COMERICA INC /NEW/
13F-HR, 1999-08-10
NATIONAL COMMERCIAL BANKS
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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, 1999

Check here if Amendment [ ]; Amendment Number:
This Amendment (Check only one.):      [ ]  is a restatement.
                                       [ ]  adds new holdings entries.

Institutional Investment Manager Filing this Report:

Name:      Comerica Bank
Address:   One Detroit Center
           Detroit, MI 48275

Form 13F File Number:  28-412

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:   Stephen R. Graef
Title:  Vice President
Phone:  (313) 222-4198

Signature, Place, and Date of Signing:

/s/ Stephen R. Graef              Detroit, MI                August 10, 1999
- ----------------------------      -----------------------    ---------------
[Signature]                       [City, State]              [Date]

Report Type (Check only one.):

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

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

[ ] 13F COMBINATION REPORT. (Check here if a portion of the holdings for this
    reporting manager are reported in this report and a portion are reported by
    other reporting manager(s).)

<PAGE>

                             Form 13F SUMMARY PAGE


Report Summary


Number of Other Included Managers:       4

Form 13F Information Table Entry Total:  237,527,210

Form 13F Information Table Value Total:  $10,870,018
                                          (thousands)


List of Other Included Managers


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

[If there are no entries in this list, state "NONE" and omit the column
headings and list entries]

    No.        Form 13F File Number       Name
    01         28-412                     Comerica Bank
    02         28-8174                    Munder Capital Management
    03         28-4980                    World Asset Management
    04                                    Wilson Kemp

<PAGE>

<TABLE>
<CAPTION>
                           FORM 13F INFORMATION TABLE


             COLUMN 1                COLUMN 2    COLUMN 3  COLUMN 4     COLUMN 5       COLUMN 6  COLUMN 7          COLUMN 8
- --------------------------------- -------------- --------- -------- ----------------- ---------- -------- --------------------------
                                                            VALUE   SHRS OR  SH/ PUT/ INVESTMENT  OTHER         VOTING AUTHORITY
          NAME OF ISSUER          TITLE OF CLASS   CUSIP   (x$1000) PRN AMT  PRN CALL DISCRETION MANAGERS   SOLE    SHARED    NONE
- --------------------------------- -------------- --------- -------- -------- --- ---- ---------- -------- -------- -------- --------
<S>                               <C>            <C>       <C>      <C>      <C> <C>  <C>        <C>      <C>      <C>      <C>
AAR CORP                          Common Stock   000361105      785    34595 SH       DEFINED    01,03       34595        0        0
AAR CORP                          Common Stock   000361105        4      180 SH       OTHER                      0        0      180
ABC-NACO INC                      Common Stock   000752105       57     2800 SH       DEFINED    01           2800        0        0
ADC TELECOMMUNICATIONS INC        Common Stock   000886101     9376   205782 SH       DEFINED    01,02,03   187382        0    18400
ADC TELECOMMUNICATIONS INC        Common Stock   000886101      352     7720 SH       OTHER                   6415      805      500
ADE CORP                          Common Stock   00089C107       24     2000 SH       DEFINED    01           2000        0        0
ABM INDUSTRIES INC                Common Stock   000957100      842    27445 SH       DEFINED    01,03       27400        0       45
AFLAC INC                         Common Stock   001055102     8362   174666 SH       DEFINED    01,02,03   167816      900     5950
                                                                                                 04
AFLAC INC                         Common Stock   001055102      900    18800 SH       OTHER                  15280     3100      420
AGCO CORP                         Common Stock   001084102      769    68000 SH       DEFINED    01,03       59900        0     8100
AGL RESOURCES                     Common Stock   001204106     1231    66788 SH       DEFINED    01,03       58888        0     7900
AHL SVCS INC                      Common Stock   001296102      272    10900 SH       DEFINED    01          10900        0        0
AES CORP                          Common Stock   00130H105     4147    71349 SH       DEFINED    01,02,03    64474        0     6875
AES CORP                          Common Stock   00130H105       17      290 SH       OTHER                    290        0        0
AK STEEL HOLDING CORP             Common Stock   001547108     1526    67800 SH       DEFINED    01,03       59700        0     8100
AK STEEL HOLDING CORP             Common Stock   001547108       11      500 SH       OTHER                      0        0      500
AMR CORP                          Common Stock   001765106     4018    58870 SH       DEFINED    01,02,03    54445        0     4425
AMR CORP                          Common Stock   001765106      252     3690 SH       OTHER                   3485        0      205
APAC TELESERVICES INC             Common Stock   00185E106       66    20200 SH       DEFINED    01          20200        0        0
ARM FINL GROUP INC CL A           Common Stock   001944107      116    13600 SH       DEFINED    01,02       13600        0        0
ARM FINL GROUP INC CL A           Common Stock   001944107       19     2200 SH       OTHER                   2200        0        0
A T & T CORP                      Common Stock   001957109    74651  1337515 SH       DEFINED    01,02,03  1261910     4800    70805
                                                                                                 04
A T & T CORP                      Common Stock   001957109     7869   140992 SH       OTHER                 115615    19087     6290
ATMI INC                          Common Stock   00207R101      170     5700 SH       DEFINED    01,02        5700        0        0
AVX CORP                          Common Stock   002444107     1526    62600 SH       DEFINED    01          62600        0        0
AARON RENTS INC                   Common Stock   002535201       96     4300 SH       DEFINED    01           4300        0        0
AARON RENTS INC                   Common Stock   002535201        6      250 SH       OTHER                      0        0      250
ABACUS DIRECT CORP                Common Stock   002553105      247     2700 SH       DEFINED    01           2700        0        0
ABBOTT LABS                       Common Stock   002824100   107414  2367240 SH       DEFINED    01,02,03  2103642    14360   249238
                                                                                                 04
ABBOTT LABS                       Common Stock   002824100    31374   691446 SH       OTHER                 512508   163837    15101
ABERCROMBIE & FITCH CO            Common Stock   002896207     5880   122496 SH       DEFINED    01,02,03   106476        0    16020
ABERCROMBIE & FITCH CO            Common Stock   002896207        7      150 SH       OTHER                    150        0        0
ACCEPTANCE INS COS INC            Common Stock   004308102      149     9900 SH       DEFINED    01           9900        0        0
ACCLAIM ENTMT INC PAR $0.02       Common Stock   004325205      235    36788 SH       DEFINED    01          36128        0      660
ACCLAIM ENTMT INC PAR $0.02       Common Stock   004325205        0       60 SH       OTHER                     60        0        0
ACE CASH EXPRESS INC              Common Stock   004403101      184    13050 SH       DEFINED    01          13050        0        0
ACKERLEY GROUP INC                Common Stock   004527107      415    22800 SH       DEFINED    01          22800        0        0
ACKERLEY GROUP INC                Common Stock   004527107       36     2000 SH       OTHER                   2000        0        0
ACNIELSEN CORP                    Common Stock   004833109     2083    68843 SH       DEFINED    01,03       60943        0     7900
ACNIELSEN CORP                    Common Stock   004833109       38     1265 SH       OTHER                    633      599       33
ACTIVISION INC                    Common Stock   004930202       76     5200 SH       DEFINED    01           5200        0        0
ACTION PERFORMANCE COS INC        Common Stock   004933107     1169    35425 SH       DEFINED    01,02,03    35425        0        0
ACTION PERFORMANCE COS INC        Common Stock   004933107        7      225 SH       OTHER                    225        0        0
ACTEL CORP                        Common Stock   004934105      155    10500 SH       DEFINED    01          10500        0        0
ACUSON CORP                       Common Stock   005113105      609    35448 SH       DEFINED    01,03       27848        0     7600
ACXIOM CORP                       Common Stock   005125109     2478    99365 SH       DEFINED    01,02,03    99295        0       70
ADAC LABORATORIES                 Common Stock   005313200      202    27833 SH       DEFINED    01,03       25533        0     2300
ADAPTEC INC                       Common Stock   00651F108     3045    86240 SH       DEFINED    01          85990        0      250
ADAPTEC INC                       Common Stock   00651F108       35     1000 SH       OTHER                   1000        0        0
ADELPHIA COMMUNIC CORP CL A       Common Stock   006848105      703    11050 SH       DEFINED    01,04       11050        0        0
ADOBE SYS INC                     Common Stock   00724F101     2053    24984 SH       DEFINED    01,02,03    24009        0      975
ADTRAN INC                        Common Stock   00738A106     1000    27500 SH       DEFINED    01          27500        0        0
ADVANCE PARADIGM INC              Common Stock   007491103      932    15275 SH       DEFINED    01,02       15275        0        0
ADVANCE PARADIGM INC              Common Stock   007491103       18      300 SH       OTHER                    300        0        0
ADVANCED DIGITAL INFO CORP        Common Stock   007525108       36      900 SH       DEFINED    01,02         900        0        0
ADVANCED FIBRE COMMUNIC INC       Common Stock   00754A105      766    49000 SH       DEFINED    01          49000        0        0
ADVANCED TISSUE SCIENCES INC      Common Stock   00755F103      186    57350 SH       DEFINED    01,03       52650        0     4700
ADVANTAGE LEARNING SYS INC        Common Stock   00757K100      212     9600 SH       DEFINED    01           9600        0        0
ADVO INC                          Common Stock   007585102      564    27200 SH       DEFINED    01,03       27000        0      200
AERIAL COMMUNICATIONS INC         Common Stock   007655103      447    33100 SH       DEFINED    01          33100        0        0
AEROFLEX INC                      Common Stock   007768104      952    48200 SH       DEFINED    01,02       48200        0        0
AEROFLEX INC                      Common Stock   007768104       51     2600 SH       OTHER                   2600        0        0
ADVANCED MICRO-DEVICES            Common Stock   007903107      898    49718 SH       DEFINED    01,02,03    48218        0     1500
ADVENT SOFTWARE INC               Common Stock   007974108      221     3300 SH       DEFINED    01           3300        0        0
AETNA INC                         Common Stock   008117103     5281    59052 SH       DEFINED    01,03       54441        0     4611
AETNA INC                         Common Stock   008117103      254     2845 SH       OTHER                    424     2101      320
AFFILIATED COMPUTER SVCS INC      Common Stock   008190100     3889    76825 SH       DEFINED    01,02,03    69725        0     7100
AFFILIATED COMPUTER SVCS INC      Common Stock   008190100       76     1500 SH       OTHER                   1500        0        0
AFFILIATED MANAGERS GROUP INC     Common Stock   008252108      715    23700 SH       DEFINED    01,02       23700        0        0
AFFILIATED MANAGERS GROUP INC     Common Stock   008252108       11      350 SH       OTHER                    350        0        0
AFFYMETRIX INC                    Common Stock   00826T108      657    13300 SH       DEFINED    01,03       11500        0     1800
AFFYMETRIX INC                    Common Stock   00826T108      109     2200 SH       OTHER                   2200        0        0
AFTERMARKET TECHNOLOGY CORP       Common Stock   008318107       83     7300 SH       DEFINED    01           7300        0        0
AIR EXPRESS INTL                  Common Stock   009104100     1191    46928 SH       DEFINED    01,03       46728        0      200
AIR PRODUCTS & CHEMICAL INC       Common Stock   009158106     5102   126766 SH       DEFINED    01,02,03   119547     1840     5379
                                                                                                 04
AIR PRODUCTS & CHEMICAL INC       Common Stock   009158106      328     8161 SH       OTHER                   3401     3880      880
AIRBORNE FREIGHT CORP             Common Stock   009266107     1545    55796 SH       DEFINED    01,02,03    49196        0     6600
AIRBORNE FREIGHT CORP             Common Stock   009266107       28     1000 SH       OTHER                   1000        0        0
AIRGAS INC                        Common Stock   009363102     1201    98049 SH       DEFINED    01,03       73259        0    24790
AIRGAS INC                        Common Stock   009363102      160    13025 SH       OTHER                  13025        0        0
AIRTOUCH COMMUNICATIONS INC D     Common Stock   00949T100    27416   254660 SH       DEFINED    01,02,03   241541     3600     9519
                                                                                                 04
AIRTOUCH COMMUNICATIONS INC D     Common Stock   00949T100      829     7698 SH       OTHER                   7498      200        0
AIRTOUCH COMMUNIC PFD CV SER      Preferred Stock00949T308     1196     8100 PRN      DEFINED    01           8100        0        0
AIRTOUCH COMMUNIC PFD CV SER      Preferred Stock00949T308       15      100 PRN      OTHER                      0      100        0
ALASKA AIR GROUP INC              Common Stock   011659109     1257    30096 SH       DEFINED    01,03       26496        0     3600
ALBANY INTER CORP CL A            Common Stock   012348108      715    34062 SH       DEFINED    01,03       29971        0     4091
ALBEMARLE CORP                    Common Stock   012653101     1242    53704 SH       DEFINED    01,03       47304        0     6400
ALBERTO CULVER CO CLASS B         Common Stock   013068101      540    20289 SH       DEFINED    01,03       19589        0      700
ALBERTO CULVER CO CLASS B         Common Stock   013068101        4      140 SH       OTHER                      0        0      140
ALBERTO CULVER CO CLASS A         Common Stock   013068200      198     8704 SH       DEFINED    01           8704        0        0
ALBERTSONS INC                    Common Stock   013104104    25069   486182 SH       DEFINED    01,02,03   470261      300    15621
                                                                                                 04
ALBERTSONS INC                    Common Stock   013104104     3529    68432 SH       OTHER                  49161    18486      785
ALEXANDER & BALDWIN               Common Stock   014482103     2629   118149 SH       DEFINED    01,03       99849        0    18300
ALFA CORP                         Common Stock   015385107      540    27000 SH       DEFINED    01          27000        0        0
ALGOS PHARMACEUTICAL CORP         Common Stock   015869100      265    12000 SH       DEFINED    01,03       10700        0     1300
ALIANT COMMUNICATIONS INC         Common Stock   016090102     1895    41036 SH       DEFINED    01,03       36136        0     4900
ALKERMES INC                      Common Stock   01642T108      234    10100 SH       DEFINED    01,03        8100        0     2000
ALKERMES INC                      Common Stock   01642T108        1       59 SH       OTHER                     59        0        0
ALLEGHANY CORP NEW                Common Stock   017175100      958     5177 SH       DEFINED    01           5177        0        0
ALLEGHANY CORP NEW                Common Stock   017175100       17       90 SH       OTHER                      0        0       90
ALLEGHENY ENERGY INC              Common Stock   017361106     4538   141544 SH       DEFINED    01,02,03   124044        0    17500
ALLEGHENY ENERGY INC              Common Stock   017361106      224     7000 SH       OTHER                   2900     1000     3100
ALLEGHENY TELEDYNE INC            Common Stock   017415100     1516    67001 SH       DEFINED    01,02,03    64691        0     2310
ALLEGHENY TELEDYNE INC            Common Stock   017415100       20      898 SH       OTHER                    898        0        0
ALLEN TELECOM INC                 Common Stock   018091108      378    34400 SH       DEFINED    01,03       34400        0        0
ALLERGAN INC                      Common Stock   018490102     3608    32502 SH       DEFINED    01,02,03    23207        0     9295
ALLERGAN INC                      Common Stock   018490102      605     5453 SH       OTHER                   1433      200     3820
ALLIANCE PHARMACEUTICAL CORP      Common Stock   018773101      171    65288 SH       DEFINED    01,03       65288        0        0
ALLIANCE SEMICONDUCTOR CORP       Common Stock   01877H100      236    23750 SH       DEFINED    01          23750        0        0
ALLIANT TECHSYSTEMS INC           Common Stock   018804104     1140    13175 SH       DEFINED    01,03       13175        0        0
ALLIED SIGNAL INC                 Common Stock   019512102    14493   230049 SH       DEFINED    01,02,03   207934        0    22115
ALLIED SIGNAL INC                 Common Stock   019512102     1532    24311 SH       OTHER                  22936      500      875
ALLIED WASTE INDS INC             Common Stock   019589308     4240   214698 SH       DEFINED    01,02,03   189098        0    25600
ALLIED WASTE INDS INC             Common Stock   019589308     5787   292999 SH       OTHER                 292999        0        0
ALLMERICA FINANCIAL CORP          Common Stock   019754100     4415    72598 SH       DEFINED    01,03       64998        0     7600
ALLMERICA FINANCIAL CORP          Common Stock   019754100       45      744 SH       OTHER                    744        0        0
ALLSTATE CORP                     Common Stock   020002101    13876   386774 SH       DEFINED    01,02,03   362971        0    23803
                                                                                                 04
ALLSTATE CORP                     Common Stock   020002101     1099    30639 SH       OTHER                  17907     4346     8386
ALLTEL CORP                       Common Stock   020039103    15082   210931 SH       DEFINED    01,02,03   200962      350     9619
                                                                                                 04
ALLTEL CORP                       Common Stock   020039103     3273    45774 SH       OTHER                  39968     3591     2215
ALPHA INDS INC                    Common Stock   020753109     1119    23490 SH       DEFINED    01,03       23400        0       90
ALPHARMA INC                      Common Stock   020813101     2367    66556 SH       DEFINED    01,02,03    63090        0     3466
ALPHARMA INC                      Common Stock   020813101       23      635 SH       OTHER                    635        0        0
ALTERA CORP                       Common Stock   021441100    16102   437395 SH       DEFINED    01,02,03   400535        0    36860
ALTERA CORP                       Common Stock   021441100      510    13850 SH       OTHER                  12650        0     1200
ALTEON INC                        Common Stock   02144G107       11    15000 SH       OTHER                  15000        0        0
ALTERNATIVE RESOURCES CORP        Common Stock   02145R102       67     9600 SH       DEFINED    01           9600        0        0
ALZA CORP                         Common Stock   022615108     2488    48910 SH       DEFINED    01,03       35550        0    13360
ALZA CORP                         Common Stock   022615108       41      800 SH       OTHER                    800        0        0
ALZA CORP CONV                    Other          022615AD0       21    15000 SH       DEFINED    01              0        0    15000
AMAZON COM INC                    Common Stock   023135106     8913    71235 SH       DEFINED    01          71235        0        0
AMAZON COM INC                    Common Stock   023135106       38      300 SH       OTHER                    300        0        0
AMBAC FINANCIAL GROUP INC         Common Stock   023139108     5160    90320 SH       DEFINED    01,02,03    74665        0    15655
AMBAC FINANCIAL GROUP INC         Common Stock   023139108      226     3955 SH       OTHER                   1595        0     2360
AMCAST INDUSTRIAL CORP            Common Stock   023395106      188    11500 SH       DEFINED    01,03       11500        0        0
AMCOL INTERNATIONAL CORP          Common Stock   02341W103      480    33400 SH       DEFINED    01,03       33400        0        0
AMERADA HESS CORP                 Common Stock   023551104     1912    32130 SH       DEFINED    01,02,03    30930        0     1200
AMERADA HESS CORP                 Common Stock   023551104       21      350 SH       OTHER                      0        0      350
AMERCO INC                        Common Stock   023586100      371    16500 SH       DEFINED    01          16500        0        0
AMERICA ONLINE INC                Common Stock   02364J104    44712   406476 SH       DEFINED    01,02,03   389624        0    16852
                                                                                                 04
AMERICA ONLINE INC                Common Stock   02364J104      525     4769 SH       OTHER                   2669        0     2100
AMERICA WEST HLDS CORP CL B       Common Stock   023657208     1076    57000 SH       DEFINED    01,02       56700        0      300
AMERICA WEST HLDS CORP CL B       Common Stock   023657208        8      420 SH       OTHER                    420        0        0
AMERICAN ANNUITY GROUP INC        Common Stock   023840101      686    28300 SH       DEFINED    01          28300        0        0
AMCORE FINL INC                   Common Stock   023912108      334    14475 SH       DEFINED    01          14475        0        0
AMERICAN BANKERS INS GRP          Common Stock   024456105     3058    56169 SH       DEFINED    01,02,03    56169        0        0
AMERICAN BUSINESS PRODS INC G     Common Stock   024763104      147     9650 SH       DEFINED    01           9650        0        0
AMERICAN CLASSIC VOYAGER CO       Common Stock   024928103      252    10500 SH       DEFINED    01          10500        0        0
AMERICAN ELEC PWR INC             Common Stock   025537101     3288    87534 SH       DEFINED    01,02,03    82210      834     4490
AMERICAN ELEC PWR INC             Common Stock   025537101       81     2165 SH       OTHER                   1685      480        0
AMERICAN EXPRESS CR               Common Stock   025816109    24789   190503 SH       DEFINED    01,03,04   182378     1200     6925
AMERICAN EXPRESS CR               Common Stock   025816109     1907    14656 SH       OTHER                  14144      332      180
AMERICAN FREIGHTWAYS CORP         Common Stock   02629V108      777    39700 SH       DEFINED    01,03       39700        0        0
AMERICAN GENERAL CORP             Common Stock   026351106     6893    91453 SH       DEFINED    01,02,03    88491        0     2962
                                                                                                 04
AMERICAN GENERAL CORP             Common Stock   026351106      779    10339 SH       OTHER                   8676     1663        0
AMERICAN GREETINGS CORP CL A      Common Stock   026375105     1036    34389 SH       DEFINED    01,02,03    26314        0     8075
AMERICAN GREETINGS CORP CL A      Common Stock   026375105      211     6995 SH       OTHER                   6925        0       70
AMERICAN HERITAGE LIFE INVT C     Common Stock   026522102      471    19220 SH       DEFINED    01          19000        0      220
AMERICAN HOME PRODS CORP          Common Stock   026609107    71778  1251036 SH       DEFINED    01,02,03  1034442    11350   205244
                                                                                                 04
AMERICAN HOME PRODS CORP          Common Stock   026609107    24081   419705 SH       OTHER                 330835    66878    21992
AMERICAN INTL GROUP INC           Common Stock   026874107   119642  1020404 SH       DEFINED    01,02,03   971058     2350    46996
                                                                                                 04
AMERICAN INTL GROUP INC           Common Stock   026874107    24541   209309 SH       OTHER                 160291    36911    12107
AMERICAN ITALIAN PASTA CO         Common Stock   027070101      264     8700 SH       DEFINED    01           8700        0        0
AMERICAN MANAGEMENT SYSTEMS       Common Stock   027352103     1733    54050 SH       DEFINED    01,03       53320        0      730
AMERICAN MOBILE SATELLITE COR     Common Stock   02755R103      236    14400 SH       DEFINED    01          14400        0        0
AMERICAN NATL INS CO              Common Stock   028591105     1503    21100 SH       DEFINED    01          21100        0        0
AMERICAN RETIREMENT CORP          Common Stock   028913101       81     6500 SH       DEFINED    01,03        5200        0     1300
AMERICAN RETIREMENT CORP          Common Stock   028913101        9      700 SH       OTHER                    700        0        0
AMERICAN PWR CONVERSION CORP      Common Stock   029066107     4842   240610 SH       DEFINED    01,02,03   213810        0    26800
AMERICAN PWR CONVERSION CORP      Common Stock   029066107       43     2140 SH       OTHER                    140        0     2000
AMERICAN STANDARD COS INC         Common Stock   029712106     3912    81505 SH       DEFINED    01,02,03    71905        0     9600
AMERICAN STANDARD COS INC         Common Stock   029712106       43      900 SH       OTHER                    900        0        0
AMERICAN WATER WORKS CO           Common Stock   030411102     2888    93913 SH       DEFINED    01,02,03    82413        0    11500
AMERICAN WATER WORKS CO           Common Stock   030411102       49     1600 SH       OTHER                   1000        0      600
AMERICAN WOODMARK CORP            Common Stock   030506109       56     1600 SH       DEFINED    01           1600        0        0
AMERICREDIT CORP                  Common Stock   03060R101     2351   146940 SH       DEFINED    01,03      146940        0        0
AMERICREDIT CORP                  Common Stock   03060R101       99     6160 SH       OTHER                   3590     2570        0
AMERIPATH INC                     Common Stock   03071D109       30     3450 SH       DEFINED    01           3450        0        0
AMERISOURCE HEALTH CORP CL A      Common Stock   03071P102      842    33005 SH       DEFINED    01,03       28345        0     4660
AMERITRADE HLDG CORP CL A         Common Stock   03072H109     1765    16650 SH       DEFINED    01          16600        0       50
AMERUS LIFE HLDGS INC CL A        Common Stock   030732101      493    18257 SH       DEFINED    01          18257        0        0
AMES DEPT STORES INC              Common Stock   030789507     1601    35100 SH       DEFINED    01,03       35100        0        0
AMERITECH CORP NEW                Common Stock   030954101    39979   543933 SH       DEFINED    01,02,03   509638        0    34295
                                                                                                 04
AMERITECH CORP NEW                Common Stock   030954101    14833   201816 SH       OTHER                 140341    50052    11423
AMETEK INC NEW                    Common Stock   031100100      869    37765 SH       DEFINED    01,03       33365        0     4400
AMETEK INC NEW                    Common Stock   031100100       34     1500 SH       OTHER                   1500        0        0
AMF BOWLING INC                   Common Stock   03113V109      272    32200 SH       DEFINED    01          32200        0        0
AMGEN INC                         Common Stock   031162100    39825   654217 SH       DEFINED    01,02,03   562490      200    91527
                                                                                                 04
AMGEN INC                         Common Stock   031162100     6710   110219 SH       OTHER                 102124     5455     2640
AMRESCO INC                       Common Stock   031909104      389    60400 SH       DEFINED    01,03       60400        0        0
AMSOUTH BANCORPORATION            Common Stock   032165102     1581    68170 SH       DEFINED    01,02,03    64320        0     3850
ANADARKO PETE CORP                Common Stock   032511107     1661    45129 SH       DEFINED    01,02,03    40629        0     4500
ANADARKO PETE CORP                Common Stock   032511107       20      556 SH       OTHER                    556        0        0
ANADIGICS INC                     Common Stock   032515108      581    15700 SH       DEFINED    01          15700        0        0
ANADIGICS INC                     Common Stock   032515108        4      100 SH       OTHER                      0      100        0
ANALOG DEVICES INC                Common Stock   032654105     9284   184990 SH       DEFINED    01,02,03   162990        0    22000
ANALOGIC CORP                     Common Stock   032657207      504    16200 SH       DEFINED    01,03       16200        0        0
ANALYSTS INTL CORP                Common Stock   032681108      406    28250 SH       DEFINED    01,03       28250        0        0
ANCHOR BANCORP WIS INC            Common Stock   032839102      542    30400 SH       DEFINED    01,03       30400        0        0
ANCHOR GAMING                     Common Stock   033037102      711    14800 SH       DEFINED    01,03       14800        0        0
ANDREW CORP                       Common Stock   034425108      545    28797 SH       DEFINED    01,03       27879        0      918
ANDRX CORP                        Common Stock   034551101     1160    15040 SH       DEFINED    01,03       12520        0     2520
ANGELICA CORP                     Common Stock   034663104      192    10900 SH       DEFINED    01,03       10900        0        0
ANGELICA CORP                     Common Stock   034663104        0        6 SH       OTHER                      6        0        0
ANHEUSER-BUSCH COS                Common Stock   035229103    17517   246931 SH       DEFINED    01,02,03   237480        0     9451
                                                                                                 04
ANHEUSER-BUSCH COS                Common Stock   035229103     3562    50207 SH       OTHER                  32077     9560     8570
ANIKA THERAPEUTICS INC            Common Stock   035255108      155    18190 SH       DEFINED    01,04       18190        0        0
ANIXTER INTERNATIONAL INC         Common Stock   035290105      819    44900 SH       DEFINED    01,03       44900        0        0
ANNTAYLOR STORES CORP             Common Stock   036115103     1467    32605 SH       DEFINED    01,03       32445        0      160
ANTEC CORP                        Common Stock   03664P105      455    14200 SH       DEFINED    01          14200        0        0
AON CORPORATION                   Common Stock   037389103     3962    96055 SH       DEFINED    01,02,03    93055        0     3000
AON CORPORATION                   Common Stock   037389103      280     6793 SH       OTHER                   6793        0        0
APACHE CORP                       Common Stock   037411105     1524    39075 SH       DEFINED    01,02,03    37775        0     1300
APACHE CORP                       Common Stock   037411105        5      140 SH       OTHER                      0        0      140
APOGEE ENTERPRISES INC            Common Stock   037598109      461    34300 SH       DEFINED    01,03       34300        0        0
APHTON CORP                       Common Stock   03759P101      143    10200 SH       DEFINED    01,03        8800        0     1400
APOLLO GROUP INC CL A             Common Stock   037604105     2392    90055 SH       DEFINED    01,02,03    79355        0    10700
APPLE COMPUTER INC                Common Stock   037833100     2663    57491 SH       DEFINED    01,02,03    53991        0     3500
APPLE COMPUTER INC                Common Stock   037833100       46     1000 SH       OTHER                   1000        0        0
APPLEBEES INTL INC                Common Stock   037899101     1156    38360 SH       DEFINED    01,03       37430        0      930
APPLEBEES INTL INC                Common Stock   037899101       31     1020 SH       OTHER                    200        0      820
APRIA HEALTHCARE GROUP INC        Common Stock   037933108     1208    71084 SH       DEFINED    01,03       57164        0    13920
APPLIED GRAPHICS TECHNOLGIES      Common Stock   037937109      134    10600 SH       DEFINED    01          10600        0        0
APPLIED ANALYTICAL INDS INC       Common Stock   037939105      117    10400 SH       DEFINED    01,03        9100        0     1300
APEX PC SOLUTIONS INC             Common Stock   037945102      698    34025 SH       DEFINED    01,02       34025        0        0
APEX PC SOLUTIONS INC             Common Stock   037945102       10      475 SH       OTHER                    475        0        0
APPLIED INDUSTRIAL TECH INC       Common Stock   03820C105      522    27500 SH       DEFINED    01,03       27500        0        0
APPLIED MAGNETICS                 Common Stock   038213104      163    52200 SH       DEFINED    01,03       52200        0        0
APPLIED MATLS INC                 Common Stock   038222105    11501   155686 SH       DEFINED    01,02,03   145131        0    10555
                                                                                                 04
APPLIED MATLS INC                 Common Stock   038222105      564     7630 SH       OTHER                   7560        0       70
APPLIED PWR INC                   Common Stock   038225108     1329    48650 SH       DEFINED    01,03       48610        0       40
APTARGROUP INC                    Common Stock   038336103     1360    45340 SH       DEFINED    01,03       45300        0       40
APTARGROUP INC                    Common Stock   038336103       60     2000 SH       OTHER                   2000        0        0
AQUARION CO                       Common Stock   03838W101      493    14100 SH       DEFINED    01,03       14100        0        0
ARCADIA FINANCIAL LTD             Common Stock   039101100       64     8200 SH       DEFINED    01           8200        0        0
ARCATA CLASS ACTION ACTION 2N     Common Stock   039375910        0    10976 SH       DEFINED    01          10976        0        0
ARCATA CLASS ACTION ACTION 2N     Common Stock   039375910        0     3200 SH       OTHER                   3200        0        0
ARCHER DANIELS MIDLAND CO         Common Stock   039483102     3486   225786 SH       DEFINED    01,02,03   206517        0    19269
                                                                                                 04
ARCHER DANIELS MIDLAND CO         Common Stock   039483102      112     7275 SH       OTHER                   5490      355     1430
ARCTIC CAT INC                    Common Stock   039670104      303    33925 SH       DEFINED    01,03       33925        0        0
ARGONAUT GROUP INC                Common Stock   040157109      384    16000 SH       DEFINED    01          16000        0        0
ARKANSAS BEST CORP                Common Stock   040790107      243    24500 SH       DEFINED    01,03       24500        0        0
ARMCO INC                         Common Stock   042170100      450    67900 SH       DEFINED    01          67900        0        0
ARMCO INC                         Common Stock   042170100       26     3990 SH       OTHER                    990        0     3000
ARMOR HLDGS INC                   Common Stock   042260109       35     3400 SH       DEFINED    01           3400        0        0
ARMSTRONG WORLD INDUSTRIES        Common Stock   042476101      874    15122 SH       DEFINED    01,02,03    14622        0      500
ARMSTRONG WORLD INDUSTRIES        Common Stock   042476101       60     1035 SH       OTHER                   1035        0        0
ARNOLD INDS INC                   Common Stock   042595108      437    28308 SH       DEFINED    01,03       25008        0     3300
ARROW ELECTRONICS INC             Common Stock   042735100     2187   115090 SH       DEFINED    01,03      101940        0    13150
ARROW ELECTRONICS INC             Common Stock   042735100       11      600 SH       OTHER                    120        0      480
ARROW INTL INC                    Common Stock   042764100      538    20800 SH       DEFINED    01,03       17700        0     3100
ARVIN INDS INC                    Common Stock   043339100     1131    29872 SH       DEFINED    01,03       26472        0     3400
ASARCO INC                        Common Stock   043413103      262    13903 SH       DEFINED    01,03       13403        0      500
ASCEND COMMUNICATIONS INC         Common Stock   043491109       34      325 SH       DEFINED    01,02         325        0        0
ASCENT ENTERTAINMENT GROUP        Common Stock   043628106      294    20820 SH       DEFINED    01          20820        0        0
ASHLAND INC                       Common Stock   044204105     1048    26126 SH       DEFINED    01,02,03    25326        0      800
ASHWORTH INC                      Common Stock   04516H101       81    17500 SH       DEFINED    01,03       17500        0        0
ASPECT DEVELOPMENT INC            Common Stock   045234101      200    10800 SH       DEFINED    01          10800        0        0
ASPECT TELECOMMUNICATIONS COR     Common Stock   045237104      624    64000 SH       DEFINED    01,03       64000        0        0
ASPEN TECHNOLOGY INC              Common Stock   045327103      365    31100 SH       DEFINED    01,03       31100        0        0
ASSISTED LIVING CONCEPTS INC      Common Stock   04543L109      198    68990 SH       DEFINED    01,02       68990        0        0
ASSISTED LIVING CONCEPTS INC      Common Stock   04543L109       30    10530 SH       OTHER                   8230     2300        0
ASSOCIATED BANC CORP              Common Stock   045487105     3046    73407 SH       DEFINED    01,02,03    64216        0     9191
ASSOCIATED GROUP INC CL A         Common Stock   045651106      996    15300 SH       DEFINED    01          15300        0        0
ASSOCIATED GROUP INC CL B         Common Stock   045651205     1232    18900 SH       DEFINED    01          18900        0        0
AT HOME CORP SER A                Common Stock   045919107     3957    73354 SH       DEFINED    01          73354        0        0
AT HOME CORP SER A                Common Stock   045919107       56     1040 SH       OTHER                   1040        0        0
ENTERTAINMENT INC                 Common Stock   045920105      621    33100 SH       DEFINED    01          33100        0        0
ASSOCIATES FIRST CAP CORP         Common Stock   046008108    52505  1189907 SH       DEFINED    01,02,03  1127818     2052    60037
                                                                                                 04
ASSOCIATES FIRST CAP CORP         Common Stock   046008108   246126  5577920 SH       OTHER                 145897   117964  5314059
ASTEC INDS INC                    Common Stock   046224101      966    23700 SH       DEFINED    01,03       23700        0        0
ASTORIA FINANCIAL CORP            Common Stock   046265104     2790    63499 SH       DEFINED    01,02,03    55859        0     7640
ASYST TECHNOLOGIES INC            Common Stock   04648X107      156     5200 SH       DEFINED    01           5200        0        0
ATLANTIC COAST AIRLINES HLDGS     Common Stock   048396105        1       35 SH       DEFINED    01              0        0       35
ATLANTIC RICHFIELD CO             Common Stock   048825103    14269   170753 SH       DEFINED    01,02,03   165767        0     4986
                                                                                                 04
ATLANTIC RICHFIELD CO             Common Stock   048825103     5190    62105 SH       OTHER                  43261    15008     3836
ATLAS AIR INC                     Common Stock   049164106      639    19800 SH       DEFINED    01          19800        0        0
ATMEL CORP                        Common Stock   049513104     3077   117492 SH       DEFINED    01,02,03   103792        0    13700
ATMOS ENERGY CORP                 Common Stock   049560105      962    38500 SH       DEFINED    01,03       38500        0        0
ATMOS ENERGY CORP                 Common Stock   049560105       73     2934 SH       OTHER                   2100        0      834
ATWOOD OCEANICS INC               Common Stock   050095108      191     6100 SH       DEFINED    01           6100        0        0
AUSPEX SYS INC                    Common Stock   052116100      357    32800 SH       DEFINED    01,03       32800        0        0
AUTHENTIC FITNESS CORP            Common Stock   052661105      502    28700 SH       DEFINED    01,03       28700        0        0
AUTODESK INC (DEL)                Common Stock   052769106      601    20341 SH       DEFINED    01,02,03    19641        0      700
AUTODESK INC (DEL)                Common Stock   052769106        4      120 SH       OTHER                      0        0      120
AUTOLIV INC                       Common Stock   052800109     2113    69849 SH       DEFINED    01,03       68849        0     1000
AUTOLIV INC                       Common Stock   052800109       20      661 SH       OTHER                    661        0        0
AUTOCAM CORP                      Common Stock   052907102       14     1046 SH       DEFINED    01           1046        0        0
AUTOMATIC DATA PROCESSING INC     Common Stock   053015103    46618  1059506 SH       DEFINED    01,02,03  1000746     2250    56510
                                                                                                 04
AUTOMATIC DATA PROCESSING INC     Common Stock   053015103    11479   260881 SH       OTHER                 215483    33733    11665
AUTOZONE INC                      Common Stock   053332102     1570    52122 SH       DEFINED    01,02,03    50522        0     1600
AVANT CORPORATION                 Common Stock   053487104      102     8100 SH       DEFINED    01           8100        0        0
AVERY DENNISON CORP               Common Stock   053611109    29202   483679 SH       DEFINED    01,02,03   462644      900    20135
                                                                                                 04
AVERY DENNISON CORP               Common Stock   053611109     5996    99317 SH       OTHER                  87812     6580     4925
AVIALL INC NEW                    Common Stock   05366B102      237    12600 SH       DEFINED    01          12600        0        0
AVIATION SALES CO                 Common Stock   053672101      723    18305 SH       DEFINED    01,03       18305        0        0
AVID TECHNOLOGY INC               Common Stock   05367P100      484    30000 SH       DEFINED    01,03       30000        0        0
AVIS FLOWERS WORLDWIDE INC        Common Stock   053778106        0    72866 SH       DEFINED    01          72866        0        0
AVIS RENT A CAR INC               Common Stock   053790101      300    10300 SH       DEFINED    01          10300        0        0
AVNET INC                         Common Stock   053807103     1897    40802 SH       DEFINED    01,03       35802        0     5000
AVNET INC                         Common Stock   053807103        3       75 SH       OTHER                      0        0       75
AVON PRODUCTS INC                 Common Stock   054303102     6782   122207 SH       DEFINED    01,02,03   112726        0     9481
AVON PRODUCTS INC                 Common Stock   054303102      168     3030 SH       OTHER                   1445      600      985
AVONDALE INDS INC                 Common Stock   054350103      367     9400 SH       DEFINED    01           9400        0        0
AWARE INC MASS                    Common Stock   05453N100      364     7900 SH       DEFINED    01           7900        0        0
AZTAR CORP                        Common Stock   054802103      522    56821 SH       DEFINED    01,03       56821        0        0
B B & T CORPORATION               Common Stock   054937107     4130   112581 SH       DEFINED    01,02,03   108981        0     3600
BHC COMMUNICATIONS INC CL A       Common Stock   055448104     1742    13400 SH       DEFINED    01          13400        0        0
BHC COMMUNICATIONS INC CL A       Common Stock   055448104       32      250 SH       OTHER                    250        0        0
BISYS GROUP INC                   Common Stock   055472104     1971    33700 SH       DEFINED    01,03       33700        0        0
BJ SVCS CO                        Common Stock   055482103     2401    81572 SH       DEFINED    01,03       71742        0     9830
BJS WHOLESALE CLUB INC            Common Stock   05548J106     2576    85680 SH       DEFINED    01,03       75580        0    10100
BMC INDS INC                      Common Stock   055607105      352    34100 SH       DEFINED    01,03       34100        0        0
BOK FINL CORP COM NEW             Common Stock   05561Q201      539    21328 SH       DEFINED    01          21328        0        0
BMC SOFTWARE INC                  Common Stock   055921100    31285   579359 SH       DEFINED    01,02,03   552354     2450    24555
                                                                                                 04
BMC SOFTWARE INC                  Common Stock   055921100     3088    57176 SH       OTHER                  53131     1105     2940
BACOU USA INC                     Common Stock   056439102      166     9700 SH       DEFINED    01,03        8300        0     1400
BAKER HUGHES INC                  Common Stock   057224107     3806   113614 SH       DEFINED    01,02,03   109824        0     3790
BAKER HUGHES INC                  Common Stock   057224107        2       50 SH       OTHER                     50        0        0
BAKER J INC                       Common Stock   057232100      151    17500 SH       DEFINED    01,03       17500        0        0
BALDOR ELEC CO                    Common Stock   057741100      898    45186 SH       DEFINED    01,03       45186        0        0
BALL CORP                         Common Stock   058498106      441    10437 SH       DEFINED    01,03       10037        0      400
BALLARD MED PRODS                 Common Stock   058566100      975    41833 SH       DEFINED    01,03       38433        0     3400
BALLARD PWR SYS INC               Common Stock   05858H104      176     5500 SH       DEFINED    01           5500        0        0
BALLYS TOTAL FITNESS HLDG         Common Stock   05873K108      365    12850 SH       DEFINED    01          12850        0        0
BANCORPSOUTH INC                  Common Stock   059692103      504    27780 SH       DEFINED    01          27780        0        0
BANCTEC INC                       Common Stock   059784108      436    24325 SH       DEFINED    01,03       24325        0        0
BANDAG INC                        Common Stock   059815100      864    24900 SH       DEFINED    01,03       22000        0     2900
BANDAG INC                        Common Stock   059815100        3      100 SH       OTHER                    100        0        0
BANK GRANITE CORP                 Common Stock   062401104      260    10543 SH       DEFINED    01          10543        0        0
BANK NEW YORK INC                 Common Stock   064057102    10227   278763 SH       DEFINED    01,02,03   261512        0    17251
                                                                                                 04
BANK NEW YORK INC                 Common Stock   064057102      232     6310 SH       OTHER                   4140        0     2170
BANK UNITED CORP CL A             Common Stock   065412108      884    22000 SH       DEFINED    01          22000        0        0
BANK UNITED CORP CL A             Common Stock   065412108        4       90 SH       OTHER                      0        0       90
BENDALL CORP                      Common Stock   066000902      250    20000 SH       DEFINED    01          20000        0        0
BANKBOSTON CORP                   Common Stock   06605R106     6332   123859 SH       DEFINED    01,02,03   111054        0    12805
BANKBOSTON CORP                   Common Stock   06605R106      387     7560 SH       OTHER                   4110        0     3450
BANKNORTH GROUP INC DEL           Common Stock   06646L100      954    28900 SH       DEFINED    01,03       28900        0        0
BANTA CORP                        Common Stock   066821109      729    34702 SH       DEFINED    01,03       30927        0     3775
BANTA CORP                        Common Stock   066821109        1       30 SH       OTHER                      0        0       30
BARD C R INC                      Common Stock   067383109     1167    24406 SH       DEFINED    01,02,03    17206        0     7200
BARD C R INC                      Common Stock   067383109       77     1600 SH       OTHER                      0     1600        0
BARNES & NOBLE INC                Common Stock   067774109     2161    78928 SH       DEFINED    01,03       69528        0     9400
BARNES GROUP INC                  Common Stock   067806109      968    44500 SH       DEFINED    01,03,04    42500        0     2000
BARNETT INC                       Common Stock   068062108       74     9800 SH       DEFINED    01           9800        0        0
BARR LABORATORIES INC             Common Stock   068306109     1234    30950 SH       DEFINED    01,03       28400        0     2550
BARRA INC                         Common Stock   068313105      121     4800 SH       DEFINED    01           4800        0        0
BARRETT RES CORP COM PAR $0.0     Common Stock   068480201     1547    40310 SH       DEFINED    01,03,04    40310        0        0
BASSETT FURNITURE INDS INC        Common Stock   070203104      362    15831 SH       DEFINED    01,03       15831        0        0
BATTLE MOUNTAIN GOLD              Common Stock   071593107      194    79379 SH       DEFINED    01,03       77079        0     2300
BAUSCH & LOMB INC                 Common Stock   071707103     2237    29244 SH       DEFINED    01,02,03    21744        0     7500
                                                                                                 04
BAXTER INTERNATIONAL INC          Common Stock   071813109     9922   163661 SH       DEFINED    01,02,03   121588        0    42073
                                                                                                 04
BAXTER INTERNATIONAL INC          Common Stock   071813109     2463    40622 SH       OTHER                  38850      300     1472
BAY VIEW CAP CORP CALIF           Common Stock   07262L101      178     8700 SH       DEFINED    01           8700        0        0
BAY VIEW CAP CORP CALIF           Common Stock   07262L101        6      284 SH       OTHER                    284        0        0
BE AEROSPACE INC                  Common Stock   073302101      583    31215 SH       DEFINED    01,03       31215        0        0
BEA SYSTEMS INC                   Common Stock   073325102      560    19600 SH       DEFINED    01          19500      100        0
BEAR STEARNS COS INC              Common Stock   073902108     1947    41656 SH       DEFINED    01,02,03    38572        0     3084
BEAR STEARNS COS INC              Common Stock   073902108       14      306 SH       OTHER                      0        0      306
BEAZER HOMES USA INC              Common Stock   07556Q105       74     3200 SH       DEFINED    01           3200        0        0
BECTON DICKINSON & CO             Common Stock   075887109     4075   135821 SH       DEFINED    01,02,03    98666        0    37155
BECTON DICKINSON & CO             Common Stock   075887109       34     1120 SH       OTHER                    710        0      410
BED BATH & BEYOND INC             Common Stock   075896100     7009   182057 SH       DEFINED    01,02,03   160772        0    21285
BED BATH & BEYOND INC             Common Stock   075896100      309     8020 SH       OTHER                   6950        0     1070
BELCO OIL & GAS CORP              Common Stock   077410108      128    18400 SH       DEFINED    01          18400        0        0
BELDEN INC                        Common Stock   077459105      728    30400 SH       DEFINED    01,03       30400        0        0
BELL & HOWELL CO                  Common Stock   077852101      458    12100 SH       DEFINED    01          12100        0        0
BELL ATLANTIC CORP                Common Stock   077853109    50650   774754 SH       DEFINED    01,02,03   724095      300    50359
                                                                                                 04
BELL ATLANTIC CORP                Common Stock   077853109     7460   114110 SH       OTHER                  89609    18064     6437
BELL CDA INTL INC                 Common Stock   077914109      141    11200 SH       DEFINED    01          11200        0        0
BELLSOUTH CORP                    Common Stock   079860102    44614   967233 SH       DEFINED    01,02,03   908678        0    58555
                                                                                                 04
BELLSOUTH CORP                    Common Stock   079860102    15336   332480 SH       OTHER                 202646   107960    21874
BELO A H CORP SER A               Common Stock   080555105     2972   150938 SH       DEFINED    01,02,03   123638        0    27300
BELO A H CORP SER A               Common Stock   080555105      119     6025 SH       OTHER                   6025        0        0
BEMIS INC                         Common Stock   081437105      860    21629 SH       DEFINED    01,02,03    18549        0     3080
BEMIS INC                         Common Stock   081437105      540    13575 SH       OTHER                   9175     4400        0
BENCHMARK ELECTRONICS INC         Common Stock   08160H101      665    18500 SH       DEFINED    01,03       18500        0        0
BENTON OIL & GAS CO               Common Stock   083288100       74    36900 SH       DEFINED    01,03       36900        0        0
BERGEN BRUNSWIG CORP CL A         Common Stock   083739102     3140   182003 SH       DEFINED    01,02,03   149666        0    32337
BERGEN BRUNSWIG CORP CL A         Common Stock   083739102        3      180 SH       OTHER                      0        0      180
BERINGER WINE ESTATES HLDGS I     Common Stock   084102102      217     5200 SH       DEFINED    01           5200        0        0
BERKLEY W R                       Common Stock   084423102      550    22000 SH       DEFINED    01          22000        0        0
BERKSHIRE HATHAWAY INC DEL        Common Stock   084670108    44234      642 SH       DEFINED    01            642        0        0
BERKSHIRE HATHAWAY INC DEL        Common Stock   084670108     5236       76 SH       OTHER                      1        0       75
BERKSHIRE HATHAWAY INC CL B       Common Stock   084670207     1142      510 SH       DEFINED    01            462        0       48
BERKSHIRE HATHAWAY INC CL B       Common Stock   084670207      363      162 SH       OTHER                    144        0       18
BERRY PETE CO                     Common Stock   085789105      192    13800 SH       DEFINED    01          13800        0        0
BEST BUY INC                      Common Stock   086516101    16142   239143 SH       DEFINED    01,02,03   210163        0    28980
BEST BUY INC                      Common Stock   086516101       34      500 SH       OTHER                    500        0        0
BEST SOFTWARE INC                 Common Stock   086579109       32     2000 SH       DEFINED    01           2000        0        0
BETHLEHEM STEEL CORP              Common Stock   087509105      342    44470 SH       DEFINED    01,03       43270        0     1200
BETHLEHEM STEEL CORP              Common Stock   087509105        2      245 SH       OTHER                    245        0        0
BILLING CONCEPTS CORP             Common Stock   090063108      519    46400 SH       DEFINED    01,03       46400        0        0
BINDLEY WESTN INDS INC            Common Stock   090324104     1103    47844 SH       DEFINED    01,02,03    43999        0     3845
BINDLEY WESTN INDS INC            Common Stock   090324104       41     1776 SH       OTHER                   1776        0        0
BINGHAM FINL SVCS CORP            Common Stock   090433103        5      400 SH       DEFINED    01            400        0        0
BIO TECHNOLOGY GEN CORP           Common Stock   090578105      462    71000 SH       DEFINED    01,03       65000        0     6000
BIOGEN INC                        Common Stock   090597105     8262   128459 SH       DEFINED    01,02,03    89299        0    39160
BIOGEN INC                        Common Stock   090597105     2450    38100 SH       OTHER                  38100        0        0
BIOMATRIX INC                     Common Stock   09060P102      656    30400 SH       DEFINED    01,03       28600        0     1800
BIOMATRIX INC                     Common Stock   09060P102      224    10400 SH       OTHER                  10000        0      400
BIOMET INC                        Common Stock   090613100    22200   558484 SH       DEFINED    01,02,03   523174     1575    33735
                                                                                                 04
BIOMET INC                        Common Stock   090613100     2735    68815 SH       OTHER                  60315     4700     3800
BIOVAIL CORP INTL                 Common Stock   09067K106      802    15700 SH       DEFINED    01,03       15500        0      200
BIRMINGHAM STEEL CORP             Common Stock   091250100      157    36950 SH       DEFINED    01,03       36950        0        0
BIRMINGHAM STEEL CORP             Common Stock   091250100        0      100 SH       OTHER                    100        0        0
BLACK & DECKER CORP               Common Stock   091797100     2194    34761 SH       DEFINED    01,02,03    29781        0     4980
BLACK & DECKER CORP               Common Stock   091797100      718    11370 SH       OTHER                   9880        0     1490
BLACK BOX CORPORATION             Common Stock   091826107      743    14830 SH       DEFINED    01          14800        0       30
BLACK HILLS CORP                  Common Stock   092113109      705    30469 SH       DEFINED    01,03,04    27394        0     3075
BLACK HILLS CORP                  Common Stock   092113109      226     9774 SH       OTHER                   9774        0        0
BLAIR CORPORATION                 Common Stock   092828102      151     5600 SH       DEFINED    01           5600        0        0
BLANCH E W HLDGS INC              Common Stock   093210102     1036    15200 SH       DEFINED    01,03       15200        0        0
BLOCK DRUGS INC CL A              Common Stock   093644102      493    11824 SH       DEFINED    01          11824        0        0
BLOCK H & R INC                   Common Stock   093671105     3647    72944 SH       DEFINED    01,02,03    66979      800     5165
                                                                                                 04
BLOCK H & R INC                   Common Stock   093671105     1720    34395 SH       OTHER                  17330    17000       65
BLOUNT INTL INC CL A              Common Stock   095177101     1256    46200 SH       DEFINED    01,03       46200        0        0
BLYTH INDS INC                    Common Stock   09643P108     1887    55500 SH       DEFINED    01,03       49000        0     6500
BOB EVANS FARMS                   Common Stock   096761101      960    48319 SH       DEFINED    01,03       42719        0     5600
BOEING CO                         Common Stock   097023105    17081   388203 SH       DEFINED    01,02,03   367004        0    21199
                                                                                                 04
BOEING CO                         Common Stock   097023105     1382    31411 SH       OTHER                  16525     3528    11358
BOISE CASCADE CORP                Common Stock   097383103     1446    33731 SH       DEFINED    01,02,03    32241        0     1490
                                                                                                 04
BOMBAY INC                        Common Stock   097924104      350    46612 SH       DEFINED    01,03       46612        0        0
BOOKS-A-MILLION INC               Common Stock   098570104      169    22500 SH       DEFINED    01,03       22500        0        0
BORDERS GROUP INC                 Common Stock   099709107     2351   148684 SH       DEFINED    01,03,04   138084        0    10600
BORDERS GROUP INC                 Common Stock   099709107       82     5173 SH       OTHER                   3320     1853        0
BORG-WARNER AUTOMOTIVE INC        Common Stock   099724106     1912    34771 SH       DEFINED    01,02,03    27912        0     6859
BORG-WARNER AUTOMOTIVE INC        Common Stock   099724106       11      200 SH       OTHER                      0        0      200
BORG WARNER SEC CORP              Common Stock   099733107      297    14600 SH       DEFINED    01          14600        0        0
BOSTON COMMUNICATIONS GROUP I     Common Stock   100582105       34     2500 SH       DEFINED    01           2500        0        0
BOSTON PPTYS INC                  Common Stock   101121101      708    19725 SH       DEFINED    01,02,03     9325        0    10400
BOSTON PPTYS INC                  Common Stock   101121101       14      400 SH       OTHER                    400        0        0
BOSTON SCIENTIFIC CORP            Common Stock   101137107    11181   254479 SH       DEFINED    01,02,03   197727     2000    54752
BOSTON SCIENTIFIC CORP            Common Stock   101137107      371     8440 SH       OTHER                   8440        0        0
BOWATER  INC                      Common Stock   102183100     2857    60311 SH       DEFINED    01,02,03    52793        0     7518
BOWATER  INC                      Common Stock   102183100        1       29 SH       OTHER                      0        0       29
BOWNE & CO INC                    Common Stock   103043105      615    46000 SH       DEFINED    01,03       46000        0        0
BOYD GAMING CORP                  Common Stock   103304101      244    34800 SH       DEFINED    01          34800        0        0
BOYKIN LODGING CO                 Common Stock   103430104       43     2800 SH       DEFINED    01,03           0        0     2800
BRADY CORPORATION CL A            Common Stock   104674106      916    28200 SH       DEFINED    01,03       28200        0        0
BREED TECHNOLOGIES INC            Common Stock   106702103      104    46000 SH       DEFINED    01,03       46000        0        0
BRENTON BKS INC                   Common Stock   107211104      140     9026 SH       DEFINED    01           9026        0        0
BRIGGS & STRATTON CORP            Common Stock   109043109      563     9742 SH       DEFINED    01,03        9442        0      300
BRIGGS & STRATTON CORP            Common Stock   109043109        2       40 SH       OTHER                     40        0        0
BRIGHTPOINT INC                   Common Stock   109473108      407    67135 SH       DEFINED    01,03       67135        0        0
BRINKER INTL INC                  Common Stock   109641100     2555    92906 SH       DEFINED    01,02,03    83831        0     9075
BRISTOL MYERS SQUIBB CO           Common Stock   110122108    98350  1396270 SH       DEFINED    01,02,03  1011008     2400   382862
                                                                                                 04
BRISTOL MYERS SQUIBB CO           Common Stock   110122108    26966   382831 SH       OTHER                 297803    50600    34428
BROADVISION INC                   Common Stock   111412102     1013    13730 SH       DEFINED    01          13540        0      190
BROOKTROUT INC                    Common Stock   114580103      106     6600 SH       DEFINED    01           6600        0        0
BROWN FORMAN CORP CL A            Common Stock   115637100      620    10400 SH       DEFINED    01          10400        0        0
BROWN FORMAN CORP CL B            Common Stock   115637209     1546    23723 SH       DEFINED    01,02,03    22923        0      800
BROWN TOM INC NEW                 Common Stock   115660201      205    13200 SH       DEFINED    01          13200        0        0
BROWNING FERRIS INDS INC          Common Stock   115885105     2636    61299 SH       DEFINED    01,02,03    59499        0     1800
BROWNING FERRIS INDS INC          Common Stock   115885105      163     3800 SH       OTHER                   1800     2000        0
BRUNSWICK CORP                    Common Stock   117043109     1106    39690 SH       DEFINED    01,02,03    38690        0     1000
BRUSH WELLMAN INC                 Common Stock   117421107      370    20400 SH       DEFINED    01,03       20400        0        0
BRUSH WELLMAN INC                 Common Stock   117421107       10      537 SH       OTHER                    537        0        0
BUCKEYE TECHNOLOGY INC            Common Stock   118255108      671    44200 SH       DEFINED    01,03       44200        0        0
BUCKLE INC                        Common Stock   118440106      395    13750 SH       DEFINED    01          13750        0        0
BUDGET GROUP INC                  Common Stock   119003101      323    26200 SH       DEFINED    01          26200        0        0
BUFFETS INC                       Common Stock   119882108      568    49398 SH       DEFINED    01,03       43498        0     5900
BUILDING MATERIALS HLDG CORP      Common Stock   120113105      183    15900 SH       DEFINED    01,03       15900        0        0
BURLINGTON COAT FACT WAREHS C     Common Stock   121579106      670    34680 SH       DEFINED    01          34680        0        0
BURLINGTON INDS INC               Common Stock   121693105      653    70550 SH       DEFINED    01,03       54450        0    16100
BURLINGTON NORTHERN SANTA FE      Common Stock   12189T104     7882   254272 SH       DEFINED    01,02,03   229658     4500    20114
                                                                                                 04
BURLINGTON NORTHERN SANTA FE      Common Stock   12189T104      495    15970 SH       OTHER                   8491     4536     2943
BURLINGTON RESOURCES INC          Common Stock   122014103     4420   102200 SH       DEFINED    01,02,03    89230        0    12970
                                                                                                 04
BURLINGTON RESOURCES INC          Common Stock   122014103      309     7144 SH       OTHER                   5737     1002      405
BURR BROWN CORP                   Common Stock   122574106     1676    45750 SH       DEFINED    01,03       45750        0        0
BURZYNSKI RESH INST INC           Common Stock   123159105        6    29000 SH       DEFINED    01          29000        0        0
BUTLER MFG CO                     Common Stock   123655102      249     8900 SH       DEFINED    01,03        8900        0        0
C & D TECHNOLOGIES INC            Common Stock   124661109      481    15700 SH       DEFINED    01,03       15700        0        0
CCB FINL CORP                     Common Stock   124875105     2435    46060 SH       DEFINED    01,02,03    40560        0     5500
CCC INFORMATION SVCS GROUP IN     Common Stock   12487Q109       99     7700 SH       DEFINED    01           7700        0        0
CFSB BANCORP INC                  Common Stock   124927104      655    26610 SH       DEFINED    01          26610        0        0
C COR ELECTRS INC                 Common Stock   125010108      318    11400 SH       DEFINED    01,03       11400        0        0
C-CUBE MICROSYSTEMS INC           Common Stock   125015107     1573    49650 SH       DEFINED    01,02,03    49650        0        0
C-CUBE MICROSYSTEMS INC           Common Stock   125015107        3      100 SH       OTHER                    100        0        0
C D I CORP                        Common Stock   125071100      811    23800 SH       DEFINED    01,03       23800        0        0
CD RADIO INC - UNIT               Common Stock   125127100      253     8300 SH       DEFINED    01           8300        0        0
CDW COMPUTER CTRS INC             Common Stock   125129106     1395    31700 SH       DEFINED    01          31700        0        0
C H ROBINSON WORLDWIDE INC        Common Stock   12541W100      434    11800 SH       DEFINED    01          11800        0        0
CHS ELECTRONICS INC               Common Stock   12542A206      124    28400 SH       DEFINED    01          28400        0        0
CIGNA CORP                        Common Stock   125509109     7754    87124 SH       DEFINED    01,03       79683        0     7441
CIGNA CORP                        Common Stock   125509109      264     2968 SH       OTHER                   1563        0     1405
CIT GROUP INC CL A                Common Stock   125577106     1352    46820 SH       DEFINED    01,02       44900        0     1920
CIT GROUP INC CL A                Common Stock   125577106       22      765 SH       OTHER                    280        0      485
CKE RESTAURANTS INC               Common Stock   12561E105     1053    64821 SH       DEFINED    01,03       64623        0      198
CKE RESTAURANTS INC               Common Stock   12561E105        5      323 SH       OTHER                      0        0      323
CMGI INC                          Common Stock   125750109       58      512 SH       DEFINED    01            482        0       30
CMGI INC                          Common Stock   125750109        8       69 SH       OTHER                     69        0        0
CMI CORP                          Common Stock   125761304       91    10000 SH       DEFINED    01          10000        0        0
CMS ENERGY CORP                   Common Stock   125896100     2522    60237 SH       DEFINED    01,02,03    57937        0     2300
                                                                                                 04
CMS ENERGY CORP                   Common Stock   125896100      416     9943 SH       OTHER                   9568      375        0
CMS ENERGY CORP CL G              Common Stock   125896209      132     5600 SH       DEFINED    01,04        5600        0        0
CMS ENERGY CORP CL G              Common Stock   125896209       11      475 SH       OTHER                    475        0        0
CPI CORP                          Common Stock   125902106      406    12300 SH       DEFINED    01,03       12300        0        0
CPB INC                           Common Stock   125903104      212     8000 SH       DEFINED    01           8000        0        0
CSS INDS INC                      Common Stock   125906107      202     7200 SH       DEFINED    01           7200        0        0
CNET INC                          Common Stock   125945105     1717    29800 SH       DEFINED    01          29800        0        0
CTG RESOURCES INC                 Common Stock   125957100      313     8600 SH       DEFINED    01           8600        0        0
CTG RESOURCES INC                 Common Stock   125957100       11      300 SH       OTHER                      0        0      300
CNA FINANCIAL CORP                Common Stock   126117100     1145    28405 SH       DEFINED    01          28405        0        0
CNB BANCSHARES INC                Common Stock   126126101      795    13946 SH       DEFINED    01          13946        0        0
CNA SURETY CORP                   Common Stock   12612L108      286    18700 SH       DEFINED    01          18700        0        0
CNF TRANSPORTATION INC            Common Stock   12612W104     2887    74983 SH       DEFINED    01,02,03    68383        0     6600
CNF TRANSPORTATION INC            Common Stock   12612W104       42     1090 SH       OTHER                   1000        0       90
CSG SYSTEMS INTL INC              Common Stock   126349109      742    28330 SH       DEFINED    01          28200        0      130
CSX CORP                          Common Stock   126408103     6588   145196 SH       DEFINED    01,02,03   135458      480     9258
CSX CORP                          Common Stock   126408103     1335    29431 SH       OTHER                  20051     8935      445
CTS CORP                          Common Stock   126501105     3172    45321 SH       DEFINED    01,02,03    30850        0    14471
CTS CORP                          Common Stock   126501105       46      650 SH       OTHER                    650        0        0
CUNO INC                          Common Stock   126583103      418    21850 SH       DEFINED    01          21850        0        0
CVB FINANCIAL CORP                Common Stock   126600105      248     9545 SH       DEFINED    01           9545        0        0
CVS CORPORATION (DEL)             Common Stock   126650100    12082   238076 SH       DEFINED    01,02,03   218088     2146    17842
                                                                                                 04
CVS CORPORATION (DEL)             Common Stock   126650100     1412    27815 SH       OTHER                  25662     1658      495
CABLEVISION SYSTEMS CORP          Common Stock   12686C109     2927    41820 SH       DEFINED    01          37420        0     4400
CABLEVISION SYSTEMS CORP          Common Stock   12686C109      133     1900 SH       OTHER                   1900        0        0
CABLETRON SYS INC                 Common Stock   126920107      910    69994 SH       DEFINED    01,03       67844        0     2150
CABLETRON SYS INC                 Common Stock   126920107       17     1274 SH       OTHER                    774        0      500
CABLE DESIGN TECHNOLOGIES COR     Common Stock   126924109      543    35200 SH       DEFINED    01,03       35200        0        0
CABOT CORP                        Common Stock   127055101     1860    76886 SH       DEFINED    01,03       67886        0     9000
CABOT CORP                        Common Stock   127055101       19      800 SH       OTHER                    800        0        0
CABOT OIL & GAS CORP CL A         Common Stock   127097103      575    30868 SH       DEFINED    01,03       30868        0        0
CACI INTL INC CL A                Common Stock   127190304      110     4900 SH       DEFINED    01           4900        0        0
CADENCE DESIGN SYS INC            Common Stock   127387108     3614   286266 SH       DEFINED    01,02,03   245966        0    40300
CADENCE DESIGN SYS INC            Common Stock   127387108       13     1000 SH       OTHER                   1000        0        0
CADMUS COMMUNICATIONS CORP        Common Stock   127587103       52     3800 SH       DEFINED    01           3800        0        0
CAERE CORP                        Common Stock   127646107       94     7100 SH       DEFINED    01           7100        0        0
CAL DIVE INTL INC                 Common Stock   127914109      191     6400 SH       DEFINED    01           6400        0        0
CALLAWAY GOLF CO                  Common Stock   131193104     1282    87657 SH       DEFINED    01,03       76977        0    10680
CALLAWAY GOLF CO                  Common Stock   131193104       52     3565 SH       OTHER                   3300        0      265
CALPINE CORP                      Common Stock   131347106      454     8400 SH       DEFINED    01           8400        0        0
CAMBREX CORP                      Common Stock   132011107      803    30600 SH       DEFINED    01,03       30600        0        0
CAMBRIDGE TECH PARTNERS MASS      Common Stock   132524109     1194    68000 SH       DEFINED    01,03       59900        0     8100
CAMPBELL SOUP CO                  Common Stock   134429109     8450   182204 SH       DEFINED    01,02,03   175816      600     5788
CAMPBELL SOUP CO                  Common Stock   134429109      439     9460 SH       OTHER                   8860      600        0
CANANDAIGUA BRANDS INC CL B       Common Stock   137219101      522     9900 SH       DEFINED    01           9900        0        0
CANANDAIGUA BRANDS INC CL A       Common Stock   137219200     1182    22541 SH       DEFINED    01,03       22541        0        0
CAPITAL ONE FINANCIAL CORP        Common Stock   14040H105     3849    69125 SH       DEFINED    01,02,03    66725        0     2400
CAPITAL ONE FINANCIAL CORP        Common Stock   14040H105        8      145 SH       OTHER                    145        0        0
CAPITAL RE CORP                   Common Stock   140432105      643    40000 SH       DEFINED    01,03       40000        0        0
CAPITAL RE CORP                   Common Stock   140432105        2      115 SH       OTHER                      0        0      115
CAPITAL SR LIVING CORP            Common Stock   140475104      622    62200 SH       DEFINED    01,02       62200        0        0
CAPITAL SR LIVING CORP            Common Stock   140475104       30     2950 SH       OTHER                   2950        0        0
CARBO CERAMICS INC                Common Stock   140781105      152     5000 SH       DEFINED    01           5000        0        0
CARAUSTAR INDS INC                Common Stock   140909102      770    31200 SH       DEFINED    01,03       31200        0        0
CARDINAL HEALTH INC               Common Stock   14149Y108    17178   267879 SH       DEFINED    01,02,03   219340        0    48539
CARDINAL HEALTH INC               Common Stock   14149Y108     2453    38260 SH       OTHER                  18141    18926     1193
CAREMATRIX CORP                   Common Stock   141706101      172    13800 SH       DEFINED    01,03       12400        0     1400
CAREY INTL INC                    Common Stock   141750109       34     1400 SH       DEFINED    01           1400        0        0
CARIBINER INTL INC                Common Stock   141888107       94    15200 SH       DEFINED    01          15200        0        0
CARLISLE COMPANIES INC            Common Stock   142339100     2368    49207 SH       DEFINED    01,02,03    45182        0     4025
CARLISLE COMPANIES INC            Common Stock   142339100      390     8100 SH       OTHER                   7100        0     1000
CARMIKE CINEMAS INC CL A          Common Stock   143436103      306    19200 SH       DEFINED    01,03       19200        0        0
CARNIVAL CORP COMMON              Common Stock   143658102    47068   970470 SH       DEFINED    01,02,03   944134     1520    24816
                                                                                                 04
CARNIVAL CORP COMMON              Common Stock   143658102     6000   123717 SH       OTHER                 106990    10844     5883
CAROLINA FIRST CORP               Common Stock   143877108      685    28100 SH       DEFINED    01,03       28100        0        0
CAROLINA PWR & LT CO              Common Stock   144141108     2570    60039 SH       DEFINED    01,02,03    55771        0     4268
CAROLINA PWR & LT CO              Common Stock   144141108      193     4500 SH       OTHER                   2500     2000        0
CARPENTER TECHNOLOGY CORP         Common Stock   144285103      757    26516 SH       DEFINED    01,03       23616        0     2900
CARPENTER TECHNOLOGY CORP         Common Stock   144285103        2       80 SH       OTHER                     80        0        0
CARTER WALLACE INC                Common Stock   146285101     1034    56866 SH       DEFINED    01,03       45266        0    11600
CASCADE CORP                      Common Stock   147195101      111     7900 SH       DEFINED    01           7900        0        0
CASCADE NAT GAS CORP              Common Stock   147339105      262    13800 SH       DEFINED    01,03       13800        0        0
CASE CORP                         Common Stock   14743R103     1308    27189 SH       DEFINED    01,02,03    25164        0     2025
CASE CORP                         Common Stock   14743R103        6      130 SH       OTHER                      0        0      130
CASELLA WASTE SYS INC-A           Common Stock   147448104       82     3145 SH       DEFINED    01           3100        0       45
CASEYS GENERAL STORES             Common Stock   147528103     1593   106190 SH       DEFINED    01,02,03   106190        0        0
CASEYS GENERAL STORES             Common Stock   147528103       14      940 SH       OTHER                    940        0        0
CASH AMER INTL INC                Common Stock   14754D100      408    31700 SH       DEFINED    01,03       31700        0        0
CASTLE A M & CO                   Common Stock   148411101      298    17550 SH       DEFINED    01,03       17550        0        0
CASTLE & COOKE INC                Common Stock   148433105      273    15506 SH       DEFINED    01          15506        0        0
CASTLE & COOKE INC                Common Stock   148433105        3      166 SH       OTHER                    166        0        0
CATALINA MARKETING CORP           Common Stock   148867104     2125    23100 SH       DEFINED    01,02,03    23100        0        0
CATELLUS DEV CORP                 Common Stock   149111106     1292    84700 SH       DEFINED    01,03       68000        0    16700
CATELLUS DEV CORP                 Common Stock   149111106       12      799 SH       OTHER                      0      799        0
CATERPILLAR INC                   Common Stock   149123101     9642   160693 SH       DEFINED    01,02,03   155201        0     5492
                                                                                                 04
CATERPILLAR INC                   Common Stock   149123101     3263    54386 SH       OTHER                  53861        0      525
CATHAY BANCORP INC                Common Stock   149150104      264     6200 SH       DEFINED    01           6200        0        0
CATO CORP NEW CL A                Common Stock   149205106      386    33200 SH       DEFINED    01,03       33200        0        0
CAVALIER HOMES INC                Common Stock   149507105        7      900 SH       DEFINED    01            900        0        0
CELLSTAR CORP                     Common Stock   150925105      298    37900 SH       DEFINED    01          37900        0        0
CELLNET DATA SYSTEMS INC          Common Stock   15115M101      284    31500 SH       DEFINED    01          31500        0        0
CELLULAR PRODUCTS                 Common Stock   151164100        0      200 SH       DEFINED    01            200        0        0
CENTEX CORP                       Common Stock   152312104      772    20550 SH       DEFINED    01,02,03    19850        0      700
CENTEX CONSTRUCTION PRODUCTS      Common Stock   15231R109      613    17950 SH       DEFINED    01,02       17950        0        0
CENTEX CONSTRUCTION PRODUCTS      Common Stock   15231R109       29      850 SH       OTHER                    850        0        0
CENTOCOR                          Common Stock   152342101     4201    90112 SH       DEFINED    01,02,03    71412        0    18700
CENTRAL & SOUTH WEST CORP         Common Stock   152357109     2208    94454 SH       DEFINED    01,02,03    90954      600     2900
CENTRAL & SOUTH WEST CORP         Common Stock   152357109      150     6410 SH       OTHER                   5410     1000        0
CENTRAL GARDEN & PET CO           Common Stock   153527106      113    11000 SH       DEFINED    01          11000        0        0
CENTRAL HUDSON GAS & ELEC COR     Common Stock   153609102      886    21100 SH       DEFINED    01,03       21100        0        0
CENTRAL HUDSON GAS & ELEC COR     Common Stock   153609102       18      425 SH       OTHER                    425        0        0
CENTRAL NEWSPAPERS INC CL A       Common Stock   154647101     2900    77325 SH       DEFINED    01,02       72525        0     4800
CENTRAL NEWSPAPERS INC CL A       Common Stock   154647101       11      300 SH       OTHER                    300        0        0
CENTRAL PARKING CORP              Common Stock   154785109     1569    45800 SH       DEFINED    01,03       45800        0        0
CENTRAL PARKING CORP              Common Stock   154785109        4      115 SH       OTHER                      0        0      115
CENTRAL VERMONT PUB SERVICE C     Common Stock   155771108      183    14300 SH       DEFINED    01,03       14300        0        0
CENTRUM INDUSTRIES INC            Common Stock   15640H106       67    66667 SH       DEFINED    01          66667        0        0
CENTURA BKS INC                   Common Stock   15640T100     2001    35500 SH       DEFINED    01,02,03    35500        0        0
CENTURY ALUMINUM CO               Common Stock   156431108      101    16400 SH       DEFINED    01          16400        0        0
CENTURY COMMUNICATIONS  CL A      Common Stock   156503104     1078    23443 SH       DEFINED    01,02       23443        0        0
CENTURY COMMUNICATIONS  CL A      Common Stock   156503104       46     1000 SH       OTHER                   1000        0        0
CEPHALON INC                      Common Stock   156708109      692    39800 SH       DEFINED    01,03       36200        0     3600
CERIDIAN CORP                     Common Stock   15677T106    11721   358560 SH       DEFINED    01,02,03   345240        0    13320
CERIDIAN CORP                     Common Stock   15677T106      745    22800 SH       OTHER                  20150        0     2650
CERNER CORP                       Common Stock   156782104      879    41900 SH       DEFINED    01,03       41900        0        0
CHAMPION ENTERPRISES INC          Common Stock   158496109     1129    60600 SH       DEFINED    01,03       60600        0        0
CHAMPION ENTERPRISES INC          Common Stock   158496109        2      100 SH       OTHER                    100        0        0
CHAMPION INTL CORP                Common Stock   158525105     1710    35710 SH       DEFINED    01,02,03    34610        0     1100
CHANCELLOR MEDIA CORP             Common Stock   158915108     3846    69776 SH       DEFINED    01          59926        0     9850
CHANCELLOR MEDIA CORP             Common Stock   158915108       96     1735 SH       OTHER                   1585        0      150
CHARTER ONE FINL INC              Common Stock   160903100    12542   450931 SH       DEFINED    01,02,03   405861      441    44629
CHARTER ONE FINL INC              Common Stock   160903100      624    22452 SH       OTHER                  17659        0     4793
CHARMING SHOPPES INC              Common Stock   161133103      312    51200 SH       DEFINED    01          51200        0        0
CHART INDS INC                    Common Stock   16115Q100       74     9375 SH       DEFINED    01           9375        0        0
CHARTER NATL BANCORP TAYLOR M     Common Stock   161244108      144     1556 SH       OTHER                   1082      474        0
CHASE MANHATTAN CORP NEW          Common Stock   16161A108    32093   371014 SH       DEFINED    01,02,03   352380      200    18434
                                                                                                 04
CHASE MANHATTAN CORP NEW          Common Stock   16161A108     1732    20020 SH       OTHER                  11764     6332     1924
CHATTEM INC                       Common Stock   162456107       22      700 SH       DEFINED    01,03           0        0      700
CHECKPOINT SYS INC                Common Stock   162825103      346    38700 SH       DEFINED    01,03       38700        0        0
CHEESECAKE FACTORY INC            Common Stock   163072101      780    25565 SH       DEFINED    01,03       25335        0      230
CHEMED CORP                       Common Stock   163596109      469    14100 SH       DEFINED    01,03       14100        0        0
CHEMED CORP                       Common Stock   163596109       66     2000 SH       OTHER                   2000        0        0
CHEMFIRST INC                     Common Stock   16361A106      557    22890 SH       DEFINED    01,03       22890        0        0
CHEMICAL FINL CORP                Common Stock   163731102      495    14210 SH       DEFINED    01          14210        0        0
CHEMICAL FINL CORP                Common Stock   163731102      260     7477 SH       OTHER                   7477        0        0
CHESAPEAKE CORP                   Common Stock   165159104      915    24432 SH       DEFINED    01,03       21632        0     2800
CHEVRON CORPORATION               Common Stock   166751107    28566   300491 SH       DEFINED    01,02,03   284469        0    16022
                                                                                                 04
CHEVRON CORPORATION               Common Stock   166751107     4891    51454 SH       OTHER                  37758     9880     3816
CHILDRENS PLACE RETAIL STS IN     Common Stock   168905107      271     6700 SH       DEFINED    01           6700        0        0
CHOICE HOTELS INTL INC            Common Stock   169905106      717    36300 SH       DEFINED    01          36300        0        0
CHIQUITA BRANDS INTL INC          Common Stock   170032106      789    87700 SH       DEFINED    01,03       82000        0     5700
CHIQUITA BRANDS INTL INC          Common Stock   170032106       36     4000 SH       OTHER                   4000        0        0
CHIREX INC                        Common Stock   170038103       45     1400 SH       DEFINED    01,03         500        0      900
CHIRON CORP                       Common Stock   170040109     4798   231210 SH       DEFINED    01,02,03   184710        0    46500
CHIRON CORP                       Common Stock   170040109     1688    81340 SH       OTHER                  81340        0        0
CHITTENDEN CORP                   Common Stock   170228100      466    14899 SH       DEFINED    01          14899        0        0
CHOICEPOINT INC                   Common Stock   170388102      489     7280 SH       DEFINED    01           7234        0       46
CHOICEPOINT INC                   Common Stock   170388102      100     1497 SH       OTHER                   1210      287        0
CHRIS CRAFT INDS INC              Common Stock   170520100     1803    38263 SH       DEFINED    01,03       33722        0     4541
CHRIS CRAFT INDS INC              Common Stock   170520100       63     1331 SH       OTHER                   1331        0        0
CHRONIMED INC                     Common Stock   171164106       60     7700 SH       DEFINED    01,03        6300        0     1400
CHUBB CORP                        Common Stock   171232101     5071    72971 SH       DEFINED    01,02,03    70671        0     2300
                                                                                                 04
CHURCH & DWIGHT INC               Common Stock   171340102      960    22060 SH       DEFINED    01,03       19560        0     2500
CIBER INC                         Common Stock   17163B102     1392    72800 SH       DEFINED    01,03       72800        0        0
CIENA CORP                        Common Stock   171779101     1763    58400 SH       DEFINED    01          58400        0        0
CILCORP INC                       Common Stock   171794100     1237    19786 SH       DEFINED    01,03       17286     2500        0
CINCINNATI BELL INC               Common Stock   171870108     4239   169971 SH       DEFINED    01,02,03   150771        0    19200
CINCINNATI BELL INC               Common Stock   171870108       10      400 SH       OTHER                    400        0        0
CINAR CORPORATION                 Common Stock   171905300       20      800 SH       DEFINED    01            800        0        0
CINCINNATI FINANCIAL CORP         Common Stock   172062101     2727    72586 SH       DEFINED    01,02,03    68587        0     3999
                                                                                                 04
CINCINNATI FINANCIAL CORP         Common Stock   172062101      475    12645 SH       OTHER                  11565        0     1080
CINCINNATI FINL CONV              Other          172062AB7      197    75000 SH       OTHER                      0        0    75000
CINERGY CORP                      Common Stock   172474108     1962    61320 SH       DEFINED    01,02,03    57936        0     3384
CINERGY CORP                      Common Stock   172474108       38     1200 SH       OTHER                   1200        0        0
CIRCLE INTERNATIONAL INC          Common Stock   172574105      243    11100 SH       DEFINED    01          11100        0        0
CIRCUIT CITY GROUP                Common Stock   172737108     3314    35637 SH       DEFINED    01,02,03    34007        0     1630
CIRCUIT CITY GROUP                Common Stock   172737108       40      430 SH       OTHER                    140        0      290
CIRRUS LOGIC INC                  Common Stock   172755100      615    69333 SH       DEFINED    01,03       61033        0     8300
CISCO SYS INC                     Common Stock   17275R102   137056  2126941 SH       DEFINED    01,02,03  2029977     4634    92330
                                                                                                 04
CISCO SYS INC                     Common Stock   17275R102    10522   163283 SH       OTHER                 140077    16188     7018
CITATION CORP                     Common Stock   172895104      188    11700 SH       DEFINED    01          11700        0        0
CITATION CORP                     Common Stock   172895104        8      500 SH       OTHER                      0      500        0
CINTAS CORP                       Common Stock   172908105    13058   194352 SH       DEFINED    01,02,03   178852      400    15100
                                                                                                 04
CINTAS CORP                       Common Stock   172908105     1334    19861 SH       OTHER                   9825     7588     2448
CITIZENS BANKING                  Common Stock   174420109     2272    75572 SH       DEFINED    01          75572        0        0
CITIZENS BANKING                  Common Stock   174420109     3215   106947 SH       OTHER                  93618        0    13329
CITIZENS NATL BK BLUFFTON OH      Common Stock   175144104      463      720 SH       OTHER                      0      720        0
CITIZENS UTILS CO DEL SER B       Common Stock   177342201     2359   212006 SH       DEFINED    01         207088        0     4918
CITIZENS UTILS CO DEL SER B       Common Stock   177342201       44     3923 SH       OTHER                   3923        0        0
CITRIX SYS INC                    Common Stock   177376100     6075   107528 SH       DEFINED    01,02,03    95518        0    12010
CITY NATL CORP                    Common Stock   178566105     1966    52514 SH       DEFINED    01,02,03    46314        0     6200
CITY NATL CORP                    Common Stock   178566105       15      397 SH       OTHER                    397        0        0
CITYSCAPE FINANCIAL CORP          Common Stock   178778106        0    16200 SH       DEFINED    01          16200        0        0
CLAIRES STORES INC                Common Stock   179584107     1535    59606 SH       DEFINED    01,03       52456        0     7150
CLAIRES STORES INC                Common Stock   179584107      386    15000 SH       OTHER                      0        0    15000
CLARCOR INC                       Common Stock   179895107      577    30050 SH       DEFINED    01,03       30050        0        0
CLARCOR INC                       Common Stock   179895107       58     3000 SH       OTHER                   3000        0        0
CLARIFY INC                       Common Stock   180492100       97     2350 SH       DEFINED    01           2200        0      150
CLAYTON HOMES INC CO              Common Stock   184190106    18193  1590549 SH       DEFINED    01,02,03  1469503     3383   117663
                                                                                                 04
CLAYTON HOMES INC CO              Common Stock   184190106     2740   239535 SH       OTHER                 208058    24409     7068
CLEAR CHANNEL COMMUNICATIONS      Common Stock   184502102    10216   148186 SH       DEFINED    01,02,03   141176        0     7010
CLEAR CHANNEL COMMUNICATIONS      Common Stock   184502102       50      730 SH       OTHER                    155        0      575
CLEVELAND CLIFFS INC              Common Stock   185896107      447    13798 SH       DEFINED    01,03       12298        0     1500
CLEVELAND CLIFFS INC              Common Stock   185896107       10      300 SH       OTHER                    300        0        0
CLOROX CO                         Common Stock   189054109     9618    90047 SH       DEFINED    01,02,03    81558        0     8489
CLOROX CO                         Common Stock   189054109      909     8509 SH       OTHER                   7550        0      959
CLOSURE MEDICAL CORP              Common Stock   189093107      273     9100 SH       DEFINED    01,03        8100        0     1000
CLOSURE MEDICAL CORP              Common Stock   189093107        3      100 SH       OTHER                      0      100        0
COACH USA INC                     Common Stock   18975L106      474    11300 SH       DEFINED    01          11300        0        0
COACHMEN INDS INC                 Common Stock   189873102      484    20800 SH       DEFINED    01,03       20800        0        0
COASTAL CORP                      Common Stock   190441105     3592    89233 SH       DEFINED    01,02,03    84547        0     4686
COASTAL CORP                      Common Stock   190441105      227     5651 SH       OTHER                   4500        0     1151
COCA COLA BOTTLING CO CONS        Common Stock   191098102      588    10500 SH       DEFINED    01,03       10500        0        0
COCA COLA CO                      Common Stock   191216100    79392  1280518 SH       DEFINED    01,02,03  1225828     5600    49090
                                                                                                 04
COCA COLA CO                      Common Stock   191216100    25064   404260 SH       OTHER                 261313   123603    19344
COCA COLA ENTERPRISES INC         Common Stock   191219104     4566   153493 SH       DEFINED    01,02,03   147598        0     5895
COEUR D ALENE MINES CORP IDAH     Common Stock   192108108      127    27400 SH       DEFINED    01,03       27400        0        0
COGNEX CORP                       Common Stock   192422103     1602    50750 SH       DEFINED    01,03       50750        0        0
COGNEX CORP                       Common Stock   192422103        4      140 SH       OTHER                    140        0        0
COGNOS INC                        Common Stock   19244C109      574    26400 SH       DEFINED    01,03       26100        0      300
COHERENT INC                      Common Stock   192479103      559    30000 SH       DEFINED    01,03       30000        0        0
COHU INC                          Common Stock   192576106      202     5700 SH       DEFINED    01           5700        0        0
COHU INC                          Common Stock   192576106        4      120 SH       OTHER                      0        0      120
COLE NATL CORP NEW                Common Stock   193290103       41     5200 SH       DEFINED    01           5200        0        0
KENNETH COLE PRODUCTIONS CL A     Common Stock   193294105      117     4200 SH       DEFINED    01           4200        0        0
COLEMAN INC NEW                   Common Stock   193559101      354    37800 SH       DEFINED    01          37800        0        0
COLGATE PALMOLIVE CO              Common Stock   194162103    24322   246925 SH       DEFINED    01,02,03   234400     1750    10775
                                                                                                 04
COLGATE PALMOLIVE CO              Common Stock   194162103    11622   117990 SH       OTHER                 110750     5045     2195
COLLINS & AIKMAN CORP NEW         Common Stock   194830105      377    49400 SH       DEFINED    01          49400        0        0
COLONIAL BANCGROUP                Common Stock   195493309      507    36400 SH       DEFINED    01          36400        0        0
COLONIAL GAS CO                   Common Stock   195674106      255     6900 SH       DEFINED    01           6900        0        0
COLORADO MEDTECH INC              Common Stock   19652U104        3      150 SH       DEFINED    01            150        0        0
COLTEC INDS INC                   Common Stock   196879100     1409    64945 SH       DEFINED    01          54150        0    10795
COLTEC INDS INC                   Common Stock   196879100      305    14050 SH       OTHER                  14050        0        0
COLUMBIA BANKING SYSTEM INC       Common Stock   197236102       24     1575 SH       DEFINED    01           1575        0        0
COLUMBIA ENERGY GROUP             Common Stock   197648108     2127    33933 SH       DEFINED    01,02,03    31836        0     2097
COLUMBIA ENERGY GROUP             Common Stock   197648108      362     5775 SH       OTHER                   5775        0        0
COLUMBIA HCA HEALTHCARE CORP      Common Stock   197677107     4672   204799 SH       DEFINED    01,03      196075        0     8724
COLUMBIA HCA HEALTHCARE CORP      Common Stock   197677107      187     8204 SH       OTHER                   7874        0      330
COLOMBIA LABS INC COM             Common Stock   197779101      119    13900 SH       DEFINED    01,03       10500        0     3400
COLUMBUS MCKINNON CORP            Common Stock   199333105      214     8900 SH       DEFINED    01           8900        0        0
COMAIR HLDGS INC                  Common Stock   199789108     2369   113840 SH       DEFINED    01,02,03    99799        0    14041
COMAIR HLDGS INC                  Common Stock   199789108       19      917 SH       OTHER                      0        0      917
COMFORT SYSTEM USA INC            Common Stock   199908104     1071    59500 SH       DEFINED    01,02       59500        0        0
COMFORT SYSTEM USA INC            Common Stock   199908104       14      800 SH       OTHER                    800        0        0
COMCAST CORP CLASS A              Common Stock   200300101      694    19367 SH       DEFINED    01          19367        0        0
COMCAST CORP CLASS A SPL          Common Stock   200300200    12344   321129 SH       DEFINED    01,02,03   312084        0     9045
COMCAST CORP CLASS A SPL          Common Stock   200300200       98     2550 SH       OTHER                   1950        0      600
COMDISCO INC                      Common Stock   200336105     4445   173480 SH       DEFINED    01,02,03   152880        0    20600
COMDISCO INC                      Common Stock   200336105       33     1300 SH       OTHER                   1300        0        0
COMERICA INC                      Common Stock   200340107    86260  1451253 SH       DEFINED    01,02,03  1236486     5510   209257
                                                                                                 04
COMERICA INC                      Common Stock   200340107    71190  1197715 SH       OTHER                 738067   218712   240936
COMMERCE BANCORP INC N J          Common Stock   200519106     1471    34399 SH       DEFINED    01,03       34399        0        0
COMMERCE BANCSHARES INC           Common Stock   200525103     2519    62575 SH       DEFINED    01          61175        0     1400
COMMERCE GROUP INC                Common Stock   200641108      663    27200 SH       DEFINED    01          27200        0        0
COMMERCIAL FEDERAL CORP           Common Stock   201647104     1755    75700 SH       DEFINED    01,03       75700        0        0
COMMERCIAL INTERTECH CORP         Common Stock   201709102      197    12350 SH       DEFINED    01          12350        0        0
COMMERCIAL METAL CO               Common Stock   201723103      518    18166 SH       DEFINED    01,03       18166        0        0
COMMONWEALTH ENERGY SYS           Common Stock   202800108     1197    28500 SH       DEFINED    01,03       28500        0        0
COMMONWEALTH ENERGY SYS           Common Stock   202800108       25      600 SH       OTHER                    600        0        0
COMMONWEALTH INDUSTRIES INC       Common Stock   203004106      250    20000 SH       DEFINED    01,03       20000        0        0
COMMONWEALTH TEL ENT INC NEW      Common Stock   203349105      299     7399 SH       DEFINED    01           7399        0        0
COMMSCOPE INC                     Common Stock   203372107     1944    63223 SH       DEFINED    01,03       63033        0      190
COMMSCOPE INC                     Common Stock   203372107        1       20 SH       OTHER                     20        0        0
COMMUNITY FIRST BANKSHARES IN     Common Stock   203902101     1404    58800 SH       DEFINED    01,03       58800        0        0
COMPAQ COMPUTER CORP              Common Stock   204493100    15960   673753 SH       DEFINED    01,02,03   642111        0    31642
                                                                                                 04
COMPAQ COMPUTER CORP              Common Stock   204493100      685    28915 SH       OTHER                  26587      200     2128
COMPASS BANCSHARES INC            Common Stock   20449H109     1641    60225 SH       DEFINED    01          60225        0        0
COMPLETE BUSINESS SOLUTIONS I     Common Stock   20452F107      126     7026 SH       DEFINED    01           7026        0        0
COMPUCOM SYS INC                  Common Stock   204780100      106    25600 SH       DEFINED    01          25600        0        0
COMPUTER ASSOC INTL INC           Common Stock   204912109    12525   228762 SH       DEFINED    01,02,03   217413        0    11349
                                                                                                 04
COMPUTER ASSOC INTL INC           Common Stock   204912109      546     9965 SH       OTHER                   9075        0      890
COMPUTER NETWORK TECHNOLOGY C     Common Stock   204925101      301    13900 SH       DEFINED    01          13900        0        0
COMPUSA INC                       Common Stock   204932107      796   107000 SH       DEFINED    01,03       92300        0    14700
COMPUTER SCIENCES CORP            Common Stock   205363104    10268   148405 SH       DEFINED    01,02,03   140265        0     8140
                                                                                                 04
COMPUTER SCIENCES CORP            Common Stock   205363104     2630    38010 SH       OTHER                  18825    19185        0
COMPUTER TASK GROUP INC           Common Stock   205477102      569    33444 SH       DEFINED    01,03       33444        0        0
COMPUWARE CORP                    Common Stock   205638109    16834   529150 SH       DEFINED    01,02,03   505775        0    23375
                                                                                                 04
COMPUWARE CORP                    Common Stock   205638109     1968    61865 SH       OTHER                  56825     3000     2040
COMSAT CORP                       Common Stock   20564D107     2480    76310 SH       DEFINED    01,03       69110        0     7200
COMVERSE TECHNOLOGY INC           Common Stock   205862402     5980    79204 SH       DEFINED    01,02,03    69572        0     9632
COMVERSE TECHNOLOGY INC           Common Stock   205862402       15      195 SH       OTHER                    195        0        0
CONAGRA INC                       Common Stock   205887102     5952   223561 SH       DEFINED    01,02,03   213886        0     9675
                                                                                                 04
CONAGRA INC                       Common Stock   205887102      657    24663 SH       OTHER                  23198     1010      455
CONCENTRIC NETWORK CORP DEL       Common Stock   20589R107      278     7000 SH       DEFINED    01           7000        0        0
CONCENTRA MANAGED CARE INC        Common Stock   20589T103      837    56500 SH       DEFINED    01,03       47600        0     8900
COMPUTER HORIZONS CORP            Common Stock   205908106      219    15875 SH       DEFINED    01          15875        0        0
CONCORD COMMUNICATIONS INC        Common Stock   206186108      153     3400 SH       DEFINED    01           3400        0        0
CONCORD EFS INC                   Common Stock   206197105     6471   152937 SH       DEFINED    01,02,03   135437        0    17500
                                                                                                 04
CONCORD EFS INC                   Common Stock   206197105       21      500 SH       OTHER                      0        0      500
CONE MILLS CORP N C               Common Stock   206814105      190    31700 SH       DEFINED    01,03       31700        0        0
CONMED CORP                       Common Stock   207410101      940    30685 SH       DEFINED    01,02,03    29100        0     1585
CONMED CORP                       Common Stock   207410101       15      500 SH       OTHER                    500        0        0
CONNECTICUT ENERGY CORP           Common Stock   207567108      509    13200 SH       DEFINED    01,03       13200        0        0
CONSECO CO INC                    Common Stock   208464107     5094   167360 SH       DEFINED    01,02,03   158111        0     9249
                                                                                                 04
CONSECO CO INC                    Common Stock   208464107      589    19350 SH       OTHER                  16702     1695      953
CONSOLIDATED FREIGHTWAYS CORP     Common Stock   209232107      185    14400 SH       DEFINED    01          14400        0        0
CONSOLIDATED GRAPHICS INC         Common Stock   209341106      890    17800 SH       DEFINED    01,03       17800        0        0
CONSOLIDATED NATURAL GAS CO       Common Stock   209615103     2395    39424 SH       DEFINED    01,02,03    36924        0     2500
                                                                                                 04
CONSOLIDATED NATURAL GAS CO       Common Stock   209615103      300     4936 SH       OTHER                   4536        0      400
CONSOLIDATED PAPERS INC           Common Stock   209759109     2834   105956 SH       DEFINED    01,02,03    93556        0    12400
CONSOLIDATED PAPERS INC           Common Stock   209759109      317    11836 SH       OTHER                   3836     8000        0
CONSOLIDATED PRODUCTS INC         Common Stock   209798107     1188    65994 SH       DEFINED    01,02,03    65994        0        0
CONSOLIDATED PRODUCTS INC         Common Stock   209798107       13      737 SH       OTHER                    737        0        0
CONSOLIDATED STORES INC           Common Stock   210149100     1602    59340 SH       DEFINED    01,02,03    58040        0     1300
CONSOLIDATED STORES INC           Common Stock   210149100      148     5484 SH       OTHER                   3947     1537        0
CONTIFINANCIAL CORP               Common Stock   21075V107      153    43000 SH       DEFINED    01          43000        0        0
CONTINENTAL AIRLS INC CL B        Common Stock   210795308     1144    30400 SH       DEFINED    01          30400        0        0
CONVERSE INC                      Common Stock   212540108        0       32 SH       DEFINED    01             32        0        0
COOPER CAMERON CORP               Common Stock   216640102     2517    67917 SH       DEFINED    01          67417        0      500
COOPER CAMERON CORP               Common Stock   216640102      133     3585 SH       OTHER                   2675      910        0
COOPER COMPANIES INC              Common Stock   216648402      464    18600 SH       DEFINED    01,03       17400        0     1200
COOPER COMPANIES INC              Common Stock   216648402       17      700 SH       OTHER                    700        0        0
COOPER INDS INC                   Common Stock   216669101     3034    58350 SH       DEFINED    01,02,03    55950        0     2400
COOPER INDS INC                   Common Stock   216669101      113     2166 SH       OTHER                   2166        0        0
COOPER TIRE & RUBBER              Common Stock   216831107      662    28040 SH       DEFINED    01,03       27240        0      800
COOPER TIRE & RUBBER              Common Stock   216831107       11      460 SH       OTHER                    300      160        0
COORS ADOLPH CO CLASS B           Common Stock   217016104      632    12759 SH       DEFINED    01,03       12359        0      400
COPART INC                        Common Stock   217204106      348    16400 SH       DEFINED    01          16400        0        0
COPLEY PHARMACEUTICAL INC         Common Stock   21745K101      137    13400 SH       DEFINED    01,03       11300        0     2100
COPYTELE INC                      Common Stock   217721109        9     5000 SH       OTHER                   5000        0        0
COR THERAPEUTICS INC              Common Stock   217753102      493    33400 SH       DEFINED    01,03       30700        0     2700
CORAM HEALTHCARE CORP             Common Stock   218103109        1      630 SH       DEFINED    01,03           0        0      630
CORAM HEALTHCARE CORP             Common Stock   218103109        0      104 SH       OTHER                    104        0        0
CORNING INCORPORATED              Common Stock   219350105     6206    88505 SH       DEFINED    01,03       85017        0     3488
CORNING INCORPORATED              Common Stock   219350105      435     6200 SH       OTHER                   2200     4000        0
CORPORATE EXPRESS INC             Common Stock   219888104      394    56335 SH       DEFINED    01          56335        0        0
CORT BUSINESS SVCS CORP           Common Stock   220493100      127     5300 SH       DEFINED    01           5300        0        0
CORUS BANKSHARES INC              Common Stock   220873103      318    10000 SH       DEFINED    01          10000        0        0
COST PLUS INC                     Common Stock   221485105      121     2650 SH       DEFINED    01           2650        0        0
COSTCO COMPANIES INC              Common Stock   22160Q102     8006    99992 SH       DEFINED    01,02,03    95144        0     4848
COSTCO COMPANIES INC              Common Stock   22160Q102       14      176 SH       OTHER                    140        0       36
COULTER PHARMACEUTICAL INC        Common Stock   222116105      106     4700 SH       DEFINED    01,03        3400        0     1300
COUNTRYWIDE CREDITS INDS INC      Common Stock   222372104     1845    43163 SH       DEFINED    01,02,03    41028        0     2135
COUNTRYWIDE CREDITS INDS INC      Common Stock   222372104       79     1837 SH       OTHER                   1272        0      565
COUNTY BANK CORP                  Common Stock   222407108       19      500 SH       DEFINED    01            500        0        0
COVANCE INC                       Common Stock   222816100     1722    71936 SH       DEFINED    01,03       59036        0    12900
COVANCE INC                       Common Stock   222816100       72     3000 SH       OTHER                   2500      500        0
COVENANT TRANSPORT INC CL A       Common Stock   22284P105      104     6600 SH       DEFINED    01           6600        0        0
COX COMMUNICATIONS INC CL A N     Common Stock   224044107    14029   381076 SH       DEFINED    01,04      379436        0     1640
COX RADIO INC CL A                Common Stock   224051102      293     5400 SH       DEFINED    01           5400        0        0
CRAFTMADE INTL INC                Common Stock   22413E104       24     1840 SH       DEFINED    01,02        1840        0        0
CRANE CO                          Common Stock   224399105      750    23865 SH       DEFINED    01,02,03    23040        0      825
CRANE CO                          Common Stock   224399105      157     4996 SH       OTHER                   4996        0        0
CRAWFORD & CO CL B                Common Stock   224633107      630    38750 SH       DEFINED    01          38750        0        0
CREATIVE BIOMOLECULES INC         Common Stock   225270107       36    10000 SH       DEFINED    01          10000        0        0
CREATIVE BIOMOLECULES INC         Common Stock   225270107       36    10000 SH       OTHER                  10000        0        0
CREDENCE SYSTEMS CORP             Common Stock   225302108      588    15850 SH       DEFINED    01          15850        0        0
CREDIT ACCEP CORP MICH            Common Stock   225310101      213    35500 SH       DEFINED    01          35500        0        0
CREE RESH INC                     Common Stock   225447101      336     4365 SH       DEFINED    01           4250        0      115
CROMPTON & KNOWLES CORP           Common Stock   227111101     1609    81468 SH       DEFINED    01,02,03    72068        0     9400
CROSS A T CO CL A                 Common Stock   227478104      116    20800 SH       DEFINED    01,03       20800        0        0
CROSS TIMBERS OIL CO              Common Stock   227573102      832    55920 SH       DEFINED    01,03       55920        0        0
CROWN CORK & SEAL INC             Common Stock   228255105     1510    52982 SH       DEFINED    01,02,03    50652        0     2330
CROWN CORK & SEAL INC             Common Stock   228255105       56     1970 SH       OTHER                    970        0     1000
CUBIC CORP                        Common Stock   229669106      115     4650 SH       DEFINED    01           4650        0        0
CULLEN FROST                      Common Stock   229899109     1843    66880 SH       DEFINED    01,03       66840        0       40
CULLEN FROST                      Common Stock   229899109       17      600 SH       OTHER                    600        0        0
CUMMINS ENGINE INC                Common Stock   231021106      829    14515 SH       DEFINED    01,02,03    14015        0      500
CURATIVE HEALTH SERVICES INC      Common Stock   231264102       79    14300 SH       DEFINED    01,03       13000        0     1300
CUTTER & BUCK INC                 Common Stock   232217109       38     2250 SH       DEFINED    01,02        2250        0        0
CYBEX CORP                        Common Stock   232522102      904    32425 SH       DEFINED    01,02       32425        0        0
CYBEX CORP                        Common Stock   232522102       20      700 SH       OTHER                    700        0        0
CYGNUS INC                        Common Stock   232560102      396    30500 SH       DEFINED    01,03       28000        0     2500
CYGNUS INC                        Common Stock   232560102        1       91 SH       OTHER                     91        0        0
CYMER INC                         Common Stock   232572107      198     7900 SH       DEFINED    01           7900        0        0
CYMER INC                         Common Stock   232572107        2      100 SH       OTHER                      0      100        0
CYPRESS SEMICONDUCTOR CORP        Common Stock   232806109     1999   116720 SH       DEFINED    01,03      102620        0    14100
CYPRUS AMAX MINERALS CO           Common Stock   232809103      490    32127 SH       DEFINED    01,03       31177        0      950
CYPRUS AMAX MINERALS CO           Common Stock   232809103        5      318 SH       OTHER                    184        0      134
CYRK INTERNATIONAL INC            Common Stock   232817106      118    19400 SH       DEFINED    01,03       19400        0        0
CYTEC INDUSTRIES INC              Common Stock   232820100     1557    49418 SH       DEFINED    01,03       43376        0     6042
CYTEC INDUSTRIES INC              Common Stock   232820100       26      819 SH       OTHER                    819        0        0
CYTOGEN CORP                      Common Stock   232824102       29    15000 SH       OTHER                  15000        0        0
CYTOTHERAPEUTICS INC              Common Stock   232923102       14    20000 SH       OTHER                  20000        0        0
DII GROUP INC                     Common Stock   232949107      356     9530 SH       DEFINED    01           9500        0       30
DBT ONLINE INC                    Common Stock   233044106      757    23100 SH       DEFINED    01,03       23100        0        0
DPL INC                           Common Stock   233293109     3779   204262 SH       DEFINED    01,02,03   176637        0    27625
                                                                                                 04
DPL INC                           Common Stock   233293109      275    14840 SH       OTHER                   5875     1900     7065
DQE INC                           Common Stock   23329J104     2241    55859 SH       DEFINED    01          55700        0      159
DQE INC                           Common Stock   23329J104       19      480 SH       OTHER                      0      480        0
D R HORTON INC                    Common Stock   23331A109     1338    80485 SH       DEFINED    01,03       80430        0       55
D R HORTON INC                    Common Stock   23331A109       17     1000 SH       OTHER                      0        0     1000
DST SYSTEMS INC                   Common Stock   233326107     1234    19620 SH       DEFINED    01          19620        0        0
DSP GROUP INC                     Common Stock   23332B106      108     3000 SH       DEFINED    01           3000        0        0
DSP COMMUNICATIONS INC            Common Stock   23332K106     2164    74950 SH       DEFINED    01,02,03    74950        0        0
DSP COMMUNICATIONS INC            Common Stock   23332K106       17      600 SH       OTHER                    600        0        0
DTE ENERGY CO                     Common Stock   233331107     5320   130549 SH       DEFINED    01,02,03   122647     3802     4100
                                                                                                 04
DTE ENERGY CO                     Common Stock   233331107      755    18520 SH       OTHER                  13795     4725        0
DT INDUSTRIES INC                 Common Stock   23333J108       53     5800 SH       DEFINED    01           5800        0        0
DVI INC                           Common Stock   233343102      115     6700 SH       DEFINED    01           6700        0        0
DAISYTEK INTERNATIONAL CORP       Common Stock   234053106      131     8000 SH       DEFINED    01           8000        0        0
DAL-TILE INTERNATIONAL INC        Common Stock   23426R108      461    40500 SH       DEFINED    01          40500        0        0
DALLAS SEMICONDUCTOR              Common Stock   235204104     1963    38672 SH       DEFINED    01,03       38672        0        0
DALLAS SEMICONDUCTOR              Common Stock   235204104      163     3210 SH       OTHER                   1100        0     2110
DANA CORP                         Common Stock   235811106     2686    58316 SH       DEFINED    01,02,03    55573        0     2743
DANA CORP                         Common Stock   235811106    13339   289589 SH       OTHER                   1589   288000        0
DANAHER CORP                      Common Stock   235851102     5391    92740 SH       DEFINED    01,02,03    91030        0     1710
DANAHER CORP                      Common Stock   235851102      407     7009 SH       OTHER                   6340      589       80
DARDEN RESTAURANTS INC            Common Stock   237194105     1061    48648 SH       DEFINED    01,02,03    47048        0     1600
DARDEN RESTAURANTS INC            Common Stock   237194105       76     3500 SH       OTHER                   3500        0        0
DATA BROADCASTING CORP            Common Stock   237596101      160    15100 SH       DEFINED    01          15100        0        0
DATA GEN CORP                     Common Stock   237688106      259    17793 SH       DEFINED    01,03       17293        0      500
DATAWARE TECHNOLOGIES INC         Common Stock   237920103      160    67500 SH       DEFINED    01          67500        0        0
DATA TRANSMISSION NETWORK COR     Common Stock   238017107      152     5400 SH       DEFINED    01           5400        0        0
DATASCOPE CORP                    Common Stock   238113104     1369    42600 SH       DEFINED    01,02,03    40800        0     1800
DATASCOPE CORP                    Common Stock   238113104       16      500 SH       OTHER                    500        0        0
DATASTREAM SYSTEMS INC            Common Stock   238124101      216    13500 SH       DEFINED    01,02       13500        0        0
DATASTREAM SYSTEMS INC            Common Stock   238124101        6      400 SH       OTHER                    400        0        0
DAVE & BUSTER'S INC               Common Stock   23833N104      254     8760 SH       DEFINED    01,02        8760        0        0
DAY RUNNER INC                    Common Stock   239545106       52     4200 SH       DEFINED    01           4200        0        0
DAYTON HUDSON CORP                Common Stock   239753106    12501   192323 SH       DEFINED    01,03,04   175273        0    17050
DAYTON HUDSON CORP                Common Stock   239753106     2523    38815 SH       OTHER                  30525     4000     4290
DAYTON SUPERIOR CORP              Common Stock   240028100      193    10400 SH       DEFINED    01,02       10400        0        0
DAYTON SUPERIOR CORP              Common Stock   240028100       65     3500 SH       OTHER                   3500        0        0
DEAN FOODS INC                    Common Stock   242361103     1881    45249 SH       DEFINED    01,03       39949        0     5300
DEAN FOODS INC                    Common Stock   242361103       15      350 SH       OTHER                    350        0        0
DEERE & CO                        Common Stock   244199105     3339    85211 SH       DEFINED    01,02,03    79511        0     5700
DEERE & CO                        Common Stock   244199105        5      140 SH       OTHER                    140        0        0
DELL COMPUTER CORP                Common Stock   247025109    36237   979376 SH       DEFINED    01,02,03   928864        0    50512
DELL COMPUTER CORP                Common Stock   247025109      402    10875 SH       OTHER                   8950        0     1925
DELPHI FINL GROUP INC CL A        Common Stock   247131105      911    25401 SH       DEFINED    01,03       25401        0        0
DELTA & PINE LAND CO              Common Stock   247357106     1510    47939 SH       DEFINED    01,03       47939        0        0
DELTA AIR LINES INC DEL           Common Stock   247361108     3138    54450 SH       DEFINED    01,02,03    51473        0     2977
                                                                                                 04
DELTA AIR LINES INC DEL           Common Stock   247361108       83     1435 SH       OTHER                    500        0      935
DELTIC TIMBER CORP                Common Stock   247850100      316    11728 SH       DEFINED    01          11728        0        0
DELTA WOODSIDE INDS INC NEW       Common Stock   247909104      174    29700 SH       DEFINED    01,03       29700        0        0
DELUXE CORPORATION                Common Stock   248019101     1597    41148 SH       DEFINED    01,02,03    32283        0     8865
                                                                                                 04
DELUXE CORPORATION                Common Stock   248019101      323     8320 SH       OTHER                   3995     1000     3325
DENDRITE INTERNATIONAL INC        Common Stock   248239105     1135    31420 SH       DEFINED    01,03       31170        0      250
DENTSPLY INTERNATIONAL INC        Common Stock   249030107     1938    67114 SH       DEFINED    01,03       53214        0    13900
DEPARTMENT 56 INC                 Common Stock   249509100      602    22400 SH       DEFINED    01,03       22400        0        0
DETROIT DIESEL CORP               Common Stock   250837101      460    18700 SH       DEFINED    01,02       18700        0        0
DETROIT DIESEL CORP               Common Stock   250837101       10      400 SH       OTHER                    400        0        0
DETROIT-TEXAS GAS GATHERING W     Common Stock   251403101        0   337500 SH       OTHER                      0   337500        0
DEVON ENERGY CORP                 Common Stock   251799102     3612   100860 SH       DEFINED    01,03      100420      350       90
DEVON ENERGY CORP                 Common Stock   251799102      124     3475 SH       OTHER                   2625      850        0
DEVRY INC DEL                     Common Stock   251893103     1942    86780 SH       DEFINED    01,03       86700        0       80
DEXTER CORP                       Common Stock   252165105     1091    26729 SH       DEFINED    01,03       23729        0     3000
DEXTER CORP                       Common Stock   252165105       20      500 SH       OTHER                    500        0        0
DIAGNOSTIC PRODUCTS CORP          Common Stock   252450101      546    19752 SH       DEFINED    01,03       18252        0     1500
DIAL CORP NEW                     Common Stock   25247D101     5688   152958 SH       DEFINED    01,02,03   137358        0    15600
                                                                                                 04
DIAL CORP NEW                     Common Stock   25247D101      187     5040 SH       OTHER                   4540      500        0
DIALOGIC CORP                     Common Stock   252499108      921    21000 SH       DEFINED    01,03       21000        0        0
DIAMOND MULTIMEDIA SYS INC        Common Stock   252714100       89    21600 SH       DEFINED    01          21600        0        0
DIAMOND OFFSHORE DRILLING INC     Common Stock   25271C102     2237    78830 SH       DEFINED    01,02       78830        0        0
DIAMOND OFFSHORE DRILLING INC     Common Stock   25271C102       34     1200 SH       OTHER                   1200        0        0
DIAMOND OFFSHORE CV               Other          25271CAA0       20    20000 SH       DEFINED    01              0        0    20000
DIAMOND TECH PARTNERS CL A        Common Stock   252762109      134     6000 SH       DEFINED    01           6000        0        0
DIEBOLD INC                       Common Stock   253651103     2343    81487 SH       DEFINED    01,02,03    72125        0     9362
DIEBOLD INC                       Common Stock   253651103       44     1530 SH       OTHER                   1030        0      500
DIGI INTL INC                     Common Stock   253798102      190    18200 SH       DEFINED    01,03       18200        0        0
DIGITAL MICROWAVE CORP            Common Stock   253859102      984    77200 SH       DEFINED    01,03       77200        0        0
DIME CMNTY BANCORP INC            Common Stock   253922108       98     4200 SH       DEFINED    01           4200        0        0
DILLARD'S INC                     Common Stock   254067101     1336    38030 SH       DEFINED    01,02,03    36280        0     1750
DILLARD'S INC                     Common Stock   254067101      111     3150 SH       OTHER                   1740        0     1410
DIME BANCORP INC NEW              Common Stock   25429Q102     2585   128437 SH       DEFINED    01,02,03   112860        0    15577
DIME BANCORP INC NEW              Common Stock   25429Q102       15      740 SH       OTHER                      0        0      740
DIMON INC W/I                     Common Stock   254394109      288    55600 SH       DEFINED    01,03       55600        0        0
DIONEX CORP                       Common Stock   254546104     1913    47245 SH       DEFINED    01,02,03    45645        0     1600
DIONEX CORP                       Common Stock   254546104       52     1290 SH       OTHER                   1290        0        0
DISCOUNT AUTO PARTS INC           Common Stock   254642101      499    20700 SH       DEFINED    01,03       20700        0        0
DISNEY WALT HLDG CO               Common Stock   254687106    43779  1420799 SH       DEFINED    01,02,03  1368851     3300    48648
                                                                                                 04
DISNEY WALT HLDG CO               Common Stock   254687106     9412   305457 SH       OTHER                 252000    46177     7280
DIXCOM INC                        Common Stock   255425100        0    50000 SH       DEFINED    01          50000        0        0
THE DIXIE GROUP INC               Common Stock   255519100      120    14200 SH       DEFINED    01,03       14200        0        0
DOLE FOOD INC                     Common Stock   256605106     1930    65693 SH       DEFINED    01,02,03    57893        0     7800
DOLLAR GENERAL CORP               Common Stock   256669102    10299   355154 SH       DEFINED    01,02,03   337104        0    18050
                                                                                                 04
DOLLAR GENERAL CORP               Common Stock   256669102      826    28490 SH       OTHER                  26765        0     1725
DOLLAR THRIFTY AUTOMOTIVE GRO     Common Stock   256743105      281    12100 SH       DEFINED    01          12100        0        0
DOLLAR TREE STORES INC            Common Stock   256747106     3079    69973 SH       DEFINED    01,02,03    61573        0     8400
DOMINION RES INC VA               Common Stock   257470104     3306    76320 SH       DEFINED    01,02,03    74020        0     2300
                                                                                                 04
DOMINION RES INC VA               Common Stock   257470104      325     7500 SH       OTHER                   6175     1325        0
DONALDSON INC                     Common Stock   257651109     1544    63000 SH       DEFINED    01,02,03    56540        0     6460
DONALDSON INC                     Common Stock   257651109     1182    48228 SH       OTHER                  48228        0        0
DONALDSON LUFKIN & JENRETTE       Common Stock   257661108     5007    83100 SH       DEFINED    01          83100        0        0
DONNELLEY R R & SONS CO           Common Stock   257867101     1902    51311 SH       DEFINED    01,02,03    48435        0     2876
DONNELLEY R R & SONS CO           Common Stock   257867101      556    15000 SH       OTHER                  12400        0     2600
DOVER CORP                        Common Stock   260003108     3448    98500 SH       DEFINED    01,02,03    89510        0     8990
                                                                                                 04
DOVER CORP                        Common Stock   260003108      157     4496 SH       OTHER                   4100      396        0
DOW CHEMICAL CO                   Common Stock   260543103    16854   132843 SH       DEFINED    01,02,03   128263        0     4580
                                                                                                 04
DOW CHEMICAL CO                   Common Stock   260543103     5351    42177 SH       OTHER                  39079     1237     1861
DOW JONES & CO INC                Common Stock   260561105     1704    32118 SH       DEFINED    01,02,03    30502        0     1616
DOW JONES & CO INC                Common Stock   260561105        2       29 SH       OTHER                     29        0        0
DOWNY FINANCIAL CORP              Common Stock   261018105      771    35129 SH       DEFINED    01,03       35129        0        0
DRESS BARN INC                    Common Stock   261570105      403    25200 SH       DEFINED    01,03       25200        0        0
DREYERS GRAND ICE CREAM           Common Stock   261878102      477    31508 SH       DEFINED    01,03       27708        0     3800
DU PONT E I DE NEMOURS & CO       Common Stock   263534109    32882   481337 SH       DEFINED    01,02,03   450941        0    30396
                                                                                                 04
DU PONT E I DE NEMOURS & CO       Common Stock   263534109     8035   117625 SH       OTHER                  91332    23320     2973
DUKE ENERGY CORP                  Common Stock   264399106     7709   141614 SH       DEFINED    01,03,04   135893        0     5721
DUKE ENERGY CORP                  Common Stock   264399106     2997    55045 SH       OTHER                  52982      750     1313
DURA AUTOMOTIVE SYSTEMS INC       Common Stock   265903104      529    15914 SH       DEFINED    01,02       15914        0        0
DURA AUTOMOTIVE SYSTEMS INC       Common Stock   265903104      110     3300 SH       OTHER                   3300        0        0
DUPONT PHOTOMASKS INC             Common Stock   26613X101      349     7300 SH       DEFINED    01           7300        0        0
DURA PHARMACEUTICALS INC          Common Stock   26632S109      740    62000 SH       DEFINED    01,03       55300        0     6700
DYCOM INDS INC                    Common Stock   267475101     1787    31910 SH       DEFINED    01,03       31730        0      180
E G & G INC                       Common Stock   268457108      556    15610 SH       DEFINED    01,03       15110        0      500
E G & G INC                       Common Stock   268457108       14      400 SH       OTHER                    400        0        0
E M C CORP                        Common Stock   268648102    29607   538309 SH       DEFINED    01,02,03   499107        0    39202
                                                                                                 04
E M C CORP                        Common Stock   268648102     4697    85399 SH       OTHER                  27239     1200    56960
ENSCO INTERNATIONAL INC           Common Stock   26874Q100     3724   186754 SH       DEFINED    01,02,03   168054        0    18700
ENSCO INTERNATIONAL INC           Common Stock   26874Q100       22     1100 SH       OTHER                   1100        0        0
ESCO ELECTRS CORP                 Common Stock   269030201       63     4910 SH       DEFINED    01           4910        0        0
ESCO ELECTRS CORP                 Common Stock   269030201        2      165 SH       OTHER                     15      150        0
ESS TECHNOLOGY INC                Common Stock   269151106       94     7000 SH       DEFINED    01           7000        0        0
ETEC SYSTEMS INC                  Common Stock   26922C103      888    26700 SH       DEFINED    01,03       26700        0        0
E TOWN CORP                       Common Stock   269242103      215     4700 SH       DEFINED    01           4700        0        0
E TRADE GROUP INC                 Common Stock   269246104    10688   267606 SH       DEFINED    01,02,03   235806        0    31800
EAGLE USA AIRFREIGHT INC          Common Stock   270018104      306     7200 SH       DEFINED    01           7200        0        0
EARTHGRAINS CO                    Common Stock   270319106     1393    53964 SH       DEFINED    01,03       53964        0        0
EARTHGRAINS CO                    Common Stock   270319106        8      316 SH       OTHER                     32      284        0
EARTHLINK NETWORK INC             Common Stock   270322100      590     9600 SH       DEFINED    01           8900        0      700
EASTERN ENTERPRISES               Common Stock   27637F100      347     8737 SH       DEFINED    01,03        8437        0      300
EASTERN UTILITIES ASSOC           Common Stock   277173100      743    25500 SH       DEFINED    01,03       25500        0        0
EASTMAN CHEMICAL CO               Common Stock   277432100     1658    32045 SH       DEFINED    01,02,03    29828      440     1777
                                                                                                 04
EASTMAN CHEMICAL CO               Common Stock   277432100       35      675 SH       OTHER                    479      196        0
EASTMAN KODAK CO                  Common Stock   277461109     9006   132933 SH       DEFINED    01,02,03   123000     2059     7874
                                                                                                 04
EASTMAN KODAK CO                  Common Stock   277461109     2799    41307 SH       OTHER                  37869     1874     1564
EATON CORP                        Common Stock   278058102     2713    29488 SH       DEFINED    01,02,03    27788        0     1700
                                                                                                 04
EATON CORP                        Common Stock   278058102      276     3000 SH       OTHER                      0     3000        0
EATON VANCE CORP NON VTG          Common Stock   278265103     1552    45060 SH       DEFINED    01,03       44900        0      160
EATON VANCE CORP NON VTG          Common Stock   278265103      110     3200 SH       OTHER                   3200        0        0
ECHOSTAR COMMUNICATIONS CL A      Common Stock   278762109      844     5500 SH       DEFINED    01           4100        0     1400
ECLIPSE SURGICAL TECHNLGS INC     Common Stock   278849104       41     3800 SH       DEFINED    01           3800        0        0
ECOLAB INC                        Common Stock   278865100     2302    52765 SH       DEFINED    01,02,03    50710        0     2055
ECOLAB INC                        Common Stock   278865100      222     5080 SH       OTHER                   2590     2000      490
EDIFY CORP                        Common Stock   280599101      111     8300 SH       DEFINED    01           8300        0        0
EDPERBRASCAN CORP CL A            Common Stock   280905803     2383   158850 SH       DEFINED    01,03      157950        0      900
EDISON INTERNATIONAL              Common Stock   281020107     3780   141291 SH       DEFINED    01,02,03   137191        0     4100
EDISON INTERNATIONAL              Common Stock   281020107      643    24043 SH       OTHER                  17843     2600     3600
EDUCATION MGMT CORP               Common Stock   28139T101      419    20200 SH       DEFINED    01          20200        0        0
EDWARDS J D & CO                  Common Stock   281667105      487    26300 SH       DEFINED    01          26300        0        0
EDWARDS A G INC                   Common Stock   281760108     3503   108635 SH       DEFINED    01,02,03    95728        0    12907
EDWARDS A G INC                   Common Stock   281760108       15      462 SH       OTHER                      0        0      462
EGGHEAD.COM                       Common Stock   282330109      132    11800 SH       DEFINED    01          11800        0        0
EL PASO ELECTRIC CO               Common Stock   283677854      552    61800 SH       DEFINED    01          61800        0        0
ELCOR CORP                        Common Stock   284443108     1588    36350 SH       DEFINED    01,02,03    36350        0        0
ELCOR CORP                        Common Stock   284443108      125     2850 SH       OTHER                   2850        0        0
ELECTRO SCIENTIFIC INDS INC       Common Stock   285229100      677    16200 SH       DEFINED    01,03       16200        0        0
ELECTROGLAS INC                   Common Stock   285324109      492    24600 SH       DEFINED    01,03       24600        0        0
ELECTRONIC ARTS                   Common Stock   285512109     3965    73093 SH       DEFINED    01,02,03    64793        0     8300
ELECTRONIC ARTS                   Common Stock   285512109        7      120 SH       OTHER                    120        0        0
ELECTRONIC DATA SYSTEMS CORP      Common Stock   285661104    14604   257916 SH       DEFINED    01,02,03   247798      500     9618
                                                                                                 04
ELECTRONIC DATA SYSTEMS CORP      Common Stock   285661104     3133    55324 SH       OTHER                  44262     7358     3704
ELECTRONICS FOR IMAGING INC       Common Stock   286082102     1968    38315 SH       DEFINED    01          38205        0      110
EMCORE CORP                       Common Stock   290846104      302    15000 SH       DEFINED    01          15000        0        0
EMERSON ELEC CO                   Common Stock   291011104    34188   543209 SH       DEFINED    01,02,03   528103     1055    14051
                                                                                                 04
EMERSON ELEC CO                   Common Stock   291011104    13560   215447 SH       OTHER                 178435    30774     6238
EMISPHERE TECHNOLOGIES INC CO     Common Stock   291345106       12     1700 SH       DEFINED    01           1700        0        0
EMMIS COMMUNICATIONS CL A         Common Stock   291525103      462     9355 SH       DEFINED    01           9355        0        0
EMPI INC                          Common Stock   291586105      292    12000 SH       DEFINED    01,03       11000        0     1000
EMPIRE DIST ELEC CO               Common Stock   291641108      349    13400 SH       DEFINED    01          13400        0        0
EMULEX CORP NEW                   Common Stock   292475209       44      400 SH       DEFINED    01            400        0        0
ENDOSONICS CORP                   Common Stock   29264K105       19     2700 SH       DEFINED    01,03        1200        0     1500
ENERGEN CORP                      Common Stock   29265N108      689    37000 SH       DEFINED    01,03       37000        0        0
ENGELHARD CORP                    Common Stock   292845104     1383    61118 SH       DEFINED    01,02,03    54436        0     6682
                                                                                                 04
ENGELHARD CORP                    Common Stock   292845104       29     1274 SH       OTHER                    250      414      610
ENGINEERING ANIMATION INC         Common Stock   292872108       48     2250 SH       DEFINED    01           2250        0        0
ENHANCE FINL SVCS GROUP INC       Common Stock   293310108      936    47400 SH       DEFINED    01,03       47400        0        0
ENNIS BUSINESS FORMS              Common Stock   293389102       46     5400 SH       DEFINED    01           5400        0        0
ENNIS BUSINESS FORMS              Common Stock   293389102       29     3375 SH       OTHER                   3375        0        0
ENRON CORP OREGON                 Common Stock   293561106    15613   190985 SH       DEFINED    01,02,03   184930        0     6055
ENRON CORP OREGON                 Common Stock   293561106     2737    33482 SH       OTHER                  22722    10600      160
ENRON OIL & GAS CO                Common Stock   293562104     2344   115760 SH       DEFINED    01         114000        0     1760
ENRON OIL & GAS CO                Common Stock   293562104       16      805 SH       OTHER                      0        0      805
ENTERGY CORP NEW                  Common Stock   29364G103     2837    90794 SH       DEFINED    01,02,03    86679        0     4115
ENTERGY CORP NEW                  Common Stock   29364G103       16      510 SH       OTHER                      0        0      510
ENTREMED INC                      Common Stock   29382F103      137     6100 SH       DEFINED    01,03        5100        0     1000
ENZO BIOCHEM INC                  Common Stock   294100102      345    34069 SH       DEFINED    01,03       31077        0     2992
EQUIFAX INC                       Common Stock   294429105    18546   519659 SH       DEFINED    01,02,03   488089     2555    29015
                                                                                                 04
EQUIFAX INC                       Common Stock   294429105     4025   112775 SH       OTHER                  98380    13955      440
EQUITABLE COS INC                 Common Stock   29444G107     8826   131725 SH       DEFINED    01,02      131605        0      120
EQUITABLE COS INC                 Common Stock   29444G107        4       58 SH       OTHER                     58        0        0
EQUITABLE RESOURCES INC           Common Stock   294549100      922    24432 SH       DEFINED    01          24212        0      220
EQUITABLE RESOURCES INC           Common Stock   294549100       17      450 SH       OTHER                    200        0      250
EQUITY RESIDEN CV PFD 7.250%      Preferred Stock29476L859        6      250 PRN      DEFINED    01              0        0      250
ERIE FAMILY LIFE INS CO COM       Common Stock   295242101      124     6000 SH       DEFINED    01           6000        0        0
ERIE FAMILY LIFE INS CO COM       Common Stock   295242101      129     6210 SH       OTHER                      0     6210        0
ERIE INDEMNITY COMPANY CL A       Common Stock   29530P102      439    15400 SH       DEFINED    01          15400        0        0
ERIE INDEMNITY COMPANY CL A       Common Stock   29530P102       17      600 SH       OTHER                      0        0      600
ESTERLINE TECHNOLOGIES CORP       Common Stock   297425100      339    23606 SH       DEFINED    01,03       22300        0     1306
ESTERLINE TECHNOLOGIES CORP       Common Stock   297425100        1      100 SH       OTHER                    100        0        0
ETHAN ALLEN INTERIORS INC         Common Stock   297602104     1935    51265 SH       DEFINED    01,03       51175        0       90
ETHYL CORP                        Common Stock   297659104      576    95948 SH       DEFINED    01,03       84548        0    11400
EVANS & SUTHERLAND COMPUTER C     Common Stock   299096107       90     6900 SH       DEFINED    01           6900        0        0
EVEREN CAPITAL CORP               Common Stock   299761106      289     9700 SH       DEFINED    01           9700        0        0
EVEREST REINSURANCE HLDS          Common Stock   299808105     1825    55940 SH       DEFINED    01,02,03    49340        0     6600
EVEREST REINSURANCE HLDS          Common Stock   299808105        3      100 SH       OTHER                    100        0        0
EXABYTE CORP                      Common Stock   300615101      110    28300 SH       DEFINED    01,03       28300        0        0
EXCEL TECHNOLOGY INC              Common Stock   30067T103       11      817 SH       DEFINED    01            817        0        0
EXCEL SWITCHING CORP              Common Stock   30067V108      278     9300 SH       DEFINED    01           9300        0        0
EXECUTIVE RISK INC                Common Stock   301586103     1225    14400 SH       DEFINED    01,03       14400        0        0
EXIDE CORP                        Common Stock   302051107      257    17400 SH       DEFINED    01          17400        0        0
EXPEDITORS INTERNATIONAL          Common Stock   302130109     1700    62370 SH       DEFINED    01,03       62300        0       70
EXPRESS SCRIPTS INC CL A          Common Stock   302182100     3057    50798 SH       DEFINED    01,02,03    47198        0     3600
EXTENDED STAY AMERICA INC         Common Stock   30224P101      468    39038 SH       DEFINED    01          39038        0        0
EXXON CORP                        Common Stock   302290101   118757  1539805 SH       DEFINED    01,02,03  1439555    17092    83158
                                                                                                 04
EXXON CORP                        Common Stock   302290101    37253   483020 SH       OTHER                 301356   158958    22706
F & M NATL CORP                   Common Stock   302374103      448    13484 SH       DEFINED    01,02       13484        0        0
FBL FINANCIAL GROUP INC CL A      Common Stock   30239F106      464    23800 SH       DEFINED    01          23800        0        0
FEI CO                            Common Stock   30241L109       27     3300 SH       DEFINED    01           3300        0        0
FMC CORP - NEW                    Common Stock   302491303      832    12182 SH       DEFINED    01,02,03    11782        0      400
FMC CORP - NEW                    Common Stock   302491303        7      100 SH       OTHER                      0      100        0
FPIC INSURANCE GROUP INC          Common Stock   302563101      233     4800 SH       DEFINED    01,02        4800        0        0
FPIC INSURANCE GROUP INC          Common Stock   302563101        5      100 SH       OTHER                    100        0        0
FPL GROUP INC                     Common Stock   302571104     4040    73966 SH       DEFINED    01,02,03    71366        0     2600
                                                                                                 04
FPL GROUP INC                     Common Stock   302571104      771    14120 SH       OTHER                   4070     5950     4100
FSI INTL INC                      Common Stock   302633102       94    11300 SH       DEFINED    01          11300        0        0
FX ENERGY INC                     Common Stock   302695101      249    37919 SH       OTHER                  37919        0        0
F Y I INC                         Common Stock   302712104      577    18390 SH       DEFINED    01,02       18390        0        0
F Y I INC                         Common Stock   302712104       13      400 SH       OTHER                    400        0        0
FACTSET RESEARCH SYSTEMS INC      Common Stock   303075105     1093    19300 SH       DEFINED    01,03       19300        0        0
FAIR ISSAC & CO INC               Common Stock   303250104      614    17500 SH       DEFINED    01,03       17500        0        0
FAIRCHILD CORP CL A               Common Stock   303698104      220    17254 SH       DEFINED    01          17254        0        0
FAIRFIELD COMMUNITIES INC         Common Stock   304231301      203    12600 SH       DEFINED    01          12600        0        0
FAMILY DOLLAR STORES              Common Stock   307000109    11267   469472 SH       DEFINED    01,02,03   428272        0    41200
FAMILY DOLLAR STORES              Common Stock   307000109      386    16100 SH       OTHER                  14175        0     1925
FAMILY GOLF CENTERS INC           Common Stock   30701A106      248    32300 SH       DEFINED    01,03       32300        0        0
FARM FRESH INC SD CV              Other          307669AA9        2    50000 PRN      DEFINED    01,02       50000        0        0
FARMER BROS CO                    Common Stock   307675108      243     1200 SH       DEFINED    01           1200        0        0
FASTENAL CO                       Common Stock   311900104     2531    48257 SH       DEFINED    01,03,04    42922        0     5335
FASTENAL CO                       Common Stock   311900104       37      700 SH       OTHER                      0        0      700
FEDDERS USA INC                   Common Stock   313135105      302    45660 SH       DEFINED    01,03       45660        0        0
FEDDERS CORP CL A                 Common Stock   313135303       46     7500 SH       DEFINED    01           7500        0        0
FED HOME LN MTG CORP              Common Stock   313400301    15537   267885 SH       DEFINED    01,02,03   250918        0    16967
FED HOME LN MTG CORP              Common Stock   313400301      938    16165 SH       OTHER                  11515        0     4650
FEDERAL MOGUL CORP                Common Stock   313549107     4286    82431 SH       DEFINED    01,02,03    72931        0     9500
FEDERAL MOGUL CORP                Common Stock   313549107      377     7253 SH       OTHER                   7253        0        0
FEDERAL NATL MTG ASSN             Common Stock   313586109    68790  1007913 SH       DEFINED    01,02,03   942811     1075    64027
                                                                                                 04
FEDERAL NATL MTG ASSN             Common Stock   313586109    19376   283894 SH       OTHER                 195877    79844     8173
FEDERAL SIGNAL CORP               Common Stock   313855108     1566    73891 SH       DEFINED    01,03,04    66242        0     7649
FEDERAL SIGNAL CORP               Common Stock   313855108      569    26855 SH       OTHER                  26605        0      250
FEDERATED DEPT STORES INC NEW     Common Stock   31410H101     4336    81905 SH       DEFINED    01,02,03    71350        0    10555
FEDERATED DEPT STORES INC NEW     Common Stock   31410H101      251     4735 SH       OTHER                   2255        0     2480
FERRELLGAS PARTNERS LP            Other          315293100      183    10800 SH       DEFINED    01          10800        0        0
FERRO CORP                        Common Stock   315405100     1102    40083 SH       DEFINED    01,03       35283        0     4800
FIDELITY NATL FINL INC            Common Stock   316326107      755    37766 SH       DEFINED    01,03       37766        0        0
FIFTH THIRD BANCORP COM           Common Stock   316773100     8894   133611 SH       DEFINED    01,02,03   130216        0     3395
                                                                                                 04
FIFTH THIRD BANCORP COM           Common Stock   316773100     1906    28633 SH       OTHER                  13498    15000      135
FILENET CORP                      Common Stock   316869106      456    39900 SH       DEFINED    01,03       39900        0        0
FINANCIAL FEDERAL CORP            Common Stock   317492106      880    40000 SH       DEFINED    01,02       40000        0        0
FINANCIAL FEDERAL CORP            Common Stock   317492106       32     1450 SH       OTHER                   1450        0        0
FINANCIAL SEC ASSUR HLDG LTD      Common Stock   31769P100     1034    19877 SH       DEFINED    01          18477        0     1400
FINANCIAL SEC ASSUR HLDG LTD      Common Stock   31769P100      105     2025 SH       OTHER                   2025        0        0
FINISH LINE INC CL A              Common Stock   317923100       96     8500 SH       DEFINED    01           8500        0        0
FINOVA GROUP INC                  Common Stock   317928109     7216   137125 SH       DEFINED    01,02,03   127225      600     9300
                                                                                                 04
FINOVA GROUP INC                  Common Stock   317928109      414     7863 SH       OTHER                   6575     1288        0
FIRST AMERICAN FINL CORP CALI     Common Stock   318522307     1432    80096 SH       DEFINED    01,03       80096        0        0
FIRST AMERICA CORP                Common Stock   318900107     2442    58750 SH       DEFINED    01,02       58750        0        0
FIRST AMERICA CORP                Common Stock   318900107       39      950 SH       OTHER                    950        0        0
1ST CTZNS BANCSHS INC N C CL      Common Stock   31946M103      589     7300 SH       DEFINED    01           7300        0        0
FIRST COMWLTH FINL CORP PA        Common Stock   319829107      334    14000 SH       DEFINED    01          14000        0        0
FIRST DATA CORP                   Common Stock   319963104    12013   245465 SH       DEFINED    01,02,03   234041        0    11424
                                                                                                 04
FIRST DATA CORP                   Common Stock   319963104     1828    37359 SH       OTHER                  24049    12700      610
FIRST FINL BANCORP                Common Stock   320209109      506    22378 SH       DEFINED    01          22378        0        0
FIRST FINL BANCORP                Common Stock   320209109       30     1331 SH       OTHER                   1331        0        0
FIRST FINL HLDGS INC              Common Stock   320239106      141     7500 SH       DEFINED    01           7500        0        0
FIRST INDIANA CORP                Common Stock   32054R108      166     7750 SH       DEFINED    01           7750        0        0
FIRST MIDWEST BANCORP INC DEL     Common Stock   320867104     1403    35300 SH       DEFINED    01,03       35300        0        0
FIRST NATL NEBRASKA INC           Common Stock   335720108      208       68 SH       DEFINED    01             68        0        0
FIRST SIERRA FINL INC             Common Stock   335944104       68     2700 SH       DEFINED    01           2700        0        0
FIRST REP BANCORP INC             Common Stock   336158100       69     2400 SH       DEFINED    01           2400        0        0
FIRST SEC CORP DEL                Common Stock   336294103     6055   222209 SH       DEFINED    01,02,03   195809        0    26400
FIRST SOURCE CORP                 Common Stock   336901103      415    12958 SH       DEFINED    01          12958        0        0
FIRST TENN NATL CORP              Common Stock   337162101     5749   150065 SH       DEFINED    01,02,03   132265        0    17800
FIRST UNION CORP                  Common Stock   337358105    17503   371418 SH       DEFINED    01,02,03   347662        0    23756
FIRST UNION CORP                  Common Stock   337358105      583    12380 SH       OTHER                   9227     1900     1253
FIRST VIRGINIA BANKS INC          Common Stock   337477103     2822    57444 SH       DEFINED    01,02,03    50644        0     6800
FIRST WESTERN BANCORP INC         Common Stock   337505101      297     8868 SH       DEFINED    01           8868        0        0
FIRST YEARS INC                   Common Stock   337610109       21     1400 SH       DEFINED    01           1400        0        0
FIRSTBANK CORP MICH               Common Stock   33761G104       67     2400 SH       DEFINED    01           2400        0        0
FISERV INC                        Common Stock   337738108    19963   637536 SH       DEFINED    01,02,03   607150     2512    27874
                                                                                                 04
FISERV INC                        Common Stock   337738108     2638    84231 SH       OTHER                  66565    15566     2100
FISHER COS INC                    Common Stock   337756209     1261    20016 SH       OTHER                  20016        0        0
FIRSTFED FINL CORP DEL            Common Stock   337907109      264    13700 SH       DEFINED    01          13700        0        0
FIRSTMERIT CORPORATION            Common Stock   337915102     3274   116665 SH       DEFINED    01,02,03   116665        0        0
FIRSTMERIT CORPORATION            Common Stock   337915102       97     3450 SH       OTHER                   3450        0        0
FLAGSTAR BANCORP INC              Common Stock   337930101      330    13050 SH       DEFINED    01,02       13050        0        0
FLAGSTAR BANCORP INC              Common Stock   337930101       63     2500 SH       OTHER                   2500        0        0
FLEET FINANCIAL GROUP INC         Common Stock   338915101    27710   624453 SH       DEFINED    01,02,03   583355        0    41098
FLEET FINANCIAL GROUP INC         Common Stock   338915101     1762    39701 SH       OTHER                  23731      515    15455
FLEETWOOD ENTERPRISES INC         Common Stock   339099103      318    12021 SH       DEFINED    01,03       11621        0      400
FLEMING COS                       Common Stock   339130106      557    47900 SH       DEFINED    01,03       47900        0        0
FLA EAST COAST IND                Common Stock   340632108     1168    26400 SH       DEFINED    01          26400        0        0
FLORIDA PROGRESS CORP             Common Stock   341109106     2089    50575 SH       DEFINED    01,02,03    42425        0     8150
                                                                                                 04
FLORIDA PROGRESS CORP             Common Stock   341109106      155     3750 SH       OTHER                   3750        0        0
FLORIDA ROCK IND                  Common Stock   341140101     1069    23500 SH       DEFINED    01,03       23500        0        0
FLOW INTERNATIONAL CORP COM       Common Stock   343468104      198    18300 SH       DEFINED    01,03       18300        0        0
FLOW INTERNATIONAL CORP COM       Common Stock   343468104       11     1000 SH       OTHER                   1000        0        0
FLOWERS INDS INC                  Common Stock   343496105     2719   125358 SH       DEFINED    01,02,03   101558        0    23800
FLOWSERVE CORP                    Common Stock   34354P105     1044    55122 SH       DEFINED    01,03       50135        0     4987
FLUOR CORP                        Common Stock   343861100     1159    28620 SH       DEFINED    01,02,03    27195        0     1425
FLUOR CORP                        Common Stock   343861100       20      505 SH       OTHER                      0        0      505
FLUSHING FINANCIAL CORP           Common Stock   343873105       95     6150 SH       DEFINED    01           6150        0        0
FOAMEX INTL INC                   Common Stock   344123104      112    20100 SH       DEFINED    01,02       19100        0     1000
FOOD LION INC CL B                Common Stock   344775101        2      150 SH       OTHER                    150        0        0
FOOD LION CLASS A                 Common Stock   344775200     4174   351500 SH       DEFINED    01,04      351500        0        0
FOODMAKER INC NEW                 Common Stock   344839204     1453    51200 SH       DEFINED    01,03       51200        0        0
FOOTSTAR INC                      Common Stock   344912100     1038    27900 SH       DEFINED    01,03       27900        0        0
FORD MOTOR CO                     Common Stock   345370100   258588  4581799 SH       DEFINED    01,02,03  1374087     2248  3205464
                                                                                                 04
FORD MOTOR CO                     Common Stock   345370100    25467   451235 SH       OTHER                 217734   220598    12903
FOREMOST CORP OF AM               Common Stock   345469100      449    20400 SH       DEFINED    01          20400        0        0
FOREST CITY ENTERPRISES INC C     Common Stock   345550107      396    14150 SH       DEFINED    01,03       10950        0     3200
FOREST LABS INC                   Common Stock   345838106     5141   111164 SH       DEFINED    01,02,03    89664        0    21500
FOREST OIL CORP                   Common Stock   346091606      176    14000 SH       DEFINED    01          14000        0        0
FORT JAMES CORP                   Common Stock   347471104     4436   117127 SH       DEFINED    01,02,03   113067      235     3825
                                                                                                 04
FORT JAMES CORP                   Common Stock   347471104       85     2235 SH       OTHER                   1350      525      360
FORTUNE BRANDS INC                Common Stock   349631101     3200    77336 SH       DEFINED    01,02,03    72011        0     5325
FORTUNE BRANDS INC                Common Stock   349631101     1313    31740 SH       OTHER                  28553     1600     1587
FOSSIL INC                        Common Stock   349882100     1613    33350 SH       DEFINED    01,02,03    33350        0        0
FOSSIL INC                        Common Stock   349882100       10      200 SH       OTHER                    200        0        0
FOSTER WHEELER CORP               Common Stock   350244109      558    39712 SH       DEFINED    01,03,04    37312        0     2400
FOUNDATION HEALTH SYSTEMS CL      Common Stock   350404109     2198   146520 SH       DEFINED    01,03      124080        0    22440
FRANKLIN COVEY CO                 Common Stock   353469109      189    25600 SH       DEFINED    01,03       25600        0        0
FRANKLIN ELEC INC                 Common Stock   353514102      240     3700 SH       DEFINED    01           3700        0        0
FRANKLIN RES INC                  Common Stock   354613101     3755    92441 SH       DEFINED    01,02,03    89541        0     2900
FRANKLIN RES INC                  Common Stock   354613101      291     7156 SH       OTHER                   7156        0        0
FREEPORT-MCMORAN COPPER & GOL     Common Stock   35671D105     1005    60009 SH       DEFINED    01          60009        0        0
FREEPORT-MCMORAN COPPER-B         Common Stock   35671D857     1096    61076 SH       DEFINED    01,02,03    59264        0     1812
FREMONT GEN CORP                  Common Stock   357288109     1660    87925 SH       DEFINED    01,03       87925        0        0
FREMONT GEN CORP                  Common Stock   357288109        8      430 SH       OTHER                    200        0      230
FRITZ COS INC                     Common Stock   358846103      491    45692 SH       DEFINED    01,03       45692        0        0
FRONTIER CORP                     Common Stock   35906P105     3492    59570 SH       DEFINED    01,02,03    57570        0     2000
FRONTIER CORP                     Common Stock   35906P105      133     2268 SH       OTHER                   2268        0        0
FRONTIER INS GROUP INC NEW        Common Stock   359081106      670    43565 SH       DEFINED    01,03       43565        0        0
FRONTIER INS GROUP INC NEW        Common Stock   359081106        4      238 SH       OTHER                      0        0      238
FROZEN FOOD EXPRESS INDS INC      Common Stock   359360104      156    20400 SH       DEFINED    01,03       20400        0        0
FUISZ TECHNOLOGIES LTD            Common Stock   359536109       36    10900 SH       DEFINED    01          10900        0        0
FULL HOUSE RESORTS INC            Common Stock   359678109     2312  1056471 SH       DEFINED    01,04     1056471        0        0
FULLER H B CO                     Common Stock   359694106     1084    15849 SH       DEFINED    01,03       14049        0     1800
FULTON FINL CORP PA               Common Stock   360271100      658    31803 SH       DEFINED    01          31803        0        0
FURNITURE BRANDS INTL INC         Common Stock   360921100     2626    94190 SH       DEFINED    01,02,03    87150        0     7040
FURNITURE BRANDS INTL INC         Common Stock   360921100       26      950 SH       OTHER                    450        0      500
FURON CO                          Common Stock   361106107      308    16200 SH       DEFINED    01,04       16200        0        0
G & K SVCS INC CL A               Common Stock   361268105     1343    25640 SH       DEFINED    01,03       25600        0       40
G & K SVCS INC CL A               Common Stock   361268105       79     1500 SH       OTHER                   1500        0        0
GATX CORP                         Common Stock   361448103     2147    56400 SH       DEFINED    01,03       49700        0     6700
GATX CORP                         Common Stock   361448103       11      295 SH       OTHER                      0        0      295
GC COMPANIES INC                  Common Stock   36155Q109      347     9700 SH       DEFINED    01,03        9700        0        0
GST TELECOMMUNICATIONS INC        Common Stock   361942105      131     9900 SH       DEFINED    01           9900        0        0
GPU INC                           Common Stock   36225X100     2452    58128 SH       DEFINED    01,02,03    55928        0     2200
GPU INC                           Common Stock   36225X100       19      450 SH       OTHER                    100        0      350
GTE CORP                          Common Stock   362320103    42877   567902 SH       DEFINED    01,02,03   539114     5364    23424
                                                                                                 04
GTE CORP                          Common Stock   362320103     9088   120377 SH       OTHER                 101507    11760     7110
GT INTERACTIVE SOFTWARE CORP      Common Stock   36236E109      158    45200 SH       DEFINED    01          45200        0        0
GAINSCO INC                       Common Stock   363127101       63    10700 SH       DEFINED    01          10700        0        0
GALEY & LORD INC                  Common Stock   36352K103       65    14800 SH       DEFINED    01,03       14800        0        0
GALILEO INTL INC                  Common Stock   363547100     1343    25130 SH       DEFINED    01,02       22830        0     2300
GALILEO INTL INC                  Common Stock   363547100        4       80 SH       OTHER                     80        0        0
GALLAGHER ARTHUR J & CO           Common Stock   363576109     1114    22500 SH       DEFINED    01,03       22500        0        0
GANNETT INC                       Common Stock   364730101    11060   154959 SH       DEFINED    01,02,03   133780     4400    16779
                                                                                                 04
GANNETT INC                       Common Stock   364730101     1512    21179 SH       OTHER                  14118      400     6661
GAP INC                           Common Stock   364760108    17523   347858 SH       DEFINED    01,02,03   325651        0    22207
GAP INC                           Common Stock   364760108     1439    28567 SH       OTHER                   3307        0    25260
GARDNER DENVER INC                Common Stock   365558105      306    18980 SH       DEFINED    01,03       18980        0        0
GARTNER GROUP INC CL A            Common Stock   366651107     1386    67600 SH       DEFINED    01,04       66600        0     1000
GARTNER GROUP INC CL A            Common Stock   366651107       26     1250 SH       OTHER                    800        0      450
GAYLORD ENTMT CO NEW              Common Stock   367905106      541    18023 SH       DEFINED    01          18023        0        0
GAYLORD ENTMT CO NEW              Common Stock   367905106        6      200 SH       OTHER                    200        0        0
GAYLORD CONTAINER CORP CL A       Common Stock   368145108      230    29000 SH       DEFINED    01          29000        0        0
GELTEX PHARMACEUTICALS INC        Common Stock   368538104      119     6600 SH       DEFINED    01,03        5300        0     1300
GENCORP INC                       Common Stock   368682100     1256    49759 SH       DEFINED    01,03       44059        0     5700
GENCORP INC                       Common Stock   368682100       14      545 SH       OTHER                      0        0      545
GENERAL BINDING                   Common Stock   369154109      244    10400 SH       DEFINED    01          10400        0        0
GENERAL CABLE CORP                Common Stock   369300108      200    12500 SH       DEFINED    01          12500        0        0
GENERAL COMMUNICATION CL A        Common Stock   369385109      424    62400 SH       DEFINED    01,03       62400        0        0
GENERAL DYNAMICS CORP             Common Stock   369550108     3557    51639 SH       DEFINED    01,02,03    44444        0     7195
GENERAL DYNAMICS CORP             Common Stock   369550108      255     3705 SH       OTHER                   1315        0     2390
GENERAL ELEC CO                   Common Stock   369604103   283484  2508712 SH       DEFINED    01,02,03  2356788    35153   116771
                                                                                                 04
GENERAL ELEC CO                   Common Stock   369604103    87487   774221 SH       OTHER                 553041   189905    31275
GENERAL MAGIC INC                 Common Stock   370253106       51    14500 SH       DEFINED    01          14500        0        0
GENERAL MILLS INC                 Common Stock   370334104    13058   162465 SH       DEFINED    01,02,03   153996      900     7569
                                                                                                 04
GENERAL MILLS INC                 Common Stock   370334104     2461    30616 SH       OTHER                  24275     2865     3476
GENERAL MTRS CORP                 Common Stock   370442105    23948   362847 SH       DEFINED    01,02,03   344724      408    17715
                                                                                                 04
GENERAL MTRS CORP                 Common Stock   370442105     3733    56557 SH       OTHER                  25300    15892    15365
GENERAL NUTRITION COS INC         Common Stock   37047F103     3989   171108 SH       DEFINED    01,03      161908        0     9200
GENERAL NUTRITION COS INC         Common Stock   37047F103      287    12294 SH       OTHER                   8925     3369        0
GENERAL SEMICONDUCTOR INC         Common Stock   370787103      419    45900 SH       DEFINED    01,03       45900        0        0
GENERAL SEMICONDUCTOR INC         Common Stock   370787103       18     2015 SH       OTHER                   2015        0        0
GENESCO INC                       Common Stock   371532102      103     7100 SH       DEFINED    01           7100        0        0
GENTEX CORP                       Common Stock   371901109     2562    91485 SH       DEFINED    01,02,03    91400        0       85
GENTEX CORP                       Common Stock   371901109      224     8000 SH       OTHER                   8000        0        0
GENESIS HEALTH VENTURES INC       Common Stock   371912106      155    51650 SH       DEFINED    01,03       47100        0     4550
GENESYS TELECOMM LABS INC         Common Stock   371931106      152     6100 SH       DEFINED    01           6100        0        0
GENRAD INC                        Common Stock   372447102      254    11900 SH       DEFINED    01          11300        0      600
GENUINE PARTS CO                  Common Stock   372460105    14091   402590 SH       DEFINED    01,02,03   394010        0     8580
GENUINE PARTS CO                  Common Stock   372460105      296     8449 SH       OTHER                   7082     1367        0
GEON CO                           Common Stock   37246W105      945    29300 SH       DEFINED    01,03       29300        0        0
GENZYME CORP-GENERAL DIVISION     Common Stock   372917104     5094   105026 SH       DEFINED    01,02,03    83121        0    21905
GENZYME CORP-GENERAL DIVISION     Common Stock   372917104       15      312 SH       OTHER                    132        0      180
GEORGIA GULF CORP                 Common Stock   373200203      595    35251 SH       DEFINED    01,03       31051        0     4200
GEORGIA PACIFIC GROUP             Common Stock   373298108     5055   106704 SH       DEFINED    01,02,03   102304     2000     2400
GEORGIA PACIFIC GROUP             Common Stock   373298108     1362    28752 SH       OTHER                  27650     1102        0
GERBER SCIENTIFIC INC             Common Stock   373730100     1252    56750 SH       DEFINED    01,02,03    56750        0        0
GERBER SCIENTIFIC INC             Common Stock   373730100       14      650 SH       OTHER                    650        0        0
GIANT CEMENT HOLDING INC          Common Stock   374450104      137     6000 SH       DEFINED    01           6000        0        0
GIBSON GREETINGS INC              Common Stock   374827103      125    19684 SH       DEFINED    01,03       19684        0        0
GILEAD SCIENCES INC               Common Stock   375558103     2048    39200 SH       DEFINED    01,03       31300        0     7900
GILEAD SCIENCES INC               Common Stock   375558103      261     5000 SH       OTHER                   5000        0        0
GILLETTE CO                       Common Stock   375766102    24806   605013 SH       DEFINED    01,02,03   570282     2700    32031
                                                                                                 04
GILLETTE CO                       Common Stock   375766102     5407   131879 SH       OTHER                  89876    39080     2923
GLATFELTER PH CO                  Common Stock   377316104      774    52894 SH       DEFINED    01,03       42494        0    10400
GLEASON CORP                      Common Stock   377339106      109     6500 SH       DEFINED    01           6500        0        0
GLENAYRE TECHNOLOGIES INC         Common Stock   377899109      257    71407 SH       DEFINED    01          71407        0        0
GLENBOROUGH RLTY TR INC           Common Stock   37803P105      135     7713 SH       DEFINED    01,02,03     2513        0     5200
GLENBOROUGH RLTY TR INC           Common Stock   37803P105       16      940 SH       OTHER                    940        0        0
GLOBAL INDUSTRIAL TECH INC        Common Stock   379335102      335    27793 SH       DEFINED    01,03       27793        0        0
GLOBAL INDS LTD                   Common Stock   379336100      837    65300 SH       DEFINED    01          65300        0        0
GLOBAL MARINE NEW                 Common Stock   379352404     3106   200384 SH       DEFINED    01,02,03   176684        0    23700
GLOBAL MARINE NEW                 Common Stock   379352404       12      800 SH       OTHER                    800        0        0
GOLDEN STATE BANCORP INC          Common Stock   381197102      639    28387 SH       DEFINED    01          28387        0        0
GOLDEN WEST FINANCIAL CORP        Common Stock   381317106     1922    19608 SH       DEFINED    01,02,03    18908        0      700
GOLDEN WEST FINANCIAL CORP        Common Stock   381317106      963     9828 SH       OTHER                   9828        0        0
GOODRICH B F CO                   Common Stock   382388106     1183    27836 SH       DEFINED    01,02,03    26936        0      900
GOODRICH B F CO                   Common Stock   382388106       94     2200 SH       OTHER                   2200        0        0
GOODYEAR TIRE & RUBBER CO         Common Stock   382550101     3571    60711 SH       DEFINED    01,02,03    58733        0     1978
GOODYEAR TIRE & RUBBER CO         Common Stock   382550101     1745    29670 SH       OTHER                  29000        0      670
GOODYS FAMILY CLOTHING INC        Common Stock   382588101      476    41600 SH       DEFINED    01,03       41600        0        0
GOTTSCHALKS INC                   Common Stock   383485109      144    15800 SH       DEFINED    01,03       15800        0        0
GRACO INC                         Common Stock   384109104      746    25400 SH       DEFINED    01,03       25400        0        0
GRAINGER W W INC                  Common Stock   384802104     2230    41432 SH       DEFINED    01,02,03    34831        0     6601
GRAINGER W W INC                  Common Stock   384802104      305     5675 SH       OTHER                   5675        0        0
GRANITE CONSTRUCTION INC          Common Stock   387328107      909    30995 SH       DEFINED    01,03       27305        0     3690
GREAT ATLANTIC & PAC TEA INC      Common Stock   390064103      447    13223 SH       DEFINED    01,03       12823        0      400
GREAT LAKES CHEM CORP             Common Stock   390568103     1044    22656 SH       DEFINED    01,02,03    21416        0     1240
GREAT LAKES CHEM CORP             Common Stock   390568103      662    14377 SH       OTHER                  13802        0      575
GREAT PLAINS SOFTWARE INC         Common Stock   39119E105      189     4000 SH       DEFINED    01           4000        0        0
GREATER BAY BANCORP               Common Stock   391648102       60     1800 SH       DEFINED    01           1800        0        0
GREENPOINT FINANCIAL CORP         Common Stock   395384100     4468   136160 SH       DEFINED    01,02,03   113925        0    22235
GREENPOINT FINANCIAL CORP         Common Stock   395384100      173     5285 SH       OTHER                   1890        0     3395
GREIF BROS CORP CL A              Common Stock   397624107      431    16900 SH       DEFINED    01           2900    14000        0
GREIF BROS CORP CL A              Common Stock   397624107       41     1600 SH       OTHER                   1600        0        0
GREY ADVERTISING INC              Common Stock   397838103      200      600 SH       DEFINED    01            600        0        0
GRIFFON CORPORATION               Common Stock   398433102      297    37996 SH       DEFINED    01,03       37996        0        0
GROUP 1 AUTOMOTIVE INC            Common Stock   398905109       59     2800 SH       DEFINED    01           2800        0        0
GROUP MAINTENANCE AMER CORP       Common Stock   39943E107        8      600 SH       DEFINED    01            600        0        0
GRUBB & ELLIS CO NEW              Common Stock   400095204       79    15600 SH       DEFINED    01          15600        0        0
GTECH HLDGS CORP                  Common Stock   400518106     1025    43512 SH       DEFINED    01,03       38212        0     5300
GTECH HLDGS CORP                  Common Stock   400518106        8      320 SH       OTHER                      0        0      320
GUARANTEE LIFE COS INC            Common Stock   400740106      158     6289 SH       DEFINED    01           6289        0        0
GUESS INC                         Common Stock   401617105      366    26500 SH       DEFINED    01          26500        0        0
GUIDANT CORP                      Common Stock   401698105     8254   161452 SH       DEFINED    01,02,03   118262        0    43190
GUIDANT CORP                      Common Stock   401698105      145     2838 SH       OTHER                   2288      550        0
GUILFORD MILLS INC                Common Stock   401794102      292    28150 SH       DEFINED    01,03       28150        0        0
GULF INDONESIA RES LTD            Common Stock   402284103      662    57550 SH       DEFINED    01,03       57550        0        0
GULFMARK OFFSHORE INC             Common Stock   402629109       42     2200 SH       DEFINED    01           2200        0        0
GULFSTREAM AEROSPACE CORP NEW     Common Stock   402734107     5567    82390 SH       DEFINED    01,02,03    72497        0     9893
GULFSTREAM AEROSPACE CORP NEW     Common Stock   402734107       34      500 SH       OTHER                      0        0      500
GYMBOREE CORP                     Common Stock   403777105      339    32300 SH       DEFINED    01,03       32300        0        0
HMT TECHNOLOGY CORP               Common Stock   403917107       60    23800 SH       DEFINED    01          23800        0        0
HCC INS HLDGS INC                 Common Stock   404132102      542    23875 SH       DEFINED    01,04       23875        0        0
HNC SOFTWARE INC                  Common Stock   40425P107     1463    47475 SH       DEFINED    01,03       47475        0        0
HNC SOFTWARE INC                  Common Stock   40425P107       18      600 SH       OTHER                    600        0        0
HSB GROUP INC                     Common Stock   40428N109     1404    34082 SH       DEFINED    01,03       30032        0     4050
HS RESOURCES INC                  Common Stock   404297103      541    36702 SH       DEFINED    01,03       36702        0        0
HA-LO INDS INC                    Common Stock   404429102      774    78350 SH       DEFINED    01,03       78350        0        0
HA-LO INDS INC                    Common Stock   404429102       22     2250 SH       OTHER                   2250        0        0
HADCO CORP                        Common Stock   404681108      672    16900 SH       DEFINED    01,03       16900        0        0
HAEMONETICS CORP MASS             Common Stock   405024100      502    25000 SH       DEFINED    01,03       21500        0     3500
HAGGAR CORP                       Common Stock   405173105      119     9100 SH       DEFINED    01,03        9100        0        0
HAIN FOOD GROUP INC               Common Stock   405219106      292    14150 SH       DEFINED    01,02       14150        0        0
HAIN FOOD GROUP INC               Common Stock   405219106        5      250 SH       OTHER                    250        0        0
HALLIBURTON CO HLDG               Common Stock   406216101     8657   191323 SH       DEFINED    01,02,03   178803        0    12520
                                                                                                 04
HALLIBURTON CO HLDG               Common Stock   406216101     1195    26408 SH       OTHER                  13185    12800      423
HALTER MARINE GROUP INC           Common Stock   40642Y105      238    35975 SH       DEFINED    01,03       35975        0        0
HAMBRECHT & QUIST GROUP INC       Common Stock   406545103     1136    30800 SH       DEFINED    01,03       30800        0        0
HAMILTON BANCORP INC              Common Stock   407013101       62     2600 SH       DEFINED    01           2600        0        0
HANCOCK FABRICS INC               Common Stock   409900107      105    24044 SH       DEFINED    01,03       24044        0        0
HANCOCK HLDG CO                   Common Stock   410120109      320     7135 SH       DEFINED    01           7135        0        0
HANDLEMAN CO DEL                  Common Stock   410252100      309    26176 SH       DEFINED    01          26176        0        0
HANDLEMAN CO DEL                  Common Stock   410252100       16     1350 SH       OTHER                   1350        0        0
HANGER ORTHOPEDIC GROUP INC       Common Stock   41043F208      939    66160 SH       DEFINED    01,02,03    64760        0     1400
HANGER ORTHOPEDIC GROUP INC       Common Stock   41043F208       13      900 SH       OTHER                    900        0        0
HANNA M A CO                      Common Stock   410522106      939    57147 SH       DEFINED    01,03       50397        0     6750
HANNA M A CO                      Common Stock   410522106       45     2713 SH       OTHER                   2713        0        0
HANNAFORD BROS CO                 Common Stock   410550107     2816    52636 SH       DEFINED    01,02,03    46836        0     5800
HANNAFORD BROS CO                 Common Stock   410550107       64     1195 SH       OTHER                     60     1135        0
HANOVER COMPRESSOR CO             Common Stock   410768105      251     7800 SH       DEFINED    01           7800        0        0
HANOVER DIRECT INC                Common Stock   410783104      154    53500 SH       DEFINED    01          53500        0        0
HARBINGER CORP                    Common Stock   41145C103      603    48250 SH       DEFINED    01,03       48250        0        0
HARCOURT GENERAL INC              Common Stock   41163G101     1292    25062 SH       DEFINED    01,02,03    24214        0      848
HARKEN ENERGY CORP                Common Stock   412552101       69    42400 SH       DEFINED    01          42400        0        0
HARLAND JOHN H CO                 Common Stock   412693103      811    40700 SH       DEFINED    01,03       40700        0        0
HARLAND JOHN H CO                 Common Stock   412693103       32     1600 SH       OTHER                      0     1600        0
HARLEY DAVIDSON INC               Common Stock   412822108    10011   184113 SH       DEFINED    01,02,03   161018        0    23095
HARLEY DAVIDSON INC               Common Stock   412822108      566    10410 SH       OTHER                   1565        0     8845
HARLEYSVILLE GROUP INC COM        Common Stock   412824104      369    18000 SH       DEFINED    01          18000        0        0
HARMAN INTL INDS INC NEW          Common Stock   413086109      975    22168 SH       DEFINED    01,03       22168        0        0
HARMON INDS INC                   Common Stock   413136102      268    13550 SH       DEFINED    01,03       13550        0        0
HARMONIC INC                      Common Stock   413160102      103     1800 SH       DEFINED    01           1800        0        0
HARRAH'S ENTERTAINMENT INC        Common Stock   413619107      994    45064 SH       DEFINED    01,02,03    43614        0     1450
HARRIS CORP DEL                   Common Stock   413875105     1315    33561 SH       DEFINED    01,02,03    31121        0     2440
HARRIS CORP DEL                   Common Stock   413875105       67     1720 SH       OTHER                    210      800      710
HARRIS FINANCIAL INC              Common Stock   414541102      240    22200 SH       DEFINED    01          22200        0        0
HARSCO CORP                       Common Stock   415864107     1630    50944 SH       DEFINED    01,03       45144        0     5800
HARSCO CORP                       Common Stock   415864107     1037    32400 SH       OTHER                   1500    30900        0
HARTE-HANKS INC                   Common Stock   416196103     2200    81090 SH       DEFINED    01,03       71590        0     9500
HARTFORD FINL SERVICES GROUP      Common Stock   416515104     5387    92384 SH       DEFINED    01,02,03    81101        0    11283
HARTFORD FINL SERVICES GROUP      Common Stock   416515104      190     3251 SH       OTHER                   3200        0       51
HARTFORD LIFE INC CL A            Common Stock   416592103      458     8700 SH       DEFINED    01           6600        0     2100
HARTMARX CORP                     Common Stock   417119104      179    42790 SH       DEFINED    01,03       42790        0        0
HASBRO INC                        Common Stock   418056107     2704    96774 SH       DEFINED    01,02,03    75034        0    21740
HASBRO INC                        Common Stock   418056107      334    11964 SH       OTHER                   7190        0     4774
HAVERTY FURNITURE COS INC         Common Stock   419596101      187     5300 SH       DEFINED    01           5300        0        0
HAWAIIAN ELECTRIC INDS INC        Common Stock   419870100     1316    37081 SH       DEFINED    01,03       32681        0     4400
HAWAIIAN ELECTRIC INDS INC        Common Stock   419870100       28      800 SH       OTHER                    800        0        0
HEALTHSOUTH CORP                  Common Stock   421924101    14674   986477 SH       DEFINED    01,02,03   896292        0    90185
                                                                                                 04
HEALTHSOUTH CORP                  Common Stock   421924101     1282    86171 SH       OTHER                  64855    16866     4450
HEALTH MGMT ASSOC INC CL A NE     Common Stock   421933102     5644   501676 SH       DEFINED    01,02,03   466451        0    35225
                                                                                                 04
HEALTH MGMT ASSOC INC CL A NE     Common Stock   421933102      867    77079 SH       OTHER                  73174     3905        0
HEALTHPLAN SERVICES CORP          Common Stock   421959107       52     7681 SH       DEFINED    01,03        5981        0     1700
HEALTH MGMT SYS INC               Common Stock   42219M100       50     9050 SH       DEFINED    01           9050        0        0
HEALTH MGMT SYS INC               Common Stock   42219M100       17     3100 SH       OTHER                   3100        0        0
HEALTHCARE FINL PARTNERS INC      Common Stock   42219W108       96     2800 SH       DEFINED    01           2800        0        0
HEARST-ARGYLE TELEVISION INC      Common Stock   422317107     1316    54817 SH       DEFINED    01          54817        0        0
HEARST-ARGYLE TELEVISION INC      Common Stock   422317107       26     1091 SH       OTHER                   1091        0        0
HEARTLAND EXPRESS INC             Common Stock   422347104      613    37436 SH       DEFINED    01,03       37436        0        0
HECLA MINING CO                   Common Stock   422704106      143    69200 SH       DEFINED    01,03       69200        0        0
HEILIG MEYERS CO                  Common Stock   422893107      566    83125 SH       DEFINED    01,02,03    74925        0     8200
HEILIG MEYERS CO                  Common Stock   422893107        7     1100 SH       OTHER                   1100        0        0
HEINZ H J CO                      Common Stock   423074103    11996   239314 SH       DEFINED    01,02,03   231911     2300     5103
                                                                                                 04
HEINZ H J CO                      Common Stock   423074103     4014    80070 SH       OTHER                  61395    11850     6825
HELIX TECHNOLOGY CORP             Common Stock   423319102      665    27800 SH       DEFINED    01,03       27800        0        0
HELMERICH & PAYNE INC             Common Stock   423452101      397    16815 SH       DEFINED    01,03       16315        0      500
HELMERICH & PAYNE INC             Common Stock   423452101       47     2000 SH       OTHER                   2000        0        0
HENRY JACK & ASSOC INC            Common Stock   426281101      983    25050 SH       DEFINED    01,03       25050        0        0
HERBALIFE INTL INC CL B           Common Stock   426908307      134    15534 SH       DEFINED    01          15534        0        0
HERCULES INC                      Common Stock   427056106     1549    39395 SH       DEFINED    01,02,03    38195        0     1200
                                                                                                 04
HERCULES INC                      Common Stock   427056106       22      549 SH       OTHER                    549        0        0
HERSHEY FOODS CORP                Common Stock   427866108     7868   132521 SH       DEFINED    01,02,03   128951      600     2970
                                                                                                 04
HERSHEY FOODS CORP                Common Stock   427866108     1084    18258 SH       OTHER                  13028     3300     1930
HERTZ CORP CL A                   Common Stock   428040109      328     5295 SH       DEFINED    01           2845        0     2450
HERTZ CORP CL A                   Common Stock   428040109      114     1840 SH       OTHER                    645        0     1195
HEWLETT PACKARD CO                Common Stock   428236103    60879   605759 SH       DEFINED    01,02,03   583669     1100    20990
                                                                                                 04
HEWLETT PACKARD CO                Common Stock   428236103    12825   127608 SH       OTHER                  90313    28160     9135
HEXCEL CORP NEW                   Common Stock   428291108      190    18800 SH       DEFINED    01          18800        0        0
HIBERNIA CORP CLASS A             Common Stock   428656102     2873   183134 SH       DEFINED    01,02,03   161334        0    21800
HIGHLAND SUPER STORES             Common Stock   430771105        0     1000 SH       DEFINED    01           1000        0        0
HIGHLAND SUPER STORES             Common Stock   430771105        0    20000 SH       OTHER                  20000        0        0
HILB ROGAL & HAMILTON CO          Common Stock   431294107      367    16400 SH       DEFINED    01,03       16400        0        0
HILLENBRAND IND INC               Common Stock   431573104     4193    96946 SH       DEFINED    01,02,03    87946        0     9000
                                                                                                 04
HILLENBRAND IND INC               Common Stock   431573104      350     8100 SH       OTHER                   8100        0        0
HILTON HOTELS CORP                Common Stock   432848109     1318    92869 SH       DEFINED    01,03       89869        0     3000
HILTON HOTELS CORP                Common Stock   432848109       17     1200 SH       OTHER                   1200        0        0
HILTON HOTELS CONV                Other          432848AL3       18    20000 SH       DEFINED    01              0        0    20000
HOECHST A G                       Other          434390308    17590   382390 SH       DEFINED    01,03      375000        0     7390
HOECHST A G                       Other          434390308       26      560 SH       OTHER                    400        0      160
HOLLINGER INTERNATIONAL           Common Stock   435569108      706    59450 SH       DEFINED    01          59450        0        0
HOLLYWOOD ENTERTAINMENT CORP      Common Stock   436141105      522    26700 SH       DEFINED    01          26700        0        0
HOLLYWOOD PARK INC NEW            Common Stock   436255103      547    32200 SH       DEFINED    01,03       32200        0        0
HOLOGIC INC                       Common Stock   436440101      114    20300 SH       DEFINED    01,03       18900        0     1400
HOLOPHANE CORP                    Common Stock   43645B106      328     8600 SH       DEFINED    01           8600        0        0
HOME DEPOT INC                    Common Stock   437076102   101762  1579227 SH       DEFINED    01,02,03  1507002     3274    68951
                                                                                                 04
HOME DEPOT INC                    Common Stock   437076102    25436   394741 SH       OTHER                 294336    89272    11133
HOME DEPOT INC CONV               Other          437076AE2      837   300000 SH       DEFINED    01         300000        0        0
HOME DEPOT INC CONV               Other          437076AE2       84    30000 SH       OTHER                  30000        0        0
HOME PRODS INTL INC               Common Stock   437305105      905   106500 SH       DEFINED    01         106500        0        0
HOMEBASE INC                      Common Stock   43738E108      121    19200 SH       DEFINED    01          19200        0        0
HOMESTAKE MNG CO                  Common Stock   437614100      737    89990 SH       DEFINED    01,02,03    87390        0     2600
HON INDS INC                      Common Stock   438092108     2047    70146 SH       DEFINED    01,03       61746        0     8400
HONEYWELL INC                     Common Stock   438506107    19110   164918 SH       DEFINED    01,02,03   146518        0    18400
HONEYWELL INC                     Common Stock   438506107     1183    10210 SH       OTHER                   9500        0      710
HOOPER HOLMES INC                 Common Stock   439104100      142     6980 SH       DEFINED    01,03        4500        0     2480
HORACE MANN EDUCATORS CORP NE     Common Stock   440327104     1290    47445 SH       DEFINED    01,03       41785        0     5660
HORMEL FOODS CORP                 Common Stock   440452100     3384    84076 SH       DEFINED    01,02,03    74176        0     9900
HORMEL FOODS CORP                 Common Stock   440452100       19      462 SH       OTHER                    130      332        0
HOST MARRIOTT SVCS CORP           Common Stock   440914109      189    23270 SH       DEFINED    01          23270        0        0
HOUGHTON MIFFLIN CO               Common Stock   441560109     1651    35090 SH       DEFINED    01,03       30890        0     4200
HOUGHTON MIFFLIN CO               Common Stock   441560109       19      400 SH       OTHER                    400        0        0
HOUSEHOLD INTL INC                Common Stock   441815107    11139   235126 SH       DEFINED    01,02,03   203385        0    31741
                                                                                                 04
HOUSEHOLD INTL INC                Common Stock   441815107      513    10823 SH       OTHER                   7376     3000      447
HOUSTON EXPLORATION CO            Common Stock   442120101      231    12200 SH       DEFINED    01,02       12200        0        0
HOUSTON EXPLORATION CO            Common Stock   442120101       19     1000 SH       OTHER                   1000        0        0
HOVNANIAN ENTERPRISES INC CL      Common Stock   442487203      131    15000 SH       OTHER                      0    15000        0
HOVNANIAN ENTERPRISES INC CL      Common Stock   442487302      131    15000 SH       OTHER                      0    15000        0
HOWMET INTL INC                   Common Stock   443208103      187    10900 SH       DEFINED    01          10900        0        0
HUBBELL INC CL A                  Common Stock   443510102      379     9500 SH       DEFINED    01           9500        0        0
HUBBELL INC CL B                  Common Stock   443510201     3544    78103 SH       DEFINED    01,02,03    69233        0     8870
HUBBELL INC CL B                  Common Stock   443510201      227     5002 SH       OTHER                   5002        0        0
HUFFY CORP                        Common Stock   444356109      363    25896 SH       DEFINED    01,03       25896        0        0
HUGHES SUPPLY INC                 Common Stock   444482103      895    30150 SH       DEFINED    01,03       30150        0        0
HUMANA INC                        Common Stock   444859102     1017    78634 SH       DEFINED    01,03       56634        0    22000
HUMANA INC                        Common Stock   444859102       38     2900 SH       OTHER                   2900        0        0
HUMAN GENOME SCIENCES INC         Common Stock   444903108      600    15200 SH       DEFINED    01,03       12700        0     2500
HUNT CORP                         Common Stock   445591100       48     5800 SH       DEFINED    01           5800        0        0
HUNT JB TRANS SVCS INC            Common Stock   445658107      662    40727 SH       DEFINED    01,03       35827        0     4900
HUNTINGTON BANCSHARES INC         Common Stock   446150104     3548   101373 SH       DEFINED    01,03       98570        0     2803
HUNTINGTON BANCSHARES INC         Common Stock   446150104     1281    36607 SH       OTHER                  17095        0    19512
HUTCHINSON TECHNOLOGY INC         Common Stock   448407106      852    30700 SH       DEFINED    01,03       30700        0        0
ICN PHARMACEUTICALS INC NEW       Common Stock   448924100     3181    98841 SH       DEFINED    01,02,03    78780        0    20061
ICN PHARMACEUTICALS INC NEW       Common Stock   448924100       14      450 SH       OTHER                      0      300      150
IDT CORP                          Common Stock   448947101      307    13800 SH       DEFINED    01          13800        0        0
IDT CORP                          Common Stock   448947101       11      500 SH       OTHER                      0        0      500
HYPERCOM CORP                     Common Stock   44913M105      159    16600 SH       DEFINED    01          16600        0        0
IBP INC                           Common Stock   449223106     2560   107773 SH       DEFINED    01,02,03    94168        0    13605
IBP INC                           Common Stock   449223106       22      945 SH       OTHER                      0        0      945
ICG COMMUNICATIONS INC            Common Stock   449246107      356    16648 SH       DEFINED    01          16648        0        0
ICOS CORP                         Common Stock   449295104     1227    30060 SH       DEFINED    01,03       24700        0     5360
ICOS CORP                         Common Stock   449295104      816    20000 SH       OTHER                  20000        0        0
ICU MED INC                       Common Stock   44930G107       79     4450 SH       DEFINED    01,02        4450        0        0
IDEC PHARMACEUTICALS CORP         Common Stock   449370105     2119    27500 SH       DEFINED    01,03       25600        0     1900
IDX SYS CORP                      Common Stock   449491109      214     9500 SH       DEFINED    01           9500        0        0
IHOP CORP NEW                     Common Stock   449623107      597    24800 SH       DEFINED    01,03       24800        0        0
IMC GLOBAL INC                    Common Stock   449669100     2311   133009 SH       DEFINED    01,02,03   117389        0    15620
IMC GLOBAL INC                    Common Stock   449669100       12      700 SH       OTHER                    700        0        0
IMCO RECYCLING INC                Common Stock   449681105      351    20500 SH       DEFINED    01,03       20500        0        0
ITC DELTACOM INC                  Common Stock   45031T104      591    21100 SH       DEFINED    01          21100        0        0
ITI TECHNOLOGIES INC              Common Stock   450564109      124     5500 SH       DEFINED    01,02        5500        0        0
ITT EDUCATIONAL SERVICES INC      Common Stock   45068B109      295    11300 SH       DEFINED    01          11300        0        0
IXC COMMUNICATIONS INC            Common Stock   450713102      622    15819 SH       DEFINED    01          15819        0        0
ITT INDS INC                      Common Stock   450911102     1251    32808 SH       DEFINED    01,02,03    31008        0     1800
ITT INDS INC                      Common Stock   450911102      107     2800 SH       OTHER                   2800        0        0
IDEX CORP                         Common Stock   45167R104      725    22050 SH       DEFINED    01          22050        0        0
IDEX CORP                         Common Stock   45167R104       74     2250 SH       OTHER                   2250        0        0
IDEXX LABORATORIES INC            Common Stock   45168D104     1250    53600 SH       DEFINED    01,03       48800        0     4800
IKON OFFICE SOLUTIONS INC         Common Stock   451713101      866    57720 SH       DEFINED    01,02,03    54220        0     3500
IKON OFFICE SOLUTIONS INC         Common Stock   451713101       28     1850 SH       OTHER                    500        0     1350
IDENTIX INC                       Common Stock   451906101      105    10600 SH       DEFINED    01          10600        0        0
ILLINOIS TOOL WKS INC             Common Stock   452308109     8764   107210 SH       DEFINED    01,02,03    99058        0     8152
                                                                                                 04
ILLINOIS TOOL WKS INC             Common Stock   452308109      154     1879 SH       OTHER                   1348        0      531
ILLINOVA CORP                     Common Stock   452317100     2182    80072 SH       DEFINED    01,03       70672        0     9400
IMATION CORP                      Common Stock   45245A107     1129    45515 SH       DEFINED    01,03       40155        0     5360
IMATION CORP                      Common Stock   45245A107       56     2247 SH       OTHER                   1697      470       80
IMCLONE SYSTEMS INC               Common Stock   45245W109      307    12100 SH       DEFINED    01,03       10800        0     1300
IMMUNEX CORP NEW                  Common Stock   452528102     4690    36800 SH       DEFINED    01,03       26800        0    10000
IMMUNE RESPONSE CORP DEL          Common Stock   45252T106      166    30900 SH       DEFINED    01,03       30400        0      500
IMMUNOGEN INC                     Common Stock   45253H101       58    25000 SH       OTHER                  25000        0        0
IMPERIAL BANCORP                  Common Stock   452556103      562    28341 SH       DEFINED    01          28341        0        0
IMPERIAL BANCORP                  Common Stock   452556103       43     2160 SH       OTHER                   2160        0        0
IMPATH INC                        Common Stock   45255G101       27     1000 SH       DEFINED    01           1000        0        0
IMPERIAL CR INDS INC              Common Stock   452729106      165    23310 SH       DEFINED    01          23310        0        0
IN FOCUS SYS INC                  Common Stock   452919103       54     3600 SH       DEFINED    01           3600        0        0
INACOM CORP                       Common Stock   45323G109      727    57588 SH       DEFINED    01,03,04    57588        0        0
INCYTE PHARMACEUTICALS INC        Common Stock   45337C102     1010    38200 SH       DEFINED    01,03       34800        0     3400
INDEPENDENT BANK CORP             Common Stock   453838104      199    11443 SH       DEFINED    01          11443        0        0
INDIANA ENERGY INC                Common Stock   454707100      737    34575 SH       DEFINED    01,03       30509        0     4066
INDUSTRI-MATEMATIK INTL CORP      Common Stock   455792101       41    17000 SH       DEFINED    01          17000        0        0
INDUSTR BACHOCO S A               Other          456463108      142    15200 SH       DEFINED    01          15200        0        0
INFORMIX CORP                     Common Stock   456779107     1884   220900 SH       DEFINED    01,03      195000        0    25900
INFORMIX CORP                     Common Stock   456779107       17     2000 SH       OTHER                      0        0     2000
INFOSEEK CORP                     Common Stock   45678M107      652    13600 SH       DEFINED    01          13600        0        0
INGERSOLL RAND CO                 Common Stock   456866102     4640    71798 SH       DEFINED    01,02,03    59016        0    12782
INGERSOLL RAND CO                 Common Stock   456866102      288     4450 SH       OTHER                   2465        0     1985
INFORMATION RESOURSE INC          Common Stock   456905108      279    31856 SH       DEFINED    01,03       28135        0     3721
INGRAM MICRO INC CL A             Common Stock   457153104     1820    70675 SH       DEFINED    01          70675        0        0
INHALE THERAPEUTIC SYSTEMS        Common Stock   457191104      301    12650 SH       DEFINED    01,03       11450        0     1200
INNOVEX INC                       Common Stock   457647105      278    19850 SH       DEFINED    01,02,03    19850        0        0
INPUT/OUTPUT INC                  Common Stock   457652105      476    63000 SH       DEFINED    01,03       63000        0        0
INSIGHT ENTERPRISES INC           Common Stock   45765U103      791    31950 SH       DEFINED    01,03       31950        0        0
INSITUFORM TECHNOLOGIES CL A      Common Stock   457667103      692    32000 SH       DEFINED    01,03       32000        0        0
INSO CORPORATION                  Common Stock   457674109       42     7900 SH       DEFINED    01           7900        0        0
INSPIRE INSURANCE SOLUTIONS I     Common Stock   457732105       64     4400 SH       DEFINED    01           4400        0        0
INSTEEL INDUSTRIES INC            Common Stock   45774W108       95    10600 SH       DEFINED    01,03       10600        0        0
INSURANCE AUTO AUCTIONS INC       Common Stock   457875102      229    14200 SH       DEFINED    01,03       14200        0        0
INTEGRATED DEVICE TECHNOLOGY      Common Stock   458118106     1092   100436 SH       DEFINED    01,03       88436        0    12000
INTEGRATED HEALTH SVCS INC        Common Stock   45812C106      581    72645 SH       DEFINED    01,03       65946        0     6699
INTEGRATED SYS INC                Common Stock   45812M104      152    12900 SH       DEFINED    01          12900        0        0
INTEL CORP                        Common Stock   458140100   121427  2040790 SH       DEFINED    01,02,03  1935664     2640   102486
                                                                                                 04
INTEL CORP                        Common Stock   458140100    15115   254034 SH       OTHER                 180688    49516    23830
INTER TEL                         Common Stock   458372109     1244    68140 SH       DEFINED    01,02,03    68140        0        0
INTER TEL                         Common Stock   458372109       19     1050 SH       OTHER                   1050        0        0
INTERFACE INC CL A                Common Stock   458665106      568    65800 SH       DEFINED    01,03       65800        0        0
INTERDIGITAL COMMUNICATIONS C     Common Stock   45866A105      113    25200 SH       DEFINED    01          25200        0        0
INTERGRAPH CORP                   Common Stock   458683109      235    30300 SH       DEFINED    01          30300        0        0
INTERIM SERVICES INC              Common Stock   45868P100     1190    57695 SH       DEFINED    01,03,04    57695        0        0
INTERMAGNETICS GENERAL CORP       Common Stock   458771102      119    15356 SH       DEFINED    01,03       15356        0        0
INTERMEDIA COMMUNICATIONS INC     Common Stock   458801107      642    21400 SH       DEFINED    01          21400        0        0
INTERMET CORP                     Common Stock   45881K104      478    31600 SH       DEFINED    01,03       31600        0        0
IBM CORP                          Common Stock   459200101   116868   904201 SH       DEFINED    01,02,03   850682     2400    51119
                                                                                                 04
IBM CORP                          Common Stock   459200101    15856   122678 SH       OTHER                  96932    17700     8046
INTERNATNL FLAVORS & FRAGRANC     Common Stock   459506101     2821    64118 SH       DEFINED    01,02,03    60718        0     3400
                                                                                                 04
INTERNATNL FLAVORS & FRAGRANC     Common Stock   459506101      321     7300 SH       OTHER                   6900      400        0
INTERNATIONAL GAME TECHNOLOGY     Common Stock   459902102     2219   119945 SH       DEFINED    01,02,03   105545        0    14400
INTERNATIONAL GAME TECHNOLOGY     Common Stock   459902102       44     2400 SH       OTHER                      0     2400        0
INTERNATIONAL MULTIFOODS CRP      Common Stock   460043102      482    21371 SH       DEFINED    01,03       18871        0     2500
INTERNATIONAL NETWORK SERVICE     Common Stock   460053101     1375    34050 SH       DEFINED    01          34050        0        0
INTERNATIONAL PAPER CAP CV PF     Preferred Stock460137300       29      550 PRN      DEFINED    01              0        0      550
INTERNATIONAL PAPER CO            Common Stock   460146103     8073   160656 SH       DEFINED    01,02,03   153576        0     7080
INTERNATIONAL PAPER CO            Common Stock   460146103     2101    41809 SH       OTHER                  33126     8388      295
INTERNATIONAL RECTIFIER CORP      Common Stock   460254105      860    64600 SH       DEFINED    01,03       64600        0        0
INTERNATIONAL SPEEDWAY CORP C     Common Stock   460335201      560    11800 SH       DEFINED    01          11800        0        0
INTERNATIONAL SPEEDWAY CORP C     Common Stock   460335201       24      500 SH       OTHER                    500        0        0
INTL TELECOMMUNICATION DATASY     Common Stock   46047F104      604    37750 SH       DEFINED    01,02       37750        0        0
INTL TELECOMMUNICATION DATASY     Common Stock   46047F104       42     2600 SH       OTHER                   2600        0        0
INTERNEURON PHARMACEUTICALS I     Common Stock   460573108       71    25800 SH       DEFINED    01,03       20400        0     5400
INTERPOOL INC                     Common Stock   46062R108      222    17100 SH       DEFINED    01          17100        0        0
INTERPUBLIC GROUP COS INC         Common Stock   460690100    33820   390422 SH       DEFINED    01,02,03   365528     2247    22647
                                                                                                 04
INTERPUBLIC GROUP COS INC         Common Stock   460690100    20092   231944 SH       OTHER                  85980   144142     1822
INTERSTATE BAKERIES CORP DEL      Common Stock   46072H108     1809    80600 SH       DEFINED    01,03       70900        0     9700
INTERSTATE BAKERIES CORP DEL      Common Stock   46072H108        3      125 SH       OTHER                      0        0      125
INTRAWEST CORP                    Common Stock   460915200      331    21600 SH       DEFINED    01,03       21300        0      300
INTERWEST BANCORP INC             Common Stock   460931108       46     1850 SH       DEFINED    01           1850        0        0
INTERVOICE INC                    Common Stock   461142101     1038    71900 SH       DEFINED    01,02,03    71900        0        0
INTERVOICE INC                    Common Stock   461142101       11      750 SH       OTHER                    750        0        0
INTIMATE BRANDS INC               Common Stock   461156101     1726    36435 SH       DEFINED    01,02       36435        0        0
INTUIT INC                        Common Stock   461202103     6302    69923 SH       DEFINED    01,02,03    61553        0     8370
INVACARE CORP                     Common Stock   461203101     1209    45180 SH       DEFINED    01,02,03    41300        0     3880
INVESTORS FINANCIAL SVCS CORP     Common Stock   461915100      267     6668 SH       DEFINED    01           6668        0        0
INVESTORS FINANCIAL SVCS CORP     Common Stock   461915100       21      532 SH       OTHER                    532        0        0
IOMEGA CORP                       Common Stock   462030107      984   199200 SH       DEFINED    01         199200        0        0
IOMEGA CORP                       Common Stock   462030107        0       50 SH       OTHER                     50        0        0
IONICS INC                        Common Stock   462218108      737    20200 SH       DEFINED    01,03       20200        0        0
IONICS INC                        Common Stock   462218108        7      200 SH       OTHER                      0      200        0
IPALCO ENTERPRISES INC            Common Stock   462613100     2101    99180 SH       DEFINED    01,02,03    87280        0    11900
IPALCO ENTERPRISES INC            Common Stock   462613100      343    16211 SH       OTHER                  14651     1560        0
IRON MOUNTAIN INC                 Common Stock   46284P104      203     7100 SH       DEFINED    01           7100        0        0
IRWIN FINANCIAL CORP              Common Stock   464119106      324    16600 SH       DEFINED    01          16600        0        0
ISIS PHARMACEUTICALS              Common Stock   464330109      211    20700 SH       DEFINED    01,03       17600        0     3100
ISPAT INTL N V                    Other          464899103      926    83700 SH       DEFINED    01,03       83700        0        0
ITRON INC                         Common Stock   465741106      159    18600 SH       DEFINED    01,03       18600        0        0
I2 TECHNOLOGIES INC               Common Stock   465754109     1517    35270 SH       DEFINED    01          35270        0        0
I2 TECHNOLOGIES INC               Common Stock   465754109        8      190 SH       OTHER                    190        0        0
IVAX CORP                         Common Stock   465823102     1964   139056 SH       DEFINED    01,03      109926        0    29130
IVEX PACKAGING CORP DEL           Common Stock   465855104      442    20100 SH       DEFINED    01,02       20100        0        0
IVEX PACKAGING CORP DEL           Common Stock   465855104       37     1700 SH       OTHER                   1700        0        0
J & J SNACK FOODS                 Common Stock   466032109      458    19100 SH       DEFINED    01,02,03    19100        0        0
J & J SNACK FOODS                 Common Stock   466032109       65     2700 SH       OTHER                   2700        0        0
JDA SOFTWARE GROUP INC            Common Stock   46612K108       75     8100 SH       DEFINED    01           8100        0        0
JLG INDS INC                      Common Stock   466210101     1516    74400 SH       DEFINED    01,02,03    74400        0        0
JLG INDS INC                      Common Stock   466210101        8      400 SH       OTHER                    400        0        0
JSB FINL INC                      Common Stock   46624M100      595    11700 SH       DEFINED    01,03       11700        0        0
JABIL CIRCUIT INC                 Common Stock   466313103     4893   108440 SH       DEFINED    01,02,03    97050        0    11390
JABIL CIRCUIT INC                 Common Stock   466313103     2040    45200 SH       OTHER                    200        0    45000
JACOBS ENGR GROUP INC             Common Stock   469814107     1363    35856 SH       DEFINED    01,02,03    32416        0     3440
JACOBSON STORES INC               Common Stock   469834105       34     4700 SH       DEFINED    01           4700        0        0
JACOBSON STORES INC               Common Stock   469834105        1      169 SH       OTHER                    169        0        0
JAN BELL MARKETING INC            Common Stock   470760109      124    35400 SH       DEFINED    01,03       35400        0        0
JASON INC                         Common Stock   471171108       81    10100 SH       DEFINED    01          10100        0        0
JEFFERSON PILOT CORP              Common Stock   475070108     2573    38875 SH       DEFINED    01,02,03    37650        0     1225
JEFFERSON PILOT CORP              Common Stock   475070108      347     5240 SH       OTHER                   5240        0        0
JOHN NUVEEN CO CL A               Common Stock   478035108      354     8300 SH       DEFINED    01           8300        0        0
JOHN NUVEEN CO CL A               Common Stock   478035108        5      115 SH       OTHER                      0        0      115
JOHNS MANVILLE CORP               Common Stock   478129109     1231    88700 SH       DEFINED    01          88700        0        0
JOHNSON & JOHNSON                 Common Stock   478160104   127046  1296392 SH       DEFINED    01,02,03  1071335     2850   222207
                                                                                                 04
JOHNSON & JOHNSON                 Common Stock   478160104    23334   238098 SH       OTHER                 193754    27252    17092
JOHNSON CTLS INC                  Common Stock   478366107    25544   368525 SH       DEFINED    01,02,03   345170     1300    22055
                                                                                                 04
JOHNSON CTLS INC                  Common Stock   478366107     3974    57334 SH       OTHER                  42186    12525     2623
JONES APPAREL GROUP INC           Common Stock   480074103     6943   202344 SH       DEFINED    01,02,03   185049        0    17295
JONES APPAREL GROUP INC           Common Stock   480074103      268     7819 SH       OTHER                   6140     1104      575
JONES INTERCABLE INC              Common Stock   480206101      230     4800 SH       DEFINED    01           4800        0        0
JONES INTERCABLE INC CL A         Common Stock   480206200      657    13400 SH       DEFINED    01          13400        0        0
JOSTENS INC                       Common Stock   481088102      354    16829 SH       DEFINED    01,03       12129        0     4700
JOURNAL REGISTER CO               Common Stock   481138105      313    13900 SH       DEFINED    01          13900        0        0
JUNO LIGHTING INC                 Common Stock   482047107      568    23200 SH       DEFINED    01,03       23200        0        0
JUST FOR FEET INC                 Common Stock   48213P106      251    38950 SH       DEFINED    01,03       38950        0        0
JUSTIN INDS INC                   Common Stock   482171105      445    31900 SH       DEFINED    01,03       31900        0        0
JUSTIN INDS INC                   Common Stock   482171105        9      675 SH       OTHER                    675        0        0
KLA-TENCOR CORP                   Common Stock   482480100     2075    31985 SH       DEFINED    01,02,03    29185        0     2800
K MART CORPORATION                Common Stock   482584109     4284   259611 SH       DEFINED    01,02,03   243407        0    16204
                                                                                                 04
K MART CORPORATION                Common Stock   482584109      765    46338 SH       OTHER                  42738     3000      600
K N ENERGY INC                    Common Stock   482620101     1083    80991 SH       DEFINED    01,03,04    71291        0     9700
K-SWISS INC                       Common Stock   482686102      632    13600 SH       DEFINED    01,03       13600        0        0
K2 INC                            Common Stock   482732104      184    20600 SH       DEFINED    01,03       20600        0        0
KAMAN CORP CLASS A                Common Stock   483548103      463    29500 SH       DEFINED    01,03       29500        0        0
KANSAS CITY LIFE INS CO           Common Stock   484836101      310     7200 SH       DEFINED    01           7200        0        0
KANSAS CITY PWR & LT CO           Common Stock   485134100     2017    79106 SH       DEFINED    01,03       70706        0     8400
KANSAS CITY PWR & LT CO           Common Stock   485134100       75     2942 SH       OTHER                    300     1000     1642
KANSAS CITY SOUTHERN INDUSTRI     Common Stock   485170104     2523    39545 SH       DEFINED    01,02,03    38245        0     1300
KANSAS CITY SOUTHERN INDUSTRI     Common Stock   485170104        8      120 SH       OTHER                    120        0        0
KAUFMAN & BROAD HOME CORP         Common Stock   486168107      397    15946 SH       DEFINED    01,03       15526        0      420
KAUFMAN & BROAD HOME CORP         Common Stock   486168107        4      145 SH       OTHER                      0        0      145
KAYDON CORP                       Common Stock   486587108     1293    38439 SH       DEFINED    01,03       33164        0     5275
KAYDON CORP                       Common Stock   486587108      101     3000 SH       OTHER                   3000        0        0
KEANE INC                         Common Stock   486665102     1853    81905 SH       DEFINED    01,02,03    72105        0     9800
KELLOGG CO                        Common Stock   487836108     6779   205421 SH       DEFINED    01,02,03   200721        0     4700
                                                                                                 04
KELLOGG CO                        Common Stock   487836108     7074   214367 SH       OTHER                 150322    15400    48645
KELLSTROM INDS INC                Common Stock   488035106       80     4400 SH       DEFINED    01           4400        0        0
KELLWOOD CO                       Common Stock   488044108     1494    55075 SH       DEFINED    01,02,03    55075        0        0
KELLWOOD CO                       Common Stock   488044108       18      675 SH       OTHER                    675        0        0
KELLY SERVICES INC CL A           Common Stock   488152208     1344    41845 SH       DEFINED    01,03       37070        0     4775
KELLY SERVICES INC CL A           Common Stock   488152208    14014   436230 SH       OTHER                   2090   434140        0
KEMET CORP                        Common Stock   488360108     1124    49000 SH       DEFINED    01,03       49000        0        0
KENNAMETAL INC                    Common Stock   489170100     1082    34902 SH       DEFINED    01,03       30707        0     4195
KENT ELECTRS CORP                 Common Stock   490553104      691    34900 SH       DEFINED    01,03       34900        0        0
KENT ELECTRS CORP                 Common Stock   490553104       12      600 SH       OTHER                    600        0        0
KERR MCGEE CORP                   Common Stock   492386107     1948    38823 SH       DEFINED    01,02,03    37437        0     1386
KERR MCGEE CORP                   Common Stock   492386107       59     1178 SH       OTHER                    184        0      994
KEY ENERGY SERVICES INC           Common Stock   492914106        0       70 SH       OTHER                     70        0        0
KEYCORP (NEW)                     Common Stock   493267108     5847   182009 SH       DEFINED    01,02,03   174351        0     7658
KEYCORP (NEW)                     Common Stock   493267108      424    13190 SH       OTHER                  12790        0      400
KEYSTONE AUTOMOTIVE INDS INC      Common Stock   49338N109      677    38970 SH       DEFINED    01,02       38970        0        0
KEYSTONE AUTOMOTIVE INDS INC      Common Stock   49338N109       14      780 SH       OTHER                    780        0        0
KEYSTONE FINL INC                 Common Stock   493482103     1664    56286 SH       DEFINED    01,03       49586        0     6700
KIMBALL INTL INC CL B             Common Stock   494274103      331    19600 SH       DEFINED    01          19600        0        0
KIMBERLY CLARK CORP               Common Stock   494368103    28513   500220 SH       DEFINED    01,02,03   478724     1450    20046
                                                                                                 04
KIMBERLY CLARK CORP               Common Stock   494368103    12942   227046 SH       OTHER                 157274    60420     9352
KING WORLD PRODTNS INC            Common Stock   495667107      857    24608 SH       DEFINED    01,03       23708        0      900
KIRBY CORP                        Common Stock   497266106      532    25100 SH       DEFINED    01,03       25100        0        0
KITTY HAWK INC                    Common Stock   498326107       56     7100 SH       DEFINED    01           7100        0        0
KITTY HAWK INC                    Common Stock   498326107       25     3125 SH       OTHER                   3125        0        0
KMART FIN 7.750% SER KM PFD C     Preferred Stock498778208       18      300 PRN      DEFINED    01            100        0      200
KMART FIN 7.750% SER KM PFD C     Preferred Stock498778208       29      500 PRN      OTHER                    400      100        0
KNAPE & VOGT MFG CO CL B          Common Stock   498782200     6153   349109 SH       DEFINED    01,02           0        0   349109
KNAPE & VOGT MFG CO CL B          Common Stock   498782200      204    11555 SH       OTHER                      0        0    11555
KNOLL INC                         Common Stock   498904101      325    12200 SH       DEFINED    01          12200        0        0
KNIGHT RIDDER INC                 Common Stock   499040103     1785    32423 SH       DEFINED    01,02,03    31323        0     1100
KOHLS CORP                        Common Stock   500255104     4474    58203 SH       DEFINED    01,02,03    55953        0     2250
KOHLS CORP                        Common Stock   500255104      466     6060 SH       OTHER                     60        0     6000
KOMAG INC                         Common Stock   500453105      223    67300 SH       DEFINED    01,03       67300        0        0
KROGER CO                         Common Stock   501044101     6439   230461 SH       DEFINED    01,02,03   213411        0    17050
KROGER CO                         Common Stock   501044101      112     4000 SH       OTHER                   4000        0        0
KRONOS INC                        Common Stock   501052104      712    15650 SH       DEFINED    01,03       15650        0        0
KULICKE & SOFFA INDS INC          Common Stock   501242101      783    29200 SH       DEFINED    01,03       29200        0        0
LG&E ENERGY CORP                  Common Stock   501917108     3420   162844 SH       DEFINED    01,02,03   138094        0    24750
LG&E ENERGY CORP                  Common Stock   501917108        5      250 SH       OTHER                    250        0        0
LTV CORP NEW                      Common Stock   501921100      482    72800 SH       DEFINED    01          72800        0        0
LHS GROUP INC                     Common Stock   501938104      444    13400 SH       DEFINED    01          13400        0        0
LNR PPTY CORP                     Common Stock   501940100      565    26450 SH       DEFINED    01          26450        0        0
LSI LOGIC CORP                    Common Stock   502161102     2387    51746 SH       DEFINED    01,02,03    48646        0     3100
LSI LOGIC CORP                    Common Stock   502161102        5      100 SH       OTHER                    100        0        0
LA Z BOY INCORPORATED             Common Stock   505336107     1724    74950 SH       DEFINED    01,03       65700        0     9250
LABOR READY INC                   Common Stock   505401208     1153    35480 SH       DEFINED    01,03       35400        0       80
LABORATORY CORP AMER HLDGS        Common Stock   50540R102       45    15648 SH       DEFINED    01,03           0        0    15648
LACLEDE GAS CO                    Common Stock   505588103      349    15020 SH       DEFINED    01          15020        0        0
LADD FURNITURE INC                Common Stock   505739201       99     4700 SH       DEFINED    01           4700        0        0
LAFARGE CORP                      Common Stock   505862102     1800    50800 SH       DEFINED    01          50800        0        0
LAM RESH CORP                     Common Stock   512807108      995    21320 SH       DEFINED    01          21320        0        0
LAMAR ADVERTISING CO              Common Stock   512815101      921    22500 SH       DEFINED    01          22500        0        0
LANCASTER COLONY CORP             Common Stock   513847103     2587    74985 SH       DEFINED    01,03       67786        0     7199
LANCE INC                         Common Stock   514606102      537    34350 SH       DEFINED    01,03       30250        0     4100
LANDAUER INC                      Common Stock   51476K103      230     7780 SH       DEFINED    01           7600        0      180
LANDS END INC                     Common Stock   515086106     1659    34464 SH       DEFINED    01,03       30464        0     4000
LANDRYS SEAFOOD RESTAURANTS I     Common Stock   51508L103      280    35000 SH       DEFINED    01,03       35000        0        0
LANDSTAR SYSTEM INC               Common Stock   515098101      462    12800 SH       DEFINED    01,03       12800        0        0
LASON INC                         Common Stock   51808R107      979    19730 SH       DEFINED    01,03       19700        0       30
LATTICE SEMICONDUCTOR CORP        Common Stock   518415104     1818    29200 SH       DEFINED    01,03       29100        0      100
LAUDER ESTEE COS INC              Common Stock   518439104     4223    84250 SH       DEFINED    01          84250        0        0
LAWSON PRODUCTS INC               Common Stock   520776105      332    13200 SH       DEFINED    01,03       13200        0        0
LEAR CORP                         Common Stock   521865105     3921    78806 SH       DEFINED    01,02,03    69606        0     9200
LEAR CORP                         Common Stock   521865105       33      660 SH       OTHER                    625        0       35
LEE ENTERPRISES INC               Common Stock   523768109     1545    50662 SH       DEFINED    01,03       44662        0     6000
LEGATO SYSTEMS INC                Common Stock   524651106     2714    47000 SH       DEFINED    01,03,04    41500        0     5500
LEGGETT & PLATT INC               Common Stock   524660107    24977   898041 SH       DEFINED    01,02,03   827211        0    70830
                                                                                                 04
LEGGETT & PLATT INC               Common Stock   524660107     2840   102120 SH       OTHER                  65660    34535     1925
LEGG MASON INC                    Common Stock   524901105     2712    70430 SH       DEFINED    01,02,03    70430        0        0
LEHMAN BROS HLDGS INC             Common Stock   524908100     2579    41521 SH       DEFINED    01,02,03    39221        0     2300
LEHMAN BROS HLDGS INC             Common Stock   524908100       21      331 SH       OTHER                    331        0        0
LENNAR CORP                       Common Stock   526057104      670    27904 SH       DEFINED    01          27864        0       40
LEUCADIA NATL CORP                Common Stock   527288104     1088    42884 SH       DEFINED    01          42884        0        0
LEVEL ONE COMMUNICATIONS INCC     Common Stock   527295109      967    19750 SH       DEFINED    01          19750        0        0
LEXMARK INTL GROUP INC CL A       Common Stock   529771107     9993   152568 SH       DEFINED    01,02,03   134858        0    17710
                                                                                                 04
LEXMARK INTL GROUP INC CL A       Common Stock   529771107       13      196 SH       OTHER                    196        0        0
LIBBEY INC                        Common Stock   529898108      592    20400 SH       DEFINED    01,03       20400        0        0
LIBERTY CORP                      Common Stock   530370105      794    14576 SH       DEFINED    01          14576        0        0
LIBERTY FINANCIAL CO INC          Common Stock   530512102      976    33527 SH       DEFINED    01          30227        0     3300
LIFE USA HOLDING INC              Common Stock   531918209      245    12100 SH       DEFINED    01          12100        0        0
LIFETIME HOAN CORP                Common Stock   531926103       62     6842 SH       DEFINED    01           6842        0        0
LIGAND PHARMACEUTICALS INC CL     Common Stock   53220K207      231    20779 SH       DEFINED    01,03       17361        0     3418
LILLIAN VERNON CORP               Common Stock   532430105      147    11300 SH       DEFINED    01,03       11300        0        0
LILLY ELI & CO                    Common Stock   532457108    45208   631183 SH       DEFINED    01,02,03   475914        0   155269
                                                                                                 04
LILLY ELI & CO                    Common Stock   532457108     6060    84613 SH       OTHER                  77188     6600      825
LILLY INDS INC CL A               Common Stock   532491107      538    28970 SH       DEFINED    01,03       28970        0        0
LIMITED INC                       Common Stock   532716107     3423    75441 SH       DEFINED    01,02,03    71132        0     4309
LIMITED INC                       Common Stock   532716107      148     3269 SH       OTHER                   2719        0      550
LINCARE HLDGS INC                 Common Stock   532791100     1954    78170 SH       DEFINED    01,02,03    58870        0    19300
LINCOLN NATL CORP IND             Common Stock   534187109     5605   107141 SH       DEFINED    01,02,03   101101        0     6040
LINCOLN NATL CORP IND             Common Stock   534187109      222     4238 SH       OTHER                   1692        0     2546
LINDSAY MFG CO                    Common Stock   535555106      280    15962 SH       DEFINED    01,03       15962        0        0
LINEAR TECHNOLOGY CORP            Common Stock   535678106    12263   182349 SH       DEFINED    01,02,03   161449        0    20900
LINEAR TECHNOLOGY CORP            Common Stock   535678106      309     4600 SH       OTHER                   4600        0        0
LINENS N THINGS INC               Common Stock   535679104     2178    49780 SH       DEFINED    01,03       49590        0      190
LIPOSOME CO INC                   Common Stock   536310105     1016    53100 SH       DEFINED    01,03       48100        0     5000
LIQUI BOX CORP                    Common Stock   536314107      204     3800 SH       DEFINED    01           3800        0        0
LITCHFIELD FINL CORP              Common Stock   536619109      500    29535 SH       DEFINED    01,02       29535        0        0
LITCHFIELD FINL CORP              Common Stock   536619109       11      650 SH       OTHER                    650        0        0
LITTLEFUSE INC                    Common Stock   537008104      254    13200 SH       DEFINED    01          13200        0        0
LITTON INDS INC                   Common Stock   538021106     3842    53229 SH       DEFINED    01,02,03    46129        0     7100
LIZ CLAIBORNE INC                 Common Stock   539320101      910    24920 SH       DEFINED    01,02,03    23900        0     1020
LIZ CLAIBORNE INC                 Common Stock   539320101       66     1800 SH       OTHER                   1700        0      100
LOJACK CORP                       Common Stock   539451104      110    13100 SH       DEFINED    01          13100        0        0
LOCKHEED MARTIN CORP              Common Stock   539830109     5774   155015 SH       DEFINED    01,02,03   142691        0    12324
LOCKHEED MARTIN CORP              Common Stock   539830109     1399    37550 SH       OTHER                  35126        0     2424
LOEWS CORP                        Common Stock   540424108     3025    38234 SH       DEFINED    01,03       36784        0     1450
LOEWS CORP                        Common Stock   540424108       80     1010 SH       OTHER                    960        0       50
LOEWS CORP CONV                   Other          540424AL2        7     9000 SH       DEFINED    01              0        0     9000
LOMAS FINL CORP NEW               Common Stock   541535100        0    12004 SH       DEFINED    01          12004        0        0
LONE STAR INDUSTRIES INC NEW      Common Stock   542290408     1062    28280 SH       DEFINED    01,02,03    28250        0       30
LONE STAR INDUSTRIES INC NEW      Common Stock   542290408        9      250 SH       OTHER                    250        0        0
LONE STAR STEAKHOUSE SALOON       Common Stock   542307103      403    41507 SH       DEFINED    01,03       36407        0     5100
LONE STAR TECHNOLOGY INC          Common Stock   542312103      220    12400 SH       DEFINED    01          12400        0        0
LONG BEACH FINL CORP              Common Stock   542446109      209    14200 SH       DEFINED    01,02       14200        0        0
LONG BEACH FINL CORP              Common Stock   542446109       32     2200 SH       OTHER                   2200        0        0
LONGS DRUG STORES CORP            Common Stock   543162101      631    18253 SH       DEFINED    01,03       13153        0     5100
LONGVIEW FIBRE CO                 Common Stock   543213102      924    59128 SH       DEFINED    01,03       52128        0     7000
LOUIS DREYFUS NAT GAS CORP        Common Stock   546011107      467    21660 SH       DEFINED    01          21660        0        0
LOUISIANA PAC CORP                Common Stock   546347105      995    41686 SH       DEFINED    01,02,03    40386        0     1300
LOUISIANA PAC CORP                Common Stock   546347105       49     2070 SH       OTHER                   2070        0        0
LOWES COS INC                     Common Stock   548661107    14499   255760 SH       DEFINED    01,02,03   233614        0    22146
                                                                                                 04
LOWES COS INC                     Common Stock   548661107      592    10450 SH       OTHER                   9145        0     1305
LUBRIZOL CORP                     Common Stock   549271104     1808    66341 SH       DEFINED    01,03       56471        0     9870
LUBRIZOL CORP                     Common Stock   549271104        3      115 SH       OTHER                      0        0      115
LUBY'S INC                        Common Stock   549282101      421    28038 SH       DEFINED    01,03       28038        0        0
LUCENT TECHNOLOGIES INC           Common Stock   549463107   113053  1676394 SH       DEFINED    01,02,03  1501494     4948   169952
                                                                                                 04
LUCENT TECHNOLOGIES INC           Common Stock   549463107    11932   176929 SH       OTHER                 122264    44140    10524
LYCOS INC                         Common Stock   550818108     1929    21000 SH       DEFINED    01          21000        0        0
LYDALL INC                        Common Stock   550819106      225    19600 SH       DEFINED    01,03       19600        0        0
LYDALL INC                        Common Stock   550819106        6      500 SH       OTHER                    500        0        0
LYONDELL PETROCHEMICAL CO         Common Stock   552078107     2739   132824 SH       DEFINED    01,02,03   114624        0    18200
M & F WORLDWIDE CORP              Common Stock   552541104       88    11108 SH       DEFINED    01          11108        0        0
MAF BANCORP INC                   Common Stock   55261R108      735    30300 SH       DEFINED    01,03       30300        0        0
MBIA INC                          Common Stock   55262C100     9808   151472 SH       DEFINED    01,02,03   144253      925     6294
MBIA INC                          Common Stock   55262C100      877    13550 SH       OTHER                  13395      100       55
MBNA CORP                         Common Stock   55262L100    22192   724625 SH       DEFINED    01,02,03   699121     5185    20319
                                                                                                 04
MBNA CORP                         Common Stock   55262L100     6316   206251 SH       OTHER                 192478    13078      695
M D C HLDGS INC                   Common Stock   552676108      587    27300 SH       DEFINED    01,03       27300        0        0
MCN ENERGY GROUP INC              Common Stock   55267J100     4513   217507 SH       DEFINED    01,02,03   205407        0    12100
MCN ENERGY GROUP INC              Common Stock   55267J100      366    17638 SH       OTHER                  14754     2529      355
MDU RESOURCES GROUP INC           Common Stock   552690109      868    38050 SH       DEFINED    01          36550     1500        0
MDU RESOURCES GROUP INC           Common Stock   552690109      379    16600 SH       OTHER                  13225     3375        0
MEMC ELECTRONIC MATERIALS         Common Stock   552715104      233    19100 SH       DEFINED    01          19100        0        0
MGIC INVT CORP WIS                Common Stock   552848103     2143    44075 SH       DEFINED    01,02,03    40775        0     3300
MGIC INVT CORP WIS                Common Stock   552848103       23      475 SH       OTHER                      0        0      475
MGM GRAND INC                     Common Stock   552953101     1474    30075 SH       DEFINED    01          29940        0      135
MMI COS INC                       Common Stock   553087107       94     5600 SH       DEFINED    01           5600        0        0
MSC INDL DIRECT INC               Common Stock   553530106      320    31200 SH       DEFINED    01          31200        0        0
M S CARRIERS INC                  Common Stock   553533100      463    15600 SH       DEFINED    01,03       15600        0        0
MTS SYS CORP                      Common Stock   553777103      174    14300 SH       DEFINED    01          14300        0        0
MTI TECH CORP                     Common Stock   553903105       84     6400 SH       DEFINED    01           6400        0        0
MACDERMID INC                     Common Stock   554273102     2349    50510 SH       DEFINED    01,03       50290      220        0
MACDERMID INC                     Common Stock   554273102       78     1675 SH       OTHER                   1000      675        0
MACROMEDIA INC                    Common Stock   556100105     1813    51420 SH       DEFINED    01,03       51200        0      220
MADISON GAS & ELEC CO             Common Stock   557497104      215    10500 SH       DEFINED    01          10500        0        0
MAGELLAN HEALTH SVCS INC          Common Stock   559079108      437    43700 SH       DEFINED    01,03       39700        0     4000
MAGNETEK INC                      Common Stock   559424106      380    36016 SH       DEFINED    01,03       31716        0     4300
MAIL-WELL INC                     Common Stock   560321200      280    17300 SH       DEFINED    01          17300        0        0
MAIL-WELL INC                     Common Stock   560321200        9      550 SH       OTHER                    550        0        0
MALLINCKRODT INC                  Common Stock   561232109     1274    35012 SH       DEFINED    01,02,03    24452        0    10560
MALLINCKRODT INC                  Common Stock   561232109       51     1414 SH       OTHER                    312        0     1102
MANITOWOC CO. INC.                Common Stock   563571108     2204    52950 SH       DEFINED    01,02,03    52950        0        0
MANITOWOC CO. INC.                Common Stock   563571108     5709   137158 SH       OTHER                 137158        0        0
MANPOWER INC WIS                  Common Stock   56418H100     2066    91309 SH       DEFINED    01,02,03    80509        0    10800
MAPICS INC                        Common Stock   564910107       99     9400 SH       DEFINED    01           9400        0        0
MANUGISTICS GROUP INC             Common Stock   565011103      246    16950 SH       DEFINED    01          16950        0        0
MARCUS CORP                       Common Stock   566330106      463    37587 SH       DEFINED    01,03       37587        0        0
MARINE DRILLING COS INC           Common Stock   568240204      469    34300 SH       DEFINED    01,02       34300        0        0
MARINE DRILLING COS INC           Common Stock   568240204        4      300 SH       OTHER                    300        0        0
MARK IV INDS INC                  Common Stock   570387100     1206    57072 SH       DEFINED    01,02,03    50053        0     7019
MARK IV INDS INC                  Common Stock   570387100      239    11310 SH       OTHER                   7885     3425        0
MARKEL CORP                       Common Stock   570535104      692     3700 SH       DEFINED    01           3700        0        0
MARSH & MCLENNAN COS INC          Common Stock   571748102    17087   225761 SH       DEFINED    01,02,03   208481      600    16680
                                                                                                 04
MARSH & MCLENNAN COS INC          Common Stock   571748102     1967    25993 SH       OTHER                  15807     8271     1915
MARSHALL & ILSLEY CORP            Common Stock   571834100     7716   119858 SH       DEFINED    01,02,03   105658        0    14200
MARSHALL INDS                     Common Stock   572393106      744    20700 SH       DEFINED    01,03       20700        0        0
MARTIN MARIETTA MATERIALS INC     Common Stock   573284106     3306    56037 SH       DEFINED    01,02,03    49637        0     6400
MASCO CORP                        Common Stock   574599106    18822   651848 SH       DEFINED    01,02,03   597542    12000    42306
                                                                                                 04
MASCO CORP                        Common Stock   574599106     5468   189359 SH       OTHER                 104680    81450     3229
MASCOTECH INC                     Common Stock   574670105     1330    78513 SH       DEFINED    01,03       78513        0        0
MASCOTECH INC                     Common Stock   574670105      835    49290 SH       OTHER                  24100    25000      190
MASCOTECH INC CV                  Other          574670AB1       33    40000 SH       OTHER                      0    10000    30000
MASTEC INC                        Common Stock   576323109      468    16572 SH       DEFINED    01          16572        0        0
MASTECH CORP                      Common Stock   57632N105      540    29000 SH       DEFINED    01          29000        0        0
MATERIAL SCIENCE CORP             Common Stock   576674105      291    19400 SH       DEFINED    01,03       19400        0        0
MATTEL INC                        Common Stock   577081102     6672   255387 SH       DEFINED    01,02,03   239580      360    15447
MATTEL INC                        Common Stock   577081102      612    23416 SH       OTHER                  11418      780    11218
MATTHEWS INTL CORP                Common Stock   577128101      347    11700 SH       DEFINED    01          11700        0        0
MAXIM GROUP INC                   Common Stock   57772J104       51     5900 SH       DEFINED    01           5900        0        0
MAXIM INTEGRATED PRODS INC        Common Stock   57772K101    19380   291434 SH       DEFINED    01,02,03   264709        0    26725
MAXIM INTEGRATED PRODS INC        Common Stock   57772K101      587     8825 SH       OTHER                   7775        0     1050
MAXWELL TECHNOLOGIES INC          Common Stock   577767106      527    21900 SH       DEFINED    01,02,03    21200        0      700
MAXWELL TECHNOLOGIES INC          Common Stock   577767106       11      450 SH       OTHER                    450        0        0
MAY DEPT STORES CO                Common Stock   577778103    13137   321390 SH       DEFINED    01,02,03   307544      300    13546
                                                                                                 04
MAY DEPT STORES CO                Common Stock   577778103     5535   135409 SH       OTHER                 102487    23027     9895
MAXXIM MEDICAL INC                Common Stock   57777G105      455    19500 SH       DEFINED    01,03       17800        0     1700
MAXXAM INC                        Common Stock   577913106      512     7937 SH       DEFINED    01,03        7037        0      900
MAXXAM INC                        Common Stock   577913106       69     1075 SH       OTHER                   1075        0        0
MAXIMUS INC                       Common Stock   577933104      288    10000 SH       DEFINED    01          10000        0        0
MAYTAG CORP                       Common Stock   578592107     4858    69579 SH       DEFINED    01,02,03    68224        0     1355
MAYTAG CORP                       Common Stock   578592107      293     4190 SH       OTHER                   4190        0        0
THE MCCLATCHY CO (HLDGS CO) C     Common Stock   579489105      403    12175 SH       DEFINED    01          12175        0        0
MC CORMICK & CO                   Common Stock   579780206     2917    92408 SH       DEFINED    01,02,03    82708        0     9700
MC CORMICK & CO                   Common Stock   579780206       82     2600 SH       OTHER                   2600        0        0
MCDERMOTT INTERNATIONAL INC       Common Stock   580037109      722    25562 SH       DEFINED    01,03       19312        0     6250
MCDERMOTT INTERNATIONAL INC       Common Stock   580037109        1       50 SH       OTHER                     50        0        0
MCDONALDS CORP                    Common Stock   580135101    40420   982851 SH       DEFINED    01,02,03   949569     2400    30882
                                                                                                 04
MCDONALDS CORP                    Common Stock   580135101    11087   269587 SH       OTHER                 235318    29654     4615
MCGRATH RENTCORP                  Common Stock   580589109      256    12800 SH       DEFINED    01          12800        0        0
MCGRAW-HILL COMPANIES INC         Common Stock   580645109     5258    97487 SH       DEFINED    01,02,03    92492        0     4995
MCGRAW-HILL COMPANIES INC         Common Stock   580645109      170     3157 SH       OTHER                   1526        0     1631
MCLEODUSA INCORPORATED            Common Stock   582266102     1930    35100 SH       DEFINED    01          35100        0        0
MCHORTER TECHNOLOGIES INC         Common Stock   582803102      186    12850 SH       DEFINED    01,03       12850        0        0
MEAD CORP                         Common Stock   582834107     1780    42632 SH       DEFINED    01,02,03    41532        0     1100
MEADOWBROOK INS GROUP INC         Common Stock   58319P108       49     3600 SH       DEFINED    01,02        3600        0        0
MEDAPHIS CORP                     Common Stock   584028104      130    22600 SH       DEFINED    01          22600        0        0
MEDAR INC                         Common Stock   584029102       72    33000 SH       DEFINED    01          33000        0        0
MEDCO RESH INC                    Common Stock   584059109      287    10950 SH       DEFINED    01,03       10750        0      200
MEDIA GEN INC                     Common Stock   584404107     1568    30754 SH       DEFINED    01,03       27054        0     3700
MEDIA GEN INC                     Common Stock   584404107       61     1200 SH       OTHER                   1200        0        0
MEDICAL ASSURANCE INC             Common Stock   58449U100      578    20444 SH       DEFINED    01          20444        0        0
MEDICAL MANAGER CORP              Common Stock   58461C103      615    13900 SH       DEFINED    01          13900        0        0
MEDICIS PHARMACEUTICAL CL A       Common Stock   584690309      661    26050 SH       DEFINED    01,03       23805        0     2245
MEDICIS PHARMACEUTICAL CL A       Common Stock   584690309       13      500 SH       OTHER                      0        0      500
MEDIMMUNE INC                     Common Stock   584699102     4769    70386 SH       DEFINED    01,02,03    56336        0    14050
MEDICONSULT COM INC               Common Stock   58469J100       73     7000 SH       DEFINED    01           7000        0        0
MEDQUIST INC                      Common Stock   584949101     1927    44045 SH       DEFINED    01,03       44000        0       45
MEDPARTNERS INC                   Common Stock   58503X107     1052   140302 SH       DEFINED    01,03      116166        0    24136
MEDPARTNERS INC                   Common Stock   58503X107        5      692 SH       OTHER                     99      181      412
MEDTRONIC INC                     Common Stock   585055106    32569   418221 SH       DEFINED    01,02,03   333917      700    83604
                                                                                                 04
MEDTRONIC INC                     Common Stock   585055106     4223    54232 SH       OTHER                  34530     3775    15927
MELLON BANK CORPORATION           Common Stock   585509102    14763   405847 SH       DEFINED    01,02,03   377717        0    28130
MELLON BANK CORPORATION           Common Stock   585509102      812    22320 SH       OTHER                  20900        0     1420
MEMBERWORKS INC                   Common Stock   586002107      107     3700 SH       DEFINED    01           3700        0        0
MENS WEARHOUSE INC                Common Stock   587118100     1814    71120 SH       DEFINED    01,02,03    71120        0        0
MENS WEARHOUSE INC                Common Stock   587118100       13      525 SH       OTHER                    525        0        0
MENTOR CORP MINN                  Common Stock   587188103      620    33300 SH       DEFINED    01,03       30300        0     3000
MENTOR GRAPHICS                   Common Stock   587200106      969    75661 SH       DEFINED    01,03       66661        0     9000
MERCANTILE BANCORP INC            Common Stock   587342106     3201    56028 SH       DEFINED    01,02,03    54228        0     1800
MERCANTILE BANCORP INC            Common Stock   587342106       95     1660 SH       OTHER                   1660        0        0
MERCANTILE BANKSHARES             Common Stock   587405101     2836    80172 SH       DEFINED    01,02,03    70572        0     9600
MERCK & CO INC                    Common Stock   589331107   151583  2058852 SH       DEFINED    01,02,03  1662606    13450   382796
                                                                                                 04
MERCK & CO INC                    Common Stock   589331107    31402   426508 SH       OTHER                 301456    91494    33558
MERCURY GEN CORP NEW              Common Stock   589400100     1102    32400 SH       DEFINED    01          32400        0        0
MERCURY INTERACTIVE CORP          Common Stock   589405109     1659    46890 SH       DEFINED    01,02,03    46800        0       90
MEREDITH CORP                     Common Stock   589433101      670    19356 SH       DEFINED    01,02,03    18756        0      600
MEREDITH CORP                     Common Stock   589433101       28      800 SH       OTHER                    800        0        0
MERIDIAN GOLD INC                 Common Stock   589975101      222    48000 SH       DEFINED    01          48000        0        0
MERITOR AUTOMOTIVE INC            Common Stock   59000G100     2183    85618 SH       DEFINED    01,03       71640        0    13978
MERITOR AUTOMOTIVE INC            Common Stock   59000G100      537    21071 SH       OTHER                   5396    14009     1666
MERRILL CORP                      Common Stock   590175105      289    19900 SH       DEFINED    01,03       19900        0        0
MERRILL LYNCH & CO INC            Common Stock   590188108    11104   139671 SH       DEFINED    01,03,04   133991        0     5680
MERRILL LYNCH & CO INC            Common Stock   590188108      275     3455 SH       OTHER                    795        0     2660
MESA AIR GROUP INC                Common Stock   590479101      318    42300 SH       DEFINED    01,03       42300        0        0
MESABA HLDGS INC                  Common Stock   59066B102      143    11250 SH       DEFINED    01          11250        0        0
METHODE ELECTRONICS INC CL A      Common Stock   591520200     1574    68800 SH       DEFINED    01,02,03    68800        0        0
METHODE ELECTRONICS INC CL A      Common Stock   591520200       43     1900 SH       OTHER                   1900        0        0
METRIS COS INC                    Common Stock   591598107     1719    42192 SH       DEFINED    01,02       42192        0        0
METRIS COS INC                    Common Stock   591598107       82     2000 SH       OTHER                   2000        0        0
METRO-GOLDWYN-MAYER INC NEW       Common Stock   591610100     1533    84007 SH       DEFINED    01          84007        0        0
METRO INFORMATION SVCS INC        Common Stock   59162P104       60     3600 SH       DEFINED    01           3600        0        0
METROMEDIA FIBER NTWRK-A          Common Stock   591689104     1556    43300 SH       DEFINED    01          43300        0        0
METROMEDIA INTL GROUP INC         Common Stock   591695101      193    25742 SH       DEFINED    01,04       25742        0        0
METRO NETWORKS INC                Common Stock   591918107     1110    20800 SH       DEFINED    01,03       20800        0        0
METTLER-TOLEDO INTL INC           Common Stock   592688105      620    24300 SH       DEFINED    01          24300        0        0
METZLER GROUP INC                 Common Stock   592903108      441    15970 SH       DEFINED    01          15920        0       50
MIAMI COMPUTER SUPPLY CORP        Common Stock   593261100      353    18700 SH       DEFINED    01,02       18700        0        0
MIAMI COMPUTER SUPPLY CORP        Common Stock   593261100        8      400 SH       OTHER                    400        0        0
MICHAEL FOODS INC NEW             Common Stock   594079105      606    25800 SH       DEFINED    01,03       25800        0        0
MICHAELS STORES INC               Common Stock   594087108     1093    35700 SH       DEFINED    01,03       35700        0        0
MICHIGAN RIVET PH                 Common Stock   594572208     2211   147399 SH       OTHER                 147399        0        0
MICREL INC                        Common Stock   594793101     1868    25240 SH       DEFINED    01,03       25200        0       40
MICROS SYS INC                    Common Stock   594901100     1271    37380 SH       DEFINED    01,02,03    37350        0       30
MICROS SYS INC                    Common Stock   594901100       12      350 SH       OTHER                    350        0        0
MICROSOFT CORP                    Common Stock   594918104   226325  2509485 SH       DEFINED    01,02,03  2386887     4375   118223
                                                                                                 04
MICROSOFT CORP                    Common Stock   594918104    17465   193650 SH       OTHER                 135024     9400    49226
MICROAGE INC                      Common Stock   594928103       97    25500 SH       DEFINED    01,03       25500        0        0
MICROCHIP TECHNOLOGY INC          Common Stock   595017104     3018    63700 SH       DEFINED    01,02,03    56800        0     6900
MICROCHIP TECHNOLOGY INC          Common Stock   595017104       32      675 SH       OTHER                      0      675        0
MICRO WAREHOUSE INC               Common Stock   59501B105      728    40753 SH       DEFINED    01,03       35853        0     4900
MICROCELL TELECOMMUNICATIONS      Common Stock   59501T304      153    19600 SH       DEFINED    01          19600        0        0
MICRON ELECTRONICS INC            Common Stock   595100108      656    65200 SH       DEFINED    01          65200        0        0
MICRON ELECTRONICS INC            Common Stock   595100108       11     1100 SH       OTHER                      0        0     1100
MICRON TECHNOLOGY INC             Common Stock   595112103     3546    87548 SH       DEFINED    01,02,03    84648        0     2900
MICRON TECHNOLOGY INC             Common Stock   595112103        5      124 SH       OTHER                    124        0        0
MID ATLANTIC MED SVCS INC         Common Stock   59523C107      336    34000 SH       DEFINED    01,03       28000        0     6000
MIDWEST EXPRESS HLDGS INC         Common Stock   597911106      428    12600 SH       DEFINED    01,02       12600        0        0
MIDWEST EXPRESS HLDGS INC         Common Stock   597911106       26      750 SH       OTHER                    750        0        0
MIDWAY GAMES INC                  Common Stock   598148104      613    47409 SH       DEFINED    01,03       47409        0        0
MIDWEST GRAIN PRODUCTS INC        Common Stock   59832G104       58     5200 SH       DEFINED    01           5200        0        0
MIKASA INC                        Common Stock   59862T109      153    13500 SH       DEFINED    01          13500        0        0
MILLENNIUM PHARMACEUTICALS IN     Common Stock   599902103      623    17300 SH       DEFINED    01,03       14600        0     2700
MILLENNIUM PHARMACEUTICALS IN     Common Stock   599902103      797    22150 SH       OTHER                  22150        0        0
MILLER HERMAN INC                 Common Stock   600544100     2040    97121 SH       DEFINED    01,03       84736        0    12385
MILLER HERMAN INC                 Common Stock   600544100       30     1435 SH       OTHER                    500        0      935
MILLER INDUSTRIES INC             Common Stock   600551105       55    13950 SH       DEFINED    01          13950        0        0
MILLER INDUSTRIES INC             Common Stock   600551105       10     2475 SH       OTHER                      0     2475        0
MILLIPORE CORP                    Common Stock   601073109      648    15987 SH       DEFINED    01,03       15487        0      500
MILLIPORE CORP                    Common Stock   601073109      154     3800 SH       OTHER                    800        0     3000
MINE SAFETY APPLIANCES CO         Common Stock   602720104      256     4000 SH       DEFINED    01,03        3500        0      500
MINERALS TECHNOLOGIES INC         Common Stock   603158106     1579    28287 SH       DEFINED    01,02,03    25387        0     2900
MINERALS TECHNOLOGIES INC         Common Stock   603158106       83     1495 SH       OTHER                   1495        0        0
MINIMED INC                       Common Stock   60365K108     1410    18320 SH       DEFINED    01,03       15600        0     2720
MINNESOTA MNG & MFG               Common Stock   604059105    22015   253221 SH       DEFINED    01,02,03   232539     1935    18747
                                                                                                 04
MINNESOTA MNG & MFG               Common Stock   604059105    10153   116787 SH       OTHER                  91716    21418     3653
MINNESOTA POWER INC               Common Stock   604110106     1822    91672 SH       DEFINED    01,03       80760        0    10912
MIRAGE RESORTS INC                Common Stock   60462E104     2014   120226 SH       DEFINED    01,02,03   117926        0     2300
MIRAGE RESORTS INC                Common Stock   60462E104      101     6041 SH       OTHER                   4660     1381        0
MISSISSIPPI CHEMICAL CORP         Common Stock   605288208      321    32743 SH       DEFINED    01,03       32743        0        0
MISSISSIPPI CHEMICAL CORP         Common Stock   605288208        7      700 SH       OTHER                    700        0        0
MISSISSIPPI VALLEY BANCSHARES     Common Stock   605720101      149     4500 SH       DEFINED    01           4500        0        0
MITCHELL ENERGY & DEV CORP CL     Common Stock   606592202      231    11950 SH       DEFINED    01          11950        0        0
MITCHELL ENERGY & DEV CORP CL     Common Stock   606592202       48     2500 SH       OTHER                      0     2500        0
MITCHELL ENERGY & DEV CORP CL     Common Stock   606592301      678    36900 SH       DEFINED    01          36900        0        0
MITCHELL ENERGY & DEV CORP CL     Common Stock   606592301       46     2500 SH       OTHER                      0     2500        0
MITEL CORP                        Common Stock   606711109      468    70600 SH       DEFINED    01,03       69500        0     1100
MOBIL CORP                        Common Stock   607059102    39957   404624 SH       DEFINED    01,02,03   386151        0    18473
                                                                                                 04
MOBIL CORP                        Common Stock   607059102    10884   110217 SH       OTHER                  86392    21404     2421
MODINE MFG CO                     Common Stock   607828100     1094    33585 SH       DEFINED    01,03       29685        0     3900
MODINE MFG CO                     Common Stock   607828100       49     1500 SH       OTHER                   1500        0        0
MOHAWK INDS INC                   Common Stock   608190104     2117    69700 SH       DEFINED    01,02,03    61400        0     8300
MOHAWK INDS INC                   Common Stock   608190104        2       75 SH       OTHER                     75        0        0
MOLECULAR BIOSYSTEMS INC          Common Stock   608513107       57    23200 SH       DEFINED    01,03       23200        0        0
MOLECULAR DEVICES CORP            Common Stock   60851C107      844    22510 SH       DEFINED    01,02       22510        0        0
MOLECULAR DEVICES CORP            Common Stock   60851C107       17      450 SH       OTHER                    450        0        0
MOLEX INC                         Common Stock   608554101     6582   177885 SH       DEFINED    01,02,03   156720        0    21165
MOLEX INC                         Common Stock   608554101        9      250 SH       OTHER                    250        0        0
MOLEX INC CL A                    Common Stock   608554200     2354    74736 SH       DEFINED    01,04       73799        0      937
MOLEX INC CL A                    Common Stock   608554200      109     3475 SH       OTHER                   2375        0     1100
MONACO COACH CORP                 Common Stock   60886R103      108     2550 SH       DEFINED    01           2550        0        0
MONDAVI ROBERT CORP CL A          Common Stock   609200100      407    11200 SH       DEFINED    01          11200        0        0
MONROE BANK & TRUST COM           Common Stock   610321101     8076   179476 SH       DEFINED    01,04      179476        0        0
MONSANTO CO                       Common Stock   611662107    11224   283699 SH       DEFINED    01,02,03   275319        0     8380
                                                                                                 04
MONSANTO CO                       Common Stock   611662107      861    21771 SH       OTHER                  15101     6250      420
MONTANA POWER CO                  Common Stock   612085100     4508    63944 SH       DEFINED    01,02,03    56144        0     7800
MONTANA POWER CO                  Common Stock   612085100      160     2270 SH       OTHER                   1670      600        0
MORGAN J P & CO INC               Common Stock   616880100    11501    81856 SH       DEFINED    01,02,03    74722        0     7134
                                                                                                 04
MORGAN J P & CO INC               Common Stock   616880100     5615    39966 SH       OTHER                  28632     3000     8334
MORGAN KEEGAN INC                 Common Stock   617410105      412    21775 SH       DEFINED    01          21775        0        0
MORGAN STANLEY DEAN WITTER &      Common Stock   617446448    23060   224697 SH       DEFINED    01,02,03   209304        0    15393
MORGAN STANLEY DEAN WITTER &      Common Stock   617446448      614     5983 SH       OTHER                   2108        0     3875
MORRISON HEALTH CARE INC          Common Stock   61841L108     1149    45953 SH       DEFINED    01,02       45378        0      575
MORRISON HEALTH CARE INC          Common Stock   61841L108       20      780 SH       OTHER                    780        0        0
MORRISON KNUDEN CORP              Common Stock   61844A109      685    66400 SH       DEFINED    01,03       66400        0        0
MORTONS RESTAURANT GROUP INC      Common Stock   619429103       48     2500 SH       DEFINED    01           2500        0        0
MOTIVEPOWER INDUSTRIES INC        Common Stock   61980K101      139     7500 SH       DEFINED    01           7500        0        0
MOTOROLA INC                      Common Stock   620076109    29732   313799 SH       DEFINED    01,02,03   297441     3100    13258
                                                                                                 04
MOTOROLA INC                      Common Stock   620076109     5003    52799 SH       OTHER                  36614    10450     5735
MUELLER INDS INC                  Common Stock   624756102     1520    44800 SH       DEFINED    01,03       44800        0        0
MURPHY OIL CORP                   Common Stock   626717102     2519    51597 SH       DEFINED    01,02,03    45497        0     6100
MUTUAL RISK MGMT LTD              Common Stock   628351108     1795    53777 SH       DEFINED    01,03       53632        0      145
MYERS INDS INC                    Common Stock   628464109      459    22959 SH       DEFINED    01,03       22959        0        0
MYLAN LABS INC                    Common Stock   628530107     5606   211529 SH       DEFINED    01,02,03   171626        0    39903
                                                                                                 04
MYLAN LABS INC                    Common Stock   628530107      117     4399 SH       OTHER                   4330        0       69
MYLEX CORP                        Common Stock   628546103       17     3000 SH       DEFINED    01           3000        0        0
MYRIAD GENETICS INC               Common Stock   62855J104      225    25000 SH       OTHER                  25000        0        0
NBTY INC                          Common Stock   628782104      589    90600 SH       DEFINED    01,03       89100        0     1500
NBTY INC                          Common Stock   628782104       10     1600 SH       OTHER                   1600        0        0
NCH CORP                          Common Stock   628850109      309     6247 SH       DEFINED    01,03        5447        0      800
NCH CORP                          Common Stock   628850109       27      550 SH       OTHER                      0        0      550
NCI BUILDING SYSTEMS INC          Common Stock   628852105      158     7400 SH       DEFINED    01           7400        0        0
NCR CORP NEW                      Common Stock   62886E108     5791   118644 SH       DEFINED    01,02,03   101862        0    16782
NCR CORP NEW                      Common Stock   62886E108       71     1448 SH       OTHER                    698      497      253
NCS HEALTHCARE INC                Common Stock   628874109      138    25300 SH       DEFINED    01,03       25300        0        0
NFO WORLDWIDE INC                 Common Stock   62910N108      381    27200 SH       DEFINED    01,03       27200        0        0
NL INDS INC COM NEW               Common Stock   629156407      309    27785 SH       DEFINED    01          27785        0        0
NL INDS INC COM NEW               Common Stock   629156407       24     2200 SH       OTHER                   2200        0        0
NPC INTERNATIONAL INC             Common Stock   629360306      351    22800 SH       DEFINED    01          22800        0        0
NTL INC                           Common Stock   629407107     5780    67057 SH       DEFINED    01          67057        0        0
NUI CORP                          Common Stock   629430109      168     6700 SH       DEFINED    01           6700        0        0
NVR INC                           Common Stock   62944T105      468     8970 SH       DEFINED    01           8770        0      200
NABISCO HOLDINGS CORP CL A        Common Stock   629526104     1591    37000 SH       DEFINED    01          37000        0        0
NABORS INDS INC                   Common Stock   629568106     3007   123360 SH       DEFINED    01,02,03   108760        0    14600
NABORS INDS INC                   Common Stock   629568106        8      340 SH       OTHER                    250        0       90
NACCO IND INC CL A                Common Stock   629579103      204     2778 SH       DEFINED    01,03        2678        0      100
NALCO CHEM CO                     Common Stock   629853102     1422    27419 SH       DEFINED    01,02,03    25119     1600      700
NASH FINCH CO                     Common Stock   631158102      143    14200 SH       DEFINED    01,03       14200        0        0
NATL AUSTRALIA BK CV 7.875% P     Preferred Stock632525309       84     2770 PRN      DEFINED    01           1000        0     1770
NATIONAL BANCORP ALASKA INC       Common Stock   632587101      623    23500 SH       DEFINED    01          23500        0        0
NATIONAL BEVERAGE CORP            Common Stock   635017106       92    10132 SH       DEFINED    01          10132        0        0
NATIONAL CITY CORP                Common Stock   635405103    17064   260520 SH       DEFINED    01,02,03   249666     3800     7054
NATIONAL CITY CORP                Common Stock   635405103    13325   203433 SH       OTHER                 174271    26614     2548
NATIONAL COMM BANCORPORATION      Common Stock   635449101     1745    79760 SH       DEFINED    01          79550        0      210
NATIONAL COMM BANCORPORATION      Common Stock   635449101      125     5730 SH       OTHER                   1490        0     4240
NATIONAL COMPUTER SYS INC         Common Stock   635519101     1336    39600 SH       DEFINED    01,03       39600        0        0
NATIONAL DATA CORP                Common Stock   635621105     1804    42200 SH       DEFINED    01,03       42200        0        0
NATIONAL FUEL GAS CO N J          Common Stock   636180101     2375    48978 SH       DEFINED    01,03       43678        0     5300
NATIONAL FUEL GAS CO N J          Common Stock   636180101      171     3530 SH       OTHER                   3530        0        0
NATIONAL INSTRUMENTS CORP         Common Stock   636518102     1673    41435 SH       DEFINED    01,03       41400        0       35
NATIONAL-OILWELL INC              Common Stock   637071101      161    11500 SH       DEFINED    01          11500        0        0
NATIONAL PENN BANCSHARES INC      Common Stock   637138108      292    12410 SH       DEFINED    01          12410        0        0
NATIONAL PRESTO INDS INC          Common Stock   637215104      352     9200 SH       DEFINED    01,03        9200        0        0
NATIONAL PRESTO INDS INC          Common Stock   637215104        8      200 SH       OTHER                      0      200        0
NATIONAL PROCESSING INC           Common Stock   637229105      340    33600 SH       DEFINED    01          33600        0        0
NATIONAL SEMICONDUCTOR CORP       Common Stock   637640103     1507    59554 SH       DEFINED    01,02,03    57854        0     1700
NATIONAL SVC INDS INC             Common Stock   637657107      509    14126 SH       DEFINED    01,03       13626        0      500
NATIONAL SVC INDS INC             Common Stock   637657107       11      300 SH       OTHER                    300        0        0
NATIONAL STL CORP CL B            Common Stock   637844309      104    12400 SH       DEFINED    01          12400        0        0
NATIONWIDE FINL SVCS INC CL A     Common Stock   638612101      742    16400 SH       DEFINED    01,02       14100        0     2300
NATURES SUNSHINE PRODS INC        Common Stock   639027101      259    24645 SH       DEFINED    01,03       22180        0     2465
NAUTICA ENTERPRISES INC           Common Stock   639089101      752    44550 SH       DEFINED    01,03       43550        0     1000
NAVISTAR INTL CORP NEW            Common Stock   63934E108     1230    24600 SH       DEFINED    01,02,03    23150        0     1450
NAVISTAR INTL CORP NEW            Common Stock   63934E108       22      435 SH       OTHER                      0        0      435
NEIMAN MARCUS GROUP               Common Stock   640204103      347    13500 SH       DEFINED    01          13500        0        0
NELSON THOMAS INC                 Common Stock   640376109      205    18412 SH       DEFINED    01,03       18412        0        0
NEMATRON CORPORATION              Common Stock   640441101       37    12500 SH       DEFINED    01          12500        0        0
NEOGEN CORP                       Common Stock   640491106      113    17700 SH       DEFINED    01          17700        0        0
NETBANK INC                       Common Stock   640933107      156     4100 SH       DEFINED    01           4100        0        0
NETMANAGE INC                     Common Stock   641144100       18     8440 SH       DEFINED    01           8440        0        0
NETMANAGE INC                     Common Stock   641144100        0      218 SH       OTHER                    218        0        0
NETWORK EQUIP TECH                Common Stock   641208103      297    30100 SH       DEFINED    01,03       30100        0        0
NETWORK APPLIANCE INC             Common Stock   64120L104     1648    29500 SH       DEFINED    01,02,03    28700        0      800
NETWORK APPLIANCE INC             Common Stock   64120L104      978    17500 SH       OTHER                      0        0    17500
NETWORK SOLUTIONS INC             Common Stock   64121Q102     1108    14000 SH       DEFINED    01          14000        0        0
NEUROGEN CORP                     Common Stock   64124E106       98     6700 SH       DEFINED    01,03        5100        0     1600
NEVADA POWER CO                   Common Stock   641423108     1753    70138 SH       DEFINED    01,03       63138        0     7000
NEVADA POWER CO                   Common Stock   641423108      125     5000 SH       OTHER                   5000        0        0
NEW CENTURY ENERGIES INC          Common Stock   64352U103     2956    76170 SH       DEFINED    01,02,03    70637        0     5533
NEW CENTURY ENERGIES INC          Common Stock   64352U103      349     8985 SH       OTHER                   5585     1000     2400
NEW ENGLAND BUS                   Common Stock   643872104      553    17900 SH       DEFINED    01,03       17900        0        0
NEW ENGLAND ELEC SYS              Common Stock   644001109     3517    70159 SH       DEFINED    01,02,03    62059        0     8100
NEW ENGLAND ELEC SYS              Common Stock   644001109      249     4975 SH       OTHER                   4128      750       97
NEW ERA OF NETWORKS INC           Common Stock   644312100      264     6000 SH       DEFINED    01           6000        0        0
NEW JERSEY RESOURCES CORP         Common Stock   646025106      869    23200 SH       DEFINED    01,03       22700        0      500
NEW JERSEY RESOURCES CORP         Common Stock   646025106       47     1255 SH       OTHER                   1255        0        0
NEW YORK TIMES CO CLASS A         Common Stock   650111107     4061   110315 SH       DEFINED    01,03,04   103315        0     7000
NEW YORK TIMES CO CLASS A         Common Stock   650111107      140     3800 SH       OTHER                   3800        0        0
NEWCARE HEALTH CORP               Common Stock   651053100       57   277783 SH       DEFINED    01              0        0   277783
NEWFIELD EXPLORATION CO           Common Stock   651290108     1453    51100 SH       DEFINED    01,03       51100        0        0
NEWMONT MNG CORP                  Common Stock   651639106     1167    58705 SH       DEFINED    01,02,03    56770        0     1935
NEWMONT MNG CORP                  Common Stock   651639106       40     2000 SH       OTHER                   2000        0        0
NEWPARK RESOURCES INC NEW         Common Stock   651718504      357    40180 SH       DEFINED    01          40180        0        0
NEWPORT NEWS SHIPBUILDING INC     Common Stock   652228107     1331    45113 SH       DEFINED    01,03,04    39559      754     4800
NEWPORT NEWS SHIPBUILDING INC     Common Stock   652228107        4      136 SH       OTHER                    136        0        0
NEXTEL COMMUNICATIONS INC CL      Common Stock   65332V103     5642   112415 SH       DEFINED    01,02,03   106284        0     6131
NEXTEL COMMUNICATIONS INC CL      Common Stock   65332V103       37      740 SH       OTHER                    340        0      400
NEXSTAR PHARMACEUTICALS INC       Common Stock   65333B106      335    16800 SH       DEFINED    01,03       13400        0     3400
NEXTLINK COMMUN INC CL A          Common Stock   65333H707     1874    25200 SH       DEFINED    01          25200        0        0
NICHOLS RESH CORP                 Common Stock   653818104      116     5300 SH       DEFINED    01           5300        0        0
NICOR INC                         Common Stock   654086107      829    21782 SH       DEFINED    01,02,03    21182        0      600
NICOR INC                         Common Stock   654086107       38     1000 SH       OTHER                   1000        0        0
NIKE INC CL B                     Common Stock   654106103     6958   109790 SH       DEFINED    01,02,03   106400        0     3390
NIKE INC CL B                     Common Stock   654106103       13      200 SH       OTHER                    200        0        0
99 CENTS ONLY STORES              Common Stock   65440K106      563    11280 SH       DEFINED    01          11280        0        0
NOBLE AFFILIATES INC              Common Stock   654894104     1838    65192 SH       DEFINED    01,03       57392        0     7800
NOBLE DRILLING CO                 Common Stock   655042109     3034   154100 SH       DEFINED    01,02,03   132900        0    21200
NORAM ENERGY CORP CV              Other          655419AC3        9    10000 SH       OTHER                      0    10000        0
NORDSON CORP                      Common Stock   655663102     1161    18962 SH       DEFINED    01,03       16672        0     2290
NORDSTROM INC                     Common Stock   655664100     1813    54128 SH       DEFINED    01,02,03    51212        0     2916
NORDSTROM INC                     Common Stock   655664100        9      272 SH       OTHER                      0        0      272
NORFOLK SOUTHERN CORP             Common Stock   655844108     5026   166833 SH       DEFINED    01,02,03   159433        0     7400
NORFOLK SOUTHERN CORP             Common Stock   655844108     1208    40087 SH       OTHER                  25734     8403     5950
NORRELL CORP                      Common Stock   656301108      626    33300 SH       DEFINED    01,03       33300        0        0
NORSTAN INC                       Common Stock   656535101       49     3900 SH       DEFINED    01           3900        0        0
NORTEK INC                        Common Stock   656559101      222     7100 SH       DEFINED    01           7100        0        0
NORTH FORK BANCORPORTN INC NY     Common Stock   659424105     3574   167194 SH       DEFINED    01,02,03   148044        0    19150
NORTH PITTSBURGH SYS INC          Common Stock   661562108      389    22900 SH       DEFINED    01          22900        0        0
NORTH PITTSBURGH SYS INC          Common Stock   661562108        7      400 SH       OTHER                      0        0      400
NORTHEAST UTILS                   Common Stock   664397106     2730   152707 SH       DEFINED    01,02,03   134440        0    18267
NORTHERN STS PWR CO MINN          Common Stock   665772109     1577    65197 SH       DEFINED    01,02,03    62997        0     2200
NORTHERN STS PWR CO MINN          Common Stock   665772109      377    15597 SH       OTHER                  10748     3320     1529
NORTHERN TRUST CORP               Common Stock   665859104     8167    84192 SH       DEFINED    01,02,03    82792        0     1400
NORTHERN TRUST CORP               Common Stock   665859104     1779    18342 SH       OTHER                  16542     1800        0
NORTHROP GRUMMAN CORP             Common Stock   666807102     1630    24580 SH       DEFINED    01,02,03    22730        0     1850
NORTHWEST AIRLS CORP CL A         Common Stock   667280101     1940    59700 SH       DEFINED    01          59700        0        0
NORTHWEST AIRLS CORP CL A         Common Stock   667280101       13      400 SH       OTHER                      0        0      400
NORTHWEST NATURAL GAS             Common Stock   667655104      750    31100 SH       DEFINED    01,03       31100        0        0
NOVA CORP GA                      Common Stock   669784100     2992   119695 SH       DEFINED    01,03      109495      300     9900
NOVA CORP GA                      Common Stock   669784100       78     3100 SH       OTHER                   2150      950        0
NOVACARE INC                      Common Stock   669930109       40    26500 SH       DEFINED    01,03       18900        0     7600
NOVELL INC                        Common Stock   670006105     3200   120760 SH       DEFINED    01,02,03   115880        0     4880
NOVELL INC                        Common Stock   670006105       66     2480 SH       OTHER                   1545        0      935
NOVELLUS SYS INC                  Common Stock   670008101     4505    66001 SH       DEFINED    01,02,03    66001        0        0
NOVEN PHARMACEUTICALS INC         Common Stock   670009109      177    29300 SH       DEFINED    01,03       26800        0     2500
NU SKIN ENTERPRISES INC           Common Stock   67018T105       42     2100 SH       DEFINED    01,03         700        0     1400
NUCOR CORP                        Common Stock   670346105     1507    31767 SH       DEFINED    01,02,03    30767        0     1000
NUCOR CORP                        Common Stock   670346105      555    11707 SH       OTHER                   1707    10000        0
NUEVO ENERGY CO                   Common Stock   670509108       74     5600 SH       DEFINED    01           5600        0        0
OEC MEDICAL SYSTEMS INC           Common Stock   670828102      316    12900 SH       DEFINED    01,03       11900        0     1000
OGE ENERGY CORP                   Common Stock   670837103     2188    92120 SH       DEFINED    01,02,03    81220        0    10900
OGE ENERGY CORP                   Common Stock   670837103       24     1000 SH       OTHER                   1000        0        0
OM GROUP INC                      Common Stock   670872100     1025    29720 SH       DEFINED    01,03       29690        0       30
OM GROUP INC                      Common Stock   670872100        6      180 SH       OTHER                    180        0        0
OAK INDS INC                      Common Stock   671400505      994    22660 SH       DEFINED    01,03       22660        0        0
OAK TECHNOLOGY INC                Common Stock   671802106       82    22500 SH       DEFINED    01          22500        0        0
OAKLEY INC                        Common Stock   673662102      412    57780 SH       DEFINED    01,03       48780        0     9000
OAKWOOD HOMES CORP                Common Stock   674098108      772    58800 SH       DEFINED    01,03       58800        0        0
OBJECTIVE SYS INTEGRATORS INC     Common Stock   674424106       53    19100 SH       DEFINED    01          19100        0        0
OCCIDENTAL PETROLEUM CORP         Common Stock   674599105     2710   128286 SH       DEFINED    01,02,03   123986        0     4300
OCCIDENTAL PETROLEUM CORP         Common Stock   674599105      190     8994 SH       OTHER                   8679      315        0
OCEAN FINANCIAL CORP              Common Stock   674904107      270    14900 SH       DEFINED    01,02       14900        0        0
OCEAN FINANCIAL CORP              Common Stock   674904107       56     3100 SH       OTHER                   3100        0        0
OCEANEERING INTL INC              Common Stock   675232102      456    28300 SH       DEFINED    01,03       28300        0        0
OCULAR SCIENCES INC               Common Stock   675744106      139     8000 SH       DEFINED    01,03        6300        0     1700
OCWEN FINANCIAL CORP              Common Stock   675746101      137    15400 SH       DEFINED    01          15400        0        0
OCUREST LABS INC                  Common Stock   67574P109        5    92940 SH       OTHER                  92940        0        0
OFFICE DEPOT INC                  Common Stock   676220106    14819   671659 SH       DEFINED    01,02,03   626097        0    45562
                                                                                                 04
OFFICE DEPOT INC                  Common Stock   676220106      898    40684 SH       OTHER                  37084      675     2925
OFFICEMAX INC                     Common Stock   67622M108     1918   159810 SH       DEFINED    01,02,03   144310        0    15500
OFFICEMAX INC                     Common Stock   67622M108        5      450 SH       OTHER                    450        0        0
OFFSHORE LOGISTICS                Common Stock   676255102      299    26900 SH       DEFINED    01,03       26900        0        0
OGDEN CORP                        Common Stock   676346109     1608    59696 SH       DEFINED    01,03       49696        0    10000
OGDEN CORP                        Common Stock   676346109      189     7000 SH       OTHER                   7000        0        0
OHIO CAS CORP                     Common Stock   677240103     1008    27900 SH       DEFINED    01,04       26800        0     1100
OLD KENT FINANCIAL CORP COM       Common Stock   679833103     7817   186686 SH       DEFINED    01,02,03   171135        0    15550
                                                                                                 04
OLD KENT FINANCIAL CORP COM       Common Stock   679833103     3907    93298 SH       OTHER                  76683    13205     3410
OLD NATL BANCORP IND              Common Stock   680033107      962    31996 SH       DEFINED    01          31996        0        0
OLD REP INTL CORP                 Common Stock   680223104     2973   171715 SH       DEFINED    01,02,03   143783        0    27932
OLD REP INTL CORP                 Common Stock   680223104       17      955 SH       OTHER                    955        0        0
OLIN CORP COM PAR $1              Common Stock   680665205      802    60794 SH       DEFINED    01,02,03    46540        0    14254
OLIN CORP COM PAR $1              Common Stock   680665205       27     2030 SH       OTHER                   2000        0       30
OLSTEN CORP                       Common Stock   681385100      612    96930 SH       DEFINED    01,03       83370        0    13560
OLSTEN CORP                       Common Stock   681385100       16     2500 SH       OTHER                    500        0     2000
OLYMPIC STEEL INC                 Common Stock   68162K106        7     1000 SH       DEFINED    01           1000        0        0
OMNICARE INC                      Common Stock   681904108     1916   151764 SH       DEFINED    01,02,03   127869        0    23895
OMNICARE INC                      Common Stock   681904108       52     4103 SH       OTHER                   2005     1358      740
OMNICOM GROUP INC                 Common Stock   681919106    22860   285749 SH       DEFINED    01,02,03   266479        0    19270
                                                                                                 04
OMNICOM GROUP INC                 Common Stock   681919106     3266    40822 SH       OTHER                  39482        0     1340
OMNIQUIP INTL INC                 Common Stock   681969101       47     6000 SH       DEFINED    01           6000        0        0
OMNIPOINT CORP                    Common Stock   68212D102     1024    35400 SH       DEFINED    01          35400        0        0
ON ASSIGNMENT INC                 Common Stock   682159108      175     6700 SH       DEFINED    01           6700        0        0
ONE VALLEY BANCORP                Common Stock   682419106      690    18412 SH       DEFINED    01          18412        0        0
ONEIDA LTD                        Common Stock   682505102      300    10650 SH       DEFINED    01          10650        0        0
OPEN MKT INC                      Common Stock   68370M100      250    17600 SH       DEFINED    01          17600        0        0
OPTICAL CABLE CORP                Common Stock   683827109      292    26500 SH       DEFINED    01          26500        0        0
ORACLE CORPORATION                Common Stock   68389X105    38562  1038712 SH       DEFINED    01,02,03  1017000      650    21062
ORACLE CORPORATION                Common Stock   68389X105     4442   119660 SH       OTHER                 102726    13554     3380
ORANGE & ROCKLAND UTILS INC       Common Stock   684065105     1197    20500 SH       DEFINED    01,03       18000     2500        0
ORBITAL SCIENCES CORP             Common Stock   685564106     1099    46500 SH       DEFINED    01,03       46500        0        0
ORGANOGENESIS INC                 Common Stock   685906109      388    41385 SH       DEFINED    01,03       37900        0     3485
ORGANOGENESIS INC                 Common Stock   685906109        5      500 SH       OTHER                    500        0        0
OREGON STEEL MILLS INC            Common Stock   686079104      390    29330 SH       DEFINED    01,03       25930        0     3400
O REILLY AUTOMOTIVE INC           Common Stock   686091109     1667    33100 SH       DEFINED    01,02,03    33100        0        0
ORION CAP CORP                    Common Stock   686268103     1218    33962 SH       DEFINED    01,03       33962        0        0
ORTHODONTIC CENTERS OF AMER       Common Stock   68750P103      934    66100 SH       DEFINED    01,03       59900        0     6200
OSHKOSH-B-GOSH CL A               Common Stock   688222207      440    20830 SH       DEFINED    01,03       20830        0        0
OSHKOSH TRUCK CORP                Common Stock   688239201      186     3700 SH       DEFINED    01           3700        0        0
OSMONICS INC                      Common Stock   688350107       51     4700 SH       DEFINED    01           4700        0        0
OSTEOTECH INC                     Common Stock   688582105       30     1050 SH       DEFINED    01,03           0        0     1050
O SULLIVAN CORP                   Common Stock   688605104      238    19500 SH       DEFINED    01,03       19500        0        0
O'SULLIVAN INDS HLDGS INC         Common Stock   688609106      172    10100 SH       DEFINED    01          10100        0        0
OTTAWA SAVINGS BANK COMMON ST     Common Stock   689389104       60     2795 SH       DEFINED    01           2795        0        0
OTTER TAIL PWR CO                 Common Stock   689648103      282     7300 SH       DEFINED    01           7300        0        0
OUTBACK STEAKHOUSE INC            Common Stock   689899102     3376    85872 SH       DEFINED    01,02,03    75672        0    10200
OUTBACK STEAKHOUSE INC            Common Stock   689899102        6      159 SH       OTHER                    159        0        0
OUTDOOR SYSTEMS INC               Common Stock   690057104     3376    92505 SH       DEFINED    01          92505        0        0
OVERSEAS SHIPHOLDING GROUP IN     Common Stock   690368105      538    41379 SH       DEFINED    01,03       36579        0     4800
OWENS & MINOR INC HLDG CO         Common Stock   690732102      496    45050 SH       DEFINED    01,03       40750        0     4300
OWENS CORNING                     Common Stock   69073F103      790    22981 SH       DEFINED    01,02,03    22381        0      600
OWENS CORNING                     Common Stock   69073F103        9      250 SH       OTHER                    250        0        0
OWENS ILL INC                     Common Stock   690768403     1808    55311 SH       DEFINED    01,02,03    52311        0     3000
OXFORD HEALTH PLANS INC           Common Stock   691471106     1604   103052 SH       DEFINED    01,03       81852        0    21200
OXFORD INDS INC                   Common Stock   691497309      289    10200 SH       DEFINED    01,03       10200        0        0
P-COM INC                         Common Stock   693262107      318    60800 SH       DEFINED    01,03       60800        0        0
PECO ENERGY CO                    Common Stock   693304107     2925    69842 SH       DEFINED    01,02,03    67102        0     2740
PECO ENERGY CO                    Common Stock   693304107       82     1949 SH       OTHER                   1149        0      800
P G & E CORPORATION               Common Stock   69331C108     5196   160184 SH       DEFINED    01,02,03   155784        0     4400
P G & E CORPORATION               Common Stock   69331C108      283     8738 SH       OTHER                   8213      525        0
PFF BANCORP INC                   Common Stock   69331W104       81     4300 SH       DEFINED    01           4300        0        0
PLC SYSTEMS INC                   Common Stock   69341D104        2      500 SH       DEFINED    01            500        0        0
PMC-SIERRA INC                    Common Stock   69344F106     2157    36600 SH       DEFINED    01          36600        0        0
THE PMI GROUP INC                 Common Stock   69344M101     2151    34248 SH       DEFINED    01,03       30248        0     4000
PNC BANK CORP                     Common Stock   693475105     6677   115873 SH       DEFINED    01,03      110171        0     5702
PNC BANK CORP                     Common Stock   693475105      762    13215 SH       OTHER                  11194     1670      351
PP & L RESOURCES INC              Common Stock   693499105     1737    56499 SH       DEFINED    01,02,03    54699        0     1800
PP & L RESOURCES INC              Common Stock   693499105      164     5340 SH       OTHER                    840     4000      500
PPG INDS INC                      Common Stock   693506107     4343    73532 SH       DEFINED    01,02,03    69762        0     3770
PPG INDS INC                      Common Stock   693506107     2333    39492 SH       OTHER                  37582        0     1910
PRI AUTOMATION INC                Common Stock   69357H106      319     8800 SH       DEFINED    01           8800        0        0
PXRE CORP                         Common Stock   693674103      136     7477 SH       DEFINED    01           7477        0        0
PACCAR INC                        Common Stock   693718108     2183    40904 SH       DEFINED    01,02,03    39974        0      930
PACCAR INC                        Common Stock   693718108        5      100 SH       OTHER                    100        0        0
PACIFIC CENTURY FINL CORP         Common Stock   694058108     2237   103736 SH       DEFINED    01,02,03    92736        0    11000
PACIFIC CENTURY FINL CORP         Common Stock   694058108      618    28650 SH       OTHER                  12060     7590     9000
PACIFIC GATEWAY EXCHANGE INC      Common Stock   694327107      300    10315 SH       DEFINED    01           9815        0      500
PACIFIC SUNWEAR CALIFORNIA IN     Common Stock   694873100     1584    64972 SH       DEFINED    01,02,03    64920        0       52
PACIFIC SUNWEAR CALIFORNIA IN     Common Stock   694873100       15      600 SH       OTHER                    600        0        0
PACIFICARE HELATH SYSTEMS         Common Stock   695112102     4245    59013 SH       DEFINED    01,02,03    47465        0    11548
PACIFICARE HELATH SYSTEMS         Common Stock   695112102       37      515 SH       OTHER                    400        0      115
PACIFICORP                        Common Stock   695114108     2236   121672 SH       DEFINED    01,02,03   111702     4700     5270
PACIFICORP                        Common Stock   695114108      178     9695 SH       OTHER                   7275     1100     1320
PAGEMART WIRELESS INC CL A        Common Stock   69553J104      138    18300 SH       DEFINED    01          18300        0        0
PAGING NETWORK INC                Common Stock   695542100      438    90900 SH       DEFINED    01          74310        0    16590
PAGING NETWORK INC                Common Stock   695542100       17     3548 SH       OTHER                    799        0     2749
PAINEWEBBER GROUP INC             Common Stock   695629105     2462    52663 SH       DEFINED    01,02,03    50663        0     2000
PAIRGAIN TECHNOLOGIES INC         Common Stock   695934109      526    45700 SH       DEFINED    01          45700        0        0
PALL CORPORATION                  Common Stock   696429307     1260    56804 SH       DEFINED    01,02,03    50771      800     5233
                                                                                                 04
PALL CORPORATION                  Common Stock   696429307      107     4800 SH       OTHER                   2800        0     2000
PALM HARBOR HOMES INC             Common Stock   696639103      305    12157 SH       DEFINED    01          12157        0        0
PALM HARBOR HOMES INC             Common Stock   696639103       49     1954 SH       OTHER                   1954        0        0
PANAMSAT CORP                     Common Stock   697933109      772    19824 SH       DEFINED    01          19824        0        0
PAPA JOHNS INTL INC               Common Stock   698813102     2112    47250 SH       DEFINED    01,02,03    43150        0     4100
PAPA JOHNS INTL INC               Common Stock   698813102       13      300 SH       OTHER                    300        0        0
PARAMETRIC TECHNOLOGY CORP        Common Stock   699173100     1345    96941 SH       DEFINED    01,02,03    93841        0     3100
PARAMETRIC TECHNOLOGY CORP        Common Stock   699173100       11      810 SH       OTHER                    810        0        0
PAREXEL INTERNATIONAL CORP        Common Stock   699462107      442    33200 SH       DEFINED    01,03       31300        0     1900
PARK ELECTROCHEMICAL CORP         Common Stock   700416209      371    12900 SH       DEFINED    01,03       12900        0        0
PARK NATL CORP                    Common Stock   700658107      520     5200 SH       DEFINED    01           5200        0        0
PARK NATL CORP                    Common Stock   700658107       45      450 SH       OTHER                      0      450        0
PARKER DRILLING CO                Common Stock   701081101      153    46300 SH       DEFINED    01          46300        0        0
PARKER HANNIFIN CORP              Common Stock   701094104     1789    39109 SH       DEFINED    01,02,03    36334        0     2775
PARKER HANNIFIN CORP              Common Stock   701094104      238     5200 SH       OTHER                   2163     3037        0
PARKWAY PPTYS INC                 Common Stock   70159Q104       65     1965 SH       DEFINED    01,03         365        0     1600
PATTERSON DENTAL CO               Common Stock   703412106     2271    65364 SH       DEFINED    01,02,03    60014        0     5350
PATTERSON ENERGY INC              Common Stock   703414102       20     2000 SH       OTHER                   2000        0        0
PAXAR CORP                        Common Stock   704227107      523    58965 SH       DEFINED    01,03       58965        0        0
PAXAR CORP                        Common Stock   704227107      238    26853 SH       OTHER                  26853        0        0
PAXSON COMMUNICATIONS CORP        Common Stock   704231109      189    14800 SH       DEFINED    01          14800        0        0
PAYCHEX INC                       Common Stock   704326107     3390   106365 SH       DEFINED    01,02,03   103515        0     2850
                                                                                                 04
PAYCHEX INC                       Common Stock   704326107       90     2837 SH       OTHER                   2837        0        0
PAYLESS SHOESOURCE INC            Common Stock   704379106     2039    38103 SH       DEFINED    01,02,03    33703        0     4400
PAYLESS SHOESOURCE INC            Common Stock   704379106       25      476 SH       OTHER                    112       64      300
PAYMENTECH INC                    Common Stock   704384106      535    21100 SH       DEFINED    01          21100        0        0
PEDIATRIX MEDICAL GROUP INC       Common Stock   705324101      444    20900 SH       DEFINED    01,03       19300        0     1600
PEGASYSTEMS INC                   Common Stock   705573103      195    19000 SH       DEFINED    01          19000        0        0
PENN ENGINEERING & MFG CORP       Common Stock   707389300      104     4600 SH       DEFINED    01           4600        0        0
PENN VA CORP                      Common Stock   707882106      111     5600 SH       DEFINED    01           5600        0        0
PENNEY J C INC                    Common Stock   708160106     4956   102048 SH       DEFINED    01,02,03    97348        0     4700
                                                                                                 04
PENNEY J C INC                    Common Stock   708160106     2154    44350 SH       OTHER                  40150     3200     1000
PENNSYLVANIA ENTERPRISES INC      Common Stock   708720107      414    13500 SH       DEFINED    01,03       13500        0        0
PENSKE MOTORSPORTS INC            Common Stock   709598106      303     6100 SH       DEFINED    01           6100        0        0
PENTAIR INC                       Common Stock   709631105     2242    49001 SH       DEFINED    01,02,03    43171        0     5830
PEOPLES BK BRIDGEPORT CONN        Common Stock   710198102     1308    42959 SH       DEFINED    01          42959        0        0
PEOPLES ENERGY CORP               Common Stock   711030106      500    13275 SH       DEFINED    01,03       12175        0     1100
PEOPLES ENERGY CORP               Common Stock   711030106       72     1900 SH       OTHER                   1900        0        0
PEOPLES HERITAGE FINL GROUP I     Common Stock   711147108      639    33959 SH       DEFINED    01          33859        0      100
PEOPLES HERITAGE FINL GROUP I     Common Stock   711147108        4      190 SH       OTHER                      0        0      190
PEOPLES STATE BANK-HAMTRAMCK      Common Stock   712422104      463    11318 SH       OTHER                      0        0    11318
PEOPLESOFT INC                    Common Stock   712713106     1639    95017 SH       DEFINED    01,02,03    91657        0     3360
                                                                                                 04
PEP BOYS MANNY MOE & JACK         Common Stock   713278109      477    22704 SH       DEFINED    01,03,04    20264        0     2440
PEP BOYS MANNY MOE & JACK         Common Stock   713278109       42     2000 SH       OTHER                    440        0     1560
PEPSICO INC                       Common Stock   713448108   131202  3391280 SH       DEFINED    01,02,03  3318092    19950    53238
                                                                                                 04
PEPSICO INC                       Common Stock   713448108    25834   667755 SH       OTHER                 340116    60262   267377
PERCLOSE INC                      Common Stock   71361C107      202     4200 SH       DEFINED    01,03        4100        0      100
PERFORMANCE FOOD GROUP CO         Common Stock   713755106     1031    37905 SH       DEFINED    01          37905        0        0
PERFORMANCE FOOD GROUP CO         Common Stock   713755106       65     2375 SH       OTHER                   1475      900        0
PERIPHONICS CORP                  Common Stock   714005105       31     1900 SH       DEFINED    01           1900        0        0
PERIPHONICS CORP                  Common Stock   714005105       20     1200 SH       OTHER                   1200        0        0
PERRIGO CO                        Common Stock   714290103      717    94074 SH       DEFINED    01,03       75174        0    18900
PERSONNEL GROUP AMER INC          Common Stock   715338109      102    10240 SH       DEFINED    01          10240        0        0
PERVASIVE SOFTWARE INC            Common Stock   715710109       70     2800 SH       DEFINED    01           2800        0        0
PETRIE STORES LIQUIDATING TR      Other          716437108       62    25952 SH       DEFINED    01          25952        0        0
PETRIE STORES LIQUIDATING TR      Other          716437108        2      728 SH       OTHER                    728        0        0
PETSMART INC                      Common Stock   716768106      747    72900 SH       DEFINED    01          72900        0        0
PHARMACIA & UPJOHN INC            Common Stock   716941109    15293   269179 SH       DEFINED    01,02,03   193899     6090    69190
                                                                                                 04
PHARMACIA & UPJOHN INC            Common Stock   716941109     2164    38084 SH       OTHER                  24196     3480    10408
FIZER INC                         Common Stock   717081103   122698  1125670 SH       DEFINED    01,02,03   907897     5818   211955
                                                                                                 04
PFIZER INC                        Common Stock   717081103    33679   308982 SH       OTHER                 219100    76400    13482
PHARMACEUTICAL PROD DEV INC       Common Stock   717124101     1487    54320 SH       DEFINED    01,03,04    52480        0     1840
PHARMACOPEIA INC                  Common Stock   71713B104       11     1000 SH       DEFINED    01           1000        0        0
PHELPS DODGE CORP                 Common Stock   717265102     1268    20475 SH       DEFINED    01,03       19590        0      885
PHILADELPHIA CONS HLDG CORP       Common Stock   717528103      142     5800 SH       DEFINED    01           5800        0        0
PHILADEL SUBN CRP COM PAR $0.     Common Stock   718009608     1173    50878 SH       DEFINED    01,03       50878        0        0
PHILIP MORRIS COMPANIES INC       Common Stock   718154107    47954  1193242 SH       DEFINED    01,02,03  1121701     6400    65141
                                                                                                 04
PHILIP MORRIS COMPANIES INC       Common Stock   718154107     7351   182927 SH       OTHER                 128247    23040    31640
PHILLIPS PETE CO                  Common Stock   718507106     5085   101058 SH       DEFINED    01,02,03    91658        0     9400
PHILLIPS PETE CO                  Common Stock   718507106      117     2319 SH       OTHER                   2319        0        0
PHILLIPS VAN HEUSEN               Common Stock   718592108      340    34000 SH       DEFINED    01,03       34000        0        0
PHOTRONICS INC                    Common Stock   719405102      740    30200 SH       DEFINED    01,03       30000        0      200
PHYCOR INC                        Common Stock   71940F100      775   104612 SH       DEFINED    01,03       95337        0     9275
PHYCOR INC                        Common Stock   71940F100        7      900 SH       OTHER                    900        0        0
PICTURETEL CORP NEW               Common Stock   720035302      401    50100 SH       DEFINED    01,03       50100        0        0
PIEDMONT NATURAL GAS CORP - N     Common Stock   720186105     1267    40715 SH       DEFINED    01,03       39480     1235        0
PIEDMONT NATURAL GAS CORP - N     Common Stock   720186105        6      200 SH       OTHER                    200        0        0
PIER #1 INC                       Common Stock   720279108     1363   121193 SH       DEFINED    01,03      121193        0        0
PIER #1 INC                       Common Stock   720279108       16     1415 SH       OTHER                      0        0     1415
PIERCE LEAHY CORP                 Common Stock   720722107      118     4790 SH       DEFINED    01           4790        0        0
PILGRIMS PRIDE CORP CL B          Common Stock   721467108      414    13800 SH       DEFINED    01          13800        0        0
PILLOWTEX CORP                    Common Stock   721501104      290    17769 SH       DEFINED    01,03       17769        0        0
PINNACLE SYSTEMS INC              Common Stock   723481107      202     6000 SH       DEFINED    01           6000        0        0
PINNACLE WEST CAPITAL CORP        Common Stock   723484101     3915    97257 SH       DEFINED    01,02,03    85519        0    11738
PINNACLE WEST CAPITAL CORP        Common Stock   723484101       65     1612 SH       OTHER                    866      296      450
PIONEER GROUP INC                 Common Stock   723684106      564    32700 SH       DEFINED    01,03       32700        0        0
PIONEER GROUP INC                 Common Stock   723684106       62     3600 SH       OTHER                   3600        0        0
PIONEER HI BRED INTL INC          Common Stock   723686101     3362    86340 SH       DEFINED    01,02,03    82640        0     3700
PIONEER NATURAL RESOURCES         Common Stock   723787107     1262   114727 SH       DEFINED    01,03      100999        0    13728
PIONEER STD ELECTRS               Common Stock   723877106      395    32937 SH       DEFINED    01,03       32937        0        0
PITNEY BOWES INC                  Common Stock   724479100    14018   218178 SH       DEFINED    01,02,03   210553     3400     4225
                                                                                                 04
PITNEY BOWES INC                  Common Stock   724479100     3267    50845 SH       OTHER                  40600    10000      245
PITTSTON BRINK'S GROUP            Common Stock   725701106     1268    47401 SH       DEFINED    01,03       41601        0     5800
PITTSTON BRINK'S GROUP            Common Stock   725701106      148     5550 SH       OTHER                   5450        0      100
PITTSTON BAX GROUP                Common Stock   725701882      245    25815 SH       DEFINED    01,03       25815        0        0
PITTWAY CORP DEL                  Common Stock   725790109      340    10200 SH       DEFINED    01          10200        0        0
PITTWAY CORP DEL CL A             Common Stock   725790208      103     3000 SH       OTHER                   3000        0        0
PIXAR INC                         Common Stock   725811103     1169    27100 SH       DEFINED    01          27100        0        0
PLAINS RESOURCES INC NEW          Common Stock   726540503      401    21100 SH       DEFINED    01,03       21100        0        0
PLANTRONICS INC NEW               Common Stock   727493108     1401    21520 SH       DEFINED    01,02,03    21500        0       20
PLAYERS INTERNATIONAL INC         Common Stock   727903106      288    40000 SH       DEFINED    01,03       40000        0        0
PLAYBOY ENTERPRISES INC CL B      Common Stock   728117300      313    11800 SH       DEFINED    01          11800        0        0
PLAYTEX PRODUCTS INC              Common Stock   72813P100      445    28600 SH       DEFINED    01          28600        0        0
PLEXUS CORP                       Common Stock   729132100      573    19030 SH       DEFINED    01,03       19000        0       30
POGO PRODUCING CO                 Common Stock   730448107      935    50200 SH       DEFINED    01,03       50200        0        0
POLARIS INDUSTRIES INC            Common Stock   731068102     1370    31500 SH       DEFINED    01,03       31500        0        0
POLAROID CORP                     Common Stock   731095105      418    15182 SH       DEFINED    01,03       14676        0      506
POLICY MANAGEMENT SYSTEMS COR     Common Stock   731108106     1220    40670 SH       DEFINED    01,03       35970        0     4700
POLO RALPH LAUREN CORP CL A       Common Stock   731572103      536    28200 SH       DEFINED    01          28200        0        0
POLYMER GROUP INC                 Common Stock   731745105      251    21400 SH       DEFINED    01          21400        0        0
POMEROY COMPUTER RESOURCES IN     Common Stock   731822102      189    13537 SH       DEFINED    01          13537        0        0
POOL ENERGY SVCS CO               Common Stock   732788104      538    26500 SH       DEFINED    01,03       26500        0        0
POPE & TALBOT                     Common Stock   732827100      204    16900 SH       DEFINED    01,03       16900        0        0
POTLATCH CORP                     Common Stock   737628107     1703    38768 SH       DEFINED    01,03       38468        0      300
POTOMAC ELEC PWR CO               Common Stock   737679100     4315   146567 SH       DEFINED    01,02,03   127367     2000    17200
POTOMAC ELEC PWR CO               Common Stock   737679100       62     2100 SH       OTHER                   2100        0        0
POWERHOUSE RESOURCES INC          Common Stock   739321107        4   142916 SH       DEFINED    01         142916        0        0
POWERWAVE TECHNOLOGIES INC        Common Stock   739363109      797    24700 SH       DEFINED    01,03       24700        0        0
POWERTEL INC                      Common Stock   73936C109      194     6500 SH       DEFINED    01           6500        0        0
PRAXAIR INC                       Common Stock   74005P104     7951   162476 SH       DEFINED    01,02,03   151916        0    10560
PRAXAIR INC                       Common Stock   74005P104      755    15420 SH       OTHER                  12098     2862      460
PRE PAID LEGAL SVCS INC           Common Stock   740065107     1325    48850 SH       DEFINED    01,02,03    48850        0        0
PRE PAID LEGAL SVCS INC           Common Stock   740065107       12      450 SH       OTHER                    450        0        0
PRECISION CASTPARTS               Common Stock   740189105     1321    31078 SH       DEFINED    01,03       24578        0     6500
PRECISION CASTPARTS               Common Stock   740189105        5      110 SH       OTHER                      0        0      110
PRECISION DRILLING CORP CL A      Common Stock   74022D100      494    25900 SH       DEFINED    01          25900        0        0
PRECISION RESPONSE CORP           Common Stock   740314109       14     2500 SH       DEFINED    01           2500        0        0
PREMARK INTERNATIONAL INC         Common Stock   740459102     2679    71450 SH       DEFINED    01,02,03    62550        0     8900
PREMARK INTERNATIONAL INC         Common Stock   740459102        2       50 SH       OTHER                     50        0        0
PREMIER PARKS INC                 Common Stock   740540208     1487    40450 SH       DEFINED    01          40450        0        0
PREMISYS COMMUNICATIONS INC       Common Stock   740584107      114    15600 SH       DEFINED    01          15600        0        0
PREMIERE TECHNOLOGIES INC         Common Stock   74058F102      145    12628 SH       DEFINED    01          12628        0        0
PRENTISS PPTYS TR                 Common Stock   740706106      167     7050 SH       DEFINED    01,02,03      650        0     6400
PRENTISS PPTYS TR                 Common Stock   740706106        3      135 SH       OTHER                      0        0      135
PRESIDENTIAL LIFE CORP            Common Stock   740884101      463    23600 SH       DEFINED    01          23600        0        0
PRESIDENTIAL LIFE CORP            Common Stock   740884101        8      400 SH       OTHER                    400        0        0
PRESSTEK INC                      Common Stock   741113104      144    19900 SH       DEFINED    01          19900        0        0
PRICE T ROWE & ASSOC INC          Common Stock   741477103     5354   139525 SH       DEFINED    01,02,03   122725        0    16800
PRIME MEDICAL SVCS INC            Common Stock   74156D108       82    11100 SH       DEFINED    01,03        9000        0     2100
PRIME RETAIL INC                  Common Stock   741570105       57     6571 SH       DEFINED    01,02,03       42        0     6529
PRIME RETAIL INC                  Common Stock   741570105        5      600 SH       OTHER                    600        0        0
PRIMEX TECHNOLOGIES INC           Common Stock   741597108      147     6810 SH       DEFINED    01,02        5180        0     1630
PRIMEX TECHNOLOGIES INC           Common Stock   741597108        9      400 SH       OTHER                    400        0        0
PRIMARK CORP                      Common Stock   741903108      742    26430 SH       DEFINED    01,03       26230        0      200
PRIMARK CORP                      Common Stock   741903108       28     1000 SH       OTHER                      0     1000        0
PRIME HOSPITALITY CORP            Common Stock   741917108      774    64534 SH       DEFINED    01,03       64534        0        0
PRIME HOSPITALITY CORP            Common Stock   741917108        5      420 SH       OTHER                    420        0        0
PRIMUS TELECOMMUNS GRP INC        Common Stock   741929103      320    14272 SH       DEFINED    01          14272        0        0
PRIDE INTERNATIONAL INC           Common Stock   741932107      665    63000 SH       DEFINED    01,03       63000        0        0
PRIORITY HEALTHCARE CORP          Common Stock   74264T102      244     7083 SH       DEFINED    01,03        7050        0       33
PROCTER & GAMBLE CO               Common Stock   742718109    84169   943068 SH       DEFINED    01,02,03   871613    20900    50555
                                                                                                 04
PROCTER & GAMBLE CO               Common Stock   742718109    17644   197689 SH       OTHER                 138000    43705    15984
PROFESSIONALS GROUP INC           Common Stock   742954100        6      180 SH       DEFINED    01            180        0        0
PROFESSIONALS GROUP INC           Common Stock   742954100      184     5438 SH       OTHER                   5438        0        0
PROFIT RECOVERY GROUP INTL        Common Stock   743168106     1604    33900 SH       DEFINED    01,03       33900        0        0
PROGRESS SOFTWARE CORP            Common Stock   743312100      699    24750 SH       DEFINED    01,03       24750        0        0
PROGRESSIVE CORP                  Common Stock   743315103     3635    25068 SH       DEFINED    01,02,03    24268        0      800
PROGRESSIVE CORP                  Common Stock   743315103       92      635 SH       OTHER                     35      600        0
PROJECT SOFTWARE & DEV INC        Common Stock   74339P101      191     6100 SH       DEFINED    01           6100        0        0
PROTECTION ONE INC                Common Stock   743663304       55    10200 SH       DEFINED    01          10200        0        0
PROTECTIVE LIFE CORP              Common Stock   743674103     2515    73985 SH       DEFINED    01,02,03    65285        0     8700
PROTEIN DESIGN LABS INC           Common Stock   74369L103      570    25700 SH       DEFINED    01,03       23300        0     2400
PROVIDENT BANKSHARES CORP         Common Stock   743859100      710    30553 SH       DEFINED    01,03       30553        0        0
PROVIDENT COMPANIES INC           Common Stock   743862104     2192    54789 SH       DEFINED    01,02,03    51839        0     2950
PROVIDENT COMPANIES INC           Common Stock   743862104       49     1225 SH       OTHER                    150        0     1075
PROVIDENT FINANCIAL GROUP INC     Common Stock   743866105     2190    50050 SH       DEFINED    01,03       44250        0     5800
PROVIDIAN FINL CORP               Common Stock   74406A102     5060    54259 SH       DEFINED    01,02,03    51662        0     2597
PROVIDIAN FINL CORP               Common Stock   74406A102      559     5992 SH       OTHER                   5850        0      142
PROXIM INC                        Common Stock   744284100      232     4000 SH       DEFINED    01           4000        0        0
PSINET INC                        Common Stock   74437C101     1208    27600 SH       DEFINED    01          27600        0        0
PUBLIC SVC NEW MEX                Common Stock   744499104      928    46699 SH       DEFINED    01,03       41199        0     5500
PUBLIC SVC CO N C INC             Common Stock   744516105      752    25700 SH       DEFINED    01,03       25700        0        0
PUBLIC SVC ENTERPRISE GROUP I     Common Stock   744573106     3576    87614 SH       DEFINED    01,02,03    81516        0     6098
PUBLIC SVC ENTERPRISE GROUP I     Common Stock   744573106      397     9717 SH       OTHER                   5317     4400        0
PUGET SOUND ENERGY INC            Common Stock   745332106     2422   100917 SH       DEFINED    01,02,03    89517        0    11400
PULTE CORP                        Common Stock   745867101      521    22590 SH       DEFINED    01,02,03    22190        0      400
PULTE CORP                        Common Stock   745867101        9      400 SH       OTHER                    400        0        0
QLOGIC CORP                       Common Stock   747277101     1353    10250 SH       DEFINED    01          10100        0      150
QUADRAMED CORP                    Common Stock   74730W101       25     3100 SH       DEFINED    01           3100        0        0
QUAKER CHEMICAL CORP              Common Stock   747316107      180    11100 SH       DEFINED    01,03       11100        0        0
QUAKER FABRIC CORP NEW            Common Stock   747399103       55    13200 SH       DEFINED    01,02       13200        0        0
QUAKER FABRIC CORP NEW            Common Stock   747399103        8     1800 SH       OTHER                   1800        0        0
QUAKER OATS CO                    Common Stock   747402105     3973    59854 SH       DEFINED    01,02,03    56038        0     3816
QUAKER OATS CO                    Common Stock   747402105      365     5500 SH       OTHER                   2500     3000        0
QUALCOMM INC                      Common Stock   747525103    25278   176150 SH       DEFINED    01,02,03   154485        0    21665
QUALCOMM INC                      Common Stock   747525103       77      540 SH       OTHER                    540        0        0
QUANEX CORP COM                   Common Stock   747620102      674    23650 SH       DEFINED    01,02,03    23650        0        0
QUANEX CORP COM                   Common Stock   747620102       30     1058 SH       OTHER                   1058        0        0
QUANTUM CORP                      Common Stock   747906105     4714   195382 SH       DEFINED    01,02,03   172382        0    23000
QUANTUM CORP                      Common Stock   747906105       25     1030 SH       OTHER                    330        0      700
QUEENS CNTY BANCORP INC           Common Stock   748242104      869    26850 SH       DEFINED    01,03       26850        0        0
QUEST DIAGNOSTICS INC             Common Stock   74834L100      652    23808 SH       DEFINED    01,03       21508        0     2300
QUEST DIAGNOSTICS INC             Common Stock   74834L100        7      250 SH       OTHER                      0      250        0
QUESTAR CORPORATION               Common Stock   748356102     1806    94412 SH       DEFINED    01,03       83112        0    11300
QUIKSILVER INC                    Common Stock   74838C106      717    27500 SH       DEFINED    01,03       27500        0        0
QUINTILES TRANSNATIONAL CORP      Common Stock   748767100     5858   139485 SH       DEFINED    01,02,03   113504        0    25981
QUINTILES TRANSNATIONAL CORP      Common Stock   748767100       63     1500 SH       OTHER                    325        0     1175
QUORUM HEALTH GROUP INC           Common Stock   749084109     1158    92173 SH       DEFINED    01,03       73423        0    18750
QWEST COMMUNICATIONS INTL INC     Common Stock   749121109     1983    59984 SH       DEFINED    01          59826        0      158
QWEST COMMUNICATIONS INTL INC     Common Stock   749121109      179     5400 SH       OTHER                   5400        0        0
RCN CORP                          Common Stock   749361101     1686    40500 SH       DEFINED    01          40500        0        0
RLI CORP                          Common Stock   749607107      245     6318 SH       DEFINED    01           6318        0        0
RPC ENERGY SVCS INC               Common Stock   749660106      177    20200 SH       DEFINED    01          20200        0        0
RPM INC OHIO                      Common Stock   749685103     1900   133951 SH       DEFINED    01,03,04   117058        0    16893
RPM INC OHIO                      Common Stock   749685103       25     1750 SH       OTHER                   1750        0        0
RF MICRO DEVICES INC              Common Stock   749941100      810    10860 SH       DEFINED    01          10640        0      220
RACING CHAMPIONS CORP             Common Stock   750069106       84    11783 SH       DEFINED    01,02       11783        0        0
RACING CHAMPIONS CORP             Common Stock   750069106        1      194 SH       OTHER                    194        0        0
RADISYS CORP                      Common Stock   750459109       43     1100 SH       DEFINED    01           1100        0        0
RAILTEX INC                       Common Stock   750766107      161    11600 SH       DEFINED    01,03       11600        0        0
RAINBOW TECHNOLOGIES INC          Common Stock   750862104       62     5250 SH       DEFINED    01           5250        0        0
RAINBOW TECHNOLOGIES INC          Common Stock   750862104        7      600 SH       OTHER                      0      600        0
RAINFOREST CAFE INC               Common Stock   75086K104       52    10350 SH       DEFINED    01          10350        0        0
RAMBUS INC                        Common Stock   750917106      608     6600 SH       DEFINED    01           6600        0        0
RALCORP HLDGS INC NEW             Common Stock   751028101      627    38900 SH       DEFINED    01,03       38900        0        0
RALSTON-RALSTON PURINA GROUP      Common Stock   751277302     3834   125950 SH       DEFINED    01,02,03   120839        0     5111
RALSTON-RALSTON PURINA GROUP      Common Stock   751277302      396    13000 SH       OTHER                   3000        0    10000
RARE HOSPITALITY INTL INC         Common Stock   753820109       41     1600 SH       DEFINED    01           1600        0        0
RATIONAL SOFTWARE CORP            Common Stock   75409P202     3248    98618 SH       DEFINED    01,02,03    86738        0    11880
RAYCHEM CORP                      Common Stock   754603108     1269    34288 SH       DEFINED    01,02,03    27588        0     6700
                                                                                                 04
RAYMOND JAMES FINL INC            Common Stock   754730109     1427    59475 SH       DEFINED    01,03       59475        0        0
RAYONIER INC                      Common Stock   754907103     1579    31707 SH       DEFINED    01,03       27907        0     3800
RAYOVAC CORP                      Common Stock   755081106      349    15400 SH       DEFINED    01          15400        0        0
READ-RITE CORP                    Common Stock   755246105      447    72000 SH       DEFINED    01,03       72000        0        0
READERS DIGEST ASSN INC CL A      Common Stock   755267101     4884   122860 SH       DEFINED    01,03      108160        0    14700
READERS DIGEST ASSN INC CL B      Common Stock   755267200     3251    86700 SH       DEFINED    01          86700        0        0
REALNETWORKS INC                  Common Stock   75605L104     1178    17100 SH       DEFINED    01          17100        0        0
RED ROOF INNS INC                 Common Stock   757005103      348    19400 SH       DEFINED    01          19400        0        0
REDDI BRAKE SUPPLY CORP           Common Stock   757275102        0    20000 SH       DEFINED    01,04       20000        0        0
REEBOK INTL LTD                   Common Stock   758110100      363    19505 SH       DEFINED    01,03       18635        0      870
REEBOK INTL LTD                   Common Stock   758110100        3      180 SH       OTHER                      0        0      180
REGAL BELOIT CORP WISCONSIN       Common Stock   758750103      617    26100 SH       DEFINED    01,03       26100        0        0
REGENERON PHARMACEUTICALS INC     Common Stock   75886F107      338    43200 SH       DEFINED    01,03       39000        0     4200
REGIS CORP MINN                   Common Stock   758932107      920    47940 SH       DEFINED    01,03       47900        0       40
REGIS CORP MINN                   Common Stock   758932107       22     1125 SH       OTHER                      0     1125        0
REGIONS FINANCIAL CORP            Common Stock   758940100    16762   436089 SH       DEFINED    01,02,03   421463     1550    13076
                                                                                                 04
REGIONS FINANCIAL CORP            Common Stock   758940100     3627    94362 SH       OTHER                  89022     5030      310
REINSURANCE GROUP AMER INC        Common Stock   759351109      978    27735 SH       DEFINED    01          27735        0        0
RELIANCE GROUP HOLDINGS           Common Stock   759464100      599    80518 SH       DEFINED    01          80518        0        0
RELIANCE STEEL & ALUMINUM CO      Common Stock   759509102      897    23000 SH       DEFINED    01,03       23000        0        0
RELIASTAR FINL CORP               Common Stock   75952U103     4535   103657 SH       DEFINED    01,02,03    90657        0    13000
RELIASTAR FINL CORP               Common Stock   75952U103        5      120 SH       OTHER                    120        0        0
REMEC INC                         Common Stock   759543101      300    18600 SH       DEFINED    01,02       18600        0        0
REMEC INC                         Common Stock   759543101       18     1100 SH       OTHER                   1100        0        0
REMEDY CORP                       Common Stock   759548100      175     6500 SH       DEFINED    01           6500        0        0
RENAL CARE GROUP INC              Common Stock   759930100     1509    58325 SH       DEFINED    01,03       55225        0     3100
RENT WAY INC                      Common Stock   76009U104      605    24550 SH       DEFINED    01,02       24550        0        0
RENT WAY INC                      Common Stock   76009U104       12      500 SH       OTHER                    500        0        0
RENTAL SERVICE CORP               Common Stock   76009V102      260     9100 SH       DEFINED    01           9100        0        0
REPUBLIC BANCORP INC              Common Stock   760282103      379    24986 SH       DEFINED    01          23986        0     1000
REPUBLIC GYPSUM CO                Common Stock   760473108      264    14650 SH       DEFINED    01,03       14650        0        0
REPUBLIC NEW YORK CORP            Common Stock   760719104     2636    38658 SH       DEFINED    01,02,03    37458        0     1200
REPUBLIC NEW YORK CORP            Common Stock   760719104        4       60 SH       OTHER                     60        0        0
REPUBLIC SECURITY FINL CORP       Common Stock   760758102      238    28384 SH       DEFINED    01          28384        0        0
RES-CARE INC                      Common Stock   760943100      641    28175 SH       DEFINED    01,02,03    27950        0      225
RES-CARE INC                      Common Stock   760943100       10      450 SH       OTHER                    450        0        0
RESMED INC                        Common Stock   761152107      322     9700 SH       DEFINED    01,03,04     8600        0     1100
RESOURCE BANCSHARES MTG GRP I     Common Stock   761197102      113    11066 SH       DEFINED    01          11066        0        0
RESPIRONICS INC                   Common Stock   761230101      637    42118 SH       DEFINED    01,03       38300        0     3818
REVLON INC CL A                   Common Stock   761525500      417    13800 SH       DEFINED    01          13800        0        0
REXALL SUNDOWN INC                Common Stock   761648104      597    49000 SH       DEFINED    01,03       40900        0     8100
REYNOLDS & REYNOLDS CO CL A       Common Stock   761695105     2104    90247 SH       DEFINED    01,03       79617        0    10630
REYNOLDS METALS CO                Common Stock   761763101     1408    23872 SH       DEFINED    01,02,03    23072        0      800
REYNOLDS METALS CO                Common Stock   761763101       35      600 SH       OTHER                    600        0        0
RICHFOOD HLDGS INC CL A           Common Stock   763408101     1284    72876 SH       DEFINED    01,03       72376      500        0
RIGGS NATL CORP WASH DC           Common Stock   766570105      825    40100 SH       DEFINED    01,02,03    40100        0        0
RIGGS NATL CORP WASH DC           Common Stock   766570105       12      600 SH       OTHER                    600        0        0
RISK CAPITAL HOLDING INC          Common Stock   767711104      188    13900 SH       DEFINED    01          13900        0        0
RITE AID CORP STORES              Common Stock   767754104     2272    92254 SH       DEFINED    01,02,03    89254        0     3000
RIVIANA FOODS INC                 Common Stock   769536103      202    10800 SH       DEFINED    01          10800        0        0
ROADWAY EXPRESS INC               Common Stock   769742107      275    14172 SH       DEFINED    01          14172        0        0
ROADWAY EXPRESS INC               Common Stock   769742107       69     3560 SH       OTHER                   3400        0      160
ROBBINS & MYERS INC               Common Stock   770196103      395    17700 SH       DEFINED    01,02,03    17700        0        0
ROBBINS & MYERS CV                Other          770196AA1      247   250000 SH       DEFINED    01,02      250000        0        0
ROBERT HALF INTL INC              Common Stock   770323103     2808   108767 SH       DEFINED    01,02,03    96317        0    12450
                                                                                                 04
ROBERT HALF INTL INC              Common Stock   770323103        8      300 SH       OTHER                      0        0      300
ROBERTS PHARMACEUTICAL CORP       Common Stock   770491108     1053    43895 SH       DEFINED    01,03       39890        0     4005
ROBOTIC VISION SYS INC            Common Stock   771074101      188    50000 SH       OTHER                  50000        0        0
ROCHESTER GAS & ELEC CORP         Common Stock   771367109      757    28495 SH       DEFINED    01          28495        0        0
ROCHESTER GAS & ELEC CORP         Common Stock   771367109        7      250 SH       OTHER                      0        0      250
ROCK-TENN CO CL A                 Common Stock   772739207      357    21400 SH       DEFINED    01          21400        0        0
ROCKWELL INTL CORP NEW            Common Stock   773903109     4971    81828 SH       DEFINED    01,02,03    77719        0     4109
ROCKWELL INTL CORP NEW            Common Stock   773903109     4058    66799 SH       OTHER                  18785    42829     5185
ROGERS CANTEL MOBILE INC CL B     Common Stock   775102205      204    12400 SH       DEFINED    01,03       11500        0      900
ROGERS CORP                       Common Stock   775133101      266     9000 SH       DEFINED    01           4000        0     5000
ROHM & HAAS CO                    Common Stock   775371107     3432    80044 SH       DEFINED    01,02,03    76376        0     3668
ROHM & HAAS CO                    Common Stock   775371107       20      466 SH       OTHER                    466        0        0
ROLLINS INC                       Common Stock   775711104      557    34945 SH       DEFINED    01,03       30745        0     4200
ROLLINS INC                       Common Stock   775711104        8      500 SH       OTHER                    500        0        0
ROLLINS TRUCK LEASING CORP        Common Stock   775741101      800    71912 SH       DEFINED    01,03       71912        0        0
ROMAC INTERNATIONAL INC           Common Stock   775835101      267    30037 SH       DEFINED    01          30037        0        0
ROPER INDS INC NEW                Common Stock   776696106     1213    37900 SH       DEFINED    01,03       37900        0        0
ROPER INDS INC NEW                Common Stock   776696106        3       90 SH       OTHER                     90        0        0
ROSS STORES INC                   Common Stock   778296103     2785    55290 SH       DEFINED    01,02,03    48990        0     6300
ROUGE INDUSTRIES INC              Common Stock   779088103       52     5300 SH       DEFINED    01           5300        0        0
ROUSE CO                          Common Stock   779273101     1410    55560 SH       DEFINED    01,03       44660        0    10900
ROWAN COS INC                     Common Stock   779382100      538    29502 SH       DEFINED    01,03       27692        0     1810
ROYAL GROUP TECHNOLOGIES LTD      Common Stock   779915107     1157    39300 SH       DEFINED    01,03       39300        0        0
ROYAL GROUP TECHNOLOGIES LTD      Common Stock   779915107        3      100 SH       OTHER                      0      100        0
ROYAL APPLIANCE MFG CO            Common Stock   780076105      167    24000 SH       DEFINED    01,03       24000        0        0
RUBY TUESDAY INC                  Common Stock   781182100     1579    83088 SH       DEFINED    01,02,03    81362        0     1726
RUBY TUESDAY INC                  Common Stock   781182100       32     1700 SH       OTHER                   1700        0        0
RUDDICK CORP                      Common Stock   781258108     1063    53166 SH       DEFINED    01,03       46866        0     6300
RURAL / METRO CORP                Common Stock   781748108      184    19100 SH       DEFINED    01,03,04    19100        0        0
RUSS BERRIE                       Common Stock   782233100      658    26600 SH       DEFINED    01,03       26600        0        0
RUSSELL CORP                      Common Stock   782352108      238    12198 SH       DEFINED    01,03       11798        0      400
RYANS FAMILY STEAK HOUSE          Common Stock   783519101      560    48160 SH       DEFINED    01,03       48160        0        0
RYDER SYSTEMS INC                 Common Stock   783549108      745    28951 SH       DEFINED    01,02,03    27051        0     1900
RYDER SYSTEMS INC                 Common Stock   783549108        3      130 SH       OTHER                      0        0      130
RYLAND GROUP                      Common Stock   783764103      552    18600 SH       DEFINED    01,03       18600        0        0
S & T BANCORP INC                 Common Stock   783859101      414    16400 SH       DEFINED    01          16400        0        0
SBC COMMUNICATIONS INC            Common Stock   78387G103    92216  1589933 SH       DEFINED    01,02,03  1502169     6306    81458
                                                                                                 04
SBC COMMUNICATIONS INC            Common Stock   78387G103    16988   292892 SH       OTHER                 252511    32505     7876
SBS TECHNOLOGIES INC              Common Stock   78387P103      633    31250 SH       DEFINED    01,02       31250        0        0
SBS TECHNOLOGIES INC              Common Stock   78387P103       17      850 SH       OTHER                    850        0        0
SCI SYSTEMS INC                   Common Stock   783890106     3932    83000 SH       DEFINED    01,02,03    73300        0     9700
SCM MICROSYSTEMS INC              Common Stock   784018103      144     3100 SH       DEFINED    01           3100        0        0
SCPIE HLDGS INC                   Common Stock   78402P104      111     3400 SH       DEFINED    01           3400        0        0
SDL INC                           Common Stock   784076101      480     9400 SH       DEFINED    01           9400        0        0
SEI INVESTMENT COMPANY            Common Stock   784117103     1959    22200 SH       DEFINED    01,02,03    22200        0        0
SEMCO ENERGY INC                  Common Stock   78412D109      267    17292 SH       DEFINED    01          17292        0        0
SEMCO ENERGY INC                  Common Stock   78412D109       97     6292 SH       OTHER                   6292        0        0
SLM HOLDING CORP                  Common Stock   78442A109     3697    80687 SH       DEFINED    01,02,03    77947        0     2740
                                                                                                 04
SLM HOLDING CORP                  Common Stock   78442A109      592    12922 SH       OTHER                  12012        0      910
SPS TECHNOLOGIES INC              Common Stock   784626103      597    15920 SH       DEFINED    01,03       15900        0       20
SPSS INC                          Common Stock   78462K102       80     3100 SH       DEFINED    01           3100        0        0
SPX CORP                          Common Stock   784635104     3109    37228 SH       DEFINED    01,02,03    33028        0     4200
SPX CORP                          Common Stock   784635104      238     2854 SH       OTHER                   2754      100        0
S3 INC                            Common Stock   784849101      597    65600 SH       DEFINED    01,03       65600        0        0
SPR INC                           Common Stock   784922106       17     3150 SH       DEFINED    01           3150        0        0
SABINE ROYALTY TRUST UNIT B I     Common Stock   785688102       99     6900 SH       DEFINED    01           6900        0        0
SABRE GROUP HLDGS INC CL A        Common Stock   785905100      938    13640 SH       DEFINED    01          13640        0        0
SABRE GROUP HLDGS INC CL A        Common Stock   785905100        8      120 SH       OTHER                    120        0        0
SAFECO CORP                       Common Stock   786429100     6352   143946 SH       DEFINED    01,02,03   136573        0     7373
SAFECO CORP                       Common Stock   786429100     1071    24283 SH       OTHER                  21335     2345      603
SAFEGUARD SCIENTIFICS INC         Common Stock   786449108     1275    20240 SH       DEFINED    01          20200        0       40
SAFESKIN CORP                     Common Stock   786454108      824    68700 SH       DEFINED    01,03       68700        0        0
SAFESKIN CORP                     Common Stock   786454108       24     2000 SH       OTHER                   2000        0        0
SAFEWAY INC                       Common Stock   786514208    13547   273680 SH       DEFINED    01,02,03   255663        0    18017
SAFEWAY INC                       Common Stock   786514208      254     5125 SH       OTHER                   4385        0      740
ST JOE COMPANY                    Common Stock   790148100     2371    87800 SH       DEFINED    01          87800        0        0
ST JOHN KNITS INC                 Common Stock   790289102      605    20700 SH       DEFINED    01,03       20700        0        0
ST JUDE MED INC                   Common Stock   790849103     2087    58571 SH       DEFINED    01,02,03    47030        0    11541
ST JUDE MED INC                   Common Stock   790849103        7      200 SH       OTHER                    200        0        0
ST MARY LD & EXPL CO              Common Stock   792228108      280    13600 SH       DEFINED    01,03       13600        0        0
STPAUL BANCORP INC                Common Stock   792848103     1274    49968 SH       DEFINED    01,03       49968        0        0
ST PAUL COS INC                   Common Stock   792860108     4279   134504 SH       DEFINED    01,02,03   127363        0     7141
                                                                                                 04
ST PAUL COS INC                   Common Stock   792860108       61     1922 SH       OTHER                   1142        0      780
SALTON INC                        Common Stock   795757103      120     2400 SH       DEFINED    01           2400        0        0
SANDISK CORP                      Common Stock   80004C101      446     9900 SH       DEFINED    01           9900        0        0
SANMINA CORP                      Common Stock   800907107     5056    66633 SH       DEFINED    01,02,03    58833        0     7800
SAPIENT CORP                      Common Stock   803062108      838    14800 SH       DEFINED    01          14800        0        0
SARA LEE CORPORATION              Common Stock   803111103    24630  1085611 SH       DEFINED    01,02,03  1044674     4100    36837
                                                                                                 04
SARA LEE CORPORATION              Common Stock   803111103     7347   323843 SH       OTHER                 251903    61348    10592
SAWTEK INC                        Common Stock   805468105      413     9000 SH       DEFINED    01           9000        0        0
S BARRO INC                       Common Stock   805844107      632    23353 SH       DEFINED    01,03       20653        0     2700
SCANA CORP                        Common Stock   805898103     3312   141675 SH       DEFINED    01,02,03   126267        0    15408
SCANA CORP                        Common Stock   805898103       12      500 SH       OTHER                    500        0        0
SCHEIN HENRY INC                  Common Stock   806407102      606    19125 SH       DEFINED    01          19125        0        0
SCHERING PLOUGH CORP              Common Stock   806605101    85887  1635935 SH       DEFINED    01,02,03  1386351     6300   243284
                                                                                                 04
SCHERING PLOUGH CORP              Common Stock   806605101    25572   487078 SH       OTHER                 423050    45875    18153
SCHLOTZSKYS INC                   Common Stock   806832101      387    35350 SH       DEFINED    01,02       35350        0        0
SCHLOTZSKYS INC                   Common Stock   806832101        8      750 SH       OTHER                    750        0        0
SCHLUMBERGER LTD                  Common Stock   806857108    24252   380793 SH       DEFINED    01,02,03   366758        0    14035
                                                                                                 04
SCHLUMBERGER LTD                  Common Stock   806857108     3366    52853 SH       OTHER                  36109    13793     2951
SCHOLASTIC CORP                   Common Stock   807066105      941    18585 SH       DEFINED    01,03       16485        0     2100
SCHULER HOMES INC                 Common Stock   808188106       78    12000 SH       DEFINED    01          12000        0        0
SCHULMAN A INC                    Common Stock   808194104      620    36054 SH       DEFINED    01,03       31804        0     4250
SCHULMAN A INC                    Common Stock   808194104        5      300 SH       OTHER                    300        0        0
SCHWAB CHARLES CORP NEW           Common Stock   808513105    21472   196994 SH       DEFINED    01,03      187844        0     9150
SCHWAB CHARLES CORP NEW           Common Stock   808513105      186     1707 SH       OTHER                    315        0     1392
SCHWEITZER-MAUDUIT INTL INC       Common Stock   808541106      331    22054 SH       DEFINED    01,03       22054        0        0
SCHWEITZER-MAUDUIT INTL INC       Common Stock   808541106       22     1481 SH       OTHER                   1037      280      164
SCIENTIFIC ATLANTA                Common Stock   808655104      957    26592 SH       DEFINED    01,02,03    25657        0      935
SCIENTIFIC GAMES HLDGS CORP       Common Stock   808747109      150     7700 SH       DEFINED    01           7700        0        0
SCIOS INC                         Common Stock   808905103      109    33549 SH       DEFINED    01,03       28949        0     4600
SCIOS INC                         Common Stock   808905103       39    12000 SH       OTHER                  12000        0        0
SCOTSMAN INDS INC                 Common Stock   809340102      140     6483 SH       DEFINED    01,04        6483        0        0
SCOTTS CO OHIO CLASS A            Common Stock   810186106     1091    22900 SH       DEFINED    01,03       22900        0        0
SCRIPPS CO E.W. CL A              Common Stock   811054204     2036    42800 SH       DEFINED    01          42800        0        0
SEABOARD CORP DEL                 Common Stock   811543107      374     1100 SH       DEFINED    01           1100        0        0
SEAGATE TECHNOLOGY INC            Common Stock   811804103     2072    80855 SH       DEFINED    01,02,03    78055        0     2800
SEAGATE TECHNOLOGY INC            Common Stock   811804103       25      992 SH       OTHER                    692        0      300
SEACOR SMIT INC                   Common Stock   811904101      819    15300 SH       DEFINED    01,03       15300        0        0
SEARS ROEBUCK & CO                Common Stock   812387108     7755   174022 SH       DEFINED    01,02,03   167375        0     6647
SEARS ROEBUCK & CO                Common Stock   812387108     2000    44879 SH       OTHER                  42466      180     2233
SECURITY DYNAMICS TECHNLGS IN     Common Stock   814208104     1033    48600 SH       DEFINED    01,03       48600        0        0
SEITEL INC NEW                    Common Stock   816074306      479    29600 SH       DEFINED    01,03       29600        0        0
SELECTIVE INSURANCE GRP INC       Common Stock   816300107     1056    55400 SH       DEFINED    01,03       55400        0        0
SELECTIVE INSURANCE GRP INC       Common Stock   816300107        3      145 SH       OTHER                      0        0      145
SEMTECH CORP COM                  Common Stock   816850101      182     3500 SH       DEFINED    01           3500        0        0
SENSORMATIC ELECTRS CORP          Common Stock   817265101     1400   100468 SH       DEFINED    01,03       77218        0    23250
SEPRACOR INC                      Common Stock   817315104     3241    39885 SH       DEFINED    01,02,03    32785        0     7100
SEQUA CORP CL A                   Common Stock   817320104      828    11829 SH       DEFINED    01,03       10429        0     1400
SEQUENT COMPUTER SYS INC          Common Stock   817338106      871    49056 SH       DEFINED    01,03       43356        0     5700
SEROLOGICALS CORP                 Common Stock   817523103      124    15200 SH       DEFINED    01,03       12950        0     2250
SERVICE CORP INTERNATL            Common Stock   817565104     2446   127043 SH       DEFINED    01,02,03   111313        0    15730
SERVICE CORP INTERNATL            Common Stock   817565104      370    19237 SH       OTHER                   6280      575    12382
SERVICE EXPERTS INC               Common Stock   817567100      479    21900 SH       DEFINED    01,03       21900        0        0
SHAMAN PHARMACEUTICALS INC        Common Stock   819319104       15    21000 SH       OTHER                  21000        0        0
SHARED MEDICAL SYS CORP           Common Stock   819486101      622     9532 SH       DEFINED    01,03,04     9057        0      475
SHARED MEDICAL SYS CORP           Common Stock   819486101      110     1680 SH       OTHER                      0        0     1680
SHAW INDUSTRIES INC               Common Stock   820286102     2858   163327 SH       DEFINED    01,02,03   143347        0    19980
SHAW INDUSTRIES INC               Common Stock   820286102       18     1030 SH       OTHER                    200        0      830
SHERWIN WILLIAMS CO               Common Stock   824348106    17150   618025 SH       DEFINED    01,02,03   598922     2700    16403
                                                                                                 04
SHERWIN WILLIAMS CO               Common Stock   824348106     8215   296047 SH       OTHER                 218073    69295     8679
SHOPKO STORES INC                 Common Stock   824911101     1194    32700 SH       DEFINED    01,03       32700        0        0
SHOREWOOD PACKAGING CORP          Common Stock   825229107      631    34200 SH       DEFINED    01,03       34200        0        0
SIEBEL SYSTEMS INC                Common Stock   826170102     6896   103986 SH       DEFINED    01,02,03    91586        0    12400
SIERRA HEALTH SVCS INC            Common Stock   826322109      626    43350 SH       DEFINED    01,02,03    39750        0     3600
SIERRA HEALTH SVCS INC            Common Stock   826322109       12      800 SH       OTHER                    800        0        0
SIERRA PACIFIC RESOURCES          Common Stock   826425100     1419    39000 SH       DEFINED    01,03       39000        0        0
SIGMA ALDRICH CORP                Common Stock   826552101     1855    53869 SH       DEFINED    01,02,03    50569        0     3300
                                                                                                 04
SIGMA ALDRICH CORP                Common Stock   826552101      854    24800 SH       OTHER                  24800        0        0
SIGCORP INC                       Common Stock   826912107      589    20799 SH       DEFINED    01          20799        0        0
SIGCORP INC                       Common Stock   826912107        5      183 SH       OTHER                    183        0        0
SILGAN HOLDINGS INC               Common Stock   827048109      242    12200 SH       DEFINED    01          12200        0        0
SILICON GRAPHICS                  Common Stock   827056102     1085    66281 SH       DEFINED    01,02,03    64331        0     1950
SILICON GRAPHICS                  Common Stock   827056102       18     1122 SH       OTHER                   1122        0        0
SILICON VY BANCSHARES             Common Stock   827064106      641    25900 SH       DEFINED    01,03       25900        0        0
SILICON VALLEY GROUP INC          Common Stock   827066101      693    41200 SH       DEFINED    01,03       41200        0        0
SILICONIX INC                     Common Stock   827079203       14      400 SH       DEFINED    01            400        0        0
SIMPSON INDS INC                  Common Stock   829060102      634    61868 SH       DEFINED    01,03       61868        0        0
SIMPSON MFG INC                   Common Stock   829073105      684    14400 SH       DEFINED    01,03       14400        0        0
SINCLAIR BROADCAST GROUP INC      Common Stock   829226109      213    13025 SH       DEFINED    01          13025        0        0
SKYLINE CORP                      Common Stock   830830105      329    11215 SH       DEFINED    01,03       11215        0        0
SKYWEST INC                       Common Stock   830879102      756    30300 SH       DEFINED    01,03       30300        0        0
SMART & FINAL INC                 Common Stock   831683107      127    12050 SH       DEFINED    01          12050        0        0
SMART MODULAR TECHNOLOGIES IN     Common Stock   831690102      506    29100 SH       DEFINED    01,02       29100        0        0
SMART MODULAR TECHNOLOGIES IN     Common Stock   831690102        9      500 SH       OTHER                    500        0        0
SMITH A O CORP                    Common Stock   831865209      813    29050 SH       DEFINED    01,03       29050        0        0
SMITH INTERNATL INC               Common Stock   832110100     3929    90457 SH       DEFINED    01,02,03    83757        0     6700
SMITH INTERNATL INC               Common Stock   832110100      229     5270 SH       OTHER                   4345      925        0
SMITHFIELD FOODS INC              Common Stock   832248108     1742    52100 SH       DEFINED    01,03       52100        0        0
SMUCKER J M CO CL A               Common Stock   832696108      770    34590 SH       DEFINED    01,03       30590        0     4000
SMUCKER J M CO CL B               Common Stock   832696207       24     1250 SH       DEFINED    01           1250        0        0
SNYDER COMMUNICATIONS INC         Common Stock   832914105     2787    85098 SH       DEFINED    01,02,03    74798        0    10300
SNAP ON INC                       Common Stock   833034101      812    22446 SH       DEFINED    01,02,03    21796        0      650
SODAK GAMING INC                  Common Stock   833777105    19049  2031900 SH       DEFINED    01        2031900        0        0
SOLA INTL INC                     Common Stock   834092108      665    34200 SH       DEFINED    01,03       31100        0     3100
SOLECTRON CORP                    Common Stock   834182107     6423    96309 SH       DEFINED    01,02,03    92184        0     4125
SOLECTRON CORP                    Common Stock   834182107      104     1560 SH       OTHER                   1560        0        0
SOLUTIA INC                       Common Stock   834376105     2948   138325 SH       DEFINED    01,02,03   117025        0    21300
                                                                                                 04
SOLUTIA INC                       Common Stock   834376105       22     1012 SH       OTHER                    400      612        0
SONAT INC                         Common Stock   835415100     1350    40743 SH       DEFINED    01,02,03    39243        0     1500
SONAT INC                         Common Stock   835415100       51     1534 SH       OTHER                      0     1014      520
SONIC CORP                        Common Stock   835451105      772    23650 SH       DEFINED    01,03       23650        0        0
SONIC AUTOMOTIVE INC              Common Stock   83545G102      206    15000 SH       DEFINED    01          15000        0        0
SONOCO PRODS CO                   Common Stock   835495102     3517   117482 SH       DEFINED    01,02,03   102848        0    14634
SONOCO PRODS CO                   Common Stock   835495102      119     3982 SH       OTHER                   3982        0        0
SOTHEBY'S HOLDINGS INC CL A       Common Stock   835898107     2528    66300 SH       DEFINED    01,02,03    58400        0     7900
                                                                                                 04
SOTHEBY'S HOLDINGS INC CL A       Common Stock   835898107        5      125 SH       OTHER                      0        0      125
SOUTH JERSEY INDUSTRIES           Common Stock   838518108      254     8958 SH       DEFINED    01           8958        0        0
SOUTH JERSEY INDUSTRIES           Common Stock   838518108      148     5222 SH       OTHER                   5222        0        0
SOUTHDOWN INC                     Common Stock   841297104     4134    64343 SH       DEFINED    01,02,03    59143        0     5200
SOUTHDOWN INC                     Common Stock   841297104       69     1079 SH       OTHER                   1079        0        0
SOUTHERN CO                       Common Stock   842587107     7507   283287 SH       DEFINED    01,02,03   275187        0     8100
                                                                                                 04
SOUTHERN CO                       Common Stock   842587107      387    14597 SH       OTHER                  11097     3500        0
SOUTHERN ENERGY HOMES INC         Common Stock   842814105       81    15187 SH       DEFINED    01,03       15187        0        0
SOUTHERN UN CO NEW                Common Stock   844030106      341    15691 SH       DEFINED    01          15691        0        0
SOUTHTRUST CORP                   Common Stock   844730101     2664    69412 SH       DEFINED    01,02,03    67169        0     2243
SOUTHWEST AIRLINES CO             Common Stock   844741108     3999   128473 SH       DEFINED    01,02,03   120038        0     8435
SOUTHWEST AIRLINES CO             Common Stock   844741108      109     3493 SH       OTHER                   3393        0      100
SOUTHWEST BANCORP OF TEXAS        Common Stock   84476R109      697    38700 SH       DEFINED    01,02       38700        0        0
SOUTHWEST BANCORP OF TEXAS        Common Stock   84476R109       14      750 SH       OTHER                    750        0        0
SOUTHWEST GAS CORP                Common Stock   844895102     1300    45400 SH       DEFINED    01,02,03    45400        0        0
SOUTHWEST GAS CORP                Common Stock   844895102       20      700 SH       OTHER                    700        0        0
SOUTHWESTERN ENERGY CO            Common Stock   845467109      330    31200 SH       DEFINED    01,03       31200        0        0
SOVEREIGN BANCORP INC             Common Stock   845905108     2214   182636 SH       DEFINED    01,02,03   161036        0    21600
SPACELABS MED INC                 Common Stock   846247104      238    12600 SH       DEFINED    01,03       11700        0      900
SPARTAN MOTORS                    Common Stock   846819100       90    15700 SH       DEFINED    01,03       15700        0        0
SPARTECH CORP                     Common Stock   847220209      345    10900 SH       DEFINED    01          10900        0        0
SPARTON CORPORATION               Common Stock   847235108       99    16550 SH       DEFINED    01          16550        0        0
SPARTON CORPORATION               Common Stock   847235108        8     1400 SH       OTHER                   1400        0        0
SPECIALTY EQUIPMENT COS INC       Common Stock   847497203      350    11900 SH       DEFINED    01          11900        0        0
SPEEDWAY MOTORSPORTS INC          Common Stock   847788106     1097    27900 SH       DEFINED    01          27900        0        0
SPEEDWAY MOTORSPORTS INC          Common Stock   847788106       39     1000 SH       OTHER                   1000        0        0
SPEEDGRIP CHUCK INC COM           Common Stock   847991908        0    39348 SH       DEFINED    01,02       39348        0        0
THE SPORTS AUTHORITY INC          Common Stock   849176102      177    39825 SH       DEFINED    01,03       39825        0        0
SPRINGS INDUSTRIES INC            Common Stock   851783100      280     6413 SH       DEFINED    01,03        6113        0      300
SPRINT CORP (FON GROUP)           Common Stock   852061100    17046   321614 SH       DEFINED    01,03      306921        0    14693
SPRINT CORP (FON GROUP)           Common Stock   852061100      756    14271 SH       OTHER                  12974      792      505
STAFF LEASING INC                 Common Stock   852381102       84     6500 SH       DEFINED    01           6500        0        0
STAGE STORES INC                  Common Stock   85254C107       87    13400 SH       DEFINED    01          13400        0        0
STANDARD MICROSYSTEMS CORP        Common Stock   853626109      147    19500 SH       DEFINED    01,03       19500        0        0
STANDARD MOTOR PRODUCTS INC       Common Stock   853666105      402    16400 SH       DEFINED    01,03       16400        0        0
STANDARD PAC CORP                 Common Stock   85375C101      481    37000 SH       DEFINED    01,03       37000        0        0
STANDARD PRODUCTS                 Common Stock   853836104      514    20075 SH       DEFINED    01,03       20075        0        0
STANDARD PRODUCTS                 Common Stock   853836104       54     2100 SH       OTHER                   2100        0        0
STANDARD REGISTER                 Common Stock   853887107      993    32293 SH       DEFINED    01,03       28393        0     3900
STANDEX INTL CORP                 Common Stock   854231107      441    16100 SH       DEFINED    01,03       16100        0        0
STANLEY WORKS                     Common Stock   854616109     1149    35711 SH       DEFINED    01,02,03    34811        0      900
                                                                                                 04
STANLEY WORKS                     Common Stock   854616109       91     2830 SH       OTHER                   2830        0        0
STAPLES INC                       Common Stock   855030102     8319   268905 SH       DEFINED    01,02,03   261647        0     7258
                                                                                                 04
STAPLES INC                       Common Stock   855030102      336    10853 SH       OTHER                   9079      712     1062
STARBUCKS CORP                    Common Stock   855244109     8087   215282 SH       DEFINED    01,02,03   185082        0    30200
STARBUCKS CORP                    Common Stock   855244109       15      400 SH       OTHER                      0        0      400
STARRETT L S CO CLASS A           Common Stock   855668109      126     4680 SH       DEFINED    01           4680        0        0
STARTEK INC                       Common Stock   85569C107      228     9200 SH       DEFINED    01           9200        0        0
STATE AUTO FINL CORP              Common Stock   855707105      348    25800 SH       DEFINED    01          25800        0        0
STATE STREET CORP                 Common Stock   857477103     9553   111896 SH       DEFINED    01,02,03   103601        0     8295
                                                                                                 04
STATE STREET CORP                 Common Stock   857477103     1228    14380 SH       OTHER                   8420        0     5960
STATION CASINOS INC               Common Stock   857689103      432    21200 SH       DEFINED    01          21200        0        0
STEEL DYNAMICS INC                Common Stock   858119100      467    30200 SH       DEFINED    01          30200        0        0
STEEL TECHNOLOGIES INC            Common Stock   858147101      131    13900 SH       DEFINED    01,03       13900        0        0
STEIN MART INC                    Common Stock   858375108      531    56600 SH       DEFINED    01,03       56600        0        0
STERIS CORP                       Common Stock   859152100     1687    87060 SH       DEFINED    01,02,03    69140        0    17920
STERIS CORP                       Common Stock   859152100       27     1400 SH       OTHER                      0        0     1400
STERLING COMMERCE INC             Common Stock   859205106     5901   160572 SH       DEFINED    01,02,03   147702        0    12870
STERLING COMMERCE INC             Common Stock   859205106      213     5783 SH       OTHER                   4700     1083        0
STERLING SOFTWEAR INC             Common Stock   859547101     2525    95500 SH       DEFINED    01,02,03    84100        0    11400
STERLING SOFTWEAR INC             Common Stock   859547101       29     1100 SH       OTHER                   1100        0        0
STEWART & STEVENSON SVCS INC      Common Stock   860342104      486    31862 SH       DEFINED    01,03       28162        0     3700
STEWART ENTERPRISES INC CL A      Common Stock   860370105     1868   128285 SH       DEFINED    01,02,03   113085        0    15200
STEWART ENTERPRISES INC CL A      Common Stock   860370105       24     1640 SH       OTHER                   1500        0      140
STILLWATER MINING CO              Common Stock   86074Q102     1401    43100 SH       DEFINED    01,03       43100        0        0
STILLWATER MINING CO              Common Stock   86074Q102       98     3000 SH       OTHER                   3000        0        0
STONE & WEBSTER INC               Common Stock   861572105      434    16300 SH       DEFINED    01,03       16300        0        0
STONE ENERGY CORP                 Common Stock   861642106      801    18900 SH       DEFINED    01,03       18900        0        0
STORAGE TECHNOLOGY CORP NEW       Common Stock   862111200     2614   114913 SH       DEFINED    01,02,03   101411        0    13502
STORAGE TECHNOLOGY CORP NEW       Common Stock   862111200        9      400 SH       OTHER                    400        0        0
STRATTEC SECURITY CORP            Common Stock   863111100      208     6154 SH       DEFINED    01           6154        0        0
STRATTEC SECURITY CORP            Common Stock   863111100        0        8 SH       OTHER                      8        0        0
STRAYER EDUCATION INC             Common Stock   863236105      277     9020 SH       DEFINED    01           8850        0      170
STRIDE RITE CORP                  Common Stock   863314100      603    58450 SH       DEFINED    01,03       57900        0      550
STRUCTURAL DYNAMICS RESH CORP     Common Stock   863555108      759    40876 SH       DEFINED    01,02,03    36065        0     4811
STRYKER CORP                      Common Stock   863667101    21407   356039 SH       DEFINED    01,02,03   315889     2600    37550
                                                                                                 04
STRYKER CORP                      Common Stock   863667101     5587    92925 SH       OTHER                  85950     4500     2475
STUDENT LN CORP                   Common Stock   863902102      116     2600 SH       DEFINED    01           2600        0        0
STURM RUGER & CO INC              Common Stock   864159108      359    33600 SH       DEFINED    01,03       33600        0        0
SUBURBAN LODGES OF AMERICA        Common Stock   864444104       60     9300 SH       DEFINED    01,02        9300        0        0
SUBURBAN LODGES OF AMERICA        Common Stock   864444104       10     1600 SH       OTHER                   1600        0        0
SUIZA FOODS CORP                  Common Stock   865077101     1621    38700 SH       DEFINED    01,03       34100        0     4600
SUIZA FOODS CORP                  Common Stock   865077101        4      100 SH       OTHER                    100        0        0
SUMMIT BANCORP                    Common Stock   866005101     2811    67229 SH       DEFINED    01,02,03    63579        0     3650
SUMMIT BANCORP                    Common Stock   866005101       68     1635 SH       OTHER                    135     1500        0
SUMMIT TECHNOLOGY INC             Common Stock   86627E101     1242    56450 SH       DEFINED    01,03       52400        0     4050
SUN MICROSYSTEMS INC              Common Stock   866810104    33399   484927 SH       DEFINED    01,02,03   453511        0    31416
SUN MICROSYSTEMS INC              Common Stock   866810104     2471    35870 SH       OTHER                  19790        0    16080
SUNBEAM CORPORATION               Common Stock   867071102      464    58400 SH       DEFINED    01          58400        0        0
SUNCOR INC                        Common Stock   867229106     1428    34730 SH       DEFINED    01,03       34330        0      400
SUNCOR INC                        Common Stock   867229106        6      150 SH       OTHER                    150        0        0
SUNGARD DATA SYS                  Common Stock   867363103    11835   343045 SH       DEFINED    01,02,03   316970        0    26075
SUNGARD DATA SYS                  Common Stock   867363103      579    16775 SH       OTHER                  14850      300     1625
SUNGLASS HUT INTL INC             Common Stock   86736F106     1364    79350 SH       DEFINED    01,02       79350        0        0
SUNGLASS HUT INTL INC             Common Stock   86736F106       15      900 SH       OTHER                    900        0        0
SUNRISE ASSISTED LIVING INC       Common Stock   86768K106      377    10800 SH       DEFINED    01,03        9300        0     1500
SUNRISE MED INC                   Common Stock   867910101      216    30300 SH       DEFINED    01,03       27700        0     2600
SUNTRUST BANKS INC                Common Stock   867914103    16924   243724 SH       DEFINED    01,02,03   228830      800    14094
                                                                                                 04
SUNTRUST BANKS INC                Common Stock   867914103     3274    47143 SH       OTHER                  44228     2795      120
SUNSTONE HOTEL INVS INC           Common Stock   867933103      522    61400 SH       DEFINED    01,03       55500        0     5900
SUPERIOR CONSULTANT HOLDINGS      Common Stock   868146101      117     4730 SH       DEFINED    01           4700        0       30
SUPERIOR INDS INTL INC            Common Stock   868168105      844    30896 SH       DEFINED    01,03       27296        0     3600
SUPERIOR INDS INTL INC            Common Stock   868168105        1       35 SH       OTHER                     35        0        0
SUPERIOR NATL INS GROUP INC       Common Stock   868224106       33     1200 SH       DEFINED    01           1200        0        0
SUPERIOR SERVICES INC             Common Stock   868316100     1214    45500 SH       DEFINED    01,02,03    45500        0        0
SUPERIOR SERVICES INC             Common Stock   868316100       40     1500 SH       OTHER                   1500        0        0
SUPERIOR TELECOM INC              Common Stock   868365107      144     5750 SH       DEFINED    01           5750        0        0
SUPERVALUE INC                    Common Stock   868536103     1073    41454 SH       DEFINED    01,02,03    40054        0     1400
SUSQUEHANNA BANCSHARES INC PA     Common Stock   869099101      812    45893 SH       DEFINED    01,03       45893        0        0
SWIFT ENERGY CO                   Common Stock   870738101        6      550 SH       DEFINED    01            550        0        0
SWIFT TRANSN INC                  Common Stock   870756103     1142    51907 SH       DEFINED    01,02       51817        0       90
SYBASE INC                        Common Stock   871130100      566    51420 SH       DEFINED    01          51420        0        0
SYBRON INTL CORP                  Common Stock   87114F106     4962   180042 SH       DEFINED    01,02,03   153642        0    26400
                                                                                                 04
SYBRON INTL CORP                  Common Stock   87114F106      102     3700 SH       OTHER                   2750      950        0
SYKES ENTERPRISES INC             Common Stock   871237103     2787    83513 SH       DEFINED    01,04       83513        0        0
SYKES ENTERPRISES INC             Common Stock   871237103      289     8671 SH       OTHER                   7600     1071        0
SYLVAN LEARNING SYS INC           Common Stock   871399101     1931    71023 SH       DEFINED    01,03       62514        0     8509
SYLVAN LEARNING SYS INC           Common Stock   871399101       44     1607 SH       OTHER                    365        0     1242
SYMANTEC CORP                     Common Stock   871503108     1621    63571 SH       DEFINED    01,03       55971        0     7600
SYMANTEC CORP                     Common Stock   871503108        9      350 SH       OTHER                    350        0        0
SYMBOL TECHNOLOGIES               Common Stock   871508107     5522   149744 SH       DEFINED    01,02,03   137694        0    12050
                                                                                                 04
SYMBOL TECHNOLOGIES               Common Stock   871508107      331     8983 SH       OTHER                   6233     2700       50
SYMMETRICOM INC                   Common Stock   871543104      152    18700 SH       DEFINED    01,03       18700        0        0
SYMS CORP                         Common Stock   871551107       86    10600 SH       DEFINED    01          10600        0        0
SYNCOR INTERNATIONAL CORP NEW     Common Stock   87157J106      522    14500 SH       DEFINED    01,03       14500        0        0
SYNOPSYS INC                      Common Stock   871607107     4684    84867 SH       DEFINED    01,02,03    71912        0    12955
SYNOPSYS INC                      Common Stock   871607107      141     2555 SH       OTHER                   1055        0     1500
SYNETIC INC                       Common Stock   87160F109      756    11000 SH       DEFINED    01          11000        0        0
SYNOVUS FINL CORP                 Common Stock   87161C105     1979    99554 SH       DEFINED    01,02,03    94430        0     5124
SYNTEL INC                        Common Stock   87162H103       98    10900 SH       DEFINED    01          10900        0        0
SYSCO                             Common Stock   871829107    26614   892689 SH       DEFINED    01,02,03   841149        0    51540
                                                                                                 04
SYSCO                             Common Stock   871829107     4970   166701 SH       OTHER                 123243    34208     9250
SYSTEM SOFTWARE ASSOC INC         Common Stock   871839106       99    59925 SH       DEFINED    01,03       59925        0        0
SYSTEMS & COMPUTER TECHNLGY C     Common Stock   871873105      265    18200 SH       DEFINED    01          18200        0        0
TBC CORP                          Common Stock   872180104      187    26450 SH       DEFINED    01,03       26450        0        0
TCA CABLE TV INC                  Common Stock   872241104     3166    57042 SH       DEFINED    01,02,03    50242        0     6800
TCBY ENTERPRISES INC              Common Stock   872245105      175    28500 SH       DEFINED    01,03       28500        0        0
TCF FINL CORP                     Common Stock   872275102     2748    98590 SH       DEFINED    01,02,03    86890        0    11700
TCF FINL CORP                     Common Stock   872275102      873    31304 SH       OTHER                  30644      660        0
TCSI CORPORATION                  Common Stock   87233R106       72    28250 SH       DEFINED    01,03       28250        0        0
TCW CONV SEC                      Common Stock   872340104       10     1000 SH       DEFINED    01           1000        0        0
TCW CONV SEC                      Common Stock   872340104        5      500 SH       OTHER                      0      500        0
TECO ENERGY                       Common Stock   872375100     3840   168779 SH       DEFINED    01,02,03   146512     4000    18267
TECO ENERGY                       Common Stock   872375100      234    10300 SH       OTHER                   2200     4000     4100
T J INTERNATIONAL INC             Common Stock   872534102      608    19600 SH       DEFINED    01,03       19300        0      300
TJX COMPANIES INC NEW             Common Stock   872540109     4639   139269 SH       DEFINED    01,02,03   123680        0    15589
TJX COMPANIES INC NEW             Common Stock   872540109      328     9840 SH       OTHER                   5310        0     4530
T N P ENTERPRISES                 Common Stock   872594106      605    16700 SH       DEFINED    01,03       16700        0        0
TRW INC                           Common Stock   872649108     3712    67642 SH       DEFINED    01,02,03    66242        0     1400
TRW INC                           Common Stock   872649108       44      800 SH       OTHER                    400      400        0
TSI INTL SOFTWARE LTD             Common Stock   872879101      148     5200 SH       DEFINED    01           5200        0        0
TMP WORLDWIDE INC                 Common Stock   872941109      704    11080 SH       DEFINED    01,02       11080        0        0
TACO CABANA INC CL A              Common Stock   873425102      171    16800 SH       DEFINED    01,03       16800        0        0
TALBOTS INC                       Common Stock   874161102      896    23500 SH       DEFINED    01          23500        0        0
TALISMAN ENERGY INC               Common Stock   87425E103     1591    59890 SH       DEFINED    01,03       59820        0       70
TANDY CORP                        Common Stock   875382103     3420    69980 SH       DEFINED    01,03       64818        0     5162
TECH DATA CORP                    Common Stock   878237106     2280    59600 SH       DEFINED    01,03       52600        0     7000
TECH SYM CORP                     Common Stock   878308105       50     2100 SH       DEFINED    01           2100        0        0
TECHNE CORP                       Common Stock   878377100      368    14500 SH       DEFINED    01,03       12200        0     2300
TECHNITROL INC                    Common Stock   878555101      651    20200 SH       DEFINED    01,03       20200        0        0
TECHNOLOGY SOLUTIONS CO           Common Stock   87872T108      558    51650 SH       DEFINED    01,03       51650        0        0
TECUMSEH PRODS CO CL B            Common Stock   878895101    74563  1368125 SH       DEFINED    01            600        0  1367525
TECUMSEH PRODS CO CL B            Common Stock   878895101    68261  1252495 SH       OTHER                1248495        0     4000
TECUMSEH PRODS CO CL A            Common Stock   878895200    29354   484690 SH       DEFINED    01,03       22343        0   462347
TECUMSEH PRODS CO CL A            Common Stock   878895200    39860   658159 SH       OTHER                 643159        0    15000
TEJON RANCH CO                    Common Stock   879080109      200     7900 SH       DEFINED    01           7900        0        0
TEKELEC                           Common Stock   879101103      377    30900 SH       DEFINED    01          30900        0        0
TEKTRONIX INC                     Common Stock   879131100      493    16338 SH       DEFINED    01,03       15688        0      650
TEKTRONIX INC                     Common Stock   879131100       72     2400 SH       OTHER                   2100        0      300
TELEFLEX INC                      Common Stock   879369106     1992    45865 SH       DEFINED    01,02,03    40740        0     5125
TELEFLEX INC                      Common Stock   879369106       26      600 SH       OTHER                    600        0        0
TELEGLOBE INC                     Other          87941V100     2240    75300 SH       DEFINED    01,03       74500        0      800
TELEPHONE & DATA SYSTEMS INC      Common Stock   879433100     5092    69639 SH       DEFINED    01,02,03    61339        0     8300
TELEPHONE & DATA SYSTEMS INC      Common Stock   879433100       66      900 SH       OTHER                      0      900        0
TELESPECTRUM WORLDWIDE INC        Common Stock   87951U109      106    13700 SH       DEFINED    01          13700        0        0
TELEWEST COMMUNICATIONS PLC A     Common Stock   87956P105     5707   124738 SH       DEFINED    01,03      123719        0     1019
TELIGENT INC CL A                 Common Stock   87959Y103      945    15800 SH       DEFINED    01          15800        0        0
TELLABS INC                       Common Stock   879664100    33116   490152 SH       DEFINED    01,02,03   470586     1375    18191
                                                                                                 04
TELLABS INC                       Common Stock   879664100     4561    67509 SH       OTHER                  46886     3008    17615
TELXON CORP                       Common Stock   879700102      160    20200 SH       DEFINED    01,03       20200        0        0
TEMP STIK CORP                    Common Stock   879704104        0    20000 SH       DEFINED    01          20000        0        0
TEMPLE INLAND INC                 Common Stock   879868107     1400    20406 SH       DEFINED    01,02,03    19706        0      700
TELETECH HOLDINGS INC             Common Stock   879939106      397    39200 SH       DEFINED    01          39200        0        0
TENET HEALTHCARE CORP             Common Stock   88033G100     3410   183701 SH       DEFINED    01,02,03   126907        0    56794
TENET HEALTHCARE CORP             Common Stock   88033G100      201    10815 SH       OTHER                   4350        0     6465
TENNANT CORP                      Common Stock   880345103      298     9300 SH       DEFINED    01           9300        0        0
TENNECO INC NEW                   Common Stock   88037E101     2623   109872 SH       DEFINED    01,02,03    99672     6400     3800
                                                                                                 04
TENNECO INC NEW                   Common Stock   88037E101       34     1431 SH       OTHER                   1264        0      167
TERADYNE INC                      Common Stock   880770102     7745   107951 SH       DEFINED    01,02,03    96351        0    11600
TERADYNE INC                      Common Stock   880770102       86     1200 SH       OTHER                   1200        0        0
TEREX CORP NEW                    Common Stock   880779103      326    10700 SH       DEFINED    01,02       10700        0        0
TEREX CORP NEW                    Common Stock   880779103       21      700 SH       OTHER                    700        0        0
TERRA INDUSTRIES INC              Common Stock   880915103       98    24500 SH       DEFINED    01          24500        0        0
TESORO PETE CORP                  Common Stock   881609101      346    21700 SH       DEFINED    01          21700        0        0
TETRA TECHNOLOGIES INC DEL        Common Stock   88162F105      161    16900 SH       DEFINED    01,03       16900        0        0
TETRA TECH INC NEW                Common Stock   88162G103     1279    77524 SH       DEFINED    01,02,03    77449        0       75
TETRA TECH INC NEW                Common Stock   88162G103       29     1750 SH       OTHER                   1750        0        0
TEXACO INC                        Common Stock   881694103    13402   214859 SH       DEFINED    01,02,03   201814        0    13045
                                                                                                 04
TEXACO INC                        Common Stock   881694103      413     6627 SH       OTHER                   5980      200      447
TEXAS INDS INC                    Common Stock   882491103     1043    26922 SH       DEFINED    01,03       26922        0        0
TEXAS INSTRS INC                  Common Stock   882508104    22604   156974 SH       DEFINED    01,02,03   149662        0     7312
                                                                                                 04
TEXAS INSTRS INC                  Common Stock   882508104      547     3796 SH       OTHER                   2550      400      846
TEXAS UTILITIES CO                Common Stock   882848104     5707   137713 SH       DEFINED    01,02,03   132447        0     5266
TEXAS UTILITIES CO                Common Stock   882848104       98     2372 SH       OTHER                   1732      375      265
TEXTRON INC                       Common Stock   883203101    38220   464329 SH       DEFINED    01,02,03   439408     1150    23771
                                                                                                 04
TEXTRON INC                       Common Stock   883203101     7070    85896 SH       OTHER                  74420     9373     2103
THERAGENICS CORP                  Common Stock   883375107      117    16800 SH       DEFINED    01,03       14500        0     2300
THERMO ELECTRON CORP              Common Stock   883556102     1277    63653 SH       DEFINED    01,02,03    62053        0     1600
THERMO ELECTRON CORP              Common Stock   883556102       59     2945 SH       OTHER                   2145      500      300
THERMO INSTR SYS INC COM          Common Stock   883559106      210    13146 SH       DEFINED    01          13146        0        0
THERMO CARDIOSYSTEMS INC          Common Stock   88355K200      145    13300 SH       DEFINED    01,03        8700        0     4600
THERMO CARDIOSYSTEMS INC          Common Stock   88355K200        4      350 SH       OTHER                    350        0        0
THERMO FIBERTEK INC               Common Stock   88355W105       67     9450 SH       DEFINED    01           9450        0        0
THERMO FIBERTEK INC               Common Stock   88355W105        6      900 SH       OTHER                      0      900        0
THERMO OPTEK CORP                 Common Stock   883582108      209    20100 SH       DEFINED    01          20100        0        0
THERMOLASE CORP                   Common Stock   883624108       30    22581 SH       DEFINED    01          22581        0        0
THERMOQUEST CORP                  Common Stock   883655102      145    10900 SH       DEFINED    01          10900        0        0
THOMAS & BETTS CORP               Common Stock   884315102     1311    27736 SH       DEFINED    01,02,03    25036        0     2700
                                                                                                 04
THOMAS & BETTS CORP               Common Stock   884315102       23      480 SH       OTHER                    400        0       80
THOMAS IND                        Common Stock   884425109      405    19750 SH       DEFINED    01,03       19750        0        0
THOR IND INC                      Common Stock   885160101      431    15200 SH       DEFINED    01,03       15200        0        0
THORN APPLE VALLEY                Common Stock   885184101        8    40000 SH       DEFINED    01          40000        0        0
THREE COM CORP                    Common Stock   885535104     3434   128662 SH       DEFINED    01,02,03   123767        0     4895
THREE COM CORP                    Common Stock   885535104       19      700 SH       OTHER                    500        0      200
TIDEWATER INC                     Common Stock   886423102     1946    63802 SH       DEFINED    01,03       56235        0     7567
TIFFANY & CO                      Common Stock   886547108     5180    53682 SH       DEFINED    01,02,03    48882        0     4800
TIFFANY & CO                      Common Stock   886547108      117     1212 SH       OTHER                   1040      172        0
TIMBERLAND CO CL A                Common Stock   887100105      946    13900 SH       DEFINED    01,03       13900        0        0
TIME WARNER INC                   Common Stock   887315109    35223   485001 SH       DEFINED    01,02,03   448251        0    36750
                                                                                                 04
TIME WARNER INC                   Common Stock   887315109     1391    19160 SH       OTHER                  17770      400      990
TIMES MIRROR CO CL A NEW          Common Stock   887364107     1554    26230 SH       DEFINED    01,02,03    25330        0      900
TIMES MIRROR CO CL A NEW          Common Stock   887364107      118     2000 SH       OTHER                      0     2000        0
TIMKEN CO                         Common Stock   887389104      485    24871 SH       DEFINED    01,03       21171        0     3700
TITAN INTERNATIONAL INC           Common Stock   88830M102      368    31000 SH       DEFINED    01,03       31000        0        0
TITANIUM METALS CORP              Common Stock   888339108      259    23000 SH       DEFINED    01          23000        0        0
TOKHEIM CORP                      Common Stock   889073102      117    10200 SH       DEFINED    01,02       10200        0        0
TOKHEIM CORP                      Common Stock   889073102       17     1500 SH       OTHER                   1500        0        0
TOLL BROS INC                     Common Stock   889478103      986    46000 SH       DEFINED    01,03       46000        0        0
TOOTSIE ROLL INDS INC             Common Stock   890516107        5      130 SH       DEFINED    01              0        0      130
TORCHMARK CORP                    Common Stock   891027104     3230    94645 SH       DEFINED    01,02,03    90950        0     3695
                                                                                                 04
TORCHMARK CORP                    Common Stock   891027104      566    16585 SH       OTHER                  14850     1600      135
TORO CO.                          Common Stock   891092108      799    20300 SH       DEFINED    01,02,03    20300        0        0
TORO CO.                          Common Stock   891092108       47     1200 SH       OTHER                   1200        0        0
TOSCO CORP COM NEW                Common Stock   891490302     4651   179321 SH       DEFINED    01,03      158532        0    20789
TOSCO CORP COM NEW                Common Stock   891490302      109     4215 SH       OTHER                   4215        0        0
TOTAL RENAL CARE HLDGS INC        Common Stock   89151A107     1513    97241 SH       DEFINED    01,03       82136        0    15105
TOWER AUTOMOTIVE INC              Common Stock   891707101     1698    66740 SH       DEFINED    01,02,03    66680        0       60
TOWER AUTOMOTIVE INC              Common Stock   891707101      102     4000 SH       OTHER                   4000        0        0
TOTAL SYSTEMS SERV                Common Stock   891906109      618    32550 SH       DEFINED    01          32550        0        0
TOYS R US HLDG CO                 Common Stock   892335100     1966    95047 SH       DEFINED    01,02,03    89937        0     5110
TOYS R US HLDG CO                 Common Stock   892335100      125     6029 SH       OTHER                   3237     1000     1792
TRACTOR SUPPLY CO                 Common Stock   892356106      128     4700 SH       DEFINED    01           4700        0        0
TRANS WORLD AIRLINES INC          Common Stock   893349837       84    17000 SH       DEFINED    01          17000        0        0
TRANS WORLD ENTMT CORP            Common Stock   89336Q100      214    19050 SH       DEFINED    01          19050        0        0
TRANSACTION NETWORK SVCS INC      Common Stock   893414102      234     8000 SH       DEFINED    01           8000        0        0
TRANSACTION SYS ARCHITECTS IN     Common Stock   893416107      448    11495 SH       DEFINED    01          11455        0       40
TRANSACTION SYS ARCHITECTS IN     Common Stock   893416107        9      240 SH       OTHER                    240        0        0
TRANSAMERICA CORP                 Common Stock   893485102     3429    45723 SH       DEFINED    01,02,03    44323        0     1400
TRANSAMERICA CORP                 Common Stock   893485102     1192    15890 SH       OTHER                  13138     2106      646
TRANSATLANTIC HLDGS INC           Common Stock   893521104      843    11250 SH       DEFINED    01          11250        0        0
TRANSKARYOTIC THERAPIES INC       Common Stock   893735100      366    11100 SH       DEFINED    01,03        9600        0     1500
TRANSTECHNOLOGY CORP              Common Stock   893889105       85     4300 SH       DEFINED    01,02        4300        0        0
TRANSTECHNOLOGY CORP              Common Stock   893889105       12      600 SH       OTHER                    600        0        0
TRAVELERS PROPERTY CASUALTY C     Common Stock   893939108     2216    56640 SH       DEFINED    01          52140        0     4500
TRAVELERS PROPERTY CASUALTY C     Common Stock   893939108        4      100 SH       OTHER                    100        0        0
TRANSWITCH CORP                   Common Stock   894065101      178     3750 SH       DEFINED    01           3750        0        0
TREDEGAR CORPORATION              Common Stock   894650100     1035    46000 SH       DEFINED    01,03       46000        0        0
TRENWICK GROUP INC                Common Stock   895290104      329    13350 SH       DEFINED    01,03       13350        0        0
TREX MEDICAL CORP                 Common Stock   89531R101      138    22960 SH       DEFINED    01,03       20460        0     2500
TRIARC COMPANIES                  Common Stock   895927101      678    31900 SH       DEFINED    01,03       31900        0        0
TRIGEN ENERGY CORP                Common Stock   895930105       70     3700 SH       DEFINED    01           3700        0        0
TRICON GLOBAL RESTAURANTS INC     Common Stock   895953107    13084   241735 SH       DEFINED    01,02,03   238459      900     2376
                                                                                                 04
TRICON GLOBAL RESTAURANTS INC     Common Stock   895953107     1652    30531 SH       OTHER                  26251     3275     1005
TRIBUNE COMPANY                   Common Stock   896047107     3685    42290 SH       DEFINED    01,02,03    40890        0     1400
TRIGON HEALTHCARE INC             Common Stock   89618L100     2426    66700 SH       DEFINED    01,02,03    57600        0     9100
TRIGON HEALTHCARE INC             Common Stock   89618L100       55     1500 SH       OTHER                   1500        0        0
TRIMBLE NAV LTD                   Common Stock   896239100      358    27800 SH       DEFINED    01,03       27800        0        0
TRINITY INDS INC                  Common Stock   896522109     1666    49741 SH       DEFINED    01,03       43671        0     6070
TRINITY INDS INC                  Common Stock   896522109       49     1470 SH       OTHER                    900        0      570
TRIQUINT SEMICONDUCTOR INC        Common Stock   89674K103      193     3400 SH       DEFINED    01           3400        0        0
TROPICAL SPORTSWEAR INTL CORP     Common Stock   89708P102       51     1600 SH       DEFINED    01           1600        0        0
TRUE NORTH COMMUNICATIONS INC     Common Stock   897844106     2057    69140 SH       DEFINED    01,03       69140        0        0
TRUST CO OF NEW JERSEY            Common Stock   898304100      334    14200 SH       DEFINED    01          14200        0        0
TRUSTCO BK CORP N Y               Common Stock   898349105      903    33590 SH       DEFINED    01,03       33590        0        0
TRUSTMARK CORP                    Common Stock   898402102     1203    52600 SH       DEFINED    01          52600        0        0
TUBOSCOPE INC                     Common Stock   898600101      757    55300 SH       DEFINED    01,03       55300        0        0
TUPPERWARE CORP                   Common Stock   899896104      605    23733 SH       DEFINED    01,03       19533        0     4200
TUPPERWARE CORP                   Common Stock   899896104        5      215 SH       OTHER                     50        0      165
TWENTIETH CENTURY INDS CAL        Common Stock   901272203      651    35200 SH       DEFINED    01          35200        0        0
TWINLAB CORP                      Common Stock   901774109      187    21800 SH       DEFINED    01,03       19300        0     2500
TWINLAB CORP                      Common Stock   901774109        3      400 SH       OTHER                    400        0        0
TYCO INTERNATIONAL LTD            Common Stock   902124106    66903   706097 SH       DEFINED    01,02,03   671325     1200    33572
                                                                                                 04
TYCO INTERNATIONAL LTD            Common Stock   902124106     5461    57637 SH       OTHER                  41846     5436    10355
TYSON FOODS INC CLASS A           Common Stock   902494103     6002   266753 SH       DEFINED    01,02,03   235293        0    31460
TYSON FOODS INC CLASS A           Common Stock   902494103      112     5000 SH       OTHER                   5000        0        0
UAL CORP NEW                      Common Stock   902549500     2724    42152 SH       DEFINED    01          38147        0     4005
UAL CORP NEW                      Common Stock   902549500      186     2880 SH       OTHER                    970        0     1910
U B BANCSHARES INC COM            Common Stock   902595107      243     6084 SH       OTHER                      0     6084        0
UCAR INTERNATIONAL INC            Common Stock   90262K109     1298    51400 SH       DEFINED    01,03       45300        0     6100
UDC HOMES INC                     Common Stock   902646108        0      277 SH       OTHER                    277        0        0
UGI CORP                          Common Stock   902681105      466    23100 SH       DEFINED    01          23100        0        0
UICI                              Common Stock   902737105      771    27900 SH       DEFINED    01          27900        0        0
UMB FINANCIAL CORP                Common Stock   902788108      711    16578 SH       DEFINED    01          16578        0        0
UST CORP                          Common Stock   902900109     2432    80400 SH       DEFINED    01,02,03    80400        0        0
UST CORP                          Common Stock   902900109       70     2300 SH       OTHER                   2300        0        0
USX-MARATHON GROUP                Common Stock   902905827     4147   127351 SH       DEFINED    01,02,03   118706        0     8645
                                                                                                 04
USX-MARATHON GROUP                Common Stock   902905827     2640    81071 SH       OTHER                  80551        0      520
UST INC                           Common Stock   902911106     4027   137393 SH       DEFINED    01,02,03   133818        0     3575
UST INC                           Common Stock   902911106      220     7520 SH       OTHER                   6700        0      820
USA DETERGENTS INC                Common Stock   902938109      105    17300 SH       DEFINED    01,03       17300        0        0
US BANCORP                        Common Stock   902973106    29706   890076 SH       DEFINED    01,02,03   847484        0    42592
US BANCORP                        Common Stock   902973106     1658    49670 SH       OTHER                  46620      785     2265
UNUM CORP                         Common Stock   903192102     7844   143262 SH       DEFINED    01,02,03   134187        0     9075
UNUM CORP                         Common Stock   903192102      527     9625 SH       OTHER                   5800     3000      825
URS CORP NEW                      Common Stock   903236107     1457    49700 SH       DEFINED    01,02,03    49700        0        0
URS CORP NEW                      Common Stock   903236107       46     1575 SH       OTHER                   1575        0        0
USG CORP NEW                      Common Stock   903293405     3246    57965 SH       DEFINED    01,03       50765        0     7200
USG CORP NEW                      Common Stock   903293405     4726    84390 SH       OTHER                  84000        0      390
USX-U S STL GROUP                 Common Stock   90337T101      839    31085 SH       DEFINED    01,02,03    29900        0     1185
                                                                                                 04
USX-U S STL GROUP                 Common Stock   90337T101        0       15 SH       OTHER                     15        0        0
U S XPRESS ENTERPRISES INC        Common Stock   90338N103      237    22200 SH       DEFINED    01,02       22200        0        0
U S XPRESS ENTERPRISES INC        Common Stock   90338N103        4      400 SH       OTHER                    400        0        0
ULTRAMAR-DIAMOND SHAMROCK COR     Common Stock   904000106     2191   100437 SH       DEFINED    01,02,03    88713        0    11724
ULTRAMAR-DIAMOND SHAMROCK COR     Common Stock   904000106       12      559 SH       OTHER                    559        0        0
ULTRATECH STEPPER INC             Common Stock   904034105      399    26500 SH       DEFINED    01,03       26500        0        0
UNIFI INC                         Common Stock   904677101     1474    69361 SH       DEFINED    01,03       61161        0     8200
UNIFIRST CORP MASS                Common Stock   904708104      566    30800 SH       DEFINED    01,04       30800        0        0
UNICOM CORPORATION                Common Stock   904911104     3251    84296 SH       DEFINED    01,02,03    77656        0     6640
UNICOM CORPORATION                Common Stock   904911104      174     4515 SH       OTHER                   3235        0     1280
UNION CARBIDE CORP                Common Stock   905581104     2422    49687 SH       DEFINED    01,02,03    48187        0     1500
UNION CARBIDE CORP                Common Stock   905581104     1492    30603 SH       OTHER                  30603        0        0
UNION PACIFIC CORP                Common Stock   907818108     5940   101869 SH       DEFINED    01,02,03    94036     4000     3833
                                                                                                 04
UNION PACIFIC CORP                Common Stock   907818108      617    10579 SH       OTHER                   9689      550      340
UNION PACIFIC RESOURCES GRP       Common Stock   907834105     1660   101754 SH       DEFINED    01,02,03    89759     3387     8608
                                                                                                 04
UNION PACIFIC RESOURCES GRP       Common Stock   907834105       32     1979 SH       OTHER                   1979        0        0
UNION PLANTERS CORP               Common Stock   908068109     2294    51337 SH       DEFINED    01,02,03    49737        0     1600
UNIONBANCAL CORP                  Common Stock   908906100     2774    76800 SH       DEFINED    01          76800        0        0
UNIPHASE CORP                     Common Stock   909149106     2785    16775 SH       DEFINED    01          16700        0       75
UNIPHASE CORP                     Common Stock   909149106       33      200 SH       OTHER                    200        0        0
UNISOURCE WORLDWIDE INC           Common Stock   909208100      984    81606 SH       DEFINED    01,03       72406        0     9200
UNISOURCE WORLDWIDE INC           Common Stock   909208100        1       50 SH       OTHER                     50        0        0
UNISYS CORPORATION                Common Stock   909214108     4051   104038 SH       DEFINED    01,02,03    97073        0     6965
UNISYS CORPORATION                Common Stock   909214108     1729    44395 SH       OTHER                  24520    18000     1875
UNITED ASSET MGMT CORP            Common Stock   909420101     1199    52700 SH       DEFINED    01          49900        0     2800
UNITED BANCORP INC MICH           Common Stock   90944L103     1884    42827 SH       DEFINED    01           3756    39071        0
UNITED BANCORP INC MICH           Common Stock   90944L103     4692   106644 SH       OTHER                 106644        0        0
UNITED BANKSHARES INC W VA        Common Stock   909907107     1434    54100 SH       DEFINED    01,03       54100        0        0
UNITED HEALTHCARE CORP            Common Stock   910581107     6005    95885 SH       DEFINED    01,03       70311      160    25414
UNITED HEALTHCARE CORP            Common Stock   910581107      179     2865 SH       OTHER                   2100      425      340
UNITED ILLUMINATING               Common Stock   910637107      773    18215 SH       DEFINED    01,03       18215        0        0
UNITED INTL HLDGS INC             Common Stock   910734102     1298    19200 SH       DEFINED    01          19200        0        0
UNITED NATURAL FOODS INC          Common Stock   911163103     1567    63300 SH       DEFINED    01          63300        0        0
UNITED NATURAL FOODS INC          Common Stock   911163103      169     6825 SH       OTHER                   5525     1300        0
UNITED RETAIL GROUP INC           Common Stock   911380103       67     4400 SH       DEFINED    01           4400        0        0
U S BIOSCIENCE INC                Common Stock   911646206      360    36954 SH       DEFINED    01,03       33854        0     3100
UNITED STATES CELLULAR CORP       Common Stock   911684108      300     5600 SH       DEFINED    01           5600        0        0
US AIRWAYS GROUP INC              Common Stock   911905107     1209    27754 SH       DEFINED    01,02,03    26574        0     1180
U S HOME CORP NEW                 Common Stock   911920106      757    21330 SH       DEFINED    01,02,03    21300        0       30
U S HOME CORP NEW                 Common Stock   911920106       43     1200 SH       OTHER                   1200        0        0
U S INDUSTRIES INC                Common Stock   912080108     1028    60482 SH       DEFINED    01          60482        0        0
U S TRUST CORP NEW                Common Stock   91288L105     2155    23300 SH       DEFINED    01,02,03    23300        0        0
U S TRUST CORP NEW                Common Stock   91288L105       60      648 SH       OTHER                    648        0        0
UNITED STATIONERS INC             Common Stock   913004107      902    41000 SH       DEFINED    01          41000        0        0
UNITED TECHNOLOGIES CORP          Common Stock   913017109    36657   509128 SH       DEFINED    01,02,03   478010        0    31119
                                                                                                 04
UNITED TECHNOLOGIES CORP          Common Stock   913017109    10151   140988 SH       OTHER                 140238        0      750
UNITED TELEVISION INC             Common Stock   913066106      703     6700 SH       DEFINED    01           6700        0        0
UNITED WATER RESOURCES INC.       Common Stock   913190104     1087    47900 SH       DEFINED    01,03       47900        0        0
UNITRIN INC                       Common Stock   913275103     3653    89100 SH       DEFINED    01,03       79100        0    10000
UNITRODE CORP                     Common Stock   913283107     1183    41250 SH       DEFINED    01,02,03    41250        0        0
UNIVERSAL CORP                    Common Stock   913456109     1150    40448 SH       DEFINED    01,03       33048        0     7400
UNIVERSAL FOODS CORP              Common Stock   913538104     1213    57434 SH       DEFINED    01,03       50534        0     6900
UNIVERSAL FOREST PRODUCTS INC     Common Stock   913543104      785    36500 SH       DEFINED    01,02,03    36500        0        0
UNIVERSAL FOREST PRODUCTS INC     Common Stock   913543104      110     5100 SH       OTHER                   5100        0        0
UNIVERSAL HEALTH SVCS INC CL      Common Stock   913903100     1905    39895 SH       DEFINED    01,03       39875        0       20
UNIVISION COMMUNICATIONS INC      Common Stock   914906102     6825   105000 SH       DEFINED    01,03       92400        0    12600
UNOCAL CORPORATION                Common Stock   915289102     3760    94901 SH       DEFINED    01,02,03    84331     2000     8570
UNOCAL CORPORATION                Common Stock   915289102       94     2375 SH       OTHER                   1900        0      475
UNOVA INC                         Common Stock   91529B106      598    37700 SH       DEFINED    01          37700        0        0
US FREIGHTWAYS CORP               Common Stock   916906100     1584    34210 SH       DEFINED    01,03       34170        0       40
US FREIGHTWAYS CORP               Common Stock   916906100      117     2525 SH       OTHER                   2400        0      125
URBAN OUTFITTERS INC              Common Stock   917047102      244     9700 SH       DEFINED    01           9700        0        0
USBANCORP INC PA                  Common Stock   917292104      167    10600 SH       DEFINED    01          10600        0        0
UTILICORP UNITED INC              Common Stock   918005109     2654   109151 SH       DEFINED    01,02,03    96551        0    12600
V F CORP                          Common Stock   918204108     1816    42478 SH       DEFINED    01,02,03    41078        0     1400
V F CORP                          Common Stock   918204108       21      500 SH       OTHER                    500        0        0
VWR SCIENTIFIC PRODUCTS CORP      Common Stock   918435108      404    11010 SH       DEFINED    01          11010        0        0
VAIL RESORTS INC                  Common Stock   91879Q109      279    15500 SH       DEFINED    01          15500        0        0
VALASSIS COMMUNICATIONS INC       Common Stock   918866104     2834    77370 SH       DEFINED    01,02,03    71850        0     5520
VALASSIS COMMUNICATIONS INC       Common Stock   918866104        4      105 SH       OTHER                    105        0        0
VALHI INC                         Common Stock   918905100      901    81000 SH       DEFINED    01          81000        0        0
VALENCE TECHNOLOGY INC            Common Stock   918914102      342    46400 SH       DEFINED    01,03       46400        0        0
VALENCE TECHNOLOGY INC            Common Stock   918914102       74    10000 SH       OTHER                  10000        0        0
VALERO REFNG & MARKETING CO       Common Stock   91913Y100     1376    64183 SH       DEFINED    01,03       56483        0     7700
VALLEY NATL BANCORP               Common Stock   919794107     1091    37951 SH       DEFINED    01          37951        0        0
VALMONT INDS INC                  Common Stock   920253101      518    30400 SH       DEFINED    01,03       30400        0        0
VALSPAR CORP                      Common Stock   920355104     1296    34100 SH       DEFINED    01          34100        0        0
VALUE CITY DEPT STORES INC        Common Stock   920387107      256    20900 SH       DEFINED    01          20900        0        0
VALUE LINE                        Common Stock   920437100      254     6500 SH       DEFINED    01           6500        0        0
VALUEVISION INTL INC CL A         Common Stock   92047K107      350    17600 SH       DEFINED    01          17600        0        0
VANTIVE CORP                      Common Stock   922091103      381    33300 SH       DEFINED    01,03       33300        0        0
VARCO INTL INC                    Common Stock   922126107      804    74346 SH       DEFINED    01,03       65446        0     8900
VARLEN CORP                       Common Stock   922248109      634    15662 SH       DEFINED    01,02       15662        0        0
VARLEN CORP                       Common Stock   922248109       28      700 SH       OTHER                    700        0        0
VASTAR RES INC                    Common Stock   922380100      549    10470 SH       DEFINED    01          10470        0        0
VASTAR RES INC                    Common Stock   922380100        7      140 SH       OTHER                    140        0        0
VEECO INSTRUMENTS INC             Common Stock   922417100      238     7000 SH       DEFINED    01           7000        0        0
VERITAS SOFTWARE CO               Common Stock   923436109     8976    94550 SH       DEFINED    01,03       83250        0    11300
VERITY INC                        Common Stock   92343C106       76     1400 SH       DEFINED    01           1400        0        0
VERITAS DGC INC                   Common Stock   92343P107      141     7700 SH       DEFINED    01           7700        0        0
VERTEX PHARMACEUTICALS INC        Common Stock   92532F100      847    35100 SH       DEFINED    01,03       31800        0     3300
VETERINARY CTRS OF AMERICA IN     Common Stock   925514101      121     8918 SH       DEFINED    01,03        7218        0     1700
VIACOM INC CL A                   Common Stock   925524100     3415    77400 SH       DEFINED    01          77400        0        0
VIACOM INC CL A                   Common Stock   925524100       18      408 SH       OTHER                    408        0        0
VIACOM INC CL B NON VTG           Common Stock   925524308    10917   248113 SH       DEFINED    01,03      236943        0    11170
VIACOM INC CL B NON VTG           Common Stock   925524308       50     1140 SH       OTHER                   1140        0        0
VIACOM INC EXCHANGE               Other          925524AC4       24    23000 SH       DEFINED    01          23000        0        0
VIACOM INC EXCHANGE               Other          925524AC4       10    10000 SH       OTHER                  10000        0        0
VIATEL INC                        Common Stock   925529208      870    15500 SH       DEFINED    01          15500        0        0
VIAD CORP                         Common Stock   92552R109     3844   124243 SH       DEFINED    01,02,03   107143        0    17100
VIAD CORP                         Common Stock   92552R109       15      500 SH       OTHER                      0      500        0
VICOR CORP                        Common Stock   925815102     1199    56600 SH       DEFINED    01,03       56600        0        0
VIDEOSERVER INC                   Common Stock   926918103       67     7100 SH       DEFINED    01           7100        0        0
VINTAGE PETE INC                  Common Stock   927460105      831    77300 SH       DEFINED    01,03       77300        0        0
VISIO CORP                        Common Stock   927914101     1686    44300 SH       DEFINED    01,02,03    44300        0        0
VISIO CORP                        Common Stock   927914101       23      600 SH       OTHER                    600        0        0
VISHAY INTERTECHNOLOGY            Common Stock   928298108     2048    97528 SH       DEFINED    01,03       84955        0    12574
VISHAY INTERTECHNOLOGY            Common Stock   928298108       18      857 SH       OTHER                    289        0      568
VISTANA INC                       Common Stock   92839P108      132     8400 SH       DEFINED    01           8400        0        0
VISX INC                          Common Stock   92844S105     6299    79540 SH       DEFINED    01,02,03    63600        0    15940
VISX INC                          Common Stock   92844S105       16      200 SH       OTHER                    200        0        0
VITAL SIGNS INC                   Common Stock   928469105      335    16800 SH       DEFINED    01,03       15400        0     1400
VITESSE SEMICONDUCTOR CORP        Common Stock   928497106     5910    87640 SH       DEFINED    01,02,03    77240        0    10400
VOLT INFORMATION SCIENCES INC     Common Stock   928703107      430    18800 SH       DEFINED    01,03       18800        0        0
VORNADO RLTY TR CV PFD 6.5% S     Preferred Stock929042208       26      510 PRN      DEFINED    01              0        0      510
VULCAN MATLS CO                   Common Stock   929160109     5623   116547 SH       DEFINED    01,02,03   102747        0    13800
VULCAN MATLS CO                   Common Stock   929160109      206     4260 SH       OTHER                   4260        0        0
WD FORTY CO                       Common Stock   929236107      492    19700 SH       DEFINED    01,03       19700        0        0
WFS FINANCIAL INC                 Common Stock   92923B106      154    11100 SH       DEFINED    01          11100        0        0
WHX CORPORATION                   Common Stock   929248102      140    21300 SH       DEFINED    01,03       21300        0        0
WICOR INC.                        Common Stock   929253102     1375    49204 SH       DEFINED    01,03       49204        0        0
WICOR INC.                        Common Stock   929253102       50     1800 SH       OTHER                      0     1800        0
WLR FOODS INC                     Common Stock   929286102       94    11532 SH       DEFINED    01          11532        0        0
WPS RESOURCES CORP                Common Stock   92931B106      483    16100 SH       DEFINED    01          16100        0        0
WABASH NATL CORP                  Common Stock   929566107      585    30200 SH       DEFINED    01,03       30200        0        0
WABASH NATL CORP                  Common Stock   929566107       11      570 SH       OTHER                    570        0        0
WACHOVIA CORP NEW                 Common Stock   929771103    11888   138944 SH       DEFINED    01,02,03   134594      700     3650
                                                                                                 04
WACHOVIA CORP NEW                 Common Stock   929771103     7499    87639 SH       OTHER                  69719    13270     4650
WACKENHUT CORRECTIONS CORP        Common Stock   929798106      840    42390 SH       DEFINED    01,02       42350        0       40
WACKENHUT CORRECTIONS CORP        Common Stock   929798106       12      600 SH       OTHER                    600        0        0
WAL MART STORES INC               Common Stock   931142103   102831  2131217 SH       DEFINED    01,02,03  2026124     2000   103093
                                                                                                 04
WAL MART STORES INC               Common Stock   931142103     8848   183384 SH       OTHER                 158094    18540     6750
WALGREEN CO                       Common Stock   931422109    52468  1786136 SH       DEFINED    01,02,03  1725305     9800    51031
                                                                                                 04
WALGREEN CO                       Common Stock   931422109    20337   692321 SH       OTHER                 599431    82885    10005
WALL DATA INC                     Common Stock   932045107      148    15500 SH       DEFINED    01,02,03    15500        0        0
WALL DATA INC                     Common Stock   932045107       11     1150 SH       OTHER                   1150        0        0
WALLACE COMPUTER SERVICES INC     Common Stock   932270101     1201    48021 SH       DEFINED    01,03       42321        0     5700
WALLACE COMPUTER SERVICES INC     Common Stock   932270101      205     8200 SH       OTHER                   8200        0        0
WALTER INDS INC                   Common Stock   93317Q105      393    30400 SH       DEFINED    01          30400        0        0
WANG LABS INC NEW                 Common Stock   93369N109      676    23200 SH       DEFINED    01          23200        0        0
WARNACO GROUP INC CL A            Common Stock   934390105     2889   107999 SH       DEFINED    01,03       99029        0     8970
WARNACO GROUP INC CL A            Common Stock   934390105      103     3856 SH       OTHER                   1835     1211      810
WARNER LAMBERT CO                 Common Stock   934488107    47843   692125 SH       DEFINED    01,02,03   569737        0   122388
                                                                                                 04
WARNER LAMBERT CO                 Common Stock   934488107     7356   106410 SH       OTHER                  51492    40941    13977
WASHINGTON FEDERAL INC            Common Stock   938824109     1092    48655 SH       DEFINED    01          44365        0     4290
WASHINGTON FEDERAL INC            Common Stock   938824109        3      155 SH       OTHER                      0        0      155
WASHINGTON GAS LIGHT              Common Stock   938837101     1467    56414 SH       DEFINED    01,03       50114        0     6300
WASHINGTON MUTUAL INC             Common Stock   939322103     7720   217087 SH       DEFINED    01,02,03   206575        0    10512
WASHINGTON MUTUAL INC             Common Stock   939322103       81     2289 SH       OTHER                   1433      337      519
WASHINGTON POST CO CL B           Common Stock   939640108     6292    11700 SH       DEFINED    01,02,03    10400        0     1300
WATERS CORP                       Common Stock   941848103     2235    42070 SH       DEFINED    01,02       41810        0      260
WATKINS JOHNSON CO                Common Stock   942486101      242     8200 SH       DEFINED    01,03        8200        0        0
WATSCO INC                        Common Stock   942622200     2008   122604 SH       DEFINED    01,02,03   122604        0        0
WATSCO INC                        Common Stock   942622200       98     6012 SH       OTHER                   4587     1425        0
WATSON PHARMACEUTICALS INC        Common Stock   942683103     2314    66002 SH       DEFINED    01,03       52979        0    13023
WATSON PHARMACEUTICALS INC        Common Stock   942683103       74     2100 SH       OTHER                   1750      350        0
WATTS IND INC CL A                Common Stock   942749102      576    30005 SH       DEFINED    01,03       26505        0     3500
WEBB DEL CORP                     Common Stock   947423109      368    15400 SH       DEFINED    01          11800        0     3600
WEBSTER FINL CORP WATERBURY C     Common Stock   947890109      304    11200 SH       DEFINED    01          10700        0      500
WEIS MKTS INC                     Common Stock   948849104     1245    31825 SH       DEFINED    01,04       31825        0        0
WELLMAN INC                       Common Stock   949702104      660    41426 SH       DEFINED    01,03       32576        0     8850
WELLPOINT HLTH NETWORKS INC N     Common Stock   94973H108     2365    27869 SH       DEFINED    01,02,03    23520        0     4349
WELLPOINT HLTH NETWORKS INC N     Common Stock   94973H108      210     2475 SH       OTHER                    830        0     1645
WENDYS FING I PFD CV SER A 5%     Preferred Stock950588202     1476    24400 PRN      DEFINED    01          24400        0        0
WENDYS INTERNATIONAL INC COM      Common Stock   950590109    10385   364400 SH       DEFINED    01,02,03   345405        0    18995
WENDYS INTERNATIONAL INC COM      Common Stock   950590109     1170    41064 SH       OTHER                  38539        0     2525
WERNER ENTERPRISE INC             Common Stock   950755108     1227    59124 SH       DEFINED    01,03       59049        0       75
WESBANCO INC                      Common Stock   950810101      234     7800 SH       DEFINED    01           7800        0        0
WESCO FINL CORP                   Common Stock   950817106     1674     5400 SH       DEFINED    01           5400        0        0
WESLEY JESSEN VISIONCARE INC      Common Stock   951018100      690    21300 SH       DEFINED    01,03       21300        0        0
WEST TELESERVICES CORP            Common Stock   956188106      420    44800 SH       DEFINED    01          44800        0        0
WESTAMERICA BANCORPORATION        Common Stock   957090103     1630    44660 SH       DEFINED    01,03       39400        0     5260
WESTCORP INC                      Common Stock   957907108      213    18890 SH       DEFINED    01          18890        0        0
WESTERN DIGITAL CORP              Common Stock   958102105      441    67800 SH       DEFINED    01          67800        0        0
WESTERN GAS RES INC               Common Stock   958259103      314    19600 SH       DEFINED    01          19600        0        0
WESTERN RES INC                   Common Stock   959425109     1398    52518 SH       DEFINED    01          52518        0        0
WESTERN RES INC                   Common Stock   959425109       52     1940 SH       OTHER                   1240        0      700
WESTERN WIRELESS CORP CL A        Common Stock   95988E204      356    13200 SH       DEFINED    01          13200        0        0
WESTINGHOUSE AIR BRAKE CO         Common Stock   960386100     1807    69677 SH       DEFINED    01          69277      400        0
WESTINGHOUSE AIR BRAKE CO         Common Stock   960386100       57     2200 SH       OTHER                   1050     1150        0
WESTPOINT STEVENS INC             Common Stock   961238102     1902    63800 SH       DEFINED    01,03       56200        0     7600
WESTVACO CORP                     Common Stock   961548104     1149    39632 SH       DEFINED    01,02,03    38532        0     1100
WESTWOOD ONE INC                  Common Stock   961815107     1317    36900 SH       DEFINED    01,03       35400        0     1500
WET SEAL INC                      Common Stock   961840105      109     3800 SH       DEFINED    01           3800        0        0
WEYERHAEUSER CO                   Common Stock   962166104     9368   136258 SH       DEFINED    01,02,03   130307     1800     4151
                                                                                                 04
WEYERHAEUSER CO                   Common Stock   962166104      145     2105 SH       OTHER                   1955        0      150
WHIRLPOOL CORP                    Common Stock   963320106     2359    31884 SH       DEFINED    01,02,03    30984        0      900
WHIRLPOOL CORP                    Common Stock   963320106      779    10525 SH       OTHER                   5725     4800        0
WHITNEY HLDG CORP                 Common Stock   966612103     1146    28825 SH       DEFINED    01,03       28825        0        0
WHITTAKER CORP COM PAR $0.01      Common Stock   966680407      400    14300 SH       DEFINED    01,03       14300        0        0
WHITTMAN-HART INC                 Common Stock   966834103     2099    66100 SH       DEFINED    01,03       66100        0        0
WHOLE FOODS MKT INC               Common Stock   966837106     1620    33700 SH       DEFINED    01,03       33700        0        0
WILD OATS MARKETS INC             Common Stock   96808B107      110     3640 SH       DEFINED    01           3600        0       40
WILEY JOHN & SONS INC CL A        Common Stock   968223206      606    34400 SH       DEFINED    01          34400        0        0
WILEY JOHN & SONS INC CL A        Common Stock   968223206       21     1200 SH       OTHER                   1200        0        0
WILLIAMETTE INDUS                 Common Stock   969133107     1925    41797 SH       DEFINED    01,02,03    39387        0     2410
WILLIAMETTE INDUS                 Common Stock   969133107        2       35 SH       OTHER                      0        0       35
WILLIAMS COS INC                  Common Stock   969457100     9737   228761 SH       DEFINED    01,02,03   221971        0     6790
                                                                                                 04
WILLIAMS COS INC                  Common Stock   969457100      557    13083 SH       OTHER                  10237     1966      880
WILLIAMS SONOMA INC               Common Stock   969904101     2447    70295 SH       DEFINED    01,02,03    70245        0       50
WILMINGTON TRUST CORP NEW         Common Stock   971807102     2846    49605 SH       DEFINED    01,02,03    44605        0     5000
                                                                                                 04
WILMINGTON TRUST CORP NEW         Common Stock   971807102      399     6950 SH       OTHER                   6950        0        0
WIND RIVER SYSTEMS INC            Common Stock   973149107      366    22800 SH       DEFINED    01          22800        0        0
WIND RIVER SYSTEMS INC            Common Stock   973149107       16     1000 SH       OTHER                      0        0     1000
WINDMERE DURABLE HOLDINGS         Common Stock   973411101      120     7100 SH       DEFINED    01           7100        0        0
WINN DIXIE STORES INC             Common Stock   974280109     1918    51935 SH       DEFINED    01,02,03    50335        0     1600
WINNEBAGO INDS INC                Common Stock   974637100      655    29119 SH       DEFINED    01,03       29119        0        0
WINSTAR COMMUNICATIONS INC        Common Stock   975515107      853    17500 SH       DEFINED    01          17500        0        0
WISCONSIN CENT TRANSN CORP        Common Stock   976592105     1102    58400 SH       DEFINED    01,03       51400        0     7000
WISCONSIN ENERGY COMMON           Common Stock   976657106     3811   152040 SH       DEFINED    01,02,03   136140        0    15900
                                                                                                 04
WISCONSIN ENERGY COMMON           Common Stock   976657106      610    24327 SH       OTHER                  13502     3500     7325
WITCO CORP                        Common Stock   977385103     1313    66492 SH       DEFINED    01,03       58592        0     7900
WITCO CORP                        Common Stock   977385103        3      170 SH       OTHER                      0        0      170
WOLVERINE TUBE INC                Common Stock   978093102      457    18200 SH       DEFINED    01,03       18200        0        0
WOLVERINE WORLD WIDE INC          Common Stock   978097103      754    53868 SH       DEFINED    01,03       53868        0        0
WOLVERINE WORLD WIDE INC          Common Stock   978097103       44     3160 SH       OTHER                   3160        0        0
WOODHEAD INDS INC                 Common Stock   979438108       69     5650 SH       DEFINED    01           5650        0        0
WORLD ACCEP CORP S C NEW          Common Stock   981419104       58    11500 SH       DEFINED    01          11500        0        0
WORLD COLOR PRESS INC             Common Stock   981443104     1309    47600 SH       DEFINED    01,03       47600        0        0
WORLDWIDE PETROMOLY INC           Common Stock   98159L106       40    40000 SH       DEFINED    01          40000        0        0
WORTHINGTON INDS INC              Common Stock   981811102      727    44255 SH       DEFINED    01,03       43280        0      975
WORTHINGTON INDS INC              Common Stock   981811102       16     1000 SH       OTHER                   1000        0        0
WRIGLEY WM JR CO                  Common Stock   982526105     5075    56901 SH       DEFINED    01,02,03    54501        0     2400
                                                                                                 04
WRIGLEY WM JR CO                  Common Stock   982526105      880     9870 SH       OTHER                   9164        0      706
WYMAN-GORDON CO                   Common Stock   983085101      527    27300 SH       DEFINED    01          27300        0        0
WYNNS INTL INC                    Common Stock   983195108      441    23893 SH       DEFINED    01,03       23893        0        0
WYNNS INTL INC                    Common Stock   983195108       56     3037 SH       OTHER                   3037        0        0
X-RITE CORP                       Common Stock   983857103      243    37700 SH       DEFINED    01,03       37700        0        0
X-RITE CORP                       Common Stock   983857103       14     2100 SH       OTHER                   2000        0      100
XILINX INC                        Common Stock   983919101     9844   171946 SH       DEFINED    01,02,03   152061        0    19885
XILINX INC                        Common Stock   983919101      195     3400 SH       OTHER                   3400        0        0
XIRCOM INC                        Common Stock   983922105      905    30100 SH       DEFINED    01,03       30100        0        0
XEROX CORP                        Common Stock   984121103    21016   355821 SH       DEFINED    01,02,03   305179        0    50642
                                                                                                 04
XEROX CORP                        Common Stock   984121103     6304   106729 SH       OTHER                  91880    13100     1749
XOMED SURGICAL PRODS INC          Common Stock   98412V107       61     1250 SH       DEFINED    01,03         180        0     1070
XTRA CORP                         Common Stock   984138107      501    10900 SH       DEFINED    01          10900        0        0
XTRA CORP                         Common Stock   984138107       46     1000 SH       OTHER                   1000        0        0
YAHOO INC                         Common Stock   984332106    19482   113102 SH       DEFINED    01         112168        0      934
YAHOO INC                         Common Stock   984332106       43      250 SH       OTHER                    120        0      130
YANKEE ENERGY SYS INC             Common Stock   984779108      395     9949 SH       DEFINED    01           9949        0        0
YANKEE ENERGY SYS INC             Common Stock   984779108        2       52 SH       OTHER                      0       52        0
YELLOW CORPORATION                Common Stock   985509108      552    31100 SH       DEFINED    01,03       31100        0        0
YORK INTL CORP NEW                Common Stock   986670107     2107    49218 SH       DEFINED    01,03,04    42418        0     6800
YOUNG BROADCASTING INC CL A       Common Stock   987434107      134     3150 SH       DEFINED    01,02        3150        0        0
ZALE CORP NEW                     Common Stock   988858106     2388    59710 SH       DEFINED    01,02,03    50910        0     8800
ZAPATA CORP NEW                   Common Stock   989070503      171    20100 SH       DEFINED    01          20100        0        0
ZEBRA TECHNOLOGIES CORP CL A      Common Stock   989207105     1492    38810 SH       DEFINED    01,03       38810        0        0
ZEBRA TECHNOLOGIES CORP CL A      Common Stock   989207105       41     1070 SH       OTHER                   1070        0        0
ZENITH NATIONAL INS CORP          Common Stock   989390109      527    21400 SH       DEFINED    01,03       21400        0        0
ZILA INC                          Common Stock   989513205       45    14700 SH       DEFINED    01,03       11500        0     3200
ZIONS BANCORP                     Common Stock   989701107     5896    92844 SH       DEFINED    01,02,03    82044        0    10800
MOBILIFE FINL SERV                Other          998866XB8      150   150000 SH       OTHER                 150000        0        0
BENCKISER NV CL B                 Other          D0882P103     1199    21800 SH       DEFINED    01          21800        0        0
ACE LTD                           Common Stock   G0070K103     3826   135425 SH       DEFINED    01,02      127810        0     7615
ACE LTD                           Common Stock   G0070K103      274     9685 SH       OTHER                   8465        0     1220
AMWAY ASIA PACIFIC LTD            Common Stock   G0352M108      491    41800 SH       DEFINED    01,03       41300        0      500
ESG RE LTD                        Common Stock   G31215109      194    12900 SH       DEFINED    01,02       12900        0        0
ESG RE LTD                        Common Stock   G31215109       10      700 SH       OTHER                    700        0        0
FRESH DEL MONTE PRODUCE INC       Common Stock   G36738105      144    10200 SH       DEFINED    01          10200        0        0
GEMSTAR INTL GROUP LTD            Common Stock   G3788V106     2464    37756 SH       DEFINED    01          37636        0      120
GLOBALSTAR TELECOMMUNICATIONS     Common Stock   G3930H104      541    23324 SH       DEFINED    01          23324        0        0
IRIDIUM WORLD COMMUN CL A         Common Stock   G49398103      542    50700 SH       DEFINED    01          50700        0        0
LASALLE RE HLDGS LTD              Common Stock   G5383Q101      144     8500 SH       DEFINED    01           8500        0        0
RENAISSANCE RE HLDGS LTD          Common Stock   G7496G103      461    12450 SH       DEFINED    01          12450        0        0
RENAISSANCE RE HLDGS LTD          Common Stock   G7496G103      106     2875 SH       OTHER                   2875        0        0
RSL COMMUNICATIONS LTD            Common Stock   G7702U102       85     4400 SH       DEFINED    01           4400        0        0
SANTA FE INTL CORP                Common Stock   G7805C108        3      120 SH       DEFINED    01            120        0        0
SANTA FE INTL CORP                Common Stock   G7805C108        6      240 SH       OTHER                    240        0        0
HILFIGER TOMMY CORP               Common Stock   G8915Z102     2331    31825 SH       DEFINED    01          27075        0     4750
HILFIGER TOMMY CORP               Common Stock   G8915Z102       96     1315 SH       OTHER                   1000        0      315
TRITON ENERGY LTD  ORD            Common Stock   G90751101      270    25400 SH       DEFINED    01          25400        0        0
STOLT COMEX SEAWAY SA             Common Stock   L8873E103      141    13000 SH       DEFINED    01          13000        0        0
STOLT NIELSON S A                 Common Stock   L88742108      297    19500 SH       DEFINED    01,03       19400        0      100
GILAT COMMUNICATIONS LTD          Common Stock   M50876107       23     1450 SH       DEFINED    01,02        1450        0        0
ORBOTECH LTD                      Common Stock   M75253100      453     8700 SH       DEFINED    01           8700        0        0
ASM LITHOGRAPHY HLDG N V          Common Stock   N07059111     5403    91000 SH       DEFINED    01,03       91000        0        0
BAAN COMPANY NV                   Common Stock   N08044104     1983   124900 SH       DEFINED    01,03      123500        0     1400
STEINER LEISURE LTD               Common Stock   P8744Y102      781    25767 SH       DEFINED    01,02       25767        0        0
STEINER LEISURE LTD               Common Stock   P8744Y102       36     1175 SH       OTHER                   1175        0        0
ROYAL CARIBBEAN CRUISES LTD       Common Stock   V7780T103     4448   101665 SH       DEFINED    01         101500        0      165
TEEKAY SHIPPING CORP              Common Stock   V89564104      358    20300 SH       DEFINED    01          20300        0        0
</TABLE>


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