623189            150768
D FISERV INCORPORATED WISCONSIN                   337738108     3978    91972 SH       OTHER                 68435             23537
D FIRSTFED FINL CORP DEL                          337907109      237    16800 SH       OTHER                                   16800
D FIRSTMERIT CORP                                 337915102     3159   147796 SH       OTHER                                  147796
D FIRSTENERGY CORPORATION                         337932107       11      466 SH       SOLE                    466
D FIRSTENERGY CORPORATION                         337932107       12      516 SH       SHARED                  516
D FIRSTENERGY CORPORATION                         337932107      772    33009 SH       OTHER                 17809             15200
D FIRSTAR FUNDS INCORPORATED                      337938765     4311   158657 SH       OTHER                158657
D FLAG INVESTORS                                  338331101       29      768 SH       SOLE                    768
D FLAG INVESTORS                                  338331101      497    13327 SH       SHARED                13327
D FLAG INVESTORS                                  338331101       19      520 SH       OTHER                   520
D FLEET BOSTON FINANCIAL CORPORAT                 339030108       96     2830 SH       SOLE                   1040              1790
D FLEET BOSTON FINANCIAL CORPORAT                 339030108    16644   489519 SH       OTHER                127959            361560
D FLORIDA PROGRESS CORPORATION                    341109106       19      400 SH       SOLE                    400
D FLORIDA PROGRESS CORPORATION                    341109106      824    17569 SH       OTHER                 10719              6850
D FLOWERS INDUSTRIES INCORPORATED                 343496105      956    47947 SH       OTHER                  6647             41300
D FLUOR CORPORATION                               343861100       13      400 SH       SHARED                  400
D FLUOR CORPORATION                               343861100      974    30800 SH       OTHER                   900             29900
D FOCAL COMMUNICATIONS CORPORATIO                 344155106      627    17320 SH       SOLE                  17320
D FOCAL COMMUNICATIONS CORPORATIO                 344155106      353     9765 SH       OTHER                  1625              8140
D FORD MOTOR COMPANY DELAWARE                     345370100      214     4970 SH       SOLE                   1260              3710
D FORD MOTOR COMPANY DELAWARE                     345370100       65     1500 SH       SHARED                 1500
D FORD MOTOR COMPANY DELAWARE                     345370100    10284   239159 SH       OTHER                 51712            187447
D FOREST CITY ENTERPRISES                         345550107     6558   196500 SH       OTHER                   500            196000
D FOREST CITY ENTERPRISES INCORPO                 345550305     6860   192900 SH       OTHER                                  192900
D FOREST LABORATORIES INCORPORATE                 345838106      894     8850 SH       SOLE                   8850
D FOREST LABORATORIES INCORPORATE                 345838106     1178    11661 SH       OTHER                   851             10810
D FOREST OIL CORPORATION                          346091606      888    55731 SH       OTHER                 15620             40111
D FORRESTER RESEARCH INCORPORATED                 346563109     1663    22846 SH       OTHER                 15346              7500
D FORT JAMES CORPORATION                          347471104     6759   292272 SH       OTHER                 36935            255337
D FORTEL INC CALIF                                349550103      253    96450 SH       OTHER                 96450
D FORTUNE BRANDS INCOPORATED                      349631101      138     6000 SH       SOLE                   6000
D FORTUNE BRANDS INCOPORATED                      349631101     4227   183289 SH       OTHER                 18270            165019
D FORWARD AIR CORPORATION                         349853101      691    17275 SH       OTHER                 13900              3375
D FOSTERS BREWING GROUP LIMITED                   350258307      108    42247 SH       OTHER                 42247
D FOUR SEASONS HOTEL                              35100EAD6       34   100000 SH       OTHER
D FOUR SEASONS HOTELS INCORPORATE                 35100E104      614     9850 SH       OTHER                  9850
D FOX ENTERTAINMENT GROUP INC                     35138T107     5574   183500 SH       OTHER                118340             65160
D FRANCHISE FINANCE CORPORATION O                 351807102        1       50 SH       SOLE                     50
D FRANCHISE FINANCE CORPORATION O                 351807102     2497   108544 SH       OTHER                  8044            100500
D FRANKLIN BALANCE SHEET INVESTME                 352423107     4116   130843 SH       OTHER                130843
D FRANKLIN CALIFORNIA 250 GROWTH                  35251D103      209     3873 SH       SOLE                   3873
D FRANKLIN CALIFORNIA                             352518104       98    14254 SH       SOLE                  14254
D FRANKLIN CAPITAL CORPORATION                    35252P105       99    10450 SH       OTHER                  6450              4000
D FRANKLIN INCOME FUND                            353496300      161    73068 SH       SOLE                  73068
D FRANKLIN INCOME FUND                            353496300       19     8617 SH       OTHER                  8617
D FRANKLIN CUSTODIAN                              353496607       72    10965 SH       OTHER                 10965
D FRANKLIN FEDERAL TAX FREE                       353519101       92     7969 SH       SHARED                 7969
D FRANKLIN FEDERAL TAX FREE                       353519101       38     3312 SH       OTHER                  3312
D FRANKLIN RESOURCES INCORPORATED                 354613101      244     8023 SH       SOLE                   6523              1500
D FRANKLIN RESOURCES INCORPORATED                 354613101      109     3600 SH       SHARED                 3300               300
D FRANKLIN RESOURCES INCORPORATED                 354613101     1196    39372 SH       OTHER                  1877             37495
D FRANKLIN                                        354713109      194     3945 SH       SOLE                   3945
D FRANKLIN                                        354713109     1014    20659 SH       OTHER                 20659
D FRANKLIN TX FREE TR                             354723504      221    18838 SH       OTHER                 18838
D FRANKLIN TAX FREE TR                            354723710      940    88749 SH       OTHER                 88749
D FREEMARKETS INC                                 356602102     1399    29500 SH       OTHER                  1000             28500
D FREEPORT MCMORAN COPPER&GOLD                    35671D501      258    19400 SH       OTHER                 18100              1300
D FRIEDMANS INC                                   358438109       93    18760 SH       OTHER                  1455             17305
D FRITZ COS INC                                   358846103      141    13700 SH       OTHER                                   13700
D FRONTIER OIL CORP                               35914P105       80    10000 SH       OTHER                 10000
D FUJI PHOTO FILM LIMITED                         359586302      475    11214 SH       OTHER                  2166              9048
D FUJITSU LIMITED                                 359590304      552     3180 SH       SOLE                   3180
D FUJITSU LIMITED                                 359590304      404     2330 SH       OTHER                  2330
D FUNDAMENTAL INVESTMENT                          360802102       71     1535 SH       SOLE                   1535
D FUNDAMENTAL INVESTMENT                          360802102     1504    44582 SH       OTHER                 44582
D G & K SERVICES INCORPORATED                     361268105     1654    66000 SH       OTHER                 29000             37000
D GATX CORPORATION                                361448103     1397    41098 SH       OTHER                 11673             29425
D GC COS INC                                      36155Q109      278    12405 SH       OTHER                   205             12200
D GMO                                             362007304    16586   730335 SH       OTHER                                  730335
D GP STRATEGIES CORP                              36225V104       57    12000 SH       OTHER                                   12000
D GPU INCORPORATED                                36225X100       12      433 SH       SOLE                    433
D GPU INCORPORATED                                36225X100       22      800 SH       SHARED                  800
D GPU INCORPORATED                                36225X100      312    11544 SH       OTHER                  1544             10000
D GSI LUMONICS INC                                36229U102      316     9000 SH       OTHER                  7500              1500
D GTE CORPORATION                                 362320103      586     9409 SH       SOLE                   8949               460
D GTE CORPORATION                                 362320103      150     2404 SH       SHARED                 2004               400
D GTE CORPORATION                                 362320103    24617   395446 SH       OTHER                232244            163202
D GABELLI MONEY MARKET FUNDS                      36239W106       34    33515 SH       OTHER                 33515
D GABLES RESIDENTIAL TRUST                        362418105      337    13100 SH       OTHER                  3400              9700
D GALILEO INTERNATIONAL INCORPORA                 363547100     1027    49200 SH       OTHER                 40700              8500
D GALLAGHER ARTHUR J & COMPANY                    363576109      571    13595 SH       SOLE                  13595
D GALLAGHER ARTHUR J & COMPANY                    363576109     4657   110875 SH       OTHER                  5825            105050
D GALLAHER GROUP PLC                              363595109       73     3400 SH       SOLE                   3400
D GALLAHER GROUP PLC                              363595109      226    10560 SH       OTHER                  7296              3264
D GAM                                             364590109      796    30329 SH       OTHER                 30329
D GANNETT INCORPORATED                            364730101       48      800 SH       SOLE                    800
D GANNETT INCORPORATED                            364730101    52962   885461 SH       OTHER                816440             69021
D GAP INCORPORATED                                364760108       29      937 SH       SOLE                    937
D GAP INCORPORATED                                364760108     6963   222826 SH       OTHER                187327             35499
D GARDEN FRESH RESTAURANT CORP                    365235100      157    15000 SH       OTHER                 15000
D GARTNER GROUP INCORPORATED                      366651206        1      103 SH       SOLE                    103
D GARTNER GROUP INCORPORATED                      366651206                39 SH       SHARED                   39
D GARTNER GROUP INCORPORATED                      366651206      350    35398 SH       OTHER                 32967              2431
D GASONICS INTERNATIONAL CORP                     367278108      571    14490 SH       OTHER                  4790              9700
D GATEWAY INCORPORATED                            367626108     6682   117737 SH       OTHER                 85462             32275
D GAYLORD ENTERTAINMENT CORP                      367905106      252    11725 SH       OTHER                 11725
D FIRST WINTHROP                                  367990108       10    10000 SH       OTHER                                   10000
D GAYLORD CONTAINER CORP.                         368145116       56    18751 SH       OTHER                 18751
D GELTEX PHARMACEUTICALS INC                      368538104     1561    76400 SH       OTHER                                   76400
D GENE LOGIC INC                                  368689105      350     9800 SH       OTHER                  6200              3600
D GENENTECH INCORPORATED                          368710406       83      480 SH       SOLE                    480
D GENENTECH INCORPORATED                          368710406    11390    66220 SH       OTHER                 50400             15820
D GENER S.A.                                      368731AA3      413   400000 SH       OTHER
D GENERAL BINDING CORPORATION                     369154109        5      674 SH       SHARED                  674
D GENERAL BINDING CORPORATION                     369154109      421    63000 SH       OTHER                 41225             21775
D GENERAL COMMUNICATION INCORPORA                 369385109      113    22000 SH       OTHER                 22000
D GENERAL DATACOMM                                369487103      561    92500 SH       OTHER                                   92500
D GENERAL DYNAMICS CORPORATION                    369550108      105     2000 SH       SOLE                   2000
D GENERAL DYNAMICS CORPORATION                    369550108     4008    76716 SH       OTHER                 33173             43543
D GENERAL ELECTRIC COMPANY                        369604103    55361  1044555 SH       SOLE                1029822     2775    11958
D GENERAL ELECTRIC COMPANY                        369604103     8538   161092 SH       SHARED               158842     1650      600
D GENERAL ELECTRIC COMPANY                        369604103   357341  6742277 SH       OTHER               4866873           1875404
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      357    11250 SH       OTHER                 10350               900
D GENERAL MILLS INCORPORATED                      370334104       42     1100 SH       SOLE                   1100
D GENERAL MILLS INCORPORATED                      370334104     2996    78317 SH       OTHER                 50511             27806
D GENERAL MOTORS CORPORATION                      370442105      111     1920 SH       SOLE                   1920
D GENERAL MOTORS CORPORATION                      370442105       19      325 SH       SHARED                  325
D GENERAL MOTORS CORPORATION                      370442105     8955   154226 SH       OTHER                 53578            100648
D GENERAL MOTORS                                  370442832        2       28 SH       SOLE                     28
D GENERAL MOTORS                                  370442832       26      300 SH       SHARED                                    300
D GENERAL MOTORS                                  370442832    13677   155859 SH       OTHER                 50049            105810
D GENERAL SEMICONDUCTOR INCORPORA                 370787103      229    15500 SH       OTHER                                   15500
D GENESCO INCORPORATED                            371532AL6       37    40000 SH       OTHER
D GENTEX CORPORATION                              371901109     4253   169255 SH       SOLE                 167240      750     1265
D GENTEX CORPORATION                              371901109       30     1205 SH       SHARED                 1205
D GENTEX CORPORATION                              371901109      866    34465 SH       OTHER                  6385             28080
D GENEVA GROUP, INC.                              371990102    87244   990841 SH       OTHER                                  990841
D GENLYTE GROUP INCORPORATED                      372302109      379    18000 SH       OTHER                                   18000
D GENZYME TRANSGENICS CORPORATION                 37246E105     6640   244800 SH       OTHER                  2000            242800
D GEON COMPANY                                    37246W105     4000   216200 SH       OTHER                   500            215700
D GENUINE PARTS COMPANY                           372460105        5      225 SH       SOLE                    225
D GENUINE PARTS COMPANY                           372460105     2790   139503 SH       OTHER                 23428            116075
D GENUITY INC                                     37248E103      168    18400 SH       OTHER                                   18400
D GENZYME CORPORATION                             372917104    11254   189348 SH       OTHER                 59148            130200
D GENZYME CORP-TISSUE REPAIR                      372917401     1864   355017 SH       OTHER                  6989            348028
D GENZYME-MOLECULAR ONCOLOGY                      372917500      308    22182 SH       OTHER                  1332             20850
D GENZYME CORP SURGICAL PRODUCTS                  372917609      568    57133 SH       OTHER                  4636             52497
D GEORGIA GULF CORPORATION                        373200203      225    10800 SH       OTHER                                   10800
D GEORGIA PACIFIC CORPORATION                     373298108     1927    73410 SH       OTHER                  4865             68545
D GEOTEK COMMUNICATIONS INCORPORA                 373654102             14000 SH       OTHER                 14000
D GILAT SATELLITE NETWORKS                        375255AC0      513   750000 SH       OTHER
D GILEAD SCIENCES INCORPORATED                    375558103      770    10831 SH       OTHER                  2000              8831
D GILLETTE COMPANY                                375766102      213     6091 SH       SOLE                   5491               600
D GILLETTE COMPANY                                375766102       60     1720 SH       SHARED                 1720
D GILLETTE COMPANY                                375766102    47092  1347863 SH       OTHER               1054395            293468
D GLATFELTER P H CO                               377316104     1712   168000 SH       OTHER                 14300            153700
D GLAXO WELLCOME PLC                              37733W105     1047    18105 SH       SOLE                  18105
D GLAXO WELLCOME PLC                              37733W105     2383    41222 SH       OTHER                 26712             14510
D GLENBOROUGH RLTY TR INC                         37803P105      314    18000 SH       OTHER                  7000             11000
D GLOBAL WATER TECHNOLOGIES                       378939102        3    25000 SH       OTHER                                   25000
D GLOBAL INDUSTRIES LIMITED                       379336100      387    20500 SH       OTHER                                   20500
D GLOBAL MARINE INCORPORATED                      379352404     1550    55000 SH       OTHER                  5900             49100
D GLOBAL TELESYSTEMS GROUP INC                    37936U104      233    19300 SH       OTHER                 19300
D GOLDEN STAR RESOURCES LIMITED                   38119T104        9    10000 SH       OTHER                 10000
D GOLDEN STATE BANCORP INC                        381197102      260    14450 SH       OTHER                                   14450
D GOLDEN WEST FINANCIAL CORPORATI                 381317106     1819    44575 SH       OTHER                  6575             38000
D GOLDMAN SACHS GROUP INCORPORATE                 38141G104        9      100 SH       SOLE                    100
D GOLDMAN SACHS GROUP INCORPORATE                 38141G104     1122    11823 SH       OTHER                  2330              9493
D GOLDMAN SACHS TRUST                             38141W653     1191   136855 SH       OTHER                136855
D GOLF TRUST OF AMERICA INC                       38168B103      869    54750 SH       OTHER                 44950              9800
D GOODRICH B F COMPANY                            382388106     2178    63950 SH       OTHER                 41550             22400
D GOODYEAR TIRE & RUBBER COMPANY                  382550101       10      500 SH       SOLE                    500
D GOODYEAR TIRE & RUBBER COMPANY                  382550101      644    32198 SH       OTHER                 22458              9740
D GORMAN RUPP CO                                  383082104      215    13655 SH       OTHER                  5030              8625
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 GOVT TECHNOLOGY SVCS INC                        383750106       33    10670 SH       OTHER                  3855              6815
D GRACO INCORPORATED                              384109104     2441    75100 SH       OTHER                 28275             46825
D GRAINGER W W INCORPORATED                       384802104       22      700 SH       SOLE                    700
D GRAINGER W W INCORPORATED                       384802104       31     1000 SH       SHARED                 1000
D GRAINGER W W INCORPORATED                       384802104     7245   235137 SH       OTHER                187537             47600
D GRAND UNION COMPANY                             386532402       35    66200 SH       OTHER                                   66200
D GRANT PRIDECO INC                               38821G101     1054    42158 SH       OTHER                 14875             27283
D GREAT LAKES CHEMICAL CORPORATIO                 390568103     1026    32575 SH       OTHER                  8540             24035
D GREAT LAKES FINANCIAL RESOURCES                 39061*104      704     7040 SH       OTHER                  7040
D GREAT LAKES REIT INCORPORATED                   390752103      338    19880 SH       OTHER                 16880              3000
D GREATER BAY BANCORP                             391648102     1118    23912 SH       OTHER                  6040             17872
D GREENPOINT FINANCIAL CORPORATIO                 395384100       32     1700 SH       SOLE                                     1700
D GREENPOINT FINANCIAL CORPORATIO                 395384100     2153   114850 SH       OTHER                 37200             77650
D GREY ADVERTISING INCORPORATED                   397838103     2193     4218 SH       OTHER                  2132              2086
D GRIFFON CORPORATION                             398433102      112    20100 SH       OTHER                                   20100
D GROUP 1 AUTOMOTIVE INC                          398905109      228    19000 SH       OTHER                  4000             15000
D GROUPE DANONE                                   399449107      561    20830 SH       SOLE                  20830
D GROUPE DANONE                                   399449107       88     3272 SH       OTHER                  2198              1074
D GROVE PROPERTY TRUST                            399613108      406    25000 SH       OTHER                 25000
D GROWTH FUND OF AMERICA INCORPOR                 399874106     1452    42938 SH       OTHER                 42938
D GRUPO TELEVISA SA DE MEXICO                     40049J206      407     5900 SH       OTHER                  5250               650
D GTECH HOLDINGS CORPORATION                      400518106      288    12700 SH       OTHER                                   12700
D GUCCI GROUP NV                                  401566104      360     3800 SH       OTHER                  3800
D GUESS INC                                       401617105      160    11400 SH       OTHER                                   11400
D GUIDANT CORPORATION                             401698105    13272   268120 SH       SOLE                 264560     1365     2195
D GUIDANT CORPORATION                             401698105      242     4885 SH       SHARED                 4185      700
D GUIDANT CORPORATION                             401698105    11144   225122 SH       OTHER                 85252            139870
D GUILFORD MILLS INCORPORATED                     401794102       94    22000 SH       OTHER                 12000             10000
D GUITAR CTR INC                                  402040109      120    11400 SH       OTHER                  3700              7700
D GULF CANADA RESOURCES LIMITED                   40218L305      481   100000 SH       OTHER                                  100000
D HCA-HEALTHCARE CO                               404119109     2624    86378 SH       OTHER                 49074             37304
D HCC INSURANCE HOLDINGS INCORPOR                 404132102     3457   183129 SH       OTHER                 83112            100017
D HNC SOFTWARE                                    40425P107       12      200 SH       SOLE                    200
D HNC SOFTWARE                                    40425P107     1143    18507 SH       OTHER                 15007              3500
D HRPT PROPERTIES TRUST                           40426W101        3      500 SH       SOLE                    500
D HRPT PROPERTIES TRUST                           40426W101      174    28400 SH       OTHER                   200             28200
D HSBC HOLDINGS PLC                               404280406     1180    20375 SH       SOLE                  20375
D HSBC HOLDINGS PLC                               404280406     1184    20435 SH       OTHER                  3035             17400
D HS RES INC                                      404297103      240     8000 SH       OTHER                                    8000
D HAEMONETICS CORPORATION                         405024100      642    30575 SH       OTHER                 13075             17500
D HAGLER BAILLY INC                               405183104       50    10000 SH       OTHER                 10000
D HALLIBURTON COMPANY                             406216101       17      350 SH       SOLE                                      350
D HALLIBURTON COMPANY                             406216101     6430   136266 SH       OTHER                 39288             96978
D HALLWOOD ENERGY CORP DEL                        40636X105       82    10035 SH       OTHER                 10035
D JOHN HANCOCK BANK & THRIFT                      409735107       17     2521 SH       SOLE                   2521
D JOHN HANCOCK BANK & THRIFT                      409735107     1583   236700 SH       OTHER                  2000            234700
D JOHN HANCOCK                                    41013T105       94    10000 SH       OTHER                 10000
D HANCOCK JOHN FINANCIAL SERVICES                 41014S106     5017   211813 SH       OTHER                  1873            209940
D HANNA M A COMPANY                               410522106      120    13375 SH       OTHER                   675             12700
D HANOVER COMPRESSOR COMPANY                      410768105     2317    60973 SH       OTHER                 20633             40340
D HANOVER FOODS                                   41078W100      879    14899 SH       OTHER                  3399             11500
D HARBOR FUND                                     411511108      386    35748 SH       OTHER                 35748
D HARBOR FUND                                     411511306      541    12975 SH       OTHER                  8900              4075
D HARBOR FUND                                     411511801      661    33323 SH       OTHER                 33323
D HARCOURT GENERAL INCORPORATED                   41163G101     4347    79950 SH       OTHER                 62550             17400
D HARLAND JOHN H COMPANY                          412693103      550    36844 SH       OTHER                 23744             13100
D HARLEY DAVIDSON INCORPORATED                    412822108     1827    47465 SH       SOLE                  46515               950
D HARLEY DAVIDSON INCORPORATED                    412822108     3878   100719 SH       OTHER                 58177             42542
D HARMAN INTERNATIONAL                            413086109      406     6650 SH       OTHER                                    6650
D HARMONY HLDGS INC                               413223108        1    10000 SH       OTHER                                   10000
D HARRAH'S ENTERTAINMENT INCORPOR                 413619107     3185   152100 SH       OTHER                 18300            133800
D THE OAKMARK FUND                                413838103      260    10230 SH       OTHER                  8716              1514
D OAKMARK INTERNATIONAL                           413838202     2234   142210 SH       OTHER                 12447            129763
D OAKMARK SMALL CAPITAL FUND                      413838301      160    11972 SH       OTHER                  3538              8434
D OAKMARK SELECT FUND                             413838608      495    26025 SH       OTHER                  1455             24570
D HARRIS CORPORATION                              413875105     5581   170400 SH       OTHER                 64600            105800
D HARRIS INSIGHT FUNDS TRUST                      414548503      495    20907 SH       OTHER                 20907
D HARRIS INSIGHT FUNDS TRUST                      414548883      426    28212 SH       OTHER                 28212
D HARTE HANKS INC FORMERLY HARTE                  416196103      405    16200 SH       OTHER                 14500              1700
D HARTFORD FINANCIAL SERVICES GRO                 416515104      123     2192 SH       SOLE                   2192
D HARTFORD FINANCIAL SERVICES GRO                 416515104       11      200 SH       SHARED                  200
D HARTFORD FINANCIAL SERVICES GRO                 416515104     4204    75157 SH       OTHER                 20933             54224
D HARTMARX CORPORATION                            417119104      136    53167 SH       OTHER                 53167
D HASBRO INCORPORATED                             418056107     1375    91255 SH       OTHER                  6130             85125
D HAWAIIAN ELECTRIC                               419870100      568    17300 SH       OTHER                 13800              3500
D HEALTH CARE PROPERTY                            421915109        4      162 SH       SOLE                    162
D HEALTH CARE PROPERTY                            421915109      554    20347 SH       OTHER                 14546              5801
D HEALTHSOUTH CORPORATION                         421924AF8      707   900000 SH       OTHER
D HEALTHSOUTH CORP                                421924101       17     2400 SH       SOLE                   2400
D HEALTHSOUTH CORP                                421924101     1563   217400 SH       OTHER                 53800            163600
D HEALTH MANAGEMENT ASSOC INC NEW                 421933102      661    50625 SH       OTHER                 40225             10400
D HEALTHCARE REALTY TRUST                         421946AA2       66    75000 SH       OTHER
D HEALTHCARE REALTY TRUST                         421946104      593    34775 SH       OTHER                 11777             22998
D HEALTH MANAGEMENT SYSTEM INC                    42219M100      171    54800 SH       OTHER                 33800             21000
D HEALTHEON/WEBMD CORPORATION                     422209106       15     1000 SH       SOLE                   1000
D HEALTHEON/WEBMD CORPORATION                     422209106      291    19664 SH       OTHER                 14315              5349
D HEARTLAND EXPRESS INC                           422347104      303    18165 SH       OTHER                 18165
D HEIDRICK & STRUGGLES INTERNATIO                 422819102      890    14100 SH       OTHER                                   14100
D HEILIG MEYERS COMPANY                           422893107       14    11582 SH       OTHER                 11582
D HEINEKEN N V                                    423012202      245     4011 SH       OTHER                   491              3520
D HEINZ H J COMPANY                               423074103      125     2850 SH       SOLE                   2850
D HEINZ H J COMPANY                               423074103       18      400 SH       SHARED                  400
D HEINZ H J COMPANY                               423074103    10745   245590 SH       OTHER                 96730            148860
D HELIX TECHNOLOGY CORPORATION                    423319102      441    11300 SH       OTHER                 10500               800
D HELLENIC TELECOMMUNICATIONS                     423325307      179    14700 SH       OTHER                 14700
D HELLER FINL INC                                 423328103      160     7800 SH       SOLE                                     7800
D HELLER FINL INC                                 423328103     4670   227800 SH       OTHER                 14100            213700
D HELMERICH & PAYNE INCORPORATED                  423452101      739    19770 SH       OTHER                 10650              9120
D HENRY JACK & ASSOC INC                          426281101     6433   128330 SH       OTHER                 32730             95600
D HERS APPAREL INDUSTRIES                         427788104             10000 SH       OTHER                                   10000
D HERSHEY FOODS CORPORATION                       427866108       90     1850 SH       SOLE                   1850
D HERSHEY FOODS CORPORATION                       427866108       53     1100 SH       SHARED                 1100
D HERSHEY FOODS CORPORATION                       427866108      986    20339 SH       OTHER                 13539              6800
D HERTZ CORPORATION                               428040109      996    35500 SH       OTHER                  1800             33700
D HEWLETT PACKARD CO                              428236AC7      123   130000 SH       OTHER
D HEWLETT PACKARD COMPANY                         428236103      790     6330 SH       SOLE                   6070               260
D HEWLETT PACKARD COMPANY                         428236103       50      400 SH       SHARED                  200               200
D HEWLETT PACKARD COMPANY                         428236103    54018   432579 SH       OTHER                189367            243212
D HEXCEL CORPORATION                              428291AA6       34    40000 SH       OTHER
D HEXCEL CORP NEW                                 428291108      228    24000 SH       OTHER                 23000              1000
D HIBERNIA CORPORATION                            428656102       92     8500 SH       SOLE                   8500
D HIBERNIA CORPORATION                            428656102      730    67140 SH       OTHER                 11760             55380
D HILB ROGAL & HAMILTON COMPANY                   431294107      222     6400 SH       OTHER                  6400
D HILLENBRAND INDUSTRIES                          431573104      493    15750 SH       OTHER                 13750              2000
D HILLIARD CORP                                   431596105      464     1327 SH       OTHER                  1327
D HILTON HOTELS CORPORATION                       432848AL3      287   365000 SH       OTHER
D HILTON HOTELS CORPORATION                       432848109       47     5000 SH       SOLE                   5000
D HILTON HOTELS CORPORATION                       432848109      809    86300 SH       OTHER                 33366             52934
D HISPANIC BROADCASTING CORPORATI                 43357B104     1160    35030 SH       SOLE                  35030
D HISPANIC BROADCASTING CORPORATI                 43357B104     1301    39270 SH       OTHER                 10780             28490
D HITACHI LIMITED                                 433578507     1090     7560 SH       SOLE                   7560
D HITACHI LIMITED                                 433578507     1746    12115 SH       OTHER                  4445              7670
D HOLLINGER INTERNATIONAL                         435569108      888    65187 SH       OTHER                 21872             43315
D HOME DEPOT INCORPORATED                         437076102     9938   199012 SH       SOLE                 194338      950     3724
D HOME DEPOT INCORPORATED                         437076102      391     7832 SH       SHARED                 7532      300
D HOME DEPOT INCORPORATED                         437076102   153888  3081587 SH       OTHER               2319042            762545
D HOME PRODS INTL INC                             437305105      119    30785 SH       OTHER                 22785              8000
D HOME PPTYS NY INC                               437306103      269     8950 SH       OTHER                                    8950
D HOMEFED CORPORATION                             43739D208        8    11246 SH       OTHER                  4340              6906
D HOMETOWN AUTO RETAILERS                         437858103       79    26250 SH       OTHER                                   26250
D HOMETOWN BUFFET INCORPORATED                    437862AA3       27    25000 SH       OTHER
D HON INDUSTRIES INCORPORATED                     438092108     3522   149860 SH       OTHER                  7990            141870
D HONDA MOTOR LIMITED                             438128308      887    12900 SH       SOLE                  12900
D HONDA MOTOR LIMITED                             438128308      479     6965 SH       OTHER                  1620              5345
D HONEYWELL INTERNATIONAL INC                     438516106     1729    51338 SH       SOLE                  50952               386
D HONEYWELL INTERNATIONAL INC                     438516106       13      375 SH       SHARED                  375
D HONEYWELL INTERNATIONAL INC                     438516106     9996   296722 SH       OTHER                142926            153796
D HONG KONG & CHINA GAS                           438550303       86    76665 SH       OTHER                 76665
D HONGKONG ELEC HLDGS LTD                         438580300       96    29910 SH       OTHER                 29910
D HORACE MANN EDUCATORS CORPORATI                 440327104      922    61465 SH       OTHER                 15965             45500
D HOST MARRIOTT CORPORATION                       44107P104        2      217 SH       SOLE                    217
D HOST MARRIOTT CORPORATION                       44107P104     2389   254793 SH       OTHER                  1334            253459
D HOTCHKIS & WILEY FUNDS                          441346400      516    18880 SH       OTHER                                   18880
D HOUGHTON MIFFLIN COMPANY                        441560109     1942    41600 SH       OTHER                 21200             20400
D HOUSEHOLD INTERNATIONAL INC                     441815107      192     4613 SH       SOLE                   4613
D HOUSEHOLD INTERNATIONAL INC                     441815107       26      625 SH       SHARED                  625
D HOUSEHOLD INTERNATIONAL INC                     441815107    61159  1471476 SH       OTHER               1139733            331743
D HOUSTON INDUSTRIES INCORPORATED                 442161204     2649    21300 SH       OTHER                 19800              1500
D HOVNANIAN ENTERPRISES                           442487203       80    13300 SH       OTHER                                   13300
D HOWTEK INCORPORATED                             443209101       35    20000 SH       SOLE                  20000
D HUBBELL INCORPORATED                            443510201       31     1212 SH       SOLE                   1212
D HUBBELL INCORPORATED                            443510201     2419    94875 SH       OTHER                 14250             80625
D HUDSON CITY BANCORP INCORPORATE                 443683107      171    10000 SH       OTHER                 10000
D HUFFY CORPORATION                               444356109       69    16000 SH       OTHER                                   16000
D HUGOTON ROYALTY TRUST                           444717102     1109    89200 SH       OTHER                 79200             10000
D HUMAN GENOME SCIENCES INCORPORA                 444903108      267     2000 SH       SOLE                   2000
D HUMAN GENOME SCIENCES INCORPORA                 444903108     1408    10560 SH       OTHER                  3800              6760
D HUNTINGTON BANCSHARES                           446150104      602    38063 SH       OTHER                 38063
D HUTCHINSON WHAMPOA LIMITED                      448415208      232     3355 SH       OTHER                  2367               988
D HYPERION                                        448918102      508    64500 SH       OTHER                                   64500
D ICN PHARMACEUTICAL INC NEW                      448924100      790    28415 SH       OTHER                  5715             22700
D ICAP FUNDS INCORPORATED                         448926204     7055   170403 SH       OTHER                170403
D HYPERSECUR CORP                                 44914N102       81    11500 SH       OTHER                                   11500
D IBP INCORPORATED                                449223106      982    63640 SH       OTHER                 30380             33260
D ICO HLDGS INC                                   449293109      104    55500 SH       OTHER                 55500
D ICU MED INC                                     44930G107      490    18150 SH       OTHER                                   18150
D IDEC PHARMACEUTICALS CORP                       449370105      117     1000 SH       SOLE                   1000
D IDEC PHARMACEUTICALS CORP                       449370105      187     1596 SH       OTHER                                    1596
D IDG BOOKS WORLDWIDE INC                         449384106      112    12400 SH       OTHER                 12400
D AXP HIGH YIELD                                  449440106      123    28871 SH       OTHER                 28871
D IMS HEALTH INCORPORATED                         449934108       20     1100 SH       SOLE                   1100
D IMS HEALTH INCORPORATED                         449934108        5      300 SH       SHARED                  300
D IMS HEALTH INCORPORATED                         449934108    11306   628128 SH       OTHER                449019            179109
D IBEW-NECA                                       449990118    16074   794641 SH       OTHER                                  794641
D AMERICAN EXPRESS                                449999101     2808    53470 SH       OTHER                                   53470
D IRT PROPERTY COMPANY                            450058AA0      859   916000 SH       OTHER
D IRT PROPERTY COMPANY                            450058102      324    38155 SH       OTHER                 16939             21216
D ISS GROUP INC                                   450306105     1052    10650 SH       OTHER                  1850              8800
D ISTAR FINANCIAL INCORPORATED                    45031U101      850    40609 SH       OTHER                  5900             34709
D ITT EDUCATIONAL SERVICES INC                    45068B109      400    22800 SH       OTHER                 16575              6225
D IBASIS INCORPORATED                             450732AA0       19    25000 SH       OTHER
D ITT INDUSTRIES INCORPORATED                     450911102       14      448 SH       SOLE                    448
D ITT INDUSTRIES INCORPORATED                     450911102      747    24583 SH       OTHER                  2883             21700
D IDACORP INC                                     451107106      329    10217 SH       OTHER                   400              9817
D IDEX CORPORATION                                45167R104     3462   109698 SH       OTHER                 47687             62011
D IKON OFFICE SOLUTIONS INCORPORA                 451713101       47    12100 SH       OTHER                  5100              7000
D ILEX ONCOLOGY INC                               451923106     1921    54500 SH       OTHER                  5200             49300
D ILLINOIS TOOL WORKS                             452308109    11680   204915 SH       SOLE                 202535      400     1980
D ILLINOIS TOOL WORKS                             452308109      681    11950 SH       SHARED                11750               200
D ILLINOIS TOOL WORKS                             452308109    78248  1372774 SH       OTHER               1065082            307692
D ILLUMINET HLDGS INC                             452334105      310     6100 SH       OTHER                                    6100
D IMATION CORPORATION                             45245A107        3      100 SH       SOLE                    100
D IMATION CORPORATION                             45245A107        1       20 SH       SHARED                   20
D IMATION CORPORATION                             45245A107    14422   490969 SH       OTHER                 16544            474425
D IMCLONE SYS INC                                 45245W109       15      200 SH       SOLE                    200
D IMCLONE SYS INC                                 45245W109      703     9200 SH       OTHER                                    9200
D IMMUNEX CORPORATION NEW                         452528102     7028   142150 SH       OTHER                  5250            136900
D IMPATH INC                                      45255G101      326     6000 SH       OTHER                  6000
D IMPERIAL BANCORP                                452556103      317    20376 SH       OTHER                  7882             12494
D IMPERIAL OIL LTD.                               453038408      409    16792 SH       OTHER                 15400              1392
D AMERICAN FUNDS                                  453320103      129     8464 SH       SOLE                   8464
D AMERICAN FUNDS                                  453320103       98     6452 SH       SHARED                 6452
D INDEPENDENCE CMNTY BK CORP                      453414104      329    24800 SH       OTHER                  6100             18700
D INDEPENDENCE HLDG CO NEW                        453440307      503    41062 SH       OTHER                                   41062
D INDEPENDENT ENERGY HLDGS PLC                    45384X108      364    43800 SH       OTHER                 43800
D INDUS INTL INC                                  45578L100      214    25015 SH       OTHER                  5015             20000
D INFINITY BROADCASTING CORPORATI                 45662S102     7496   205723 SH       OTHER                176083             29640
D INET TECHNOLOGIES INC                           45662V105      622    11470 SH       OTHER                                   11470
D INFOCUS CORP                                    45665B106      641    19900 SH       OTHER                   100             19800
D INFORMATICA CORPORATION                         45666Q102      250     3050 SH       SOLE                   3050
D INFORMATICA CORPORATION                         45666Q102      164     2000 SH       OTHER                                    2000
D INFORMATION HLDGS INC                           456727106      405    10950 SH       OTHER                 10600               350
D INFORMIX CORPORATION                            456779107        7     1000 SH       SOLE                   1000
D INFORMIX CORPORATION                            456779107     1476   198400 SH       OTHER                                  198400
D ING GROUP N.V.                                  456837103     1101    16306 SH       SOLE                  16306
D ING GROUP N.V.                                  456837103     2470    36588 SH       OTHER                  7784             28804
D INGERSOLL RAND COMPANY                          456866102       12      310 SH       SOLE                                      310
D INGERSOLL RAND COMPANY                          456866102       24      600 SH       SHARED                                    600
D INGERSOLL RAND COMPANY                          456866102     2249    55873 SH       OTHER                  9093             46780
D INTERSOLL-RAND                                  456867209      782    38380 SH       OTHER                 26680             11700
D INFORMATION RESOURCES INCORPORA                 456905108     3621   919429 SH       OTHER                919429
D INGRAM MICRO INC                                457153104      478    27400 SH       OTHER                  1400             26000
D INHALE THERAPEUTIC SYS                          457191104      528     5200 SH       OTHER                  2800              2400
D INKTOMI CORPORATION                             457277101      473     4000 SH       SOLE                   4000
D INKTOMI CORPORATION                             457277101     1865    15770 SH       OTHER                  4060             11710
D INNOVEX INC                                     457647105     1374   140900 SH       OTHER                                  140900
D INSIGHT ENTERPRISES INCORPORATE                 45765U103      890    15001 SH       OTHER                  5326              9675
D INSIGHT HEALTH SERVICES CORPORA                 45766Q101      116    17911 SH       OTHER                 17211               700
D INSTANT VIDEO TECHNOLOGIES, INC                 45774V118             10000 SH       OTHER                                   10000
D T ROWE PRICE                                    45775L101     5206   244064 SH       OTHER                244064
D INSTITUTIONAL INTERNATIONAL FDS                 457759108    22109  1019779 SH       OTHER                                 1019779
D INSURANCE AUTO AUCTIONS INC                     457875102      459    21725 SH       OTHER                  8425             13300
D INTEGRAL VISION INCORPORATED                    45811H106       73    29000 SH       OTHER                 22000              7000
D INTEGRATED DEVICE TECHNOLOGY                    458118106     1997    33360 SH       OTHER                  7000             26360
D INTEGRATED SILICON SOLUTION                     45812P107     1024    26938 SH       OTHER                  7138             19800
D INTELIDATA TECHNOLOGIES CORP                    45814T107      227    22000 SH       OTHER                 22000
D INTEL CORPORATION                               458140100    39672   296752 SH       SOLE                 291847     1400     3505
D INTEL CORPORATION                               458140100     2075    15520 SH       SHARED                14320      800      400
D INTEL CORPORATION                               458140100   336373  2516108 SH       OTHER               1818356            697752
D INTER PARFUMS INC                               458334109     9876  1161900 SH       OTHER               1161900
D INTERDIGITAL COMMUNICATION                      45866A105      368    22200 SH       OTHER                  4200             18000
D INTERFACE INCORPORATED                          458665106      206    54050 SH       OTHER                  5530             48520
D INTERIM SERVICES INC                            45868P100      556    31350 SH       OTHER                 25950              5400
D INTERMEDIA COMMUNICATIONS INC                   458801107      309    10400 SH       OTHER                                   10400
D INTERNATIONAL BRAVO RES CORP                    459158101       24   200000 SH       OTHER                200000
D INTERNATIONAL BUSINESS                          459200101     1430    13055 SH       SOLE                  11805              1250
D INTERNATIONAL BUSINESS                          459200101      767     6996 SH       SHARED                 6796               200
D INTERNATIONAL BUSINESS                          459200101    99395   907199 SH       OTHER                515598            391601
D INTERNATIONAL FLAVORS &                         459506101       60     2000 SH       SOLE                   2000
D INTERNATIONAL FLAVORS &                         459506101      866    28700 SH       OTHER                  7800             20900
D INTERNATIONAL GAME TECHNOLOGY                   459902102     1597    60250 SH       OTHER                 14500             45750
D INTERNATIONAL PAPER COMPANY                     460146103       38     1260 SH       SOLE                   1260
D INTERNATIONAL PAPER COMPANY                     460146103        8      275 SH       SHARED                  275
D INTERNATIONAL PAPER COMPANY                     460146103     4550   152634 SH       OTHER                 52484            100150
D INTERNATIONAL RECTIFIER CORPORA                 460254105     2262    40400 SH       OTHER                 14000             26400
D INTERNATIONAL SPEEDWAY CORPORAT                 460335201      278     6730 SH       OTHER                  4450              2280
D INTERNATIONAL SPECIALTY PROD                    460337108       74    13055 SH       OTHER                  2275             10780
D INTERNET CAPITAL GROUP INC                      46059C106      573    15484 SH       OTHER                 10549              4935
D INTERPOOL INCORPORATED                          46062R108      129    13250 SH       OTHER                                   13250
D INTERSIL HOLDING CORPORATION                    46069S109      706    13060 SH       OTHER                                   13060
D INTERPUBLIC GROUP                               460690AF7       65    55000 SH       OTHER
D INTERPUBLIC GROUP                               460690100    22234   517070 SH       SOLE                 507831     2574     6665
D INTERPUBLIC GROUP                               460690100     1081    25150 SH       SHARED                23400     1374      376
D INTERPUBLIC GROUP                               460690100    16732   389122 SH       OTHER                241589            147533
D INTERSTATE BAKERIES                             46072H108     6184   441728 SH       OTHER                 17000            424728
D INTERTAN INCORPORATED                           461120107     6745   574050 SH       OTHER                                  574050
D INTRABIOTICS PHARMACEUTICALS                    46116T100     2749   103000 SH       OTHER                                  103000
D INTUIT INCORPORATED                             461202103     3542    85612 SH       OTHER                 35652             49960
D INVACARE CORP                                   461203101      923    35150 SH       OTHER                                   35150
D INVENSYS PLC                                    461204109      772   102971 SH       OTHER                 20492             82479
D INVESCO STOCK FUNDS INCORPORATE                 46127G204     1058    36626 SH       OTHER                 36626
D INVESCO BOND FUNDS INCORPORATED                 46128R100       69    11580 SH       OTHER                 11580
D INVESCO BOND FUNDS INCORPORATED                 46128R209      108    17897 SH       OTHER                 17897
D INVESCO COMBINATION STOCK & BON                 46128W307      202     7452 SH       OTHER                                    7452
D AMERICAN FUNDS                                  461308108      113     3470 SH       SHARED                 3470
D AMERICAN FUNDS                                  461308108      467    14326 SH       OTHER                 14326
D INVESTMENT SERIES FUNDS INC                     461444507      495    55263 SH       OTHER                 55263
D INVITROGEN CORP                                 46185R100      706     9384 SH       OTHER                  2634              6750
D INVESTORS FINANCIAL SERVICES CO                 461915100      447    11273 SH       OTHER                  5773              5500
D IONICS INCORPORATED                             462218108      263     8600 SH       OTHER                                    8600
D IPALCO ENTERPRISES INCORPORATED                 462613100       24     1200 SH       SOLE                   1200
D IPALCO ENTERPRISES INCORPORATED                 462613100      237    11800 SH       OTHER                  9100              2700
D IRON MOUNTAIN INCORPORATED                      462846106      150     4400 SH       SOLE                   4400
D IRON MOUNTAIN INCORPORATED                      462846106      605    17800 SH       OTHER                 12000              5800
D ISHARES INC                                     464286822      220    13400 SH       OTHER                                   13400
D ISHARES MSCI                                    464286848     1120    73750 SH       SOLE                  73750
D ISHARES MSCI                                    464286848      993    65360 SH       OTHER                 55860              9500
D ISHARES TR                                      464287507      408     4200 SH       OTHER                  1500              2700
D ISHARES TR                                      464287655      589     5700 SH       OTHER                  1500              4200
D ITO YOKADO LIMITED                              465714301      654    10560 SH       SOLE                  10560
D ITO YOKADO LIMITED                              465714301      183     2950 SH       OTHER                   150              2800
D I2 TECHNOLOGIES INCORPORATED                    465754109        9       88 SH       SOLE                     88
D I2 TECHNOLOGIES INCORPORATED                    465754109     1195    11460 SH       OTHER                  1515              9945
D IVAX CORP                                       465823102       31      750 SH       SOLE                    750
D IVAX CORP                                       465823102     1302    31371 SH       OTHER                  1500             29871
D IVEX PACKAGING CORP DEL                         465855104      293    26350 SH       OTHER                  6350             20000
D JTS CORP                                        465940104             10000 SH       OTHER                 10000
D J & J SNACK FOODS CORPORATION                   466032109     2052   114800 SH       OTHER                  2000            112800
D J ALEXANDERS                                    466096AA2       21    23000 SH       OTHER
D JDS UNIPHASE CORPORATION                        46612J101     2991    24950 SH       SOLE                  24950
D JDS UNIPHASE CORPORATION                        46612J101    16126   134524 SH       OTHER                 36284             98240
D JG INDS INC                                     466145208       66    72464 SH       OTHER                 72464
D JLG INDUSTRIES INCORPORATED                     466210101      143    12000 SH       OTHER                                   12000
D JABIL CIRCUIT INCORPORATED                      466313103     1343    27060 SH       SOLE                  27060
D JABIL CIRCUIT INCORPORATED                      466313103     1820    36680 SH       OTHER                  5640             31040
D JACK IN THE BOX INC                             466367109     3260   132400 SH       OTHER                  7100            125300
D JMB GROUP TRUST IV                              466990132      831   830908 SH       OTHER                                  830908
D JACOBS ENGINEERING                              469814107     1066    32600 SH       OTHER                                   32600
D JACOBSON STORES INCORPORATED                    469834AC9       70   100000 SH       OTHER
D JACOR COMMUNICATIONS INCORPORAT                 469858AA2      117   100000 SH       OTHER
D JACOR COMMUNICATIONS                            469858AB0       30    50000 SH       OTHER
D JAKKS PACIFIC INCORPORATED                      47012E106      266    18000 SH       OTHER                 15000              3000
D JANUS FUND INCORPORATED                         471023101     1092    24066 SH       OTHER                 23624               442
D JANUS INVESTMENT FUND                           471023309       85     1080 SH       SHARED                 1080
D JANUS INVESTMENT FUND                           471023309     6324    80825 SH       OTHER                 14346             66479
D JANUS INVESTMENT FUND                           471023663      238     7247 SH       OTHER                  2499              4747
D JANUS INVESTMENT FUND                           471023846      696    18440 SH       OTHER                 18440
D JANUS INVESTMENT FUND                           471023853      502    11881 SH       OTHER                   466             11415
D JANUS INVESTMENT FUNDS                          471023879      418    17882 SH       OTHER                 17882
D JAPAN AIR LINES LTD                             471034306       88    11091 SH       OTHER                  6902              4189
D JAPANESE OTC FUND                               471091108      342    36000 SH       OTHER                 18500             17500
D JARDINE MATHESON HOLDINGS LIMIT                 471115303      146    33278 SH       OTHER                 11208             22070
D JANUS INSTITUTIONAL                             471990135     2765   158694 SH       OTHER                158694
D JEFFERIES GROUP INC NEW                         472319102      605    29975 SH       OTHER                 17810             12165
D JEFFERSON PILOT CORPORATION                     475070108      368     6520 SH       OTHER                   300              6220
D JOHNS MANVILLE INTERNATIONAL                    478129109      215    16300 SH       OTHER                   300             16000
D JOHNSON & JOHNSON                               478160104    21163   207732 SH       SOLE                 204197      850     2685
D JOHNSON & JOHNSON                               478160104      554     5435 SH       SHARED                 5185      250
D JOHNSON & JOHNSON                               478160104   146455  1437592 SH       OTHER               1150813            286779
D JOHNSON CONTROLS INCORPORATED                   478366107      243     4726 SH       SOLE                   4376               350
D JOHNSON CONTROLS INCORPORATED                   478366107     2073    40408 SH       OTHER                 27343             13065
D JONES APPAREL GROUP INCORPORATE                 480074103       14      600 SH       SHARED                                    600
D JONES APPAREL GROUP INCORPORATE                 480074103     3741   159200 SH       OTHER                  1500            157700
D JONES PHARMA INC                                480236108      560    14015 SH       OTHER                   490             13525
D JOURNAL REGISTER CO                             481138105      314    17200 SH       OTHER                  9000              8200
D JUNIPER NETWORKS INCORPORATED                   48203R104       23      160 SH       SOLE                    160
D JUNIPER NETWORKS INCORPORATED                   48203R104     2015    13840 SH       OTHER                  1440             12400
D KLA-TENCOR CORPORATION                          482480100      101     1725 SH       SOLE                   1725
D KLA-TENCOR CORPORATION                          482480100     2496    42623 SH       OTHER                 17383             25240
D K MART CORPORATION                              482584109       25     3600 SH       SOLE                   3600
D K MART CORPORATION                              482584109      610    89510 SH       OTHER                 19910             69600
D K-SWISS INC                                     482686102     1605   100700 SH       OTHER                                  100700
D K2 INCORPORATED                                 482732104      504    60655 SH       OTHER                 10700             49955
D KSB AG- VORZUG                                  482990215     1224    13000 SH       OTHER                                   13000
D KANSAS CITY SOUTHERN                            485170104     1808    20391 SH       OTHER                  2391             18000
D KAO CORPORATION                                 485537203      367     1200 SH       OTHER                                    1200
D KAUFMANN FUND INCORPORATED                      486250103     1078   160192 SH       OTHER                160192
D KAYDON CORPORATION                              486587108       19      900 SH       SOLE                    900
D KAYDON CORPORATION                              486587108      300    14300 SH       OTHER                   700             13600
D KEANE INCORPORATED                              486665102      303    13992 SH       OTHER                  4492              9500
D KEITHLEY INSTRUMENTS INC                        487584104      530     6083 SH       OTHER                  3183              2900
D KELLOGG COMPANY                                 487836108       30     1000 SH       SOLE                   1000
D KELLOGG COMPANY                                 487836108     3612   121410 SH       OTHER                 59710             61700
D KELLSTROM INDUSTRIES INCORPORAT                 488035AC0       20    45000 SH       OTHER
D KEMET CORPORATION                               488360108      782    31195 SH       OTHER                 16795             14400
D KEMPER NEW EUROPE FUND INC                      48841Y404      426    17200 SH       OTHER                  7000             10200
D KEMFLEX                                         488990136    29982  9982460 SH       OTHER               9982460
D KENNAMETAL INCORPORATED                         489170100      286    13350 SH       OTHER                                   13350
D KENT ELECTRONICS CORPORATION                    490553AA2      178   200000 SH       OTHER
D KENT ELECTRONICS CORP                           490553104      413    13850 SH       OTHER                                   13850
D KERR MCGEE CORPORATION                          492386AL1       45    47000 SH       OTHER
D KERR MCGEE CORPORATION                          492386AP2      599   520000 SH       OTHER
D KERR MCGEE CORPORATION                          492386107       10      173 SH       SOLE                    173
D KERR MCGEE CORPORATION                          492386107      489     8304 SH       OTHER                   659              7645
D KEY PRODUCTION CO                               493138101      792    45257 SH       OTHER                 15726             29531
D KEYCORP NEW                                     493267108     1279    72558 SH       OTHER                 15646             56912
D KEYSPAN CORP                                    49337W100       56     1827 SH       SOLE                   1827
D KEYSPAN CORP                                    49337W100      949    30874 SH       OTHER                 21922              8952
D KFORCE COM INC                                  493732101     2965   427400 SH       OTHER                                  427400
D KIMBALL INTERNATIONAL INCORPORA                 494274103      255    17300 SH       OTHER                                   17300
D KIMBALL INTERNATIONAL INC                       494274202      344    23300 SH       OTHER                                   23300
D KIMBERLY CLARK CORPORATION                      494368103      684    11926 SH       SOLE                  11926
D KIMBERLY CLARK CORPORATION                      494368103      321     5600 SH       SHARED                 5450               150
D KIMBERLY CLARK CORPORATION                      494368103    29695   517554 SH       OTHER                178875            338679
D KINDER MORGAN INC KANS                          49455P101      613    17750 SH       OTHER                 11750              6000
D KINDER MORGAN ENERGY PARTNERSHI                 494550106     4647   116349 SH       OTHER                 96757             19592
D KING PHARMACEUTICALS INC                        495582108     1506    34328 SH       OTHER                                   34328
D KMART FINANCING                                 498778208      200     5500 SH       OTHER                  4000              1500
D KNIGHT RIDDER INCORPORATED                      499040103    15986   300558 SH       OTHER                 23852            276706
D KNIGHT TRANSPORTATION INCORPORA                 499064103      264    18158 SH       OTHER                                   18158
D KOGER EQUITY INCORPORATED                       500228101      307    18195 SH       OTHER                  1680             16515
D KOHL'S CORP                                     500255104     3761    67620 SH       SOLE                  67620
D KOHL'S CORP                                     500255104    11469   206192 SH       OTHER                 78892            127300
D KOMATSU LTD                                     500458401      881    31225 SH       OTHER                  2604             28621
D KONINKLIJKE AHOLD NV                            500467303      287     9802 SH       SOLE                   9802
D KONINKLIJKE AHOLD NV                            500467303      362    12362 SH       OTHER                 11648               714
D PHILIPS ELECTRONICS-NY SHARE                    500472204       70     1472 SH       SOLE                   1472
D PHILIPS ELECTRONICS-NY SHARE                    500472204    21445   451476 SH       OTHER                330825            120651
D KOPIN CORP                                      500600101       17      250 SH       SOLE                    250
D KOPIN CORP                                      500600101      589     8510 SH       OTHER                  5510              3000
D KOREA TELECOM                                   50063P103      271     5600 SH       OTHER                  5600
D KRISPY KREME DOUGHNUTS INC                      501014104        9      125 SH       SOLE                    125
D KRISPY KREME DOUGHNUTS INC                      501014104      226     3072 SH       OTHER                   572              2500
D KROGER COMPANY                                  501044101       26     1200 SH       SOLE                                     1200
D KROGER COMPANY                                  501044101    13773   624244 SH       OTHER                109994            514250
D KYOCERA CORPORATION JAPAN                       501556203     1200     6984 SH       OTHER                  3254              3730
D L G & E ENERGY CORPORATION                      501917108      313    13128 SH       OTHER                 13128
D LM INSTITUTIONAL FUND                           502082100     1090    68875 SH       OTHER                 68875
D L'OREAL COMPANY                                 502117203      897     5160 SH       SOLE                   5160
D L'OREAL COMPANY                                 502117203      251     1445 SH       OTHER                  1445
D LSI LOGIC CORPORATION                           502161102       12      230 SH       SOLE                                      230
D LSI LOGIC CORPORATION                           502161102    10771   199000 SH       OTHER                 62350            136650
D LTX CORPORATION                                 502392103     3651   104500 SH       OTHER                  6700             97800
D L-3 COMMUNICATIONS HLDGS INC                    502424104     4880    85525 SH       OTHER                 61225             24300
D LVMH MOET HENNESSY LOUIS VUT                    502441207      308     3693 SH       OTHER                  3693
D LABORATORY CORP OF AMERICA HOLD                 50540R409      385     4997 SH       OTHER                  2617              2380
D LABOR READY INC                                 505401208      309    46700 SH       OTHER                                   46700
D LABRANCHE & CO INC                              505447102      254    17700 SH       OTHER                                   17700
D LADY BALTIMORE FOODS INCORPORAT                 505804104      482     8000 SH       OTHER                  6000              2000
D LAFARGE COPPEE                                  505861203      463    17800 SH       OTHER                                   17800
D LAFAYETTE BANCORPORATION                        505893107      878    58779 SH       OTHER                                   58779
D LAKEHEAD PIPE LINE PARTNERS                     511557100       32      800 SH       SOLE                    800
D LAKEHEAD PIPE LINE PARTNERS                     511557100      433    10800 SH       OTHER                  3800              7000
D LAM RESEARCH CORPORATION                        512807108     1001    26700 SH       OTHER                                   26700
D LAMAR ADVERTISING COMPANY                       512815AF8       44    40000 SH       OTHER
D LAMAR ADVERTISING CO                            512815101     1288    29745 SH       OTHER                  5100             24645
D LANDS END INCORPORATED                          515086106     1796    53800 SH       OTHER                  8300             45500
D LANDSTAR SYS INC                                515098101     1227    20600 SH       OTHER                  1300             19300
D LASALLE HOTEL PPTYS                             517942108     1272    88500 SH       OTHER                 83500              5000
D LASERMETRICS INCORPORATED                       518079108        1    20000 SH       OTHER                 20000
D ESTEE LAUDER COMPANIES                          518439104     3072    62135 SH       OTHER                  9635             52500
D LAWSON PRODUCTS INCORPORATED                    520776105      235     9555 SH       OTHER                  1920              7635
D LAYNE CHRISTENSEN COMPANY                       521050104       45    10000 SH       OTHER                 10000
D LAZARD FUNDS INCORPORATED                       52106N400    13969   846099 SH       OTHER                846099
D LEAP WIRELESS INTL INC                          521863100      215     4575 SH       OTHER                   200              4375
D LEAR CORP                                       521865105      142     7100 SH       SOLE                                     7100
D LEAR CORP                                       521865105        2      100 SH       SHARED                  100
D LEAR CORP                                       521865105     2599   129950 SH       OTHER                  5850            124100
D LEARNING TREE INTERNATIONAL                     522015106     1089    17775 SH       OTHER                  7275             10500
D LEE ENTERPRISES INCORPORATED                    523768109    10127   434374 SH       OTHER                 24490            409884
D LEE ENTERPRISES INCORPORATED                    523768208      369    18428 SH       OTHER                  4800             13628
D LEGGETT & PLATT INCORPORATED                    524660107       33     2000 SH       SOLE                   2000
D LEGGETT & PLATT INCORPORATED                    524660107     2647   160398 SH       OTHER                 53798            106600
D LEGG MASON INC                                  524901105     3485    69700 SH       OTHER                  4400             65300
D LEHMAN BROTHERS HOLDINGS INC                    524908100      840     8885 SH       SOLE                   8885
D LEHMAN BROTHERS HOLDINGS INC                    524908100     2349    24843 SH       OTHER                  9713             15130
D LENNAR CORPORATION                              526057104      713    35200 SH       OTHER                                   35200
D LEUCADIA NATIONAL CORPORATION                   527288104      401    17561 SH       OTHER                  5608             11953
D LEVEL 3 COMMUNICATIONS INCORPOR                 52729NAS9     3362  3720000 SH       OTHER
D LEVEL 3 COMMUNICATIONS INC                      52729N100     3076    34955 SH       OTHER                 29230              5725
D LEXINGTON CORPORATE PROPERTIES                  529043101       22     2000 SH       SOLE                   2000
D LEXINGTON CORPORATE PROPERTIES                  529043101      112    10000 SH       OTHER                                   10000
D LEXMARK INTERNATIONAL GROUP INC                 529771107      694    10325 SH       SOLE                  10325
D LEXMARK INTERNATIONAL GROUP INC                 529771107     2323    34538 SH       OTHER                 10128             24410
D LIBBEY INC                                      529898108      835    26000 SH       OTHER                  1750             24250
D LIBERATE TECHNOLOGIES                           530129105       18      600 SH       SOLE                    600
D LIBERATE TECHNOLOGIES                           530129105      298    10155 SH       OTHER                                   10155
D LIBERTY MEDIA                                   530715AG6       29    20000 SH       OTHER
D LIBERTY PROPERTY TRUST                          531172104      272    10500 SH       OTHER                                   10500
D LIBERTY STEIN ROE FUNDS                         53127P101      498    54479 SH       OTHER                 25185             29293
D LIBERTY STEIN ROE FUNDS                         53127P200      215    23748 SH       OTHER                 23748
D LIBERTY STEIN ROE FUNDS                         53127P309     1041   123831 SH       OTHER                123831
D LIBERTY STEIN ROE FUNDS                         53127Q109      637    58087 SH       OTHER                                   58087
D LIBERTY STEIN ROE FUNDS                         53127Q208      280    25359 SH       SHARED                25359
D LIBERTY STEIN ROE FUNDS                         53127Q208      347    31461 SH       OTHER                  6613             24848
D LIBERTY STEIN ROE                               53127Q406      498    57597 SH       OTHER                 26648             30950
D LIBERTY STEIN ROE FUNDS                         531273100     1109    98094 SH       OTHER                 35515             62579
D LIBERTY STEIN ROE FUNDS                         531273209      333     9549 SH       OTHER                  9549
D LIBERTY STEIN ROE FUNDS                         531273308      248     7597 SH       SOLE                   7597
D LIBERTY STEIN ROE FUNDS                         531273308      702    21512 SH       OTHER                 16149              5363
D LIBERTY STEIN ROE FUNDS                         531273407     2433    39716 SH       OTHER                  8268             31448
D LIBERTY STEIN ROE FUNDS                         531273506      377     9621 SH       SHARED                 9621
D LIFECORE BIOMEDICAL                             532187101      130    16500 SH       OTHER                  4500             12000
D LIGAND PHARMACEUTICALS INC                      53220K207      193    14667 SH       OTHER                 14667
D LIGHTBRIDGE INC                                 532226107      297    12441 SH       OTHER                                   12441
D ELI LILLY & COMPANY                             532457108     1057    10580 SH       SOLE                   9050              1530
D ELI LILLY & COMPANY                             532457108      950     9515 SH       SHARED                 9515
D ELI LILLY & COMPANY                             532457108    99980  1001047 SH       OTHER                815462            185585
D LILLY INDUSTRIAL INCORPORATED                   532491107      410    13650 SH       OTHER                  1940             11710
D LIMITED INCORPORATED                            532716107     3140   145222 SH       OTHER                 51464             93758
D LIMONEIRA CO                                    532746104      414    15916 SH       OTHER                 15916
D LINCARE HOLDINGS INCORPORATED                   532791100      300    12200 SH       OTHER                                   12200
D LINCOLN BANCORP IND                             532879103      516    51615 SH       OTHER                                   51615
D LINCOLN NATIONAL CORPORATION                    534187109      269     7440 SH       SOLE                   7040               400
D LINCOLN NATIONAL CORPORATION                    534187109      173     4800 SH       SHARED                 4800
D LINCOLN NATIONAL CORPORATION                    534187109     3561    98580 SH       OTHER                 45070             53510
D LINCOLN SNACKS CO                               534744107      179    87000 SH       OTHER                 48500             38500
D LINEAR TECHNOLOGY INCORPORATED                  535678106      109     1700 SH       SOLE                   1700
D LINEAR TECHNOLOGY INCORPORATED                  535678106     5364    83894 SH       OTHER                 50919             32975
D LINENS 'N THINGS INCORPORATED                   535679104      230     8475 SH       OTHER                                    8475
D LITTELFUSE INCORPORATED                         537008104       29      600 SH       SOLE                    600
D LITTELFUSE INCORPORATED                         537008104    13419   273850 SH       OTHER                165475            108375
D LITTLE SWITZERLAND                              537528101      104   256000 SH       OTHER                  8000            248000
D LITTON INDUSTRIES INCORPORATED                  538021106      999    23779 SH       OTHER                  7129             16650
D LIZ CLAIBORNE INCORPORATED                      539320101     3106    88100 SH       OTHER                  2400             85700
D LOCAL FINANCIAL CORPORATION                     539553107      325    39000 SH       OTHER                  5000             34000
D LOCKHEED MARTIN CORPORATION                     539830109     3595   144866 SH       OTHER                 70390             74476
D LOEWS CORPORATION                               540424AL2      208   250000 SH       OTHER
D LOEWS CORPORATION                               540424108     1666    27759 SH       OTHER                  7639             20120
D LOGOATHLETIC INCORPORATED                       540990108      500      102 SH       OTHER                                     102
D LONDON PACIFIC GROUP                            542073101      163    12500 SH       OTHER                  3700              8800
D LONE STAR TECHNOLOGIES                          542312103      264     5700 SH       OTHER                                    5700
D LONG DRUG STORES CORPORATION                    543162101      700    32195 SH       OTHER                  2995             29200
D LOOMIS SAYLES                                   543487607     2959   253551 SH       OTHER                                  253551
D LORD ABBETT DEVELOPING GROWTH                   544006505    25382  1418809 SH       OTHER               1418809
D LOUIS DREYFUS NATURAL GAS                       546011107     1187    37900 SH       OTHER                 20800             17100
D LOUISVILLE BEDDING CO                           546625104      442     4618 SH       OTHER                  4618
D LOWES COMPANIES INCORPORATED                    548661107     2018    49155 SH       SOLE                  47915              1240
D LOWES COMPANIES INCORPORATED                    548661107     5751   140044 SH       OTHER                 76845             63199
D LUBRIZOL CORPORATION                            549271104      281    13400 SH       OTHER                  5390              8010
D LUCENT TECHNOLOGIES INCORPORATE                 549463107     2718    45867 SH       SOLE                  44737              1130
D LUCENT TECHNOLOGIES INCORPORATE                 549463107      503     8486 SH       SHARED                 8422                64
D LUCENT TECHNOLOGIES INCORPORATE                 549463107    65270  1101606 SH       OTHER                692201            409405
D LUFKIN INDS INC                                 549764108      238    15000 SH       OTHER                                   15000
D LUXOTTICA GROUP S P A                           55068R202      261    21400 SH       OTHER                 21400
D LYCOS INC                                       550818108      205     3790 SH       OTHER                   800              2990
D LYONDELL CHEMICAL COMPANY                       552078107      957    57150 SH       OTHER                 14150             43000
D M & T BK CORP                                   55261F104     1203     2674 SH       OTHER                  2674
D MAF BANCORP INCORPORATED                        55261R108    23144  1272470 SH       OTHER                262702           1009768
D MBIA INCORPORATED                               55262C100       14      300 SH       SOLE                    300
D MBIA INCORPORATED                               55262C100     8673   179984 SH       OTHER                 94632             85352
D MBNA CORPORATION                                55262L100       55     2024 SH       SOLE                   2024
D MBNA CORPORATION                                55262L100    12892   475297 SH       OTHER                333506            141791
D MB FINANCIAL INCORPORATED                       55263D107     1913   156124 SH       SOLE                 156124
D MB FINANCIAL INCORPORATED                       55263D107      460    37574 SH       SHARED                37574
D MB FINANCIAL INCORPORATED                       55263D107     1274   104040 SH       OTHER                 76840             27200
D MCN CORPORATION                                 55267J100       33     1556 SH       SOLE                   1556
D MCN CORPORATION                                 55267J100      711    33279 SH       OTHER                 21551             11728
D MDU RESOURCE GROUP INCORPORATED                 552690109       24     1122 SH       SOLE                   1122
D MDU RESOURCE GROUP INCORPORATED                 552690109      254    11750 SH       OTHER                                   11750
D MEVC DRAPER FISHER                              55271E105      230    15500 SH       OTHER                 15500
D MFS                                             55272P208      357    29627 SH       OTHER                 29627
D MFS GROWTH OPPORTUNITIES                        552723108      199    10219 SH       OTHER                 10219
D MFS CHARTER INCOME TRUST                        552727109      160    18602 SH       OTHER                 18602
D MGC COMMUNICATIONS INC                          552763302      244     4075 SH       OTHER                                    4075
D MGIC INVESTMENT                                 552848103    15621   343329 SH       OTHER                155797            187532
D MGI PHARMA INC                                  552880106       58     2000 SH       SOLE                   2000
D MGI PHARMA INC                                  552880106      334    11625 SH       OTHER                 11625
D MAS POOLED TRUST FUND                           552913303    39809  3599333 SH       OTHER                                 3599333
D MAS FUNDS                                       552913436      927    28351 SH       OTHER                 28351
D MAS FUNDS                                       552913568     2730   246821 SH       SOLE                                   246821
D ADVISORY MORTGAGE                               552913592    13901  1445038 SH       OTHER                                 1445038
D M G M GRAND INC                                 552953101      249     7750 SH       OTHER                  7750
D MFS SERIES TRUST V                              552981300      203    14293 SH       SOLE                  14293
D MFS SERIES TRUST V                              552981300       45     3147 SH       OTHER                  3147
D MFS SERIES TRUST II                             552985103      286     4131 SH       OTHER                  4131
D MFS                                             552987109       22    21641 SH       OTHER                 21641
D MFS SER TR IV                                   552987505      337    33459 SH       SHARED                33459
D M I SCHOTTENSTEIN HOMES INC                     55305B101      173    11000 SH       OTHER                  1200              9800
D MKS INSTRS INC                                  55306N104      219     5600 SH       OTHER                                    5600
D MMC NETWORKS INCORPORATED                       55308N102      202     3775 SH       OTHER                                    3775
D MRV COMMUNICATIONS INCORPORATED                 553477100      942    14000 SH       OTHER                 14000
D MSC INDL DIRECT INC                             553530106      269    12850 SH       OTHER                   950             11900
D MACERICH CO                                     554382101      287    13000 SH       OTHER                                   13000
D MACROVISION CORPORATION                         555904101     1386    21690 SH       SOLE                  21690
D MACROVISION CORPORATION                         555904101      792    12383 SH       OTHER                  8103              4280
D MACROMEDIA INCORPORATED                         556100105      749     7750 SH       OTHER                  2450              5300
D MADECO S A                                      556304103      369    48400 SH       OTHER                                   48400
D MADE2MANAGE SYS INC                             556466100       84    15000 SH       OTHER                                   15000
D MADISON GAS & ELECTRIC COMPANY                  557497104       13      675 SH       SHARED                  675
D MADISON GAS & ELECTRIC COMPANY                  557497104     2169   109800 SH       OTHER                  9300            100500
D MAGNETEK INCORPORATED                           559424106      302    37800 SH       OTHER                 12900             24900
D HUNGARIAN TELECOMMUNICATIONS CO                 559776109      300     8717 SH       OTHER                  8371               346
D MALLINCKRODT INCORPORATED                       561232109     1739    40039 SH       OTHER                 10639             29400
D MANDARIN ORIENTAL INTL LTD                      562600205      326    49000 SH       OTHER                                   49000
D MANNING GREG AUCTIONS INC                       563823111             10000 SH       OTHER                                   10000
D MANPOWER INCORPORATED WISCONSIN                 56418H100     2107    65850 SH       OTHER                 13650             52200
D MAPICS INC                                      564910107       88    15300 SH       OTHER                                   15300
D MARCHFIRST INC                                  566244109       22     1200 SH       SOLE                   1200
D MARCHFIRST INC                                  566244109      431    23596 SH       OTHER                 14891              8705
D MARCONI PLC                                     566306106      404    31100 SH       OTHER                                   31100
D MARCUS CORPORATION                              566330106      257    21200 SH       OTHER                  8100             13100
D MARINE DRILLING CO., INC.                       568240204      683    24375 SH       OTHER                 12525             11850
D MARK IV INDUSTRIES                              570387AR1       37    40000 SH       OTHER
D MARKS & SPENCER LTD                             570697607      397    18835 SH       OTHER                   525             18310
D MARSH & MCLENNAN COMPANIES                      571748102       39      375 SH       SOLE                    375
D MARSH & MCLENNAN COMPANIES                      571748102       50      475 SH       SHARED                  475
D MARSH & MCLENNAN COMPANIES                      571748102    12461   119317 SH       OTHER                 80232             39085
D MARSHALL & ILSLEY CORPORATION                   571834100     2212    53296 SH       OTHER                 42745             10551
D MARRIOTT INTERNATIONAL                          571903202     3395    94130 SH       SOLE                  93630      500
D MARRIOTT INTERNATIONAL                          571903202      203     5640 SH       SHARED                 4340     1200      100
D MARRIOTT INTERNATIONAL                          571903202      126     3494 SH       OTHER                  2694               800
D MARTEK BIOSCIENCES CORP                         572901106      971    51800 SH       OTHER                 17800             34000
D MARTIN MARIETTA MATERIALS INC                   573284106     3784    93566 SH       OTHER                   713             92853
D MARVEL ENTERTAINMENT                            573913100        5    34576 SH       OTHER                  1000             33576
D MASCO CORPORATION                               574599106      108     6000 SH       SOLE                   6000
D MASCO CORPORATION                               574599106     3812   211058 SH       OTHER                 81656            129402
D MASSACHUSETTS INVESTORS                         575719109     1249    59316 SH       OTHER                 59316
D MASSACHUSETTS INVESTOR TRUST                    575736103     3191   152381 SH       OTHER                108372             44009
D MASTER SELECT                                   576417109      321    21072 SH       OTHER                 15574              5498
D MASTERS SELECT FUNDS                            576417208      341    17390 SH       OTHER                  7547              9842
D MATRIA HEALTHCARE INCORPORATED                  576817100     2201   479000 SH       OTHER                                  479000
D MATRIX CORP NEW JERSEY                          576829AA3       38    55000 SH       OTHER
D MATRIXONE INCORPORATED                          57685P304      447    11000 SH       OTHER                 11000
D MATSUSHITA ELECTRIC INDUSTRIAL                  576879209     1064     4140 SH       SOLE                   4140
D MATSUSHITA ELECTRIC INDUSTRIAL                  576879209      964     3751 SH       OTHER                  1526              2225
D MATTEL INCORPORATED                             577081102      122     9285 SH       SOLE                   9285
D MATTEL INCORPORATED                             577081102     8735   662311 SH       OTHER                135060            527251
D MATTSON TECHNOLOGY INCORPORATED                 577223100      391    12017 SH       OTHER                  1117             10900
D MAXIM INTEGRATED PRODUCTS INC                   57772K101     1117    16435 SH       OTHER                  6777              9658
D MAXYGEN INCORPORATED                            577776107      389     6850 SH       OTHER                   600              6250
D MAY DEPARTMENT STORES COMPANY(D                 577778103       40     1650 SH       SOLE                   1650
D MAY DEPARTMENT STORES COMPANY(D                 577778103     2744   114331 SH       OTHER                 66381             47950
D MAYTAG COMPANY                                  578592107      192     5200 SH       SOLE                   5200
D MAYTAG COMPANY                                  578592107      992    26912 SH       OTHER                  7083             19829
D MATTINGLY FOODS INC                             578990137     3500     9000 SH       OTHER                                    9000
D MCCLATCHY NEWSPAPERS INCORPORAT                 579489105     3681   111125 SH       OTHER                 18400             92725
D MCCORMICK & COMPANY INCORPORATE                 579780206       11      350 SH       SOLE                    350
D MCCORMICK & COMPANY INCORPORATE                 579780206     1726    53105 SH       OTHER                 18530             34575
D MCDERMOTT INTERNATIONAL INCORPO                 580037109      243    27550 SH       OTHER                 27550
D MCDONALDS CORPORATION                           580135101     1060    32193 SH       SOLE                  30813      400      980
D MCDONALDS CORPORATION                           580135101      180     5475 SH       SHARED                 5475
D MCDONALDS CORPORATION                           580135101    38220  1160375 SH       OTHER                652647            507728
D MCGRAW HILL COMPANIES INC.                      580645109     3270    60553 SH       OTHER                 25953             34600
D MCGUIRE ROAD INVESTMENTS                        580990109       18    18454 SH       OTHER                 18454
D MCKESSON HBOC INCORPORATED                      58155Q103     1000    47738 SH       OTHER                 44978              2760
D MCLEOD INCORPORATED                             582266102     3799   183650 SH       OTHER                 52280            131370
D MCWHORTER TECHNOLOGY INCORPORAT                 582803102      448    23026 SH       OTHER                 23026
D MEAD CORPORATION                                582834107       66     2604 SH       SOLE                   2604
D MEAD CORPORATION                                582834107      728    28835 SH       OTHER                 10723             18112
D MEADOWBROOK INS GROUP INC                       58319P108      660   128800 SH       OTHER                128800
D MEDAREX INCORPORATED                            583916101     1210    14325 SH       OTHER                                   14325
D MEDIA ONE GROUP INC                             58440J104      388     5822 SH       SOLE                   5372               450
D MEDIA ONE GROUP INC                             58440J104      104     1562 SH       SHARED                 1362               200
D MEDIA ONE GROUP INC                             58440J104     8260   123978 SH       OTHER                 81697             42281
D MEDIA GENERAL INCORPORATED                      584404107      826    17000 SH       OTHER                                   17000
D MEDIACOM COMMUNICATIONS CORP                    58446K105      337    21900 SH       OTHER                                   21900
D MEDICIS PHARMACEUTICAL CORP                     584690309      419     7350 SH       OTHER                  3500              3850
D MEDIMMUNE INCORPORATED                          584699102     1499    20255 SH       SOLE                  20255
D MEDIMMUNE INCORPORATED                          584699102    15198   205372 SH       OTHER                 25465            179907
D MEDQUIST INC                                    584949101     1522    44775 SH       OTHER                 37600              7175
D MEDIA COMMUNICATIONS PARTNERS                   584990105     1237   528743 SH       OTHER                528743
D MEDITRUST CORPORATION                           58501T306        5     1201 SH       SOLE                   1201
D MEDITRUST CORPORATION                           58501T306      228    60788 SH       OTHER                 51241              9547
D MEDTRONIC INCORPORATED                          585055106      289     5800 SH       SOLE                   2600     2100     1100
D MEDTRONIC INCORPORATED                          585055106      136     2725 SH       SHARED                 2725
D MEDTRONIC INCORPORATED                          585055106   129900  2607754 SH       OTHER               1850658            757096
D MELLON EB                                       585509A10    28050    19841 SH       OTHER                                   19841
D MELLON FINANCIAL CORPORATION                    58551A108       29      800 SH       SOLE                    800
D MELLON FINANCIAL CORPORATION                    58551A108      110     3025 SH       SHARED                 3025
D MELLON FINANCIAL CORPORATION                    58551A108    50409  1383420 SH       OTHER               1227523            155897
D MEN'S WEARHOUSE INCORPORATED                    587118100      379    16988 SH       OTHER                                   16988
D MENTOR CORPORATION MINNESOTA                    587188103      446    16400 SH       OTHER                 16400
D MENTOR GRAPHICS CORPORATION                     587200106      910    45800 SH       OTHER                                   45800
D MERCANTILE BANKSHARES CORPORATI                 587405101        4      150 SH       SHARED                  150
D MERCANTILE BANKSHARES CORPORATI                 587405101      274     9200 SH       OTHER                  8300               900
D MERCATOR SOFTWARE INC                           587587106      564     8200 SH       OTHER                  3400              4800
D MERCK AND COMPANY INCORPORATED                  589331107    18121   236485 SH       SOLE                 233195     1950     1340
D MERCK AND COMPANY INCORPORATED                  589331107      400     5218 SH       SHARED                 4168      450      600
D MERCK AND COMPANY INCORPORATED                  589331107   137119  1789481 SH       OTHER               1192414            597067
D MERCURY COMPUTER SYS INC                        589378108      268     8300 SH       OTHER                  7000              1300
D MERCURY INTERACTIVE CORPORATION                 589405109     6572    67925 SH       SOLE                  67925
D MERCURY INTERACTIVE CORPORATION                 589405109     2281    23577 SH       OTHER                  5672             17905
D MEREDITH CORPORATION                            589433101      668    19800 SH       OTHER                  7800             12000
D MERIDIAN RESOURCE CORP                          58977Q109       63    11000 SH       OTHER                                   11000
D MERISTAR HOSPITALITY CORPORATIO                 58984Y103      266    12657 SH       OTHER                  9017              3640
D MERIX CORPORATION                               590049102      207     4400 SH       OTHER                  2600              1800
D MERRILL LYNCH & COMPANY INCORPO                 590188108       18      160 SH       SOLE                                      160
D MERRILL LYNCH & COMPANY INCORPO                 590188108     6888    59895 SH       OTHER                 15242             44653
D MESSAGEMEDIA INC                                590787107       35    10000 SH       OTHER                 10000
D MESIROW CAPITAL PARTNERS VI                     590999108     1485  1397557 SH       OTHER               1397557
D MESIROW CAPITAL PARTNERS VII                    590999132      197   193552 SH       SOLE                 193552
D MESIROW CAPITAL PARTNERS VII                    590999132     1774  1741963 SH       OTHER               1741963
D METAL MANAGEMENT INCORPORATED                   591097100       22    19400 SH       OTHER                  6400             13000
D METHODE ELECTRS INC                             591520200      278     7200 SH       OTHER                  1600              5600
D METLIFE INCORPORATED                            59156R108     4590   217900 SH       OTHER                 81500            136400
D METRICOM INCORPORATED                           591596101       14      500 SH       SOLE                    500
D METRICOM INCORPORATED                           591596101      439    15750 SH       OTHER                 14900               850
D METRIS COMPANIES INCORPORATED                   591598107     2117    84275 SH       OTHER                 21200             63075
D METRO-GOLDWYN-MAYER INC NEW                     591610100     1058    40504 SH       OTHER                 39176              1328
D METROMEDIA FIBER NETWORK-A                      591689104     2745    69170 SH       OTHER                  9800             59370
D METROMEDIA INTL GROUP INC                       591695101      143    30000 SH       OTHER                 27000              3000
D METROPOLITAN FINL CORP OHIO                     59189N108      283    59540 SH       OTHER                                   59540
D METROBANCORP                                    591913108       65    11035 SH       OTHER                                   11035
D METTLER-TOLEDO INTL INC                         592688105      768    19200 SH       OTHER                                   19200
D MEXICO FUND INCORPORATED                        592835102      298    20000 SH       OTHER                  5000             15000
D METROPOLITAN WEST FUNDS                         592905509     5178   519353 SH       OTHER                519353
D METROPOLITAN WEST FUNDS                         592905608     4214   424374 SH       OTHER                424374
D MICHAELS STORES INCORPORATED                    594087108      298     6500 SH       OTHER                                    6500
D MICREL INCORPORATED                             594793101     1006    23150 SH       OTHER                                   23150
D MICROSOFT CORPORATION                           594918104    26165   327065 SH       SOLE                 321210     1440     4415
D MICROSOFT CORPORATION                           594918104     2408    30096 SH       SHARED                28596      700      800
D MICROSOFT CORPORATION                           594918104   218561  2732015 SH       OTHER               2042630            689385
D MICROCHIP TECHNOLOGY INCORPORAT                 595017104     1129    19385 SH       OTHER                  4050             15335
D MICROMUSE INCORPORATED                          595094103     2860    17280 SH       OTHER                                   17280
D MICRON TECHNOLOGY INCORPORATED                  595112103    22418   254563 SH       OTHER                 24013            230550
D MID ATLANTIC MEDICAL SERVICES I                 59523C107      224    16600 SH       OTHER                                   16600
D MIDAS INCORPORATED                              595626102     1318    65881 SH       OTHER                 50081             15800
D MIDCITY FINL CORP                               59563R105      302       42 SH       OTHER                    26                16
D MIDCOAST ENERGY RES INC                         59563W104      190    12075 SH       OTHER                                   12075
D S & P 400 MID-CAP                               595635103    18131   204295 SH       SOLE                 199845              4450
D S & P 400 MID-CAP                               595635103      268     3025 SH       SHARED                 3025
D S & P 400 MID-CAP                               595635103     2197    24760 SH       OTHER                 24560               200
D MIDLAND FUNDING CORP                            597520AB1      262   220000 SH       OTHER
D MIDWAY AIRLINES INCORPORATED                    598130AA0       22  3460000 SH       OTHER
D MIDWEST BANC HOLDINGS INCORPORA                 598251106      129     9312 SH       SOLE                   9312
D MIDWEST BANC HOLDINGS INCORPORA                 598251106     2221   160047 SH       OTHER                 48536            111511
D MILLENNIUM PHARMACEUTICALS                      599902103      168     1500 SH       SOLE                   1500
D MILLENNIUM PHARMACEUTICALS                      599902103     1382    12355 SH       OTHER                                   12355
D MILLENNIUM CHEMICALS INCORPORAT                 599903101      329    19325 SH       OTHER                 15125              4200
D MILLER HERMAN INCORPORATED                      600544100     2778   107370 SH       OTHER                 11125             96245
D MILLIPORE CORPORATION                           601073109     1451    19245 SH       OTHER                 14670              4575
D MINERALS TECHNOLOGIES INC                       603158106     1136    24700 SH       OTHER                  2500             22200
D MINIMED INCORPORATED                            60365K108     1380    11695 SH       SOLE                  11695
D MINIMED INCORPORATED                            60365K108      753     6380 SH       OTHER                  1060              5320
D MINNESOTA MUTUAL LIFE                           603990128     2377  1357579 SH       OTHER               1357579
D MINNESOTA MINING &                              604059105      392     4750 SH       SOLE                   4750
D MINNESOTA MINING &                              604059105      145     1760 SH       SHARED                 1760
D MINNESOTA MINING &                              604059105    28591   346560 SH       OTHER                159720            186840
D MINNESOTA POWER INCORPORATED                    604110106       14      800 SH       SHARED                  800
D MINNESOTA POWER INCORPORATED                    604110106      416    24036 SH       OTHER                 19936              4100
D MODIS PROFESSIONAL SERVICES INC                 607830106     2758   361700 SH       OTHER                                  361700
D MOWHAWK INDUSTRIES INCORPORATED                 608190104      869    39950 SH       OTHER                   750             39200
D MOLECULAR DEVICES CORP                          60851C107      331     4788 SH       OTHER                   988              3800
D MOLEX INCORPORATED                              608554101      258     5354 SH       SOLE                   5354
D MOLEX INCORPORATED                              608554101     3563    74045 SH       OTHER                 71688              2357
D MOLEX INCORPORATED                              608554200      358    10237 SH       SOLE                  10237
D MOLEX INCORPORATED                              608554200    17923   512094 SH       OTHER                364349            147745
D MONMOUTH REAL ESTATE INVT TR                    609720107       51    10000 SH       OTHER                 10000
D MONSANTO COMPANY                                611662305      629    13900 SH       OTHER                 13300               600
D MONTANA POWER COMPANY                           612085100       64     1800 SH       SOLE                   1800
D MONTANA POWER COMPANY                           612085100      988    27990 SH       OTHER                 13300             14690
D MONY GROUP INCORPORATED                         615337102        2       67 SH       SOLE                                       67
D MONY GROUP INCORPORATED                         615337102     3097    91600 SH       OTHER                 54300             37300
D MORGAN JP & COMPANY INCORPORATE                 616880100      369     3350 SH       SOLE                   3350
D MORGAN JP & COMPANY INCORPORATE                 616880100       91      830 SH       SHARED                  830
D MORGAN JP & COMPANY INCORPORATE                 616880100     8867    80518 SH       OTHER                 53038             27480
D MORGAN J P INSTITUTIONAL FUNDS                  616918702    18246  1394966 SH       OTHER                                 1394966
D MORGAN STANLEY DEAN WITTER                      616983102      104   103555 SH       OTHER                103555
D MORGAN GRENFELL                                 61735K836     2763   274059 SH       SOLE                                   274059
D MSDW INSTITUTIONAL                              61744J382      364     7917 SH       OTHER                                    7917
D MORGAN STANLEY DEAN WITTER                      61744J499      703    33300 SH       OTHER                 33300
D MORGAN STANLEY, DEAN WITTER,                    617446448    13179   158305 SH       SOLE                 155565     1025     1715
D MORGAN STANLEY, DEAN WITTER,                    617446448      603     7249 SH       SHARED                 6949      300
D MORGAN STANLEY, DEAN WITTER,                    617446448    30775   369670 SH       OTHER                242187            127483
D MORGAN STANLEY DEAN WITTER                      61745P205       45    11500 SH       OTHER                 11500
D MORGAN STANLEY POOLED                           617990106    62543   676407 SH       OTHER                                  676407
D MORRISON KNUDSEN CORP NEW                       61844A109      145    20000 SH       OTHER                                   20000
D MORRISON MGMT SPECIALISTS IN                    618459101      660    23430 SH       OTHER                  3850             19580
D MOTOROLA INCORPORATED                           620076109     1533    52740 SH       SOLE                  52740
D MOTOROLA INCORPORATED                           620076109      881    30300 SH       SHARED                29100              1200
D MOTOROLA INCORPORATED                           620076109    60902  2095518 SH       OTHER               1262250            833268
D MULTI-EMPLOYER PROPERTY TRUST                   625990130    23085     6535 SH       OTHER                  2566              3969
D FRAMLINGTON INTERNATIONAL                       626120844      402    25428 SH       OTHER                 25428
D MUNDER FUNDS INCORPORATED                       626124846      182     8803 SH       SOLE                   8803
D MUNDER FUNDS INCORPORATED                       626124846      140     6805 SH       OTHER                  6805
D MUNDER FDS TR                                   626129381      255    26016 SH       SOLE                  26016
D MUNDER FUNDS TRUST                              626129522      128    13052 SH       SOLE                  13052
D MUNDER FUNDS TRUST                              626129563      308    33899 SH       SOLE                  33899
D MUNDER FUNDS TRUST                              626129563       45     4914 SH       OTHER                  4914
D MUNDER FUNDS TRUST                              626129837      314    15486 SH       OTHER                 15486
D MUNICIPAL INSURANCE COMPANY                     626218101      186    13767 SH       OTHER                 13767
D MUNICIPAL INVESTMENT TRUST FUND                 62623C472       13   218731 SH       OTHER                218731
D MUNICIPAL MTG & EQUITY L L C                    62624B101      608    30191 SH       OTHER                 30191
D MUNIVEST FUND INCORPORATED                      626295109      377    49500 SH       SOLE                  49500
D MUNIVEST FUND INCORPORATED                      626295109      133    17507 SH       OTHER                 17507
D MURPHY OIL CORPORATION                          626717102      378     6363 SH       OTHER                  3663              2700
D FRAMLINGTON INTERNATIONAL GROWT                 626990113      231    15102 SH       OTHER                                   15102
D MUNDER MICRO-CAP EQUITY FUND                    626990139      206     8469 SH       OTHER                                    8469
D MUNDER FUNDS TRUST                              626990196      229    12953 SH       OTHER                                   12953
D MUTUAL SERIES FUND, INC.                        628380206      238    14738 SH       OTHER                 14738
D MUTUAL SERIES FUND, INC.                        628380404      470    22304 SH       OTHER                  9032             13272
D MUTUAL SERIES FUND INCORPORATED                 628380503      833    47714 SH       OTHER                                   47714
D MUTUAL SERIES FUND INCORPORATED                 628380834      560    32418 SH       OTHER                 32418
D MYLAN LABORATORIES INCORPORATED                 628530107       11      600 SH       SOLE                    600
D MYLAN LABORATORIES INCORPORATED                 628530107     6187   338997 SH       OTHER                312947             26050
D MYRIAD GENETICS INC                             62855J104      770     5200 SH       OTHER                                    5200
D NABI INCORPORATED                               628716102       73    10005 SH       OTHER                     5             10000
D NCR CORPORATION                                 62886E108       12      315 SH       SOLE                    271                44
D NCR CORPORATION                                 62886E108        4       90 SH       SHARED                   90
D NCR CORPORATION                                 62886E108     3213    82521 SH       OTHER                 55639             26882
D NCS HEALTHCARE INCORPORATED                     628874AC3        4    30000 SH       OTHER
D NABISCO GROUP HLDG CORP                         62952P102     2484    95756 SH       OTHER                 46659             49097
D NABISCO HLDGS CORP                              629526104      383     7300 SH       OTHER                  3100              4200
D NABORS INDUSTRIES INCORPORATED                  629568106     1645    39577 SH       OTHER                 15537             24040
D NAPRO BIOTHERAPEUTICS INC                       630795102      260    35000 SH       OTHER                                   35000
D NASDAQ 100 SHARES                               631100104    12742   136729 SH       SOLE                 134704      775     1250
D NASDAQ 100 SHARES                               631100104      333     3575 SH       SHARED                 3575
D NASDAQ 100 SHARES                               631100104     2159    23165 SH       OTHER                 17215              5950
D NATIONAL AUSTRALIA BANK                         632525309      595    21000 SH       OTHER                 21000
D NATIONAL AUSTRALIA BANK LIMITED                 632525408     1015    12269 SH       OTHER                  5769              6500
D NATIONAL CITY BANCORPORATION                    635312101     1031    71083 SH       OTHER                                   71083
D NATIONAL CITY CORPORATION                       635405103       25     1440 SH       SOLE                   1440
D NATIONAL CITY CORPORATION                       635405103       27     1600 SH       SHARED                                   1600
D NATIONAL CITY CORPORATION                       635405103     1250    73279 SH       OTHER                 34489             38790
D NATIONAL COMPUTER SYSTEMS                       635519101     3642    73950 SH       OTHER                 39450             34500
D NATIONAL DATA CORPORATION                       635621105        5      224 SH       SOLE                    224
D NATIONAL DATA CORPORATION                       635621105      198     8600 SH       OTHER                                    8600
D NATIONAL DENTEX CORPORATION                     63563H109      265    15700 SH       OTHER                                   15700
D NATIONAL-OILWELL INC                            637071101     1575    47900 SH       OTHER                  6400             41500
D NATIONAL POWER PLC                              637194408      496    19465 SH       OTHER                   155             19310
D NATIONAL SEMICONDUCTOR CORPORAT                 637640103      651    11463 SH       OTHER                   726             10737
D NATIONWIDE FINANCIAL SERVICES I                 638612101     1162    35350 SH       OTHER                 10000             25350
D NATIONWIDE HEALTH                               638620104        6      400 SH       SOLE                    400
D NATIONWIDE HEALTH                               638620104     1075    77100 SH       OTHER                 59100             18000
D NATURAL MICROSYSTEMS CORP                       638882100     2011    17881 SH       OTHER                 13781              4100
D NAUTICA ENTERPRISES INC                         639089101       10      914 SH       SOLE                    914
D NAUTICA ENTERPRISES INC                         639089101      137    12825 SH       OTHER                 12825
D NAVISTAR INTERNATIONAL CORPORAT                 63934E108      438    14092 SH       OTHER                   992             13100
D NAVIGANT CONSULTING INC                         63935N107      210    49500 SH       OTHER                 14500             35000
D NAVIGATION TECHNOLOGIES CORPORA                 639990134      482   567295 SH       OTHER                567295
D COPY OF STATEMENT INDICATING                    639991132     3623  1974561 SH       OTHER                498414           1476147
D COPY OF STATEMENT INDICATING                    639991140       49    46998 SH       OTHER                 12864             34134
D COPY OF STATEMENT INDICATING                    639991157      120   101008 SH       OTHER                 27327             73681
D COPY OF STATEMENT INDICATING                    639991165      144   115900 SH       OTHER                 18702             97198
D COPY OF STATEMENT INDICATING                    639991173      413   318727 SH       OTHER                 75546            243181
D COPY OF STATEMENT INDICATING                    639991181       49    44086 SH       OTHER                 17807             26280
D COPY OF STATEMENT INDICATING                    639992130     6697  5852243 SH       OTHER               3133757           2718486
D NEIMAN MARCUS GROUPS INC                        640204301      317    11420 SH       OTHER                  2018              9402
D NEOZYME CORP                                    64066D108        2   152600 SH       OTHER                  3500            149100
D NEUBERGER & BERMAN INCOME FUND                  640915203      172    18543 SH       OTHER                 18543
D NEUBERGER & BERMAN EQUITY TRUST                 640917209      196    13680 SH       OTHER                                   13680
D NETWORKS ASSOCIATES INCORPORATE                 640938AB2       25    70000 SH       OTHER
D NETWORKS ASSOCS INC                             640938106        9      450 SH       SOLE                    450
D NETWORKS ASSOCS INC                             640938106     1535    75356 SH       OTHER                 70256              5100
D NESTLE S A                                      641069406      653     6500 SH       SOLE                   6500
D NESTLE S A                                      641069406     7068    70404 SH       OTHER                 50207             20197
D NETRO CORPORATION                               64114R109      511     8900 SH       OTHER                                    8900
D NETWORK APPLIANCE INCORPORATED                  64120L104     9480   117765 SH       OTHER                 68365             49400
D NETWORK EQUIPMENT TECHNOLOGIES                  641208103      569    56500 SH       OTHER                 56500
D NEUBERGER & BERMAN EQUITY FUND                  641224100     1186    69151 SH       OTHER                                   69151
D NEUBERGER & BERMAN EQUITY FUND                  641224209       68     3608 SH       SOLE                   3608
D NEUBERGER & BERMAN EQUITY FUND                  641224209     9828   523613 SH       OTHER                                  523613
D NEW AMERICAN HIGH                               641876107      476   140900 SH       OTHER                 25900            115000
D COPY OF STATEMENT INDICATING                    641990130     1031   706597 SH       OTHER                383802            322795
D NEW CENTURY ENERGIES INCORPORAT                 64352U103       15      500 SH       SHARED                  500
D NEW CENTURY ENERGIES INCORPORAT                 64352U103      876    29190 SH       OTHER                 22612              6578
D NEW ENGLAND BUSINESS SERVICE                    643872104      320    19700 SH       OTHER                                   19700
D NEW ERA OF NETWORKS INC                         644312100      383     9000 SH       OTHER                                    9000
D NEW MEXICO & ARIZ LD CO                         647072107      274    56250 SH       OTHER                  5250             51000
D NEW PERSPECTIVE FUND INCORPORAT                 648018109      380    12297 SH       OTHER                 12297
D NEW YORK TIMES COMPANY                          650111107     1775    44948 SH       OTHER                 11948             33000
D NEWELL RUBBERMAID INCORPORATED                  651229106       29     1136 SH       SOLE                                     1136
D NEWELL RUBBERMAID INCORPORATED                  651229106     9177   356399 SH       OTHER                101927            254472
D NEWFIELD EXPLORATION CO.                        651290108      589    15052 SH       OTHER                  5502              9550
D NEWHALL LAND & FARMING                          651426108      653    24634 SH       OTHER                 22612              2022
D NEWMONT MINING CORPORATION (NEW                 651639106        2       93 SH       SOLE                     93
D NEWMONT MINING CORPORATION (NEW                 651639106        3      119 SH       SHARED                  119
D NEWMONT MINING CORPORATION (NEW                 651639106      271    12548 SH       OTHER                   359             12189
D NEWPORT CORPORATION                             651824104     1418    13210 SH       OTHER                  5810              7400
D NEWS CORPORATION LIMITED                        652487703     2675    49075 SH       OTHER                 26825             22250
D NEWSCORP LTD                                    652487802     4981   104856 SH       OTHER                 62868             41988
D NEXTEL COMMUNICATIONS INCORPORA                 65332V103      286     4666 SH       SOLE                   2650              2016
D NEXTEL COMMUNICATIONS INCORPORA                 65332V103     6444   105309 SH       OTHER                 36660             68649
D NEXTLINK COMMUNICATIONS                         65333H707     1704    44920 SH       OTHER                 17450             27470
D NIAGARA MOHAWK HLDGS INC                        653520106        6      400 SH       SHARED                  400
D NIAGARA MOHAWK HLDGS INC                        653520106      285    20454 SH       OTHER                  1754             18700
D NICHOLAS-APPLEGATE MUTUAL FUNDS                 653699306    18201   487563 SH       OTHER                                  487563
D NICHOLAS-APPLEGATE                              653699678      748    36619 SH       OTHER                 36619
D NICHOLAS-APPLEGATE MUTUAL FUNDS                 653699769     5891   239777 SH       OTHER                                  239777
D NICHOLAS-APPLEGATE MUTUAL FUNDS                 653700880      519     4065 SH       OTHER                                    4065
D NICOR INCORPORATED                              654086107      126     3853 SH       SOLE                   3853
D NICOR INCORPORATED                              654086107      788    24143 SH       OTHER                 17831              6312
D NIKE INCORPORATED                               654106103       15      380 SH       SOLE                    380
D NIKE INCORPORATED                               654106103      740    18581 SH       OTHER                  3581             15000
D NIKKO SECS LTD JAPAN                            654107200      248     2500 SH       OTHER                  2300               200
D NINTENDO LTD                                    654445303      553    25165 SH       OTHER                  1164             24001
D NIPPON TELEG & TEL CORP                         654624105     1133    16570 SH       SOLE                  16570
D NIPPON TELEG & TEL CORP                         654624105     1364    19945 SH       OTHER                  4045             15900
D NISOURCE INC                                    65473P105        4      200 SH       SOLE                    200
D NISOURCE INC                                    65473P105        7      400 SH       SHARED                  400
D NISOURCE INC                                    65473P105      732    39290 SH       OTHER                  5390             33900
D NOBEL INSURANCE LIMITED                         654885102        4    35020 SH       OTHER                 19000             16020
D NOBLE AFFILIATES INCORPORATED                   654894104     1820    48850 SH       OTHER                  7200             41650
D NOKIA CORP                                      654902204     8785   175922 SH       SOLE                 170746     1304     3872
D NOKIA CORP                                      654902204       10      200 SH       SHARED                  200
D NOKIA CORP                                      654902204    22307   446696 SH       OTHER                178052            268644
D NOBLE DRILLING CORPORATION                      655042109     1777    43150 SH       OTHER                  4700             38450
D NORAM ENERGY                                    655419AC3       44    50000 SH       OTHER
D NORDSTROM INCORPORATED                          655664100     1987    82350 SH       OTHER                 72250             10100
D NORFOLK SOUTHERN CORPORATION                    655844108       53     3560 SH       SOLE                   3560
D NORFOLK SOUTHERN CORPORATION                    655844108     1823   122575 SH       OTHER                 62750             59825
D NORSK HYDRO A S                                 656531605      408     9700 SH       OTHER                  9700
D NORSTAN INC                                     656535101      132    33000 SH       OTHER                                   33000
D NORTEL NETWORKS CORPORATION                     656568102      300     4399 SH       SOLE                   3799               600
D NORTEL NETWORKS CORPORATION                     656568102    65334   957272 SH       OTHER                594738            362534
D NORTH AMERICAN VACCINE INCORPOR                 657201109      344    50000 SH       OTHER                 50000
D NORTH BANCSHARES, INC.                          657467106      143    16500 SH       OTHER                 16500
D NORTH FORK BANCORPORATION                       659424105     2882   190530 SH       OTHER                 84200            106330
D NORTHEAST INVESTORS TRUST                       664210101      149    16306 SH       OTHER                                   16306
D NORTHEAST UTILITIES                             664397106        2      100 SH       SOLE                    100
D NORTHEAST UTILITIES                             664397106      213     9800 SH       OTHER                   500              9300
D NORTHERN BORDER PARTNERS,                       664785102     1561    57150 SH       OTHER                 52150              5000
D NORTHERN STATES POWER COMPANY                   665772109      156     7712 SH       SOLE                   7712
D NORTHERN STATES POWER COMPANY                   665772109      973    48182 SH       OTHER                 35652             12530
D NORTHERN TRUST CORPORATION                      665859104       39      600 SH       SOLE                    600
D NORTHERN TRUST CORPORATION                      665859104    43206   664066 SH       OTHER                417086            246980
D NORTHFIELD LABORATORIES INC                     666135108      560    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      931    14046 SH       OTHER                  3096             10950
D NORTHWEST NATURAL GAS COMPANY                   667655104        3      112 SH       SOLE                    112
D NORTHWEST NATURAL GAS COMPANY                   667655104      404    18075 SH       OTHER                   375             17700
D NORTHWESTERN CORP                               668074107        8      348 SH       SOLE                    348
D NORTHWESTERN CORP                               668074107      498    21550 SH       OTHER                 10900             10650
D NORTRAN PHARMACEUTICALS INCORPO                 66877L104      320   400000 SH       SOLE                 400000
D NOVA CORP/GEORGIA                               669784100      215     7700 SH       SOLE                    500              7200
D NOVA CORP/GEORGIA                               669784100     9780   350070 SH       OTHER                 71050            279020
D NOVARTIS AG                                     66987V109      640    15990 SH       SOLE                  15990
D NOVARTIS AG                                     66987V109     1650    41241 SH       OTHER                 16955             24286
D NOVELL INCORPORATED                             670006105     3444   372300 SH       OTHER                285300             87000
D NOVELLUS SYSTEMS INCORPORATED                   670008101      915    16180 SH       OTHER                  7400              8780
D NOVEN PHARMACEUTICALS INCORPORA                 670009109      292     9711 SH       OTHER                  2011              7700
D NOVO-NORDISK A/S                                670100205      846    10006 SH       OTHER                   706              9300
D NUCOR CORPORATION                               670346105     1823    54940 SH       OTHER                 13486             41454
D NUMAC ENERGY INC                                67052A103       50    15000 SH       OTHER                 15000
D NUVEEN INSURED PREMIUM                          6706D8104       73     6503 SH       SHARED                 6503
D NUVEEN INSURED PREMIUM                          6706D8104       52     4650 SH       OTHER                  4650
D NUVEEN INSD CA PREM INCM MUN                    67061U108      197    15000 SH       OTHER                                   15000
D NUVEEN INSURED QUALITY MUNI FUN                 67062N103        4      334 SH       SOLE                    334
D NUVEEN INSURED QUALITY MUNI FUN                 67062N103      141    10732 SH       OTHER                  7732              3000
D NUVEEN PERFORMANCE PLUS                         67062P108      295    24557 SH       OTHER                 24557
D NUVEEN                                          67062P504      200        8 SH       OTHER                     8
D NUVEEN PREMIUM INCOME                           67063W102      289    22000 SH       SOLE                  22000
D NUVEEN PREMIUM INCOME                           67063W102       66     5020 SH       OTHER                  5020
D NUVEEN FLAGSHIP MUN TR                          67065Q400      132    14624 SH       SOLE                  14624
D NUVEEN FLAGSHIP MUN TR                          67065Q400       45     5035 SH       OTHER                  5035
D NVIDIA CORP                                     67066G104      725    11400 SH       OTHER                  2000              9400
D OGE ENERGY CORPORATION                          670837103       14      750 SH       SOLE                    750
D OGE ENERGY CORPORATION                          670837103      219    11842 SH       OTHER                  6470              5372
D OM GROUP INCORPORATED                           670872100      807    18340 SH       OTHER                   140             18200
D NUVEEN MUNICIPAL VALUE                          670928100      284    33636 SH       OTHER                 17136             16500
D NUVEEN CALIFORNIA SELECT QUALIT                 670975101      174    12000 SH       OTHER                                   12000
D NUVEEN                                          670977305      250       10 SH       SOLE                                       10
D NUVEEN TAX EXEMPT UNIT TRUSTS                   67101A609      242     2411 SH       OTHER                  2411
D OAK ASSOCS FDS                                  671081206      257     3585 SH       OTHER                  3585
D RED OAK                                         671081305      597    16848 SH       OTHER                 16848
D OAK TECHNOLOGY INCORPORATED                     671802106      619    28684 SH       OTHER                  6134             22550
D OCCIDENTAL PETROLEUM CORPORATIO                 674599105       25     1207 SH       SOLE                   1207
D OCCIDENTAL PETROLEUM CORPORATIO                 674599105       51     2426 SH       SHARED                 2426
D OCCIDENTAL PETROLEUM CORPORATIO                 674599105     3468   164637 SH       OTHER                 59117            105520
D OCEAN ENERGY INCORPORATED                       67481E106     2795   197000 SH       OTHER                 12250            184750
D OCWEN FINANCIAL CORPORATION                     675746101      452    81250 SH       OTHER                 81250
D ODETICS INCORPORATED                            676065204      293    20185 SH       OTHER                                   20185
D OFFICEMAX INCORPORATED                          67622M108      350    70000 SH       OTHER                 10000             60000
D OFFICE DEPOT INCORPORATED                       676220106        1      225 SH       SOLE                    225
D OFFICE DEPOT INCORPORATED                       676220106     1560   249625 SH       OTHER                138075            111550
D OFFSHORE LOGISTICS INC                          676255102     2711   188600 SH       OTHER                 12600            176000
D OGDEN CORPORATION                               676346109      128    14168 SH       OTHER                   168             14000
D OIL DRI CORPORATION AMERICA                     677864100      193    21480 SH       OTHER                  5650             15830
D OLD KENT FINANCIAL CORPORATION                  679833103     4274   159772 SH       SOLE                 159772
D OLD KENT FINANCIAL CORPORATION                  679833103     2031    75931 SH       OTHER                 64156             11775
D OLD REPUBLIC INTERNATIONAL                      680223104     5711   346143 SH       OTHER                 96744            249399
D OLIN CORPORATION                                680665205      319    19350 SH       OTHER                   350             19000
D OMNICARE INC                                    681904108                 1 SH       SOLE                      1
D OMNICARE INC                                    681904108     2232   246300 SH       OTHER                  3000            243300
D OMNICOM GROUP INCORPORATED                      681919AG1       74    40000 SH       OTHER
D OMNICOM GROUP                                   681919106     1077    12096 SH       SOLE                  12096
D OMNICOM GROUP                                   681919106    21888   245761 SH       OTHER                176876             68885
D ON ASSIGNMENT INC                               682159108      474    15550 SH       OTHER                   800             14750
D ONE GROUP                                       68231N834      617    34311 SH       SOLE                  34311
D EMG OR ONE CALL MEDICAL CONVERT                 682317A10      125   125000 SH       SOLE
D OPPENHEIMER                                     68379A107      206     3507 SH       OTHER                  3507
D OPPENHEIMER QUEST VALUE FUND IN                 68380H109      581    32592 SH       OTHER                 32592
D OPPENHEIMER                                     68380M207      131    16913 SH       OTHER                 16913
D ORACLE CORPORATION                              68389X105    15032   178819 SH       SOLE                 174359      900     3560
D ORACLE CORPORATION                              68389X105      420     4995 SH       SHARED                 4795      200
D ORACLE CORPORATION                              68389X105    85292  1014619 SH       OTHER                447730            566889
D OPPENHEIMER GLOBAL FUND                         683924104      306     4455 SH       OTHER                  4455
D OPTI INCORPORATED                               683960108       30     5900 SH       SOLE                   5900
D OPTI INCORPORATED                               683960108       51    10000 SH       OTHER                 10000
D O REILLY AUTOMOTIVE INC                         686091109     1175    84650 SH       OTHER                 58800             25850
D ORIX CORP                                       686330101      461     6134 SH       OTHER                  5860               274
D ORTHOLOGIC CORP                                 68750J107      346    70000 SH       OTHER                 16000             54000
D ORTHODONTIC CTRS AMER INC                       68750P103      271    11975 SH       OTHER                                   11975
D OSMONICS INC                                    688350107      143    15500 SH       OTHER                  4500             11000
D OUTBACK STEAKHOUSE, INC.                        689899102      398    13600 SH       OTHER                  2600             11000
D OVERSEAS SHIPHOLDING GROUP                      690368105      394    16000 SH       OTHER                 16000
D OWENS CORNING                                   69073F103      148    15975 SH       OTHER                  4975             11000
D OWENS & MINOR INC HOLDING COMPA                 690732102      294    17100 SH       OTHER                 16700               400
D OWENS ILLINOIS INCORPORATED                     690768403      143    12200 SH       OTHER                  8900              3300
D OXFORD HEALTH PLANS INC.                        691471106      612    25700 SH       OTHER                  1000             24700
D OXFORD INDUSTRIES INCORPORATED                  691497309      506    28100 SH       OTHER                                   28100
D PBOC HOLDINGS INCORPORATED                      69316G108      578    68000 SH       OTHER                 30800             37200
D PC CONNECTION INCORPORATED                      69318J100      599    10500 SH       OTHER                                   10500
D PCD INCORPORATED                                69318P106       89    11450 SH       OTHER                                   11450
D P C B BANCORP, INC.                             693181109      413    11000 SH       OTHER                 11000
D P-COM INC                                       693262107       68    12000 SH       OTHER                 10000              2000
D PECO ENERGY COMPANY                             693304107      208     5155 SH       SOLE                   4955      200
D PECO ENERGY COMPANY                             693304107       63     1560 SH       SHARED                 1260      300
D PECO ENERGY COMPANY                             693304107      632    15689 SH       OTHER                  1205             14484
D PG & E CORPORATION                              69331C108        5      200 SH       SOLE                    200
D PG & E CORPORATION                              69331C108     2450    99505 SH       OTHER                 30165             69340
D PE CORP-PE BIOSYSTEMS GROUP                     69332S102    18324   278160 SH       OTHER                202480             75680
D PE CORP-CELERA GENOMICS GROUP                   69332S201      598     6500 SH       SOLE                   6500
D PE CORP-CELERA GENOMICS GROUP                   69332S201     4368    47482 SH       OTHER                 37401             10081
D P I C INVT TR                                   693365405     7419   168297 SH       OTHER                168297
D PICO HLDGS INC                                  693366205      753    53579 SH       OTHER                 40079             13500
D PIMCO FUNDS                                     693390304    15932  1624098 SH       OTHER               1624098
D PIMCO FUNDS                                     693390700    34273  3437584 SH       OTHER               2899372            538211
D PIMCO                                           693390726      101    10114 SH       OTHER                 10114
D PIMCO FUNDS PACIFIC INVESTMENT                  693390858    10639  1099032 SH       OTHER               1099032
D PLX TECHNOLOGY INC                              693417107      200     4825 SH       OTHER                                    4825
D PMC-SIERRA INCORPORATED                         69344F106     9040    50875 SH       SOLE                  50875
D PMC-SIERRA INCORPORATED                         69344F106       18      100 SH       SHARED                  100
D PMC-SIERRA INCORPORATED                         69344F106     9315    52424 SH       OTHER                 11334             41090
D PMI GROUP INC.                                  69344M101      154     3250 SH       SOLE                                     3250
D PMI GROUP INC.                                  69344M101     3145    66200 SH       OTHER                                   66200
D PNC FINANCIAL SERVICES GROUP IN                 693475105    10029   213958 SH       OTHER                 62819            151139
D PPG INDUSTRIES INCORPORATED                     693506107      318     7171 SH       SOLE                   7171
D PPG INDUSTRIES INCORPORATED                     693506107      830    18741 SH       OTHER                  7691             11050
D PPL CORPORATION                                 69351T106       26     1200 SH       SOLE                   1200
D PPL CORPORATION                                 69351T106      756    34448 SH       OTHER                  8148             26300
D PRI AUTOMATION INCORPORATED                     69357H106      922    14100 SH       OTHER                  2000             12100
D PACE HEALTH MGMT SYS INC                        693723108        9    30000 SH       OTHER                 30000
D PACHOLDER FUND INCORPORATED                     693742108      139    11244 SH       OTHER                  2000              9244
D PACER TECHNOLOGY                                693905101        9    10000 SH       OTHER                 10000
D PACIFIC CAP BANCORP NEW                         69404P101      211     8402 SH       OTHER                  8402
D PACIFIC CENTURY FINANCIAL CORP                  694058108       26     1800 SH       SOLE                   1800
D PACIFIC CENTURY FINANCIAL CORP                  694058108     2031   138862 SH       OTHER                 54094             84768
D PACIFIC GATEWAY PROPERTIES                      694330101     1710   143233 SH       OTHER                 23500            119733
D PACIFICARE HEALTH SYSTEMS-A                     695112102      632    10500 SH       OTHER                  1450              9050
D PACTIV CORP                                     695257105        1      106 SH       SHARED                  106
D PACTIV CORP                                     695257105      113    14353 SH       OTHER                  2911             11442
D PAGE INTL INC                                   695526103       26   175000 SH       OTHER                                  175000
D PAINE WEBBER GROUP INCORPORATED                 695629105      546    12009 SH       OTHER                  3609              8400
D PALL CORPORATION                                696429307       11      600 SH       SOLE                    600
D PALL CORPORATION                                696429307      353    19082 SH       OTHER                 16982              2100
D PANAMSAT CORPORATION                            697933109     1020    23350 SH       OTHER                  4100             19250
D PAPA JOHNS INTL INC                             698813102      224     9125 SH       OTHER                  5925              3200
D PARADYNE CORP                                   69911G107      299     9171 SH       OTHER                  9171
D PARALLEL PETE CORP                              699157103       29    10000 SH       OTHER                                   10000
D PARAMETRIC TECHNOLOGY CORP                      699173100        2      200 SH       SOLE                    200
D PARAMETRIC TECHNOLOGY CORP                      699173100     1080    98156 SH       OTHER                 81156             17000
D PARK PL ENTMT CORP                              700690100       61     5000 SH       SOLE                   5000
D PARK PL ENTMT CORP                              700690100      101     8300 SH       OTHER                  5000              3300
D PARKER DRILLING                                 701081AD3       82   100000 SH       OTHER
D PARKER HANNIFIN CORPORATION                     701094104      530    15480 SH       OTHER                  2300             13180
D PARKVALE FINANCIAL CORPORATION                  701492100      175    10140 SH       OTHER                                   10140
D PATTERSON DENTAL COMPANY                        703412106      584    11450 SH       OTHER                  6100              5350
D PAXAR CORP                                      704227107      518    43400 SH       OTHER                                   43400
D PAYCHEX INCORPORATED                            704326107        6      150 SH       SOLE                    150
D PAYCHEX INCORPORATED                            704326107    14830   353094 SH       OTHER                224395            128699
D PEAPOD INCORPORATED                             704718105       50    16500 SH       OTHER                                   16500
D PEARSON PLC                                     705015105      507    16155 SH       SOLE                  16155
D PEARSON PLC                                     705015105      384    12226 SH       OTHER                 11360               866
D PEGASUS COMMUNICATIONS CORP                     705904100      474     9670 SH       OTHER                                    9670
D PENN ENGINEERING & MANUFACTURIN                 707389300      234     6650 SH       OTHER                                    6650
D PENNACO ENERGY INC                              708046107     2014   123000 SH       OTHER                 83000             40000
D PENNEY J C INCORPORATED                         708160106       13      700 SH       SHARED                  700
D PENNEY J C INCORPORATED                         708160106      432    23413 SH       OTHER                 12413             11000
D PENTAIR INCORPORATED                            709631105     1095    30839 SH       OTHER                 22490              8349
D PENTECH INTL INC                                709635106       26    20000 SH       OTHER                                   20000
D PENTON MEDIA INCORPORATED                       709668107      926    26454 SH       OTHER                 14854             11600
D PEOPLES ENERGY CORPORATION                      711030106      540    16691 SH       SOLE                  16691
D PEOPLES ENERGY CORPORATION                      711030106       64     1983 SH       SHARED                 1983
D PEOPLES ENERGY CORPORATION                      711030106     1144    35326 SH       OTHER                 31745              3581
D PEOPLES SVGS BK TROY OHIO                       712289107       45    11100 SH       OTHER                 11100
D PEOPLESOFT INC                                  712713106      505    30141 SH       OTHER                  2041             28100
D PEP BOYS                                        713278AJ8      112   200000 SH       OTHER
D PEPSICO INCORPORATED                            713448108     1483    33383 SH       SOLE                  33383
D PEPSICO INCORPORATED                            713448108       34      775 SH       SHARED                  775
D PEPSICO INCORPORATED                            713448108    81357  1830797 SH       OTHER               1413399            417398
D PEREGRINE SYSTEMS INCORPORATED                  71366Q101      956    27552 SH       SOLE                  27552
D PEREGRINE SYSTEMS INCORPORATED                  71366Q101     1333    38424 SH       OTHER                 10349             28075
D PERFORMANCE FOOD GROUP COMPANY                  713755106      294     9200 SH       OTHER                                    9200
D PERICOM SEMICONDUCTOR CORP                      713831105      651     9575 SH       OTHER                                    9575
D PERKINELMER INC                                 714046109      354     5350 SH       OTHER                  1110              4240
D PEROT SYSTEMS CORPORATION                       714265105      222    20200 SH       OTHER                  1800             18400
D PERRIGO COMPANY                                 714290103      449    71050 SH       OTHER                 26250             44800
D PERSONNEL GROUP OF AMERCIA                      715338AE9       42   100000 SH       OTHER
D PETROBANK ENERGY & RESOURCES                    71645P106       79    65000 SH       OTHER                 65000
D PETROCHINA CO LTD                               71646E100      249    11900 SH       OTHER                 11900
D PETROBRAS BRASILEIRO                            71654V101      453    14980 SH       OTHER                   780             14200
D PETROLEUM GEO-SVCS A/S                          716597109      263    15400 SH       OTHER                 15400
D PETSMART INCORPORATED                           716768AB2     2864  4315000 SH       OTHER
D PETSMART INCORPORATED                           716768106      735   217700 SH       OTHER                                  217700
D PHARMACEUTICAL FORMULATION                      716932108        9    35049 SH       OTHER                    49             35000
D PFIZER INCORPORATED                             717081103    30917   644100 SH       SOLE                 634102     2300     7698
D PFIZER INCORPORATED                             717081103     3670    76465 SH       SHARED                75415     1050
D PFIZER INCORPORATED                             717081103   237855  4955308 SH       OTHER               3507057           1448251
D PHARMACEUTICAL PRODUCT DEVELOPM                 717124101      216    10300 SH       OTHER                  2400              7900
D PHARMACOPEIA INCORPORATED                       71713B104        9      200 SH       SOLE                    200
D PHARMACOPEIA INCORPORATED                       71713B104      223     4800 SH       OTHER                                    4800
D PHARMACIA CORPORATION                           71713U102      193     3738 SH       SOLE                   3738
D PHARMACIA CORPORATION                           71713U102    28964   560369 SH       OTHER                209411            350958
D PHILIP MORRIS COMPANIES                         718154107      445    16770 SH       SOLE                  15050              1720
D PHILIP MORRIS COMPANIES                         718154107      295    11115 SH       SHARED                 1515              9600
D PHILIP MORRIS COMPANIES                         718154107    11849   446061 SH       OTHER                251606            194455
D PHILLIPS PETROLEUM COMPANY                      718507106      306     6032 SH       SOLE                   5882               150
D PHILLIPS PETROLEUM COMPANY                      718507106       31      620 SH       SHARED                  620
D PHILLIPS PETROLEUM COMPANY                      718507106     3705    73094 SH       OTHER                 23909             49185
D PHOENIX SERIES FUND                             718900103     3130   100595 SH       OTHER                                  100595
D PHOENIX INVESTMENT PARTNERS                     719085AA0       33    25500 SH       OTHER
D PHONE COM INC                                   71920Q100      240     3690 SH       OTHER                  2600              1090
D PHONETEL TECHNOLOGIES INC                       71921H505        5    13300 SH       OTHER                 11400              1900
D PHOTON DYNAMICS INCORPORATED                    719364101      388     5200 SH       OTHER                                    5200
D PHYCOR INCORPORATED                             71940FAB6       22   100000 SH       OTHER
D PHYCOR INCORPORATED                             71940F100     1673  2676500 SH       OTHER                874500           1802000
D PHOTRONICS LABORATORIES INCORPO                 719405102      278     9800 SH       OTHER                  6100              3700
D PIEDMONT NATURAL GAS COMPANY                    720186105      258     9725 SH       OTHER                  6525              3200
D PIER 1 IMPORTS INCORPORATED                     720279108      571    58529 SH       OTHER                 14474             44055
D PINNACLE HOLDINGS INCORPORATED                  72346N101     1881    34835 SH       OTHER                 11200             23635
D PINNACLE WEST CAPITAL CORPORATI                 723484101        2       67 SH       SOLE                     67
D PINNACLE WEST CAPITAL CORPORATI                 723484101       17      500 SH       SHARED                  300               200
D PINNACLE WEST CAPITAL CORPORATI                 723484101      451    13300 SH       OTHER                  4100              9200
D PIONEER STANDARD                                723877106     1068    72400 SH       OTHER                  9500             62900
D PIONEER GROWTH SHS INC                          723907101     3272   164431 SH       OTHER                164431
D PITNEY BOWES INCORPORATED                       724479100       96     2400 SH       SOLE                   2400
D PITNEY BOWES INCORPORATED                       724479100       28      700 SH       SHARED                  700
D PITNEY BOWES INCORPORATED                       724479100     4639   115984 SH       OTHER                 74303             41681
D PITTSTON BRINK'S GROUP                          725701106     1121    81932 SH       OTHER                 22423             59509
D PIXAR INCORPORATED                              725811103      314     8900 SH       OTHER                  8900
D PLAINS RESOURCES INCORPORATED                   726540503     1885   117800 SH       OTHER                 97800             20000
D PLANISOL INC                                    727052102             35800 SH       OTHER                                   35800
D PLANTRONICS INCORPORATED                        727493108     5850    50648 SH       OTHER                 40998              9650
D PLATINUM ENTMT INC                              727909103        5    12000 SH       OTHER                 12000
D PLUM CREEK TIMBER COMPANY INC                   729251108        3      100 SH       SOLE                    100
D PLUM CREEK TIMBER COMPANY INC                   729251108     8746   336400 SH       OTHER                209900            126500
D POHANG IRON & STEEL                             730450103      503    20955 SH       OTHER                  5260             15695
D POLARIS INDS INC                                731068102     2746    85800 SH       OTHER                  5500             80300
D R L POLK & COMPANY                              73111E102      512     2800 SH       OTHER                  2800
D POLYCOM INC                                     73172K104    11195   118975 SH       OTHER                 40200             78775
D POLYMEDICA INDS INC                             731738100      744    17200 SH       OTHER                  5800             11400
D POLYPHASE CORP                                  731791109       19    25000 SH       OTHER                                   25000
D POPE & TALBOT INCORPORATED                      732827100      232    14500 SH       OTHER                   600             13900
D PORTAL SOFTWARE INCORPORATED                    736126103     1624    25430 SH       OTHER                                   25430
D PORTUGAL TELECOM S A                            737273102     1051    93380 SH       SOLE                  93380
D PORTUGAL TELECOM S A                            737273102     1085    96455 SH       OTHER                   855             95600
D POWERGEN PLC                                    738905405      477    13636 SH       OTHER                  4216              9420
D POWER-ONE INCORPORATED                          739308104     2756    24192 SH       OTHER                  1742             22450
D POWERCERV CORP                                  73931P105       15    10000 SH       OTHER                                   10000
D POWERTEL INCORPORATED                           73936C109     1700    23960 SH       OTHER                  4905             19055
D POWERWAVE TECHNOLOGIES INC                      739363109      746    16950 SH       OTHER                  8350              8600
D PRAXAIR INCORPORATED                            74005P104     3761   100451 SH       OTHER                 21921             78530
D PREFORMED LINE PRODS CO                         740444104      255    17600 SH       OTHER                 17600
D PREMIER FARNELL PLC                             74050U107      537    37359 SH       OTHER                 11694             25665
D PREMIER FARNELL PLC                             74050U206      439    22517 SH       OTHER                  3953             18564
D PREMIER PARKS INCORPORATED                      740540208     3460   152109 SH       OTHER                112934             39175
D PREMIER PARKS INCORPORATED                      740540307      445    10000 SH       OTHER                  8400              1600
D PRENTISS PPTYS TR                               740706106       14      600 SH       SHARED                                    600
D PRENTISS PPTYS TR                               740706106     2818   117400 SH       OTHER                                  117400
D PREMIUMWEAR INCORPROATED                        740909106      374    27961 SH       OTHER                                   27961
D PRIDEX WILSHIRE                                 740990130     1439    56763 SH       OTHER                 56763
D PRESSTEK INCORPORATED                           741113104     1958   120000 SH       SOLE                 120000
D PRICE COMMUNICATIONS CORP                       741437305      328    13902 SH       OTHER                                   13902
D PRICE T ROWE & ASSOCIATES                       741477103      625    14700 SH       OTHER                  5100              9600
D PRICELINE COM INC                               741503106      326     8590 SH       OTHER                  1800              6790
D PRIMACOM AG                                     74154N108      836    35200 SH       OTHER                 34800               400
D PRIME RETAIL INC                                741570303      126    18000 SH       OTHER                 18000
D PRIME GROUP REALTY TRUST                        74158J103      284    18700 SH       OTHER                 16700              2000
D PRIMA ENERGY CORP                               741901201      642    12000 SH       OTHER                 12000
D PRIMUS TELECOMM GROUP INC                       741929103      254    10200 SH       OTHER                  6435              3765
D PRIDE INTERNATIONAL INCORPORATE                 741932107      433    17500 SH       OTHER                  1000             16500
D PRISON RLTY TRUST INC                           74264N105      199    65000 SH       OTHER                  3000             62000
D PRIORITY HEALTHCARE CORPORATION                 74264T102      589     7922 SH       OTHER                                    7922
D PROCTER & GAMBLE COMPANY                        742718109     1111    19402 SH       SOLE                  17856      700      846
D PROCTER & GAMBLE COMPANY                        742718109     2971    51900 SH       SHARED                51500               400
D PROCTER & GAMBLE COMPANY                        742718109    43556   760796 SH       OTHER                535030            225766
D PRIVATEBANCORP INCORPORATED                     742962103      676    45800 SH       OTHER                 35600             10200
D PRINCIPAL FINANCIAL GROUP                       742990138     1568    45428 SH       OTHER                 45428
D PROGRESS SOFTWARE CORPORATION                   743312100     2461   137200 SH       OTHER                 17200            120000
D PROGRESSIVE CORPORATION OF OHIO                 743315103     2671    36092 SH       OTHER                 23717             12375
D PROLOGIS TR                                     743410102     6138   288006 SH       OTHER                205608             82398
D PROLOGIS TR                                     743410300     6716   246450 SH       OTHER                120450            126000
D PROTECTIVE LIFE CORPORATION                     743674103     8453   317495 SH       OTHER                187373            130122
D PROTEIN DESIGN LABS INC                         74369L103      660     4000 SH       SOLE                   4000
D PROTEIN DESIGN LABS INC                         74369L103     4652    28200 SH       OTHER                                   28200
D PROVIDENT FINANCIAL GROUP                       743866105     2171    91187 SH       OTHER                                   91187
D PROVIDIAN FINANCIAL CORPORATION                 74406A102     7726    85840 SH       OTHER                 52060             33780
D PROXICOM INC                                    744282104      282     5900 SH       OTHER                                    5900
D PROXIM INCORPORATED                             744284100      218     2200 SH       OTHER                                    2200
D PRUDENTIAL CORP PLC                             74435K204      992    34275 SH       SOLE                  34275
D PRUDENTIAL CORP PLC                             74435K204      153     5278 SH       OTHER                  5278
D PSINET INCORPORATED                             74437C101     1289    51320 SH       OTHER                 13300             38020
D PSINET INCORPORATED                             74437C309      298     6100 SH       OTHER                  5100              1000
D PUBLIC SERVICE COMPANY OF                       744499104      394    25500 SH       OTHER                                   25500
D PUBLIC SERVICE ENTERPRISE                       744573106       72     2066 SH       SOLE                   1066              1000
D PUBLIC SERVICE ENTERPRISE                       744573106     1207    34864 SH       OTHER                  7297             27567
D PUBLIC STORAGE INCORPORATED                     74460D109       14      600 SH       SOLE                    600
D PUBLIC STORAGE INCORPORATED                     74460D109     2015    85977 SH       OTHER                 73467             12510
D PUERTO RICAN CEMENT COMPANY INC                 745075101     2181    78400 SH       OTHER                                   78400
D PUGET SOUND ENERGY INC                          745332106       27     1275 SH       SOLE                   1275
D PUGET SOUND ENERGY INC                          745332106      294    13794 SH       OTHER                  8984              4810
D PULTE CORP                                      745867101      534    24700 SH       OTHER                                   24700
D PUTNAM HIGH YIELD ADVANTAGE FUN                 74678J104      126    17281 SH       SOLE                  17281
D PUTNAM MASS TAX EX INCOME FD                    74683H309      101    11271 SH       OTHER                 11271
D PUTNAM TAX EXEMPT INCOME FUND                   746870104      390    46187 SH       SHARED                46187
D PUTNAM NEW OPPORTUNITIES FUND                   746916204      117     1290 SH       SOLE                   1290
D PUTNAM NEW OPPORTUNITIES FUND                   746916204       98     1080 SH       OTHER                  1080
D QLT INC                                         746927102      476     6155 SH       OTHER                  1362              4793
D PUTNAM INTERNATIONAL GROWTH FUN                 746932201       30     1021 SH       SOLE                   1021
D PUTNAM INTERNATIONAL GROWTH FUN                 746932201      231     7899 SH       OTHER                  7899
D PUTNAM VISTA FUND INCORPORATED                  747011203       33     1767 SH       SOLE                   1767
D PUTNAM VISTA FUND INCORPORATED                  747011203      168     8875 SH       SHARED                 8875
D PUTNAM VOYAGER FUND INCORPORATE                 747012102    23892   764795 SH       OTHER                182008            582787
D PUTNAM VOYAGER FUND INCORPORATE                 747012201       82     2857 SH       SOLE                   2857
D PUTNAM VOYAGER FUND INCORPORATE                 747012201      180     6277 SH       SHARED                 6277
D PUTNAM VOYAGER FUND INCORPORATE                 747012201      169     5907 SH       OTHER                  5907
D QRS MUSIC TECHNOLOGIES INC                      74726W107       34    22400 SH       OTHER                                   22400
D QLOGIC CORPORATION                              747277101     1226    18565 SH       SOLE                  18565
D QLOGIC CORPORATION                              747277101     1062    16080 SH       OTHER                 11010              5070
D QUADRAMED CORPORATION                           74730WAC5       13    40000 SH       OTHER
D QUAKER OATS COMPANY                             747402105     2712    36100 SH       SOLE                  36100
D QUAKER OATS COMPANY                             747402105     4557    60663 SH       OTHER                 23353             37310
D QUALCOMM INCORPORATED                           747525103     7383   123052 SH       SOLE                 121842      325      885
D QUALCOMM INCORPORATED                           747525103      137     2280 SH       SHARED                 2180      100
D QUALCOMM INCORPORATED                           747525103     8939   148986 SH       OTHER                 85433             63553
D QUANTA SVCS INC                                 74762E102     1480    26900 SH       OTHER                                   26900
D QUANTUM CORP                                    747906204      592    61073 SH       OTHER                 28750             32323
D QUEST DIAGNOSTICS INCORPORATED                  74834L100      222     2969 SH       OTHER                   268              2701
D QUICKLOGIC CORPORATION                          74837P108      202     9100 SH       OTHER                  6500              2600
D QUIDEL CORP                                     74838J101      735   139970 SH       OTHER                139970
D QUINTILES TRANSNATIONAL CORPORA                 748767100        1      100 SH       SHARED                  100
D QUINTILES TRANSNATIONAL CORPORA                 748767100      369    26100 SH       OTHER                                   26100
D QUORUM HEALTH GROUP INC                         749084109      337    32650 SH       OTHER                  3445             29205
D R & B FALCON CORPORATION                        74912E101     2003    84990 SH       OTHER                 11050             73940
D QWEST COMMUNICATIONS INTERNATIO                 749121109    13968   281115 SH       SOLE                 278780     1500      835
D QWEST COMMUNICATIONS INTERNATIO                 749121109      277     5570 SH       SHARED                 5170      400
D QWEST COMMUNICATIONS INTERNATIO                 749121109     4924    99091 SH       OTHER                 41566             57525
D RBB BOSTON PARTNERS                             749255436      423    39085 SH       OTHER                 39085
D RBB FUND INCORPORATED                           749255717    13326   907771 SH       OTHER                                  907771
D RCM TECHNOLOGIES INC                            749360400      133    18000 SH       OTHER                  3000             15000
D RCN CORPORATION                                 749361101     1070    42165 SH       OTHER                 23365             18800
D RFS HOTEL INVESTORS INCORPORATE                 74955J108      462    39350 SH       OTHER                 28250             11100
D R H DONNELLEY CORPORATION                       74955W307        3      160 SH       SOLE                    160
D R H DONNELLEY CORPORATION                       74955W307        1       30 SH       SHARED                   30
D R H DONNELLEY CORPORATION                       74955W307     4466   230524 SH       OTHER                114844            115680
D RLI CORPORATION                                 749607107      513    14750 SH       OTHER                 12950              1800
D RPM INCORPORATED OHIO                           749685103        7      702 SH       SOLE                    702
D RPM INCORPORATED OHIO                           749685103      474    46781 SH       OTHER                 17281             29500
D RF MICRO DEVICES INCORPORATED                   749941100       32      360 SH       SOLE                     60               300
D RF MICRO DEVICES INCORPORATED                   749941100      757     8635 SH       OTHER                   100              8535
D R N W INC                                       749990107      200      200 SH       SOLE                    200
D RADIAN GROUP INC                                750236101      279     5400 SH       OTHER                  1825              3575
D RADIANCE MED SYS INC                            750241101     2597   305559 SH       OTHER                 15000            290559
D RADIO ONE INCORPORATED                          75040P108      618    20920 SH       SOLE                  20920
D RADIO ONE INCORPORATED                          75040P108      309    10465 SH       OTHER                   820              9645
D RADIO ONE INC                                   75040P405      891    40400 SH       SOLE                  40400
D RADIO ONE INC                                   75040P405      462    20930 SH       OTHER                  1640             19290
D RADIOSHACK CORP                                 750438103     2030    42845 SH       OTHER                 15355             27490
D RADISYS CORP                                    750459109      780    13750 SH       OTHER                 10000              3750
D RAINBOW TECHNOLOGIES INC                        750862104     4595    94500 SH       OTHER                  5000             89500
D RAMBUS INCORPORATED                             750917106      876     8500 SH       OTHER                                    8500
D RALCORP HOLDINGS INCORPORATED                   751028101      291    23784 SH       OTHER                 14784              9000
D RALSTON PURINA GROUP                            751277302       14      690 SH       SOLE                                      690
D RALSTON PURINA GROUP                            751277302       48     2400 SH       SHARED                 2400
D RALSTON PURINA GROUP                            751277302     2917   146293 SH       OTHER                 35179            111114
D RANGER OIL LIMITED                              752805101      264    48000 SH       OTHER                 48000
D RATIONAL SOFTWARE CORPORATION                   75409P202      865     9310 SH       OTHER                  4200              5110
D RAYMOND JAMES FINANCIAL INCORPO                 754730109      558    24800 SH       OTHER                 14800             10000
D RAYONIER INCORPORATED                           754907103       10      286 SH       SOLE                    286
D RAYONIER INCORPORATED                           754907103      751    20940 SH       OTHER                  7195             13745
D RAYOVAC CORP                                    755081106      803    35875 SH       OTHER                 13325             22550
D RAYTHEON CO                                     755111309        6      290 SH       SOLE                    290
D RAYTHEON CO                                     755111309                14 SH       SHARED                   14
D RAYTHEON CO                                     755111309      723    37187 SH       OTHER                   687             36500
D RAYTHEON COMPANY                                755111408       54     2800 SH       SOLE                   2800
D RAYTHEON COMPANY                                755111408      710    36867 SH       OTHER                  1757             35110
D READERS DIGEST ASSOCIATION                      755267101     5978   150400 SH       OTHER                140400             10000
D READING ENTERTAINMENT INCORPORA                 755358108      105    18188 SH       OTHER                 18188
D RECKSON ASSOC REALTY                            75621K205     3710   167200 SH       OTHER                 78000             89200
D RECOTON CORPORATION                             756268108      171    16400 SH       OTHER                  2000             14400
D REDBACK NETWORKS INC                            757209101      912     5090 SH       OTHER                                    5090
D REEBOK INTERNATIONAL LIMITED                    758110100      178    11190 SH       OTHER                   390             10800
D REGAL BELOIT CORPORATION                        758750103     1061    66030 SH       OTHER                  6745             59285
D REGIS CORPORATION/MINNESOTA                     758932107      498    39825 SH       OTHER                 16400             23425
D REINSURANCE GROUP OF AMERICA                    759351109      339    11255 SH       OTHER                  5255              6000
D RELIANT ENERGY INC                              75952J108       78     2649 SH       SOLE                   1049              1600
D RELIANT ENERGY INC                              75952J108        9      300 SH       SHARED                  300
D RELIANT ENERGY INC                              75952J108     3839   129842 SH       OTHER                 26292            103550
D RELIASTAR FINANCIAL CORPORATION                 75952U103       16      300 SH       SHARED                                    300
D RELIASTAR FINANCIAL CORPORATION                 75952U103      923    17600 SH       OTHER                   304             17296
D REMEC INC                                       759543101      731    17466 SH       OTHER                  7916              9550
D REMINGTON OIL & GAS CORP                        759594302      185    24700 SH       OTHER                 14700             10000
D RENAL CARE GROUP INCORPORATED                   759930100      237     9700 SH       OTHER                                    9700
D RENT WAY INC                                    76009U104      208     7125 SH       OTHER                                    7125
D REPSOL SA                                       76026T205     1094    55200 SH       OTHER                 11700             43500
D REPUBLIC SVCS INC                               760759100       22     1400 SH       SOLE                                     1400
D REPUBLIC SVCS INC                               760759100     8054   503400 SH       OTHER                 50975            452425
D RES-CARE INCORPORATED                           760943AC4      278   605000 SH       OTHER
D RESEARCH IN MOTION LTD                          760975102      287     6340 SH       OTHER                                    6340
D RESTORATION HARDWARE INC DEL                    760981100       67    12100 SH       OTHER                 12100
D RESMED INCORPORATED                             761152107     2564    95842 SH       OTHER                 88442              7400
D REUTERS GROUP PLC                               76132M102     8747    87526 SH       OTHER                 79080              8446
D REYNOLDS & REYNOLDS COMPANY                     761695105      164     9000 SH       SOLE                                     9000
D REYNOLDS & REYNOLDS COMPANY                     761695105     4031   220900 SH       OTHER                  3400            217500
D RHEOLOGICAL SYSTEM INCORPORATED                 762071207             25000 SH       OTHER                                   25000
D RHODIA SA                                       762397107      297    17314 SH       OTHER                  1447             15867
D RIBOZYME PHARMACEUTICALS INC                    762567105      852    33000 SH       OTHER                                   33000
D RIO TINTO PLC                                   767204100      715    10956 SH       OTHER                  4556              6400
D RITE AID CORPORATION                            767754AL8      377   630000 SH       OTHER
D RIVIERA TOOL CO                                 769648106      352   102273 SH       OTHER                                  102273
D ROADWAY EXPRESS INC DEL                         769742107      234     9980 SH       OTHER                  5180              4800
D ROBBINS & MYERS INC                             770196103      682    29900 SH       OTHER                                   29900
D ROBERT HALF INTERNATIONAL                       770323103    10873   381498 SH       OTHER                 44398            337100
D ROBOTIC VISION SYSTEM INCORPORA                 771074101      444    24649 SH       OTHER                  8650             15999
D ROCHE HOLDINGS LIMITED                          771195104      487     4990 SH       SOLE                   4990
D ROCHE HOLDINGS LIMITED                          771195104     1733    17745 SH       OTHER                 15545              2200
D ROCHE HOLDINGS INCORPORATEDQ                    771196AC6       52   100000 SH       OTHER
D ROCKFELLER CENTER PROPERTIES TR                 773102AA6     1953  2325000 SH       OTHER
D ROCKWELL INTERNATIONAL CORPORAT                 773903109       24      750 SH       SOLE                    750
D ROCKWELL INTERNATIONAL CORPORAT                 773903109       30      950 SH       SHARED                  950
D ROCKWELL INTERNATIONAL CORPORAT                 773903109     3594   114107 SH       OTHER                 13107            101000
D ROHM & HAAS COMPANY                             775371107       14      400 SH       SOLE                    400
D ROHM & HAAS COMPANY                             775371107     2948    85457 SH       OTHER                  2237             83220
D ROSS STORES INCORPORATED                        778296103      287    16830 SH       OTHER                  1600             15230
D ROUSE COMPANY                                   779273101     2033    82155 SH       OTHER                  3460             78695
D ROWAN COMPANIES INCORPORATED                    779382100      478    15735 SH       OTHER                  1275             14460
D ROWE T PRICE EQUITY INCOME FUND                 779547108      375    16194 SH       OTHER                 16194
D ROWE T PRICE                                    779556109       30      698 SH       SOLE                    698
D ROWE T PRICE                                    779556109       44     1032 SH       SHARED                 1032
D ROWE T PRICE                                    779556109     7661   180510 SH       OTHER                 97567             82943
D ROWE T PRICE                                    77956H203       75     4125 SH       SOLE                   4125
D ROWE T PRICE                                    77956H203     1779    97353 SH       OTHER                 74890             22463
D ROWE T PRICE                                    779562107      537    17634 SH       SOLE                  17634
D ROWE T PRICE                                    779562107       55     1800 SH       SHARED                 1800
D ROWE T PRICE                                    779562107      540    17738 SH       OTHER                 17738
D ROWE T PRICE SCIENCE & TECHNOLO                 77957M102      234     3768 SH       SOLE                   3768
D ROWE T PRICE SCIENCE & TECHNOLO                 77957M102       98     1578 SH       SHARED                 1578
D ROWE T PRICE SCIENCE & TECHNOLO                 77957M102      994    16040 SH       OTHER                 16040
D T ROWE PRICE SMALL CAP STOCK                    779572106     2008    79076 SH       OTHER                 79076
D ROYAL BANK OF SCOTLAND                          780097887      454    22000 SH       OTHER                  6000             16000
D ROYAL DUTCH PETROLEUM COMPANY                   780257804      788    12805 SH       SOLE                  12805
D ROYAL DUTCH PETROLEUM COMPANY                   780257804       49      790 SH       SHARED                  790
D ROYAL DUTCH PETROLEUM COMPANY                   780257804    20844   338582 SH       OTHER                207335            131247
D ROYAL KPN NV                                    780641205      243     5401 SH       OTHER                  4948               453
D ROYCE FUND                                      780905840      237    30517 SH       SOLE                  30517
D RREEF                                           781075106      234    20405 SH       OTHER                                   20405
D RUBY TUESDAY INCORPORATED                       781182100      201    16000 SH       OTHER                                   16000
D RUDDICK CORP                                    781258108      150    12700 SH       OTHER                                   12700
D RURAL/METRO CORPORATION                         781748108       33    20000 SH       OTHER                                   20000
D RUSSEL METALS INCORPORATED                      781903604      328   116515 SH       OTHER                                  116515
D RURAL CELLULAR CORP                             781904107     4272    55800 SH       OTHER                 36000             19800
D RUSS BERRIE & COMPANY INCORPORA                 782233100      337    17500 SH       OTHER                                   17500
D RUSSELL FRANK INVESTMENT COMPAN                 782493498      252    23770 SH       OTHER                                   23770
D RUSSELL FRANK INVESTMENT COMPAN                 782493779       23    23193 SH       OTHER                 23193
D RYANS FAMILY STEAK                              783519101      467    55350 SH       OTHER                 14350             41000
D RYERSON TULL INCORPORATED                       78375P107      489    47100 SH       SOLE                                    47100
D RYERSON TULL INCORPORATED                       78375P107      497    47920 SH       OTHER                 42400              5520
D SBC COMMUNICATIONS INCORPORATED                 78387G103     7326   169384 SH       SOLE                 166771              2613
D SBC COMMUNICATIONS INCORPORATED                 78387G103      862    19929 SH       SHARED                17235      950     1744
D SBC COMMUNICATIONS INCORPORATED                 78387G103    48547  1122485 SH       OTHER                590777            531708
D SBA COMMUNICATIONS CORP                         78388J106      551    10600 SH       OTHER                 10000               600
D SAMCO                                           78388M109    13342  1401488 SH       OTHER               1401488
D SCI SYSTEMS INCORPORATED                        783890AF3       39    40000 SH       OTHER
D SCI SYSTEMS INCORPORATED                        783890106     1764    45020 SH       OTHER                 19800             25220
D S.C. JOHNSON & SON, INC.                        783990302      217   216603 SH       OTHER                216603
D SDL INCORPORATED                                784076101     4621    16204 SH       OTHER                   864             15340
D SFX ENTMT INC                                   784178105      656    14487 SH       OTHER                  1800             12687
D SK TELECOM COMPANY LIMITED                      78440P108      797    21951 SH       OTHER                    61             21890
D SL GREEN RLTY CORP                              78440X101      375    14000 SH       OTHER                                   14000
D SLM HOLDING CORPORATION                         78442A109     6644   177462 SH       OTHER                  4770            172692
D STANDARD & POOR'S 500                           78462F103     5042    34708 SH       SOLE                  33204              1504
D STANDARD & POOR'S 500                           78462F103      597     4112 SH       SHARED                 4112
D STANDARD & POOR'S 500                           78462F103    15909   109507 SH       OTHER                 51747             57760
D SPSS INCORPORATED                               78462K102     3440   118100 SH       OTHER                  1500            116600
D SPS TECHNOLOGIES                                784626103      252     6125 SH       OTHER                  6125
D S1 CORPORATION                                  78463B101      347    14900 SH       OTHER                  8000              6900
D SPX CORPORATION                                 784635104       90      741 SH       SOLE                    741
D SPX CORPORATION                                 784635104      147     1215 SH       SHARED                 1215
D SPX CORPORATION                                 784635104    49758   411431 SH       OTHER                382648             28783
D SSGA FUNDS                                      784924888    18788   736155 SH       OTHER                148084            588071
D SPAR GROUP INC                                  784933103       22    16600 SH       OTHER                 16600
D S & P INDEX                                     784992133    21856  1855919 SH       OTHER               1650001           0205918
D SABRATEK CORPORATION                            78571UAA6       15    50000 SH       OTHER
D SABRE GROUP HLDGS INC                           785905100       13      460 SH       SOLE                                      460
D SABRE GROUP HLDGS INC                           785905100     2327    81650 SH       OTHER                  3020             78630
D SAFECO CORPORATION                              786429100      299    15025 SH       OTHER                   375             14650
D SAFEGUARD SCIENTIFICS INCORPORA                 786449108      320     9994 SH       OTHER                  9994
D SAFEWAY INCORPORATED                            786514208    14333   318504 SH       SOLE                 314134     1500     2870
D SAFEWAY INCORPORATED                            786514208      295     6545 SH       SHARED                 6045      500
D SAFEWAY INCORPORATED                            786514208    25376   563916 SH       OTHER                408641            155275
D ST JOE COMPANY                                  790148100     5607   186900 SH       OTHER                 13800            173100
D ST JUDE MEDICAL INCORPORATED                    790849103     3321    72400 SH       OTHER                 70900              1500
D ST PAUL COMPANIES INCORPORATED                  792860108     1861    54537 SH       OTHER                 30349             24188
D SAKS INCORPORATED                               79377W108      598    56946 SH       OTHER                  1746             55200
D SALOMON BROTHERS INSTITUTIONAL                  794905109    19602  2645331 SH       OTHER               2645331
D SALTON INCORPORATED                             795757103      372    10100 SH       OTHER                                   10100
D SAN PAOLO-IMI S P A                             799175104      389    11000 SH       OTHER                                   11000
D SANDISK CORPORATION                             80004C101     1085    17725 SH       OTHER                  2425             15300
D SANFILIPPO JOHN B & SON INC                     800422107        9     3000 SH       SOLE                   3000
D SANFILIPPO JOHN B & SON INC                     800422107       31    10500 SH       OTHER                   500             10000
D SANMINA CORPORATION                             800907107     2617    30607 SH       OTHER                 15520             15087
D SANFORD C BERNSTEIN                             800990137     2662    91489 SH       OTHER                                   91489
D SANTA FE ENERGY TRUST                           802013102      200    10000 SH       OTHER                 10000
D SANTA FE SNYDER CORP                            80218K105     1023    89931 SH       OTHER                  8508             81423
D SAP AG                                          803054204      343     7300 SH       OTHER                  1300              6000
D SAPIENT CORPORATION                             803062108      236     2208 SH       OTHER                  1708               500
D SARA LEE CORPORATION                            803111103      437    22608 SH       SOLE                  22008               600
D SARA LEE CORPORATION                            803111103      272    14070 SH       SHARED                13430               640
D SARA LEE CORPORATION                            803111103     9050   468573 SH       OTHER                380835             87738
D SARATOGA ADVANTAGE TRUST                        803431105      164   163789 SH       OTHER                                  163789
D SARATOGA ADVANTAGE TRUST                        803431204      182    18484 SH       OTHER                                   18484
D SAUCONY INCORPORATED                            804120202      190    19200 SH       OTHER                  4200             15000
D SCANA CORP NEW                                  80589M102       64     2670 SH       SOLE                   2670
D SCANA CORP NEW                                  80589M102      198     8205 SH       OTHER                  5350              2855
D SCAN-TRON                                       805897AA3       66    85000 SH       OTHER
D SCHEIN HENRY INC                                806407102     1977   114600 SH       OTHER                 10600            104000
D SCHERING-PLOUGH CORPORATION                     806605101    16491   326559 SH       SOLE                 322894      300     3365
D SCHERING-PLOUGH CORPORATION                     806605101      667    13210 SH       SHARED                12735      475
D SCHERING-PLOUGH CORPORATION                     806605101    62553  1238682 SH       OTHER                592367            646315
D SCHLUMBERGER LIMITED                            806857108    12763   171027 SH       SOLE                 169302     1000      725
D SCHLUMBERGER LIMITED                            806857108      315     4220 SH       SHARED                 3820      400
D SCHLUMBERGER LIMITED                            806857108    41567   557015 SH       OTHER                367979            189036
D SCHNITZER STEEL INDUSTRIES, INC                 806882106      235    14790 SH       OTHER                  6625              8165
D SCHOLASTIC CORPORATION                          807066AD7       44    45000 SH       OTHER
D SCHOOL SPECIALTY INCORPORATED                   807863105     1131    60947 SH       OTHER                  5300             55647
D SCHREIBER FOODS INCORPORATED                    808082135    91425  2612131 SH       OTHER                                 2612131
D SCHREIBER FOODS INCORPORATED                    808082143    45792   558439 SH       OTHER                                  558439
D SCHWAB CAPITAL TRUST                            808509103      294    15384 SH       OTHER                                   15384
D SCHWAB CHARLES CORPORATION                      808513105       23      675 SH       SOLE                                      675
D SCHWAB CHARLES CORPORATION                      808513105    11312   336412 SH       OTHER                180400            156012
D SCHWEITZER-MAUDUIT INTERNATIONA                 808541106      236    18919 SH       OTHER                   412             18507
D SCIENTIFIC ATLANTA INCORPORATED                 808655104       89     1196 SH       SOLE                   1196
D SCIENTIFIC ATLANTA INCORPORATED                 808655104     2715    36446 SH       OTHER                 11526             24920
D SCIENTIFIC GAMES HOLDINGS CORP                  808747109     2559   104200 SH       OTHER                                  104200
D SCIENTIFIC LEASING INCORPORATED                 808761AA8       24    50000 SH       OTHER
D SCHRODERS EMERGING MARKETS                      808990147    13617     5678 SH       OTHER                                    5678
D SCOTTISH POWER PLC                              81013T705       18      545 SH       SOLE                    545
D SCOTTISH POWER PLC                              81013T705       20      584 SH       SHARED                  584
D SCOTTISH POWER PLC                              81013T705      306     9160 SH       OTHER                   580              8580
D SCOTTS COMPANY                                  810186106      562    15400 SH       OTHER                   100             15300
D SCUDDER                                         810902205      179    17264 SH       OTHER                  6803             10461
D SCRIPPS COMPANY E.W. NEW                        811054204     2819    57233 SH       OTHER                 45758             11475
D SCUDDER INTERNATIONAL FUND                      811165109      606     9400 SH       SOLE                   9400
D SCUDDER INTERNATIONAL FUND                      811165109      477     7398 SH       OTHER                  4512              2886
D SCUDDER INTERNATIONAL EQUITY SE                 811165133     4006   231279 SH       OTHER                                  231279
D SCUDDER INTERNATIONAL FUND INC                  811165406      438    12805 SH       OTHER                 12805
D SCUDDER PORTFOLIO TRUST                         811192103      348    28562 SH       OTHER                  5858             22704
D SEACOAST FINANCIAL SERVICES COR                 81170Q106      304    32000 SH       OTHER                 17000             15000
D SEAGATE TECHNOLOGY                              811804103     1132    20585 SH       SOLE                  20325               260
D SEAGATE TECHNOLOGY                              811804103     1640    29816 SH       OTHER                 10996             18820
D SEAGO GROUP INC                                 811807106       10    19364 SH       OTHER                 19364
D SEAGRAM COMPANY LTD                             811850106     2873    49540 SH       OTHER                  5970             43570
D SEACOR SMIT INC                                 811904101      287     7425 SH       OTHER                                    7425
D SCUDDER                                         811999101    18979   548674 SH       OTHER                                  548674
D SEALED AIR CORPORATION                          81211K100       21      400 SH       SOLE                    400
D SEALED AIR CORPORATION                          81211K100     1489    28425 SH       OTHER                 16925             11500
D SEALED AIR CORP NEW                             81211K209      666    13150 SH       OTHER                 11450              1700
D SEARS ROEBUCK & COMPANY                         812387108      218     6681 SH       SOLE                   6681
D SEARS ROEBUCK & COMPANY                         812387108       94     2894 SH       SHARED                 2894
D SEARS ROEBUCK & COMPANY                         812387108     4689   143720 SH       OTHER                 61396             82324
D SECTOR SPDR TRUST                               81369Y803      312     5760 SH       OTHER                  5760
D SECURITY CAPITAL GROUP                          81413P204     9484   557880 SH       OTHER                117430            440450
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     1666    92880 SH       OTHER                 74192             18689
D SECURITY FINANCIAL CORP                         814242103       43    43431 SH       OTHER                 43431
D SECURITY NATL FINL CORP                         814785309       40    12733 SH       OTHER                 12733
D SEGALL BRYANT & HAMILL                          81579Q103      938    61655 SH       OTHER                 39539             22116
D SELECTIVE INSURANCE GROUP                       816300107     2181   114800 SH       OTHER                  8300            106500
D SELIGMAN HIGH INCOME FUND SERIE                 816336309       82    14140 SH       OTHER                 14140
D SELIGMAN TX EXMP FD SER INC                     816346506      330    43554 SH       OTHER                 43554
D SEMTECH CORP                                    816850101     2386    31200 SH       OTHER                  4350             26850
D SEMPRA ENERGY                                   816851109       12      700 SH       SOLE                    700
D SEMPRA ENERGY                                   816851109        6      340 SH       SHARED                  340
D SEMPRA ENERGY                                   816851109      182    10691 SH       OTHER                  4389              6302
D SENIOR HOUSING PROPERTY TRUST                   81721M109                50 SH       SOLE                     50
D SENIOR HOUSING PROPERTY TRUST                   81721M109      103    14130 SH       OTHER                    70             14060
D SENSORMATIC ELECTRONICS                         817265101      240    15200 SH       OTHER                  2500             12700
D SEPRACOR INCORPORATED                           817315104     2300    19070 SH       OTHER                  6100             12970
D SERENA SOFTWARE INCORPORATED                    817492101      721    15875 SH       OTHER                                   15875
D SERVICE CORPORATION INTERNATION                 817565104        9     2800 SH       SOLE                                     2800
D SERVICE CORPORATION INTERNATION                 817565104      214    66985 SH       OTHER                  6595             60390
D SERVICEMASTER COMPANY                           81760N109       29     2521 SH       SOLE                   2521
D SERVICEMASTER COMPANY                           81760N109       40     3500 SH       SHARED                 3500
D SERVICEMASTER COMPANY                           81760N109     1175   103277 SH       OTHER                 58647             44630
D SHAW GROUP INCORPORATED                         820280105      285     6050 SH       OTHER                  4650              1400
D SHAW INDUSTRIES INCORPORATED                    820286102      398    31816 SH       OTHER                 11016             20800
D SHELL TRANS & TRADING PLC                       822703104      768    92600 SH       OTHER                 90000              2600
D SHELL TRANSPORTATION & TRADING                  822703609      994    19900 SH       OTHER                  5700             14200
D SHERWIN WILLIAMS COMPANY                        824348106       17      800 SH       SOLE                    800
D SHERWIN WILLIAMS COMPANY                        824348106     1349    63665 SH       OTHER                 52455             11210
D SHIRE PHARMACEUTICALS GROUP                     82481R106      319     6145 SH       OTHER                  2000              4145
D SHOPKO STORES INCORPORATED                      824911101      406    26410 SH       OTHER                  4510             21900
D SIEBEL SYSTEMS INCORPORATED                     826170102     1420     8680 SH       SOLE                   8680
D SIEBEL SYSTEMS INCORPORATED                     826170102     8022    49046 SH       OTHER                  3446             45600
D SIEMENS A G                                     826197402     1066     7060 SH       SOLE                   7060
D SIEMENS A G                                     826197402      535     3546 SH       OTHER                  1346              2200
D SIGMA ALDRICH CORPORATION                       826552101     1204    41150 SH       OTHER                 10750             30400
D SIGNATURE EYEWEAR INCORPORATED                  826918104       32    29397 SH       OTHER                     9             29388
D SILICON GRAPHICS INCORPORATED                   827056102       38    10021 SH       OTHER                  8681              1340
D SILICON STORAGE TECHNOLOGY                      827057100      754     8542 SH       OTHER                  4742              3800
D SILICON VALLEY BANCSHARES                       827064106      529    12400 SH       OTHER                  1000             11400
D SILICON VY GROUP INC                            827066101     2976   115000 SH       OTHER                  7100            107900
D SILVERLEAF RESORTS INC                          828395103       81    30000 SH       OTHER                                   30000
D SIMON PPTY GROUP INC NEW                        828806109      376    16943 SH       OTHER                 11923              5020
D SINCLAIR BROADCAST GROUP-A                      829226109      444    40400 SH       OTHER                  6400             34000
D SIRIUS SATELLITE RADIO INC                      82966U103       22      500 SH       SOLE                    500
D SIRIUS SATELLITE RADIO INC                      82966U103      638    14400 SH       OTHER                 13900               500
D SIZELER PROPERTY INVESTOR                       830137AA3     1457  1635000 SH       OTHER
D SKYLINE CORPORATION                             830830105      651    30280 SH       OTHER                 20080             10200
D SKYLINE FUND                                    830833208      936    54650 SH       OTHER                 54650
D SMALLCAP WORLD FUND INCORPORATE                 831681101      970    23696 SH       OTHER                 23696
D SMARTFORCE PLC                                  83170A206      422     8800 SH       OTHER                  8500               300
D SMITHKLINE BEECHAM PLC                          832378301     1110    17035 SH       SOLE                  17035
D SMITHKLINE BEECHAM PLC                          832378301     6497    99667 SH       OTHER                 48697             50970
D SMUCKER J M COMPANY                             832696207     6480   345600 SH       OTHER                 10500            335100
D SMURFIT-STONE CONTAINER CORPORA                 832727101     5374   417372 SH       OTHER                388172             29200
D SNAP-ON INC                                     833034101      377    14144 SH       OTHER                  8044              6100
D SOCIETE GENERALE                                83364L109     1810   149836 SH       OTHER                  7636            142200
D SOFTWARE.COM INC                                83402P104     5196    40006 SH       OTHER                 32816              7190
D SOLA INTERNATIONAL INCORPORATED                 834092108      182    37350 SH       OTHER                 23085             14265
D SOLECTRON CORPORATION                           834182AJ6      778  1155000 SH       OTHER
D SOLECTRON CORPORATION                           834182AK3      702  1115000 SH       OTHER
D SOLECTRON CORPORATION                           834182107     5316   126956 SH       SOLE                 126606      350
D SOLECTRON CORPORATION                           834182107       63     1500 SH       SHARED                  900      600
D SOLECTRON CORPORATION                           834182107    14117   337126 SH       OTHER                 91536            245590
D SOLUTIA INCORPORATED                            834376105      371    27015 SH       OTHER                  2492             24523
D SONERA GROUP PLC                                835433202      409     8890 SH       OTHER                  8116               774
D SONIC SOLUTIONS                                 835460106       38    10000 SH       OTHER                                   10000
D SONICWALL INC                                   835470105      286     3250 SH       OTHER                                    3250
D SONOCO PRODUCTS COMPANY                         835495102      270    13152 SH       OTHER                 11752              1400
D SONY CORPORATION                                835699307     1110    11765 SH       SOLE                  11765
D SONY CORPORATION                                835699307     2569    27238 SH       OTHER                 12780             14458
D SOTHEBYS HOLDINGS INCORPORATED                  835898107      485    27700 SH       OTHER                  5800             21900
D SOUTHDOWN INCORPORATED                          841297104       44      768 SH       SOLE                    768
D SOUTHDOWN INCORPORATED                          841297104     3595    62248 SH       OTHER                  9458             52790
D SOUTHERN COMPANY                                842587107       71     3028 SH       SOLE                    878              2150
D SOUTHERN COMPANY                                842587107        5      224 SH       SHARED                  224
D SOUTHERN COMPANY                                842587107     2993   128364 SH       OTHER                 37704             90660
D SOUTHERN MINERAL CORPORATION                    843367202        5    10002 SH       OTHER                 10002
D SOUTHTRUST CORP                                 844730101     1107    48949 SH       OTHER                 19699             29250
D SOUTHWEST AIRLINES COMPANY                      844741108       42     2212 SH       SOLE                                     2212
D SOUTHWEST AIRLINES COMPANY                      844741108     2655   140211 SH       OTHER                 88994             51217
D SOUTHWESTERN ENERGY CORPORATION                 845467109      186    29800 SH       OTHER                                   29800
D SOVEREIGN BANCORP INC                           845905108     2109   299917 SH       OTHER                  5800            294117
D SPACELABS MEDICAL INCORPORATED                  846247104      276    24500 SH       OTHER                  6840             17660
D SPANISH BROADCASTING SYSTEM                     846425882      397    19300 SH       OTHER                                   19300
D SPARTAN MILLS S.C.                              846812105      153    10200 SH       OTHER                 10200
D SPECIALTY EQUIPMENT COMPANIES                   847497203      927    34170 SH       OTHER                  3370             30800
D SPEIZMAN INDS INC                               847805108       38    12000 SH       OTHER                 12000
D SPIEGEL INCORPORATED                            848457107      184    21650 SH       OTHER                 21650
D SPINNAKER EXPL CO                               84855W109      280    10940 SH       OTHER                                   10940
D SPRINT CORPORATION                              852061100      329     6444 SH       SOLE                   6204               240
D SPRINT CORPORATION                              852061100    21708   425652 SH       OTHER                158126            267526
D SPRINT CORPORATION (PCS GROUP)                  852061506       91     1526 SH       SOLE                   1526
D SPRINT CORPORATION (PCS GROUP)                  852061506     8661   145570 SH       OTHER                 98554             47016
D STANCORP FINL GROUP INC                         852891100      789    24550 SH       OTHER                  1000             23550
D STANDARD MOTORS PRODUCTS                        853666AB1       31    60000 SH       OTHER
D STANDEX INTERNATIONAL CORPORATI                 854231107      414    26100 SH       OTHER                                   26100
D STANDISH AYER & WOOD INVT TR                    854268836      631     8645 SH       OTHER                  8645
D STANFORD MICRODEVICES INCORPORA                 854399102      282     6500 SH       OTHER                  5500              1000
D STANLEY WORKS                                   854616109      205     8644 SH       OTHER                  8644
D STARBASE CORPORATION                            854910205      218    20500 SH       OTHER                 14500              6000
D STAPLES INCORPORATED                            855030102      756    49196 SH       SOLE                  47216      730     1250
D STAPLES INCORPORATED                            855030102     1966   127861 SH       OTHER                100011             27850
D STARBUCKS CORPORATION                           855244109     1034    27086 SH       SOLE                  26436               650
D STARBUCKS CORPORATION                           855244109       38     1000 SH       SHARED                 1000
D STARBUCKS CORPORATION                           855244109    25180   659359 SH       OTHER                593445             65914
D STARTEC GLOBAL COMMUNICATION                    85569E103      251    23500 SH       OTHER                 15550              7950
D STARWOOD HOTELS & RESORTS WORLD                 85590A203       48     1482 SH       SOLE                   1482
D STARWOOD HOTELS & RESORTS WORLD                 85590A203     2316    71113 SH       OTHER                 39073             32040
D STATE STREET CORPORATION                        857477103     1002     9450 SH       SOLE                   9200               250
D STATE STREET CORPORATION                        857477103    26715   251874 SH       OTHER                 98456            153418
D STATE STREET RESEARCH INVESTMEN                 857483101      290    20080 SH       OTHER                 20080
D STATE STREET                                    857991137   100250   416373 SH       OTHER                 86224            330149
D SSGA                                            857991160     4187    67691 SH       OTHER                 67691
D STATE STREET                                    857991178    80510  7961002 SH       OTHER               7961002
D STATE STREET                                    857991186    10413   247828 SH       OTHER                                  247828
D STEIN ROE INSTITUTIONAL                         85842R103      297    29712 SH       OTHER                 29712
D STEIN ROE                                       858420409      220   220098 SH       OTHER                196217             23881
D STEIN ROE                                       858421407       58    58333 SH       OTHER                 58333
D STEPAN COMPANY                                  858586100     1764    75859 SH       OTHER                  3050             72809
D STERICYCLE INCORPORATED                         858912108     6383   265971 SH       OTHER                218739             47232
D STERLING FINL CORP WASH                         859319105      189    16400 SH       OTHER                  6400             10000
D STEWART ENTERPRISES INCORPORATE                 860370105      113    32000 SH       OTHER                 18000             14000
D STMICROELECTRONICS NV                           861012AB8      103    60000 SH       OTHER
D STMICROELECTRONICS N V                          861012102     1490    23219 SH       SOLE                  23219
D STMICROELECTRONICS N V                          861012102     3870    60291 SH       OTHER                 50232             10059
D STONE CONTAINER CORPORATION                     861589AE9       41    51000 SH       OTHER
D STONE ENERGY INC                                861642106     3752    62800 SH       OTHER                 37300             25500
D STORAGE TECHNOLOGY CORPORATION                  862111200      789    72176 SH       OTHER                 67176              5000
D STRATTEC SECURITY CORPORATION                   863111100     1544    47500 SH       OTHER                 15000             32500
D STRIDE RITE CORPORATION                         863314100     1354   221000 SH       OTHER                                  221000
D STRONG ADVANTAGE FUND INC                       863338109      163    16558 SH       OTHER                 16558
D STRONG COMMON STOCK FUND INC                    86334C109      352    13896 SH       OTHER                  7779              6117
D STRONG HERITAGE RESERVE SERIES                  86334M107     4445  4445371 SH       OTHER                                 4445371
D STRONG GOVERNMENT SECURITIES FU                 863344107      206    20281 SH       OTHER                                   20281
D STRONG HIGH YIELD                               863345104      488    54841 SH       OTHER                                   54841
D STRONG MUN FDS INC                              86335P208      966   195585 SH       OTHER                195585
D STRUCTURAL DYNAMICS                             863555108     3760   249600 SH       OTHER                 15500            234100
D STRYKER CORPORATION                             863667101       44     1000 SH       SOLE                   1000
D STRYKER CORPORATION                             863667101    15844   362156 SH       OTHER                204636            157520
D SUIZA FOODS CORPORATION                         865077101      706    14450 SH       OTHER                  6450              8000
D SUMITOMO BANK LIMITED                           865601108     2346   179000 SH       OTHER                179000
D SUMMIT BANCORP                                  866005101      724    29390 SH       OTHER                  9490             19900
D SUN MICROSYSTEMS INCORPORATED                   866810104     7811    85898 SH       SOLE                  82591      975     2332
D SUN MICROSYSTEMS INCORPORATED                   866810104      151     1660 SH       SHARED                 1460      200
D SUN MICROSYSTEMS INCORPORATED                   866810104    78186   859769 SH       OTHER                526841            332928
D SUNGARD DATA SYSTEM INCORPORATE                 867363103       35     1120 SH       SOLE                   1120
D SUNGARD DATA SYSTEM INCORPORATE                 867363103     8899   287080 SH       OTHER                130120            156960
D SUNOCO INC                                      86764P109      272     9233 SH       OTHER                   983              8250
D SUNSTATES CORPORATION                           86787R108       15   252162 SH       OTHER                252000               162
D SUNRISE MEDICAL INCORPORATED                    867910101      170    34900 SH       OTHER                  8000             26900
D SUNTRUST BANKS INCORPORATED                     867914103       38      834 SH       SOLE                    834
D SUNTRUST BANKS INCORPORATED                     867914103     6310   138121 SH       OTHER                 41961             96160
D SUPERIOR ENERGY SERVICES INC                    868157108      154    14800 SH       OTHER                 11100              3700
D SUPERIOR FINL CORP DEL                          868161100      255    25000 SH       OTHER                                   25000
D SUPERIOR INDUSTRIES INTERNATION                 868168105      686    26650 SH       OTHER                 20050              6600
D SUPERVALU INC                                   868536103       12      650 SH       SOLE                                      650
D SUPERVALU INC                                   868536103     1774    93060 SH       OTHER                  9260             83800
D SUSQUEHANNA BANCSHARES INC                      869099101      154    10802 SH       OTHER                  8902              1900
D SWIFT ENERGY CO                                 870738101      250     8800 SH       OTHER                                    8800
D SWIFT TRANSPORTATION INC                        870756103      298    21250 SH       OTHER                  6250             15000
D SWIRE PACIFIC LTD                               870794302      280    47800 SH       OTHER                  2460             45340
D SWISS CHALET INCORPORATED                       870853108      162    10650 SH       OTHER                 10650
D SYBASE INC.                                     871130100     1527    66400 SH       OTHER                  8000             58400
D SYBRON INTERNATIONAL CORPORATIO                 87114F106      174     8800 SH       SOLE                                     8800
D SYBRON INTERNATIONAL CORPORATIO                 87114F106     6815   343983 SH       OTHER                145725            198258
D SYLVAN LEARNING SYSTEMS, INC                    871399101      833    60570 SH       OTHER                 60570
D SYMANTEC CORPORATION                            871503108       11      200 SH       SHARED                                    200
D SYMANTEC CORPORATION                            871503108     1448    26850 SH       OTHER                                   26850
D SYMBOL TECHNOLOGIES                             871508107    16448   304585 SH       OTHER                208878             95707
D SYMYX TECHNOLOGIES                              87155S108      243     5700 SH       OTHER                  5000               700
D SYMS CORPORATION                                871551107       52    13095 SH       OTHER                  1660             11435
D SYNCOR INTERNATIONAL CORPORATIO                 87157J106     4459    61925 SH       OTHER                  8250             53675
D SYNOPSYS INC                                    871607107      472    13670 SH       OTHER                  2420             11250
D SYNTHETECH INC                                  87162E100      126    40000 SH       OTHER                 40000
D SYSCO CORPORATION                               871829107      278     6600 SH       SOLE                   6600
D SYSCO CORPORATION                               871829107     5778   137153 SH       OTHER                 38953             98200
D SYSTEMS & COMPUTER TECHNOLOGY                   871873AB1       23    25000 SH       SOLE
D SYSTEMS & COMPUTER TECHNOLOGY                   871873AB1      887   985000 SH       OTHER
D TCF BANKING & SAVINGS F A                       872275102       98     3822 SH       SOLE                   3822
D TCF BANKING & SAVINGS F A                       872275102      353    13725 SH       OTHER                  2300             11425
D TCI SATELLITE ENTERTAINMENT INC                 872298104      305    35054 SH       OTHER                  4135             30919
D TCW/DW MID-CAP EQUITY TRUST                     87234K100      490    19816 SH       OTHER                 19816
D TDK CORP                                        872351408      216     1511 SH       OTHER                  1407               104
D TGX CORP                                        872424106       95   380014 SH       OTHER                                  380014
D TIP PENN CAPITAL STRATEGIC                      87252R508       27    87877 SH       SOLE                                    87877
D TJX COMPANIES INCORPORATED                      872540109     3651   194730 SH       OTHER                 62030            132700
D T-NETIX INC                                     872597109      214    51200 SH       OTHER                                   51200
D TPA AMER INC                                    872605100             40216 SH       OTHER                 40216
D TPI ENTERPRISES                                 872623AA1      134   250000 SH       OTHER
D TRW INCORPORATED                                872649108     2488    57351 SH       OTHER                  3381             53970
D TMP WORLDWIDE INCORPORATED                      872941109     2607    35325 SH       SOLE                  35275                50
D TMP WORLDWIDE INCORPORATED                      872941109     2254    30535 SH       OTHER                  1000             29535
D TCW REALTY FUND V                               872990122     2097  2096925 SH       OTHER                                 2096925
D TV GUIDE INCORPORATED                           87307Q109     7005   204525 SH       OTHER                191650             12875
D TXU CORPORATION                                 873168108        6      200 SH       SHARED                  200
D TXU CORPORATION                                 873168108     1955    66260 SH       OTHER                 30685             35575
D TALISMAN ENERGY INC                             87425E103      550    16600 SH       OTHER                 12600              4000
D TALON INTERNATIONAL ENERGY LIMI                 874834104      141  1566666 SH       OTHER               1566666
D TARGET CORPORATION                              87612E106    14487   249780 SH       SOLE                 246155     1220     2405
D TARGET CORPORATION                              87612E106      312     5380 SH       SHARED                 4880      300      200
D TARGET CORPORATION                              87612E106    13623   234882 SH       OTHER                 66474            168408
D TEAM INCORPORATED                               878155100       46    23066 SH       OTHER                 23066
D TECH DATA CORPORATION                           878237106      614    14100 SH       OTHER                  3200             10900
D TECH SYM CORPORATION                            878308105      444    15800 SH       OTHER                  5200             10600
D TECHNE CORP                                     878377100      845     6500 SH       OTHER                                    6500
D TECHNICLONE CORPORATION                         878517309       43    11000 SH       SOLE                  11000
D TECHNICLONE CORPORATION                         878517309       39    10000 SH       OTHER                  5000              5000
D TECHNITROL INC                                  878555101      678     7000 SH       OTHER                                    7000
D TECUMSEH PRODUCTS CO.                           878895200     2333    61085 SH       OTHER                  4085             57000
D TEKELEC                                         879101103      383     7950 SH       OTHER                  2850              5100
D TEKTRONIX INCORPORATED                          879131100      955    12900 SH       OTHER                   900             12000
D TELE DANMARK A/S                                879242105      204     6013 SH       OTHER                  5520               493
D TELECOM ITALIA SPA                              87927W106      585     4255 SH       OTHER                    35              4220
D TELECOM CORP NEW ZEALAND LTD                    879278208      510    18117 SH       OTHER                  3117             15000
D TELECORP PCS INCORPORATED                       879299105     3923    97320 SH       OTHER                 62000             35320
D TELEFONICA SA                                   879382208     1264    19732 SH       SOLE                  19732
D TELEFONICA SA                                   879382208     2218    34624 SH       OTHER                 33665               959
D TELEFONOS DE MEXICO SA                          879403780      166     2900 SH       SOLE                   2900
D TELEFONOS DE MEXICO SA                          879403780     3084    53995 SH       OTHER                 34676             19319
D TELEGLOBE INC                                   87941V100     1053    50000 SH       OTHER                 14000             36000
D TELEPHONE & DATA SYSTEM INCORPO                 879433100       23      225 SH       SOLE                    225
D TELEPHONE & DATA SYSTEM INCORPO                 879433100     2028    20230 SH       OTHER                  1430             18800
D TELLABS INCORPORATED                            879664100    18180   265639 SH       SOLE                 262644     1200     1795
D TELLABS INCORPORATED                            879664100      507     7410 SH       SHARED                 6610      800
D TELLABS INCORPORATED                            879664100    45565   665779 SH       OTHER                434129            231650
D TEMPLETON DEVELOPING MARKETS TR                 88018W302     6327   482615 SH       OTHER                482615
D TEMPLETON EMERGING MARKETS                      880190103      432    44000 SH       OTHER                 12000             32000
D TEMPLETON FUNDS INCORPORATED                    880196100      241    13344 SH       OTHER                 13344
D TEMPLETON                                       880196209      139    13009 SH       SOLE                  13009
D TEMPLETON                                       880196209                 8 SH       SHARED                    8
D TEMPLETON                                       880196209     6487   609131 SH       OTHER                 46850            562280
D TEMPLETON GROWTH FUND INC                       880199104      105     5371 SH       SOLE                   5371
D TEMPLETON GROWTH FUND INC                       880199104     1789    91917 SH       OTHER                 91917
D TENET HEALTHCARE CORPORATION                    88033GAD2       33    40000 SH       OTHER
D TENET HEALTHCARE CORP                           88033G100    10161   376331 SH       OTHER                 60731            315600
D TENNANT COMPANY                                 880345103      351     9350 SH       OTHER                  1350              8000
D TERADYNE INCORPORATED                           880770102       12      170 SH       SOLE                                      170
D TERADYNE INCORPORATED                           880770102     6737    91664 SH       OTHER                 25349             66315
D TERAYON COMMUNICATION SYS                       880775101       64     1000 SH       SOLE                   1000
D TERAYON COMMUNICATION SYS                       880775101      932    14510 SH       OTHER                 13530               980
D TESORO PETROLEUM CORPORATION                    881609101      329    32500 SH       OTHER                  5000             27500
D TEVA PHARMACEUTICAL                             881624209    13732   247703 SH       OTHER                 12418            235285
D TEXACO INCORPORATED                             881694103      205     3846 SH       SOLE                   3532               314
D TEXACO INCORPORATED                             881694103       75     1400 SH       SHARED                 1400
D TEXACO INCORPORATED                             881694103    14897   279755 SH       OTHER                 85365            194390
D TEXAS BIOTECHNOLOGY CORP                        88221T104      215    11300 SH       OTHER                                   11300
D TEXAS INDUSTRIES INCORPORATED                   882491103       58     1996 SH       SOLE                   1996
D TEXAS INDUSTRIES INCORPORATED                   882491103      984    34075 SH       OTHER                  9025             25050
D TEXAS INSTRUMENTS INCORPORATED                  882508104     2670    38871 SH       SOLE                  37132      300     1439
D TEXAS INSTRUMENTS INCORPORATED                  882508104      217     3160 SH       SHARED                 2960      200
D TEXAS INSTRUMENTS INCORPORATED                  882508104    45141   657192 SH       OTHER                177436            479756
D TEXAS REGIONAL BANCSHARES INC                   882673106      208     8200 SH       OTHER                                    8200
D TEXTRON INCORPORATED                            883203101     6634   122141 SH       OTHER                  6094            116047
D THERMA-WAVE INCORPORATED                        88343A108      407    18225 SH       OTHER                  6900             11325
D THERMO CARDIOSYSTEMS INC                        88355K200     3346   334597 SH       OTHER                  5500            329097
D THERMO FIBERGEN INC                             88355U109     2221   181300 SH       OTHER                  9000            172300
D THERMO FIBERGEN INC                             88355U117      125   181300 SH       OTHER                  9000            172300
D THERMO FIBERTEK INCORPORATED                    88355WAA3     1155  1375000 SH       OTHER
D THERMO FIBERTEK, INC.                           88355W105      114    24076 SH       OTHER                   454             23622
D THERMO ELECTRON CORPORATION                     883556102    15901   754941 SH       OTHER                106998            647943
D THERMO INSTRUMENT SYSTEM                        883559AE6       86   100000 SH       OTHER
D THERMO INSTRUMENT SYSTEMS                       883559106      659    35156 SH       OTHER                                   35156
D THERMOLASE CORP                                 883624108      199    70724 SH       OTHER                                   70724
D THERMOQUEST CORPORATION                         883655201      743    45000 SH       OTHER                                   45000
D THERMEDICS INCORPORATED                         883901100      104    10500 SH       OTHER                                   10500
D THIRD AVENUE VALUE                              884116104     1208    32762 SH       OTHER                 18257             14505
D THOMAS & BETTS CORPORATION (TN)                 884315102      541    28266 SH       OTHER                  7966             20300
D 3DO CO                                          88553W105      158    20100 SH       OTHER                                   20100
D 3COM CORPORATION                                885535104     8736   151605 SH       SOLE                 151275               330
D 3COM CORPORATION                                885535104      117     2039 SH       SHARED                 2039
D 3COM CORPORATION                                885535104     2752    47765 SH       OTHER                 22445             25320
D THREE-FIVE SYS INC                              88554L108     3074    52103 SH       OTHER                  2028             50075
D TIBCO SOFTWARE INCORPORATED                     88632Q103      849     7920 SH       OTHER                   180              7740
D TIDEWATER INCORPORATED                          886423102     3369    93570 SH       OTHER                 12770             80800
D TIFFANY & COMPANY NEW                           886547108      731    10825 SH       SOLE                  10825
D TIFFANY & COMPANY NEW                           886547108     4368    64710 SH       OTHER                 55710              9000
D TIMBERLAND CO                                   887100105     3449    48700 SH       OTHER                  2700             46000
D TIME WARNER INCORPORATED                        887315109     6131    80670 SH       SOLE                  78705      400     1565
D TIME WARNER INCORPORATED                        887315109      245     3225 SH       SHARED                 3225
D TIME WARNER INCORPORATED                        887315109   104794  1378872 SH       OTHER               1073107            305765
D TIMES MIRROR COMPANY                            887364AE7      473   850000 SH       OTHER
D TIMKEN COMPANY                                  887389104        7      400 SH       SOLE                    400
D TIMKEN COMPANY                                  887389104      371    19900 SH       OTHER                 10900              9000
D TITAN CORPORATION                               888266103      227     5068 SH       OTHER                   668              4400
D TNT POST GROEP N V                              888742103      218     8100 SH       OTHER                  8100
D TOKIO MARINE & FIRE INSURANCE L                 889090403      364     6110 SH       OTHER                   270              5840
D TOLLGRADE COMMUNICATIONS INC                    889542106      824     6220 SH       OTHER                  1720              4500
D TOMKINS PLC                                     890030208        3      200 SH       SHARED                  200
D TOMKINS PLC                                     890030208      196    15325 SH       OTHER                   325             15000
D TOOTSIE ROLL INDUSTRIES                         890516107      202     5785 SH       OTHER                  3651              2134
D TOPPS INCORPORATED                              890786106      391    34000 SH       OTHER                 12400             21600
D TORCHMARK CORPORATION                           891027104       20      800 SH       SOLE                    800
D TORCHMARK CORPORATION                           891027104     3821   154780 SH       OTHER                  9745            145035
D TORO COMPANY                                    891092108      741    22500 SH       OTHER                 14000              8500
D TOSCO CORPORATION                               891490302        1       21 SH       SOLE                     21
D TOSCO CORPORATION                               891490302     2939   103800 SH       OTHER                 18950             84850
D TOTAL RENAL CARE HOLDINGS                       89151AAA5       20    30000 SH       OTHER
D TOTAL RENAL CARE HOLDINGS INC                   89151AAC1       61    90000 SH       OTHER
D TOTAL FINA ELF SA ADR                           89151E109     2021    26309 SH       OTHER                  4454             21855
D TOYOTA MOTOR LTD                                892331307      908     9743 SH       OTHER                  5486              4257
D TOYS R US INC.(HOLDING CO)                      892335100      167    11500 SH       SOLE                                    11500
D TOYS R US INC.(HOLDING CO)                      892335100        4      300 SH       SHARED                  300
D TOYS R US INC.(HOLDING CO)                      892335100     7593   521380 SH       OTHER                 28180            493200
D TRANS WORLD AIRLINES                            893349C57      149    27347 SH       OTHER                                   27347
D TRANSATLANTIC HOLDINGS INCORPOR                 893521104      639     7625 SH       OTHER                  1050              6575
D TRANSMATION INC                                 893757104       45    20000 SH       OTHER                                   20000
D TRANSPORT CORPORATION OF AMERIC                 89385P102     1962   301800 SH       OTHER                 60100            241700
D TRANSWITCH CORPORATION                          894065101     1367    17710 SH       OTHER                                   17710
D TRENWICK GROUP INCORPORATED                     895290104      146    10000 SH       OTHER                 10000
D TREX MEDICAL CORPORATION                        89531R101       40    20036 SH       OTHER                                   20036
D TRIAD HOSPITALS INCORPORATED                    89579K109      261    10810 SH       OTHER                  8222              2588
D TRIARC COMPANIES INCORPORATED                   895927AB7       37   150000 SH       OTHER
D TRIARC COMPANIES INCORPORATED                   895927101      713    34800 SH       OTHER                                   34800
D TRICON GLOBAL RESTAURANTS                       895953107       47     1665 SH       SOLE                   1665
D TRICON GLOBAL RESTAURANTS                       895953107     7495   265303 SH       OTHER                 24954            240349
D TRINER JOSEPH CORPORATION                       895996106       44    14676 SH       SOLE                  14676
D TRIBUNE COMPANY NEW                             896047107      172     4900 SH       SOLE                   4900
D TRIBUNE COMPANY NEW                             896047107       25      700 SH       SHARED                  700
D TRIBUNE COMPANY NEW                             896047107    29539   843978 SH       OTHER                738500            105478
D TRIGON HEALTHCARE INCORPORATED                  89618L100     1093    21200 SH       OTHER                  3500             17700
D TRIMBLE NAVIGATION                              896239100      246     5040 SH       OTHER                  3740              1300
D TRINITY INDUSTRIES INCORPORATED                 896522109      383    20700 SH       OTHER                  5900             14800
D TRIQUINT SEMICONDUCTOR INCORPOR                 89674K103     3238    33835 SH       OTHER                 19335             14500
D TREX COMMUNICATIONS CORPORATION                 896990116      250    62500 SH       OTHER                                   62500
D TRUE NORTH COMMUNICATIONS, INC.                 897844106     1410    32055 SH       OTHER                 26255              5800
D TRUSTCO BK CORP N Y                             898349105      375    30000 SH       OTHER                                   30000
D TUBOS DE ACERO DE MEXICO S A                    898592506      486    35000 SH       OTHER                                   35000
D TUT SYSTEMS INCORPORATED                        901103101      278     4843 SH       OTHER                  3218              1625
D TWEEDY BROWNE FUND INCORPORATED                 901165100     4300   201130 SH       OTHER                 42742            158387
D TWEEDY BROWNE                                   901165209     2029    92331 SH       OTHER                 92331
D TWEETER HOME ENTMT GROUP INC                    901167106      762    25100 SH       OTHER                  3200             21900
D 21ST CENTY INS GROUP                            90130N103     2789   177070 SH       OTHER                162585             14485
D TYCO INTERNATIONAL LIMITED                      902124106     2655    56044 SH       SOLE                  53974              2070
D TYCO INTERNATIONAL LIMITED                      902124106      233     4908 SH       SHARED                 4308               600
D TYCO INTERNATIONAL LIMITED                      902124106    83154  1755222 SH       OTHER               1195178            560044
D UAL CORPORATION                                 902549500       23      400 SH       SOLE                    400
D UAL CORPORATION                                 902549500     3412    58635 SH       OTHER                 55833              2802
D UAM FUND                                        902555432      346    24746 SH       OTHER                 24746
D UAM FUNDS INCORPORATED                          902555549     2199   165351 SH       OTHER                165351
D UAM FUNDS INCORPORATED                          902555598     3718   262920 SH       OTHER                                  262920
D UAM                                             902555796      710    46655 SH       OTHER                 46655
D U A M                                           902556307     1033    77518 SH       OTHER                                   77518
D UCBH HLDGS INC                                  90262T308      302    11300 SH       OTHER                                   11300
D USX MARATHON GROUP                              902905827        4      158 SH       SOLE                    158
D USX MARATHON GROUP                              902905827     2541   101392 SH       OTHER                 18885             82507
D UST INCORPORATED                                902911106        6      400 SH       SOLE                    400
D UST INCORPORATED                                902911106     5260   358136 SH       OTHER                135566            222570
D U.S. BANCORP NEW                                902973106     3840   199458 SH       OTHER                101487             97971
D U S REALTEL INCORPORATED                        902979103      504    69500 SH       OTHER                 69500
D USA NETWORKS INCORPORATED                       902984103        9      400 SH       SOLE                    400
D USA NETWORKS INCORPORATED                       902984103     1808    83600 SH       OTHER                 82400              1200
D U S F & G CORPORATION                           903290AD6       60    90000 SH       OTHER
D USG CORP.                                       903293405     2130    70110 SH       OTHER                  2400             67710
D USEC INCORPORATED                               90333E108      513   111000 SH       OTHER                 96000             15000
D US ONCOLOGY INC                                 90338W103      341    68191 SH       OTHER                 41091             27100
D UTI ENERGY CORP                                 903387108      806    20077 SH       OTHER                  5127             14950
D UBIQUITEL INC                                   903474302      236    25000 SH       OTHER                 25000
D ULTRAMAR DIAMOND SHAMROCK CORP                  904000106      720    29000 SH       OTHER                                   29000
D UNIGATE LTD                                     904750403       44    10002 SH       OTHER                 10002
D UNILEVER PLC                                    904767704     1018    40507 SH       OTHER                  2881             37626
D UNILEVER N V                                    904784709       11      267 SH       SOLE                    267
D UNILEVER N V                                    904784709     1065    24767 SH       OTHER                 12022             12745
D UNICOM CORPORATION                              904911104      436    11261 SH       SOLE                  11061               200
D UNICOM CORPORATION                              904911104       59     1520 SH       SHARED                 1320               200
D UNICOM CORPORATION                              904911104     1505    38889 SH       OTHER                 20751             18138
D ULLICO                                          904990108     6223      975 SH       OTHER                                     975
D ULLICO                                          904990116     4120      645 SH       OTHER                   645
D UNION CARBIDE CORPORATION                       905581104       64     1300 SH       SHARED                 1300
D UNION CARBIDE CORPORATION                       905581104     2579    52106 SH       OTHER                 14606             37500
D UNION PACIFIC CORPORATION                       907818108       53     1414 SH       SOLE                   1414
D UNION PACIFIC CORPORATION                       907818108     4775   128414 SH       OTHER                 77424             50990
D UNION PACIFIC RESOURCES GROUP                   907834105       11      500 SH       SOLE                    500
D UNION PACIFIC RESOURCES GROUP                   907834105     1221    55521 SH       OTHER                 34433             21088
D UNIONBANCAL CORP                                908906100      414    22300 SH       OTHER                                   22300
D UNISOURCE ENERGY CORP                           909205106        1       34 SH       SHARED                                     34
D UNISOURCE ENERGY CORP                           909205106      330    22000 SH       OTHER                  7200             14800
D UNISYS CORPORATION                              909214108        4      291 SH       SOLE                    291
D UNISYS CORPORATION                              909214108     2024   138991 SH       OTHER                 78805             60186
D UNIT CORP                                       909218109      580    42950 SH       OTHER                                   42950
D UNITED ASSET MANAGEMENT CORPORA                 909420101      255    10902 SH       SOLE                  10902
D UNITED ASSET MANAGEMENT CORPORA                 909420101      799    34200 SH       OTHER                  7300             26900
D UNITED FIRE & CASUALTY COMPANY                  910331107     1239    79949 SH       OTHER                 38550             41399
D UNITED FUNDS                                    910450105      374    38879 SH       SOLE                  38879
D UNITED PARCEL SERVICE CLASS B                   911312106       41      700 SH       SOLE                    700
D UNITED PARCEL SERVICE CLASS B                   911312106        6      100 SH       SHARED                  100
D UNITED PARCEL SERVICE CLASS B                   911312106    17396   294845 SH       OTHER                206500             88345
D UNITED RENTALS INC                              911363109      207    12100 SH       OTHER                  5500              6600
D US CELLULAR CORPORATION                         911684AA6      182   305000 SH       OTHER
D UNITED STATES CELLULAR CORPORAT                 911684108      876    13900 SH       OTHER                  8400              5500
D U S INDUSTRIES INCORPORATED                     912080108     9170   756278 SH       OTHER                  7140            749138
D U S WEST INCORPORATED                           91273H101      508     5927 SH       SOLE                   5492               435
D U S WEST INCORPORATED                           91273H101      271     3162 SH       SHARED                 2957               205
D U S WEST INCORPORATED                           91273H101    13743   160263 SH       OTHER                 50862            109401
D UNITED STATES TRUST CO BOSTON                   912880507    29847  2807827 SH       OTHER               2807827
D UNITED STATES TRUST CO BOSTON                   912880606    31848  2776646 SH       OTHER               2776646
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>


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