COMERICA INC /NEW/
13F-HR, 2000-11-06
NATIONAL COMMERCIAL BANKS
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<PAGE>

                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                              Washington, D.C 20549

                                    Form 13F

                               Form 13F COVER PAGE

Report for the Calendar Year or Quarter Ended: September 30, 2000
                                              -------------------

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

Institutional Investment Manager Filing this Report:

Name:             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 represents 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:

                                   Detroit, MI                   7/21/00
----------------------------     ---------------                ---------
         [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 managers(s).)

[ ]      13F COMBINATION REPORT.  (Check here if a portion of the
         holdings for this reporting manager by other reporting
         managers(s).)
<PAGE>

                              Form 13F SUMMARY PAGE

Report Summary:

Number of Other Included Managers:                 4
                                                ----------------

Form 13F Information Table Entry Total:          202,055,838
                                                ----------------

Form 13F Information Table Value Total:          $8,930,863
                                                ----------------
                                                  (thousands)


List of Other Included Managers

No.       Form 13F File Number               Name

01        28-412                             Comerica Bank
02        28-1874                            Munder Capital Management
03        28-4980                            World Asset Management
04                                           Wilson Kemp
<PAGE>

<TABLE>
<CAPTION>
                                                             Final 13F Table                                          10/17/2000
--------------------------------------------------------------------------------------------------------------------------------
                             Title of                                           Discre-                Sole     Shared
Asset Name                   Class          CUSIP      FairMV   Shares   Type   tion     Managers      VA       VA         None
<S>                          <C>            <C>        <C>      <C>      <C>    <C>      <C>           <C>      <C>        <C>
--------------------------------------------------------------------------------------------------------------------------------
AAR CORP                     Common Stock   000361105     345    30150    SH    DEFINED  01,02,03       30150        0        0
ABC-NACO INC                 Common Stock   000752105       7     1400    SH    DEFINED  01              1400        0        0
ADC TELECOMMUNICATIONS INC   Common Stock   000886101   13431   499475    SH    DEFINED  01,02,03      476125        0    23350
ADC TELECOMMUNICATIONS INC   Common Stock   000886101    1073    39895    SH    OTHER                   29435        0    10460
ABM INDUSTRIES INC           Common Stock   000957100     734    27010    SH    DEFINED  01,02,03       25300        0     1710
ABM INDUSTRIES INC           Common Stock   000957100      10      350    SH    OTHER                       0        0      350
ACT MANUFACTURING INC        Common Stock   000973107     124     2350    SH    DEFINED  01,02           2350        0        0
ACT MANUFACTURING INC        Common Stock   000973107      26      500    SH    OTHER                     500        0        0
AFLAC INC                    Common Stock   001055102   10084   157406    SH    DEFINED  01,02,03,04   153786        0     3620
AFLAC INC                    Common Stock   001055102    1244    19415    SH    OTHER                   16975     2300      140
AGCO CORP                    Common Stock   001084102     584    49200    SH    DEFINED  01,02,03       41500        0     7700
AGL RESOURCES                Common Stock   001204106     911    45400    SH    DEFINED  01,02,03       38400        0     7000
AES CORP                     Common Stock   00130H105   30589   446559    SH    DEFINED  01,02,03      428375      200    17984
AES CORP                     Common Stock   00130H105    5499    80276    SH    OTHER                   75740     3110     1426
AK STEEL HOLDING CORP        Common Stock   001547108     850    90650    SH    DEFINED  01,02,03       76550        0    14100
AK STEEL HOLDING CORP        Common Stock   001547108       4      378    SH    OTHER                     378        0        0
AMR CORP                     Common Stock   001765106    1631    49881    SH    DEFINED  01             46911        0     2970
AMR CORP                     Common Stock   001765106      38     1150    SH    OTHER                     940        0      210
A T & T CORP                 Common Stock   001957109   41979  1429065    SH    DEFINED  01,02,03,04  1347246     7734    74085
A T & T CORP                 Common Stock   001957109    4507   153431    SH    OTHER                  120692    22472    10267
ATMI INC                     Common Stock   00207R101      50     2150    SH    DEFINED  01              2150        0        0
ATS MEDICAL INC              Common Stock   002083103      47     3100    SH    DEFINED  01,02           1400        0     1700
AVX CORP                     Common Stock   002444107     324    12420    SH    DEFINED  01             12420        0        0
AARON RENTS INC              Common Stock   002535201     285    22100    SH    DEFINED  01,02,03       22100        0        0
ABBOTT LABS                  Common Stock   002824100   71400  1501160    SH    DEFINED  01,02,03,04  1416106     3300    81754
ABBOTT LABS                  Common Stock   002824100   28142   591688    SH    OTHER                  479822    96418    15448
ABERCROMBIE & FITCH CO       Common Stock   002896207    1606    84241    SH    DEFINED  01,02,03       71341        0    12900
ABERCROMBIE & FITCH CO       Common Stock   002896207       1       75    SH    OTHER                      75        0        0
ACE CASH EXPRESS INC         Common Stock   004403101     380    34500    SH    DEFINED  01             34500        0        0
ACNIELSEN CORP               Common Stock   004833109    1200    50387    SH    DEFINED  01,02,03       42877        0     7510
ACNIELSEN CORP               Common Stock   004833109      24      996    SH    OTHER                     697      266       33
ACTION PERFORMANCE COS INC   Common Stock   004933107      63    18300    SH    DEFINED  01,02,03       18300        0        0
ACTEL CORP                   Common Stock   004934105     960    26700    SH    DEFINED  01,02,03       26700        0        0
ACRES GAMING INC             Common Stock   004936100      21    12500    SH    DEFINED  01             12500        0        0
ACUSON CORP                  Common Stock   005113105     627    27548    SH    DEFINED  01,02,03       19348        0     8200
ACXIOM CORP                  Common Stock   005125109    2398    75513    SH    DEFINED  01,02,03       62980        0    12533
ADAC LABORATORIES            Common Stock   005313200     797    38283    SH    DEFINED  01,02,03       35983        0     2300
ADAC LABORATORIES            Common Stock   005313200      15      700    SH    OTHER                     700        0        0
ADAPTEC INC                  Common Stock   00651F108     696    34800    SH    DEFINED  01,02,03       33700        0     1100
ADAPTEC INC                  Common Stock   00651F108       8      400    SH    OTHER                     400        0        0
ADELPHIA COMMUNIC CORP CL A  Common Stock   006848105     360    13058    SH    DEFINED  01,04          12450        0      608
ADELPHIA COMMUNIC CORP CL A  Common Stock   006848105      11      400    SH    OTHER                     400        0        0
ADEPT TECHNOLOGY INC         Common Stock   006854103      38      725    SH    DEFINED  01               725        0        0
ADMINISTAFF INC              Common Stock   007094105    1143    15100    SH    DEFINED  01,02,03       15100        0        0
ADOBE SYS INC                Common Stock   00724F101    7291    46962    SH    DEFINED  01,02,03       43899        0     3063
ADOBE SYS INC                Common Stock   00724F101     268     1725    SH    OTHER                    1553        0      172
ADTRAN INC                   Common Stock   00738A106    1710    40195    SH    DEFINED  01,02,03       35150        0     5045
ADTRAN INC                   Common Stock   00738A106      19      450    SH    OTHER                     450        0        0
ADVANCE PARADIGM INC         Common Stock   007491103    1183    28050    SH    DEFINED  01,02,03       28050        0        0
ADVANCED DIGITAL INFO CORP   Common Stock   007525108     395    26000    SH    DEFINED  01,02          26000        0        0
ADVANCED DIGITAL INFO CORP   Common Stock   007525108      17     1100    SH    OTHER                    1100        0        0
ADVANCED FIBRE COMMUNIC INC  Common Stock   00754A105     216     5700    SH    DEFINED  01              5700        0        0
ADVANCED FIBRE COMMUNIC INC  Common Stock   00754A105      19      500    SH    OTHER                     500        0        0
ADVANCED RADIO TELECOM CORP  Common Stock   00754U101      18     2100    SH    DEFINED  01              2100        0        0
ADVANCED TISSUE SCIENCES INC Common Stock   00755F103     531    71350    SH    DEFINED  01,02,03       66650        0     4700
ADVO INC                     Common Stock   007585102     770    23335    SH    DEFINED  01,02,03       23000        0      335
ADVO INC                     Common Stock   007585102       2       65    SH    OTHER                       0        0       65
AEROFLEX INC                 Common Stock   007768104    1619    33300    SH    DEFINED  01,02,03       33300        0        0
ADVANCED MICRO-DEVICES       Common Stock   007903107    2419   102376    SH    DEFINED  01,02,03       99376        0     3000
ADVANTA CORP CL A            Common Stock   007942105      22     1940    SH    DEFINED  01              1940        0        0
ADVANCED ENERGY INDS INC     Common Stock   007973100      66     2000    SH    DEFINED  01              2000        0        0
ADVENT SOFTWARE INC          Common Stock   007974108     154     2210    SH    DEFINED  01              2100        0      110
AETNA INC                    Common Stock   008117103    3105    53481    SH    DEFINED  01,03          49575        0     3906
AETNA INC                    Common Stock   008117103     202     3478    SH    OTHER                     690     2268      520
AFFILIATED COMPUTER SVCS INC Common Stock   008190100    3242    65000    SH    DEFINED  01,02,03       58100        0     6900
AFFILIATED COMPUTER SVCS INC Common Stock   008190100      62     1250    SH    OTHER                    1250        0        0
AFFILIATED MANAGERS GROUP INCCommon Stock   008252108     307     5400    SH    DEFINED  01,02           5400        0        0
AFFILIATED MANAGERS GROUP INCCommon Stock   008252108       6      100    SH    OTHER                     100        0        0
AFFYMETRIX INC               Common Stock   00826T108     376     7544    SH    DEFINED  01,02           3900        0     3644
AFFYMETRIX INC               Common Stock   00826T108     200     4000    SH    OTHER                    4000        0        0
AFTERMARKET TECHNOLOGY CORP  Common Stock   008318107      11     1800    SH    DEFINED  01              1800        0        0
AIR PRODUCTS & CHEMICAL INC  Common Stock   009158106    4214   117065    SH    DEFINED  01,02,03,04   107595        0     9470
AIR PRODUCTS & CHEMICAL INC  Common Stock   009158106     285     7916    SH    OTHER                    6126        0     1790
AIRBORNE FREIGHT CORP        Common Stock   009266107     416    40796    SH    DEFINED  01,02,03       34496        0     6300
AIRGAS INC                   Common Stock   009363102     373    54709    SH    DEFINED  01,02,03       46209        0     8500
ALASKA AIR GROUP INC         Common Stock   011659109     521    21696    SH    DEFINED  01,02,03       18296        0     3400
ALBANY INTER CORP CL A       Common Stock   012348108     303    25221    SH    DEFINED  01,02,03       21247        0     3974
ALBEMARLE CORP               Common Stock   012653101     763    37804    SH    DEFINED  01,02,03       31904        0     5900
ALBERTO CULVER CO CLASS B    Common Stock   013068101     533    18489    SH    DEFINED  01,02          17989        0      500
ALBERTO CULVER CO CLASS A    Common Stock   013068200       8      304    SH    DEFINED  01               304        0        0
ALBERTSONS INC               Common Stock   013104104    5131   244312    SH    DEFINED  01,02,03,04   229811      300    14201
ALBERTSONS INC               Common Stock   013104104    2150   102402    SH    OTHER                   84346    16191     1865
ALEXANDER & BALDWIN          Common Stock   014482103    2441    93889    SH    DEFINED  01,02,03       78449        0    15440
ALEXION PHARMACEUTICALS INC  Common Stock   015351109     125     1100    SH    DEFINED  01              1100        0        0
ALKERMES INC                 Common Stock   01642T108     355     9200    SH    DEFINED  01,02           5200        0     4000
ALKERMES INC                 Common Stock   01642T108       8      198    SH    OTHER                     198        0        0
ALLEGHANY CORP NEW           Common Stock   017175100     106      540    SH    DEFINED  01               540        0        0
ALLEGHENY ENERGY INC         Common Stock   017361106    3968   103894    SH    DEFINED  01,02,03       88694        0    15200
ALLEGHENY ENERGY INC         Common Stock   017361106     241     6300    SH    OTHER                    2600      500     3200
ALLEN TELECOM INC            Common Stock   018091108     528    31200    SH    DEFINED  01,02,03       31200        0        0
ALLERGAN INC                 Common Stock   018490102    5055    59863    SH    DEFINED  01,02,03       39944        0    19919
ALLERGAN INC                 Common Stock   018490102     620     7342    SH    OTHER                    2240        0     5102
ALLIANCE HEALTH INC          Common Stock   018601104       0    16672    SH    DEFINED  01             16672        0        0
ALLIANCE PHARMACEUTICAL CORP Common Stock   018773101     886    58127    SH    DEFINED  01,02,03       58127        0        0
ALLIANCE SEMICONDUCTOR CORP  Common Stock   01877H100     920    46300    SH    DEFINED  01,02,03       46300        0        0
ALLIANT TECHSYSTEMS INC      Common Stock   018804104     836    10175    SH    DEFINED  01,02,03       10175        0        0
ALLIED WASTE INDS INC        Common Stock   019589308     569    61888    SH    DEFINED  01,02,03       59988        0     1900
ALLIED WASTE INDS INC        Common Stock   019589308    2692   292999    SH    OTHER                  292999        0        0
ALLMERICA FINANCIAL CORP     Common Stock   019754100    3039    47534    SH    DEFINED  01,02,03       40734        0     6800
ALLMERICA FINANCIAL CORP     Common Stock   019754100      77     1208    SH    OTHER                    1208        0        0
ALLSTATE CORP                Common Stock   020002101    9715   279579    SH    DEFINED  01,02,03,04   267950        0    11629
ALLSTATE CORP                Common Stock   020002101     613    17638    SH    OTHER                    9959      732     6947
ALLTEL CORP                  Common Stock   020039103   12238   234507    SH    DEFINED  01,02,03,04   228074      350     6083
ALLTEL CORP                  Common Stock   020039103    2664    51049    SH    OTHER                   45898     3026     2125
ALLTRISTA CORP               Common Stock   020040101       9      450    SH    DEFINED  01               450        0        0
ALPHA INDS INC               Common Stock   020753109    1634    47980    SH    DEFINED  01,02,03       47980        0        0
ALPHARMA INC                 Common Stock   020813101    2923    47816    SH    DEFINED  01,02,03       44350        0     3466
ALTERA CORP                  Common Stock   021441100   22798   477451    SH    DEFINED  01,02,03      458738      700    18013
ALTERA CORP                  Common Stock   021441100    3645    76343    SH    OTHER                   73725     1135     1483
ALTEON INC                   Common Stock   02144G107      45    15000    SH    OTHER                   15000        0        0
ALZA CORP                    Common Stock   022615108    4215    48725    SH    DEFINED  01,02,03       34790        0    13935
ALZA CORP                    Common Stock   022615108      13      145    SH    OTHER                       0        0      145
AMAZON COM INC               Common Stock   023135106    1005    26157    SH    DEFINED  01             26090        0       67
AMBAC FINANCIAL GROUP INC    Common Stock   023139108    4402    60098    SH    DEFINED  01,02,03       49135        0    10963
AMBAC FINANCIAL GROUP INC    Common Stock   023139108      82     1120    SH    OTHER                     885        0      235
AMCAST INDUSTRIAL CORP       Common Stock   023395106      88     9300    SH    DEFINED  01,02,03        9300        0        0
AMERADA HESS CORP            Common Stock   023551104    1989    29720    SH    DEFINED  01,02,03       28540        0     1180
AMERADA HESS CORP            Common Stock   023551104      63      935    SH    OTHER                     700        0      235
AMERICA ONLINE INC           Common Stock   02364J104   45574   847894    SH    DEFINED  01,02,03,04   808085        0    39809
AMERICA ONLINE INC           Common Stock   02364J104    2403    44716    SH    OTHER                   34373      602     9741
AMERICA WEST HLDS CORP CL B  Common Stock   023657208     124    10190    SH    DEFINED  01              4000        0     6190
AMERICA WEST HLDS CORP CL B  Common Stock   023657208      10      790    SH    OTHER                     280        0      510
AMERICAN CAPITAL STRATEGIES LCommon Stock   024937104      91     3840    SH    DEFINED  01,02           3840        0        0
AMERICAN CAPITAL STRATEGIES LCommon Stock   024937104      19      800    SH    OTHER                     800        0        0
AMERICAN ELEC PWR INC        Common Stock   025537101    5010   128060    SH    DEFINED  01,02,03      123640        0     4420
AMERICAN ELEC PWR INC        Common Stock   025537101     178     4561    SH    OTHER                    3481     1080        0
AMERICAN EXPRESS CR          Common Stock   025816109   30210   497279    SH    DEFINED  01,03,04      461890     3600    31789
AMERICAN EXPRESS CR          Common Stock   025816109    4016    66111    SH    OTHER                   60787     1496     3828
AMERICAN FREIGHTWAYS CORP    Common Stock   02629V108     577    36325    SH    DEFINED  01,02,03       36100        0      225
AMERICAN GENERAL CORP        Common Stock   026351106    6525    83659    SH    DEFINED  01,02,03,04    80436        0     3223
AMERICAN GENERAL CORP        Common Stock   026351106     417     5345    SH    OTHER                    3962      864      519
AMERICAN GREETINGS CORP CL A Common Stock   026375105     393    22455    SH    DEFINED  01,02          21025        0     1430
AMERICAN GREETINGS CORP CL A Common Stock   026375105      21     1200    SH    OTHER                     325        0      875
AMERICAN HOME PRODS CORP     Common Stock   026609107   49983   883677    SH    DEFINED  01,02,03,04   831763     9970    41944
AMERICAN HOME PRODS CORP     Common Stock   026609107   21535   380728    SH    OTHER                  309418    43028    28282
AMERICAN INTL GROUP INC      Common Stock   026874107  169673  1773195    SH    DEFINED  01,02,03,04  1673352     3642    96201
AMERICAN INTL GROUP INC      Common Stock   026874107   35837   374521    SH    OTHER                  290262    55999    28260
AMERICAN ITALIAN PASTA CO    Common Stock   027070101     393    20500    SH    DEFINED  01,02,03       20500        0        0
AMERICAN MANAGEMENT SYSTEMS  Common Stock   027352103     868    50500    SH    DEFINED  01,02,03       50500        0        0
AMERICAN PWR CONVERSION CORP Common Stock   029066107    1458    76010    SH    DEFINED  01,02,03       73060        0     2950
AMERICAN SOFTWARE            Common Stock   029683109       5     1600    SH    DEFINED  01              1600        0        0
AMERICAN STANDARD COS INC    Common Stock   029712106    2579    58030    SH    DEFINED  01,02,03       49030        0     9000
AMERICAN STANDARD COS INC    Common Stock   029712106      40      900    SH    OTHER                     900        0        0
AMERICAN SUPERCONDUCTOR CORP Common Stock   030111108     109     2225    SH    DEFINED  01              1925        0      300
AMERICAN WATER WORKS CO      Common Stock   030411102    2258    81916    SH    DEFINED  01,02,03       68916        0    13000
AMERICAN WATER WORKS CO      Common Stock   030411102      44     1600    SH    OTHER                    1000        0      600
AMERICAN WOODMARK CORP       Common Stock   030506109      11      577    SH    DEFINED  01               577        0        0
AMERICREDIT CORP             Common Stock   03060R101    3095   107410    SH    DEFINED  01,02,03      107070        0      340
AMERICREDIT CORP             Common Stock   03060R101      98     3400    SH    OTHER                    3400        0        0
AMERON INTERNATIONAL CORP    Common Stock   030710107     283     7698    SH    DEFINED  01              7698        0        0
AMERISOURCE HEALTH CORP CL A Common Stock   03071P102     413     8795    SH    DEFINED  01,02           4195        0     4600
AMERITRADE HLDG CORP CL A    Common Stock   03072H109     222    12500    SH    DEFINED  01             12500        0        0
AMES DEPT STORES INC         Common Stock   030789507     190    32900    SH    DEFINED  01,02,03       32900        0        0
AMETEK INC NEW               Common Stock   031100100     576    27165    SH    DEFINED  01,02,03       23065        0     4100
AMGEN INC                    Common Stock   031162100   73097  1046819    SH    DEFINED  01,02,03,04  1003649     1745    41425
AMGEN INC                    Common Stock   031162100   19803   283591    SH    OTHER                  209447    17475    56669
AMPHENOL CORP CL A           Common Stock   032095101     208     3660    SH    DEFINED  01              3255        0      405
AMSOUTH BANCORPORATION       Common Stock   032165102    1545   123589    SH    DEFINED  01,02,03      118339        0     5250
AMYLIN PHARMACEUTICALS INC   Common Stock   032346108      48     4500    SH    DEFINED  01              4500        0        0
AMYLIN PHARMACEUTICALS INC   Common Stock   032346108      32     3000    SH    OTHER                    3000        0        0
ANADARKO PETE CORP           Common Stock   032511107    5597    84221    SH    DEFINED  01,02,03       79437     1541     3243
ANADARKO PETE CORP           Common Stock   032511107     145     2188    SH    OTHER                    1926        0      262
ANADIGICS INC                Common Stock   032515108      46     2100    SH    DEFINED  01              2100        0        0
ANADIGICS INC                Common Stock   032515108       3      150    SH    OTHER                       0      150        0
ANALOG DEVICES INC           Common Stock   032654105    9346   113204    SH    DEFINED  01,02,03      109024        0     4180
ANALOG DEVICES INC           Common Stock   032654105      42      505    SH    OTHER                      85        0      420
ANALOGIC CORP                Common Stock   032657207     561    14600    SH    DEFINED  01,02,03       14600        0        0
ANALYSTS INTL CORP           Common Stock   032681108     182    25250    SH    DEFINED  01,02,03       25250        0        0
ANCHOR BANCORP WIS INC       Common Stock   032839102     406    25900    SH    DEFINED  01,02,03       25900        0        0
ANCHOR GAMING                Common Stock   033037102    1018    12800    SH    DEFINED  01,02,03       12800        0        0
ANDREW CORP                  Common Stock   034425108     692    26425    SH    DEFINED  01,02,03       25507        0      918
ANHEUSER-BUSCH COS           Common Stock   035229103   24013   567512    SH    DEFINED  01,02,03,04   542084      600    24828
ANHEUSER-BUSCH COS           Common Stock   035229103    3081    72806    SH    OTHER                   53484     9800     9522
ANIXTER INTERNATIONAL INC    Common Stock   035290105    1212    41600    SH    DEFINED  01,02,03       41600        0        0
ANNTAYLOR STORES CORP        Common Stock   036115103    1234    32100    SH    DEFINED  01,02,03       32100        0        0
ANSYS INC                    Common Stock   03662Q105      13     1100    SH    DEFINED  01              1100        0        0
ANTEC CORP                   Common Stock   03664P105     929    31500    SH    DEFINED  01,02,03       26600        0     4900
AON CORPORATION              Common Stock   037389103    3430    87400    SH    DEFINED  01,02,03       83300        0     4100
AON CORPORATION              Common Stock   037389103     239     6094    SH    OTHER                    6094        0        0
APACHE CORP                  Common Stock   037411105    2645    44730    SH    DEFINED  01,02,03       43395        0     1335
APACHE CORP                  Common Stock   037411105      12      200    SH    OTHER                     200        0        0
APOGEE ENTERPRISES INC       Common Stock   037598109     177    31100    SH    DEFINED  01,02,03       31100        0        0
APOLLO GROUP INC CL A        Common Stock   037604105    7205   180678    SH    DEFINED  01,02,03      168328      200    12150
APOLLO GROUP INC CL A        Common Stock   037604105     425    10670    SH    OTHER                    9895      775        0
APPLE COMPUTER INC           Common Stock   037833100    2753   106927    SH    DEFINED  01,02,03      102262        0     4665
APPLE COMPUTER INC           Common Stock   037833100      68     2650    SH    OTHER                    2450        0      200
APPLEBEES INTL INC           Common Stock   037899101     726    31570    SH    DEFINED  01,02,03       30920        0      650
APPLEBEES INTL INC           Common Stock   037899101      25     1100    SH    OTHER                     370        0      730
APRIA HEALTHCARE GROUP INC   Common Stock   037933108     693    49702    SH    DEFINED  01,02,03       36362        0    13340
APPLIED INDUSTRIAL TECH INC  Common Stock   03820C105     409    23600    SH    DEFINED  01,02,03       23600        0        0
APPLIED MATLS INC            Common Stock   038222105   17754   299319    SH    DEFINED  01,02,03,04   279936        0    19383
APPLIED MATLS INC            Common Stock   038222105     482     8120    SH    OTHER                    5790      800     1530
APPLIED SIGNAL TECHNOLOGY INCCommon Stock   038237103       1      200    SH    DEFINED  01               200        0        0
APTARGROUP INC               Common Stock   038336103     955    39900    SH    DEFINED  01,02,03       39900        0        0
APTARGROUP INC               Common Stock   038336103      48     2000    SH    OTHER                    2000        0        0
ARCATA CLASS ACTION ACTION 2NCommon Stock   039375910       0    10976    SH    DEFINED  01             10976        0        0
ARCATA CLASS ACTION ACTION 2NCommon Stock   039375910       0     3200    SH    OTHER                    3200        0        0
ARCHER DANIELS MIDLAND CO    Common Stock   039483102    1899   220216    SH    DEFINED  01,02,03,04   199039        0    21177
ARCHER DANIELS MIDLAND CO    Common Stock   039483102     108    12495    SH    OTHER                    6212      391     5892
ARCTIC CAT INC               Common Stock   039670104     342    27125    SH    DEFINED  01,02,03       27125        0        0
ARGONAUT GROUP INC           Common Stock   040157109      28     1600    SH    DEFINED  01              1600        0        0
ARKANSAS BEST CORP           Common Stock   040790107     340    22100    SH    DEFINED  01,02,03       22100        0        0
ARNOLD INDS INC              Common Stock   042595108     343    20308    SH    DEFINED  01,02,03       17108        0     3200
ARQULE INC                   Common Stock   04269E107      17      975    SH    DEFINED  01               975        0        0
ARROW ELECTRONICS INC        Common Stock   042735100    2835    83240    SH    DEFINED  01,02,03       70690        0    12550
ARROW ELECTRONICS INC        Common Stock   042735100      10      300    SH    OTHER                     300        0        0
ARROW INTL INC               Common Stock   042764100     171     4700    SH    DEFINED  01,02           1600        0     3100
ASHLAND INC                  Common Stock   044204105     759    22545    SH    DEFINED  01,02          21745        0      800
ASHLAND INC                  Common Stock   044204105       5      150    SH    OTHER                     150        0        0
ASHWORTH INC                 Common Stock   04516H101     117    14900    SH    DEFINED  01,02,03       14900        0        0
ASPEN TECHNOLOGY INC         Common Stock   045327103    1313    29100    SH    DEFINED  01,02,03       29100        0        0
ASSISTED LIVING CONCEPTS INC Common Stock   04543L109     110   176614    SH    DEFINED  01            176614        0        0
ASSISTED LIVING CONCEPTS INC Common Stock   04543L109      22    35490    SH    OTHER                   35490        0        0
ASSOCIATED BANC CORP         Common Stock   045487105    1491    56801    SH    DEFINED  01,02,03       48001        0     8800
AT HOME CORP SER A           Common Stock   045919107     464    32818    SH    DEFINED  01             30830        0     1988
ASSOCIATES FIRST CAP CORP    Common Stock   046008108   42166  1109622    SH    DEFINED  01,02,03,04  1077638        0    31984
ASSOCIATES FIRST CAP CORP    Common Stock   046008108   54558  1435737    SH    OTHER                 1351117    79203     5417
ASTEC INDS INC               Common Stock   046224101     236    21600    SH    DEFINED  01,02,03       21600        0        0
ASTORIA FINANCIAL CORP       Common Stock   046265104    1621    41959    SH    DEFINED  01,02,03       35459        0     6500
ASYST TECHNOLOGIES INC       Common Stock   04648X107      45     2200    SH    DEFINED  01              2200        0        0
ATLANTIC COAST AIRLINES HLDGSCommon Stock   048396105     760    23600    SH    DEFINED  01,02,03       23600        0        0
ATLAS AIR INC                Common Stock   049164106    1327    31400    SH    DEFINED  01,02,03       26500        0     4900
ATMEL CORP                   Common Stock   049513104    5919   389708    SH    DEFINED  01,02,03      330508        0    59200
ATMEL CORP                   Common Stock   049513104       9      600    SH    OTHER                     600        0        0
ATMOS ENERGY CORP            Common Stock   049560105     733    35524    SH    DEFINED  01,02,03       35524        0        0
ATMOS ENERGY CORP            Common Stock   049560105      17      834    SH    OTHER                       0        0      834
ATWOOD OCEANICS INC          Common Stock   050095108     661    15850    SH    DEFINED  01,02,03       15850        0        0
ATWOOD OCEANICS INC          Common Stock   050095108       8      200    SH    OTHER                     200        0        0
AUDIOVOX CORP CL A           Common Stock   050757103     380    25200    SH    DEFINED  01,02,03       25200        0        0
AURA SYS INC                 Common Stock   051526101      14    14857    SH    DEFINED  01             14857        0        0
AURORA BIOSCIENCES CORP      Common Stock   051920106      95     1400    SH    DEFINED  01              1400        0        0
AURORA BIOSCIENCES CORP      Common Stock   051920106       3       40    SH    OTHER                       0        0       40
AUSPEX SYS INC               Common Stock   052116100     410    33100    SH    DEFINED  01,02,03       33100        0        0
AUTODESK INC (DEL)           Common Stock   052769106     481    18941    SH    DEFINED  01,02,03       18241        0      700
AUTOLIV INC                  Common Stock   052800109     260    13308    SH    DEFINED  01,02,03       12308        0     1000
AUTOLIV INC                  Common Stock   052800109       5      259    SH    OTHER                     259        0        0
AUTOMATIC DATA PROCESSING INCCommon Stock   053015103   67502  1009375    SH    DEFINED  01,02,03,04   949093     2550    57732
AUTOMATIC DATA PROCESSING INCCommon Stock   053015103   18483   276374    SH    OTHER                  230548    34626    11200
AUTOZONE INC                 Common Stock   053332102     934    41182    SH    DEFINED  01,02          39782        0     1400
AVANT CORPORATION            Common Stock   053487104     801    43900    SH    DEFINED  01,02,03       43900        0        0
AVATAR HOLDINGS              Common Stock   053494100      12      605    SH    DEFINED  01               605        0        0
AVERY DENNISON CORP          Common Stock   053611109   24717   532988    SH    DEFINED  01,02,03,04   517757     1070    14161
AVERY DENNISON CORP          Common Stock   053611109    5489   118352    SH    OTHER                  105152     7583     5617
AVID TECHNOLOGY INC          Common Stock   05367P100     393    28100    SH    DEFINED  01,02,03       28100        0        0
AVIS GROUP HOLDINGS INC      Common Stock   053790101     110     3700    SH    DEFINED  01              2567        0     1133
AVNET INC                    Common Stock   053807103    2075    73134    SH    DEFINED  01,03          61334        0    11800
AVNET INC                    Common Stock   053807103      28     1000    SH    OTHER                    1000        0        0
AVON PRODUCTS INC            Common Stock   054303102    3488    85324    SH    DEFINED  01,02,03       80204        0     5120
AVON PRODUCTS INC            Common Stock   054303102      30      730    SH    OTHER                       0      600      130
AWARE INC MASS               Common Stock   05453N100     970    25200    SH    DEFINED  01,02,03       25200        0        0
AXENT TECHNOLOGIES INC       Common Stock   05459C108      44     2020    SH    DEFINED  01              2020        0        0
AZTAR CORP                   Common Stock   054802103     684    44500    SH    DEFINED  01,03          44500        0        0
B B & T CORPORATION          Common Stock   054937107    3823   126912    SH    DEFINED  01,02,03      123512        0     3400
BHC COMMUNICATIONS INC CL A  Common Stock   055448104     252     1600    SH    DEFINED  01              1600        0        0
BHC COMMUNICATIONS INC CL A  Common Stock   055448104      39      250    SH    OTHER                     250        0        0
BISYS GROUP INC              Common Stock   055472104    2397    31000    SH    DEFINED  01,02,03       31000        0        0
BJ SVCS CO                   Common Stock   055482103    4201    68732    SH    DEFINED  01,02,03       57892        0    10840
BJS WHOLESALE CLUB INC       Common Stock   05548J106    2127    62320    SH    DEFINED  01,02,03       52605        0     9715
BJS WHOLESALE CLUB INC       Common Stock   05548J106      14      400    SH    OTHER                       0        0      400
BMC INDS INC                 Common Stock   055607105     211    30700    SH    DEFINED  01,02,03       30700        0        0
BMC SOFTWARE INC             Common Stock   055921100    2163   113102    SH    DEFINED  01,02,03,04   109571        0     3531
BMC SOFTWARE INC             Common Stock   055921100     368    19255    SH    OTHER                   17525     1225      505
BAKER HUGHES INC             Common Stock   057224107    3928   105794    SH    DEFINED  01,02,03      102604        0     3190
BAKER HUGHES INC             Common Stock   057224107       5      125    SH    OTHER                     125        0        0
BAKER J INC                  Common Stock   057232100      71    15700    SH    DEFINED  01,02,03       15700        0        0
BALDOR ELEC CO               Common Stock   057741100     770    37886    SH    DEFINED  01,02,03       37886        0        0
BALL CORP                    Common Stock   058498106     302     9537    SH    DEFINED  01,02           9137        0      400
BALLARD PWR SYS INC          Common Stock   05858H104     152     1389    SH    DEFINED  01              1389        0        0
BANDAG INC                   Common Stock   059815100     618    17200    SH    DEFINED  01,02,03       14500        0     2700
BANGOR HYDRO ELEC CO         Common Stock   060077104     201     8300    SH    DEFINED  01,02,03        8300        0        0
BANK NEW YORK INC            Common Stock   064057102   13974   249259    SH    DEFINED  01,02,03,04   234019        0    15240
BANK NEW YORK INC            Common Stock   064057102     651    11612    SH    OTHER                    4040        0     7572
BANK UNITED CORP CL A        Common Stock   065412108     129     2540    SH    DEFINED  01              2540        0        0
BANTA CORP                   Common Stock   066821109     500    20502    SH    DEFINED  01,02,03       17327        0     3175
BARD C R INC                 Common Stock   067383109     955    22606    SH    DEFINED  01,02          15606        0     7000
BARD C R INC                 Common Stock   067383109      68     1600    SH    OTHER                       0     1600        0
BARNES & NOBLE INC           Common Stock   067774109    1007    51128    SH    DEFINED  01,03          42928        0     8200
BARNES GROUP INC             Common Stock   067806109     676    36800    SH    DEFINED  01,02,03,04    34800        0     2000
BARNES GROUP INC             Common Stock   067806109      46     2527    SH    OTHER                      27        0     2500
BARR LABORATORIES INC        Common Stock   068306109    2853    43025    SH    DEFINED  01,02,03       37700        0     5325
BARRA INC                    Common Stock   068313105     962    15500    SH    DEFINED  01,02,03       15500        0        0
BARRETT RES CORP COM PAR $0.0Common Stock   068480201    1556    41150    SH    DEFINED  01,02,03       41150        0        0
BARRETT RES CORP COM PAR $0.0Common Stock   068480201      11      300    SH    OTHER                     300        0        0
BASIN EXPLORATION INC        Common Stock   070107107      25     1300    SH    DEFINED  01              1300        0        0
BASSETT FURNITURE INDS INC   Common Stock   070203104     188    13231    SH    DEFINED  01,02,03       13231        0        0
BATTLE MOUNTAIN GOLD         Common Stock   071593107      17     9975    SH    DEFINED  01              9975        0        0
BATTLE MOUNTAIN GOLD         Common Stock   071593107       0       75    SH    OTHER                      75        0        0
BAUSCH & LOMB INC            Common Stock   071707103    1021    26234    SH    DEFINED  01,02          17534        0     8700
BAXTER INTERNATIONAL INC     Common Stock   071813109   16748   209840    SH    DEFINED  01,02,03,04   198025        0    11815
BAXTER INTERNATIONAL INC     Common Stock   071813109    3240    40592    SH    OTHER                   39232      300     1060
BAY VIEW CAP CORP CALIF      Common Stock   07262L101      25     2348    SH    DEFINED  01              2348        0        0
BAY VIEW CAP CORP CALIF      Common Stock   07262L101       3      284    SH    OTHER                     284        0        0
BE AEROSPACE INC             Common Stock   073302101     453    28100    SH    DEFINED  01,02,03       28100        0        0
BEA SYSTEMS INC              Common Stock   073325102    1412    18127    SH    DEFINED  01             18000        0      127
BEA SYSTEMS INC              Common Stock   073325102      81     1042    SH    OTHER                     400        0      642
BEAR STEARNS COS INC         Common Stock   073902108    2248    35686    SH    DEFINED  01,02,03       34269        0     1417
BEAR STEARNS COS INC         Common Stock   073902108      22      346    SH    OTHER                       0        0      346
BECTON DICKINSON & CO        Common Stock   075887109    3201   121081    SH    DEFINED  01,02,03       82681        0    38400
BECTON DICKINSON & CO        Common Stock   075887109       8      300    SH    OTHER                     300        0        0
BED BATH & BEYOND INC        Common Stock   075896100    3282   134565    SH    DEFINED  01,02,03      118438        0    16127
BED BATH & BEYOND INC        Common Stock   075896100     499    20451    SH    OTHER                   12700        0     7751
BELDEN INC                   Common Stock   077459105     645    27300    SH    DEFINED  01,02,03       27300        0        0
BELL & HOWELL CO             Common Stock   077852101      37     1700    SH    DEFINED  01              1700        0        0
BELLSOUTH CORP               Common Stock   079860102   35157   873455    SH    DEFINED  01,02,03,04   834198     1395    37862
BELLSOUTH CORP               Common Stock   079860102   12647   314214    SH    OTHER                  197288    95738    21188
BELO A H CORP SER A          Common Stock   080555105    1853   100488    SH    DEFINED  01,02,03       81888        0    18600
BEMIS INC                    Common Stock   081437105     602    18739    SH    DEFINED  01,02          16859        0     1880
BEMIS INC                    Common Stock   081437105     262     8145    SH    OTHER                    7400      400      345
BENCHMARK ELECTRONICS INC    Common Stock   08160H101    1105    21250    SH    DEFINED  01,02,03       21250        0        0
BERGEN BRUNSWIG CORP CL A    Common Stock   083739102    1471   125884    SH    DEFINED  01,02,03       94547        0    31337
BERGEN BRUNSWIG CORP CL A    Common Stock   083739102       3      250    SH    OTHER                     250        0        0
BERINGER WINE ESTATES HLDGS ICommon Stock   084102102    1222    22000    SH    DEFINED  01,02,03       22000        0        0
BERKLEY W R                  Common Stock   084423102      62     1800    SH    DEFINED  01              1800        0        0
BERKSHIRE HATHAWAY INC DEL   Common Stock   084670108    7394      115    SH    DEFINED  01               115        0        0
BERKSHIRE HATHAWAY INC DEL   Common Stock   084670108      64        1    SH    OTHER                       1        0        0
BERKSHIRE HATHAWAY INC CL B  Common Stock   084670207     909      439    SH    DEFINED  01               190        0      249
BERKSHIRE HATHAWAY INC CL B  Common Stock   084670207     455      220    SH    OTHER                     156        0       64
BEST BUY INC                 Common Stock   086516101    4321    67908    SH    DEFINED  01,02,03       65556        0     2352
BEST BUY INC                 Common Stock   086516101      42      655    SH    OTHER                     500        0      155
BETHLEHEM STEEL CORP         Common Stock   087509105     126    41930    SH    DEFINED  01,02          40730        0     1200
BETHLEHEM STEEL CORP         Common Stock   087509105       1      195    SH    OTHER                     195        0        0
BILLING CONCEPTS CORP        Common Stock   090063108     150    47200    SH    DEFINED  01,02,03       47200        0        0
BINDLEY WESTN INDS INC       Common Stock   090324104    1447    45224    SH    DEFINED  01,02,03       41447        0     3777
BINGHAM FINL SVCS CORP       Common Stock   090433103       5     2500    SH    DEFINED  01              2500        0        0
BIO TECHNOLOGY GEN CORP      Common Stock   090578105     750    65600    SH    DEFINED  01,02,03       59600        0     6000
BIO TECHNOLOGY GEN CORP      Common Stock   090578105      34     3000    SH    OTHER                       0        0     3000
BIOCONTROL TECHNOLOGY INC    Common Stock   090586108       9    73673    SH    DEFINED  01             73673        0        0
BIOCONTROL TECHNOLOGY INC    Common Stock   090586108       1     5000    SH    OTHER                    5000        0        0
BIOCRYST PHARMACEUTICALS INC Common Stock   09058V103      26     1250    SH    DEFINED  01              1250        0        0
BIOGEN INC                   Common Stock   090597105    4613    75628    SH    DEFINED  01,02,04       54911        0    20717
BIOGEN INC                   Common Stock   090597105    2511    41166    SH    OTHER                   32800        0     8366
BIOMATRIX INC                Common Stock   09060P102     655    37450    SH    DEFINED  01,02,03       35650        0     1800
BIOMATRIX INC                Common Stock   09060P102     190    10850    SH    OTHER                   10450        0      400
BIOMET INC                   Common Stock   090613100   41418  1183358    SH    DEFINED  01,02,04     1125940     4437    52980
BIOMET INC                   Common Stock   090613100    5216   149034    SH    OTHER                  129933    15246     3855
BIOSITE DIAGNOSTICS INC      Common Stock   090945106      40     1000    SH    DEFINED  01              1000        0        0
BIRMINGHAM STEEL CORP        Common Stock   091250100      93    34750    SH    DEFINED  01,02,03       34750        0        0
BIRMINGHAM STEEL CORP        Common Stock   091250100       0      100    SH    OTHER                     100        0        0
BLACK & DECKER CORP          Common Stock   091797100     967    28286    SH    DEFINED  01,02,03       26486        0     1800
BLACK & DECKER CORP          Common Stock   091797100     337     9870    SH    OTHER                    9870        0        0
BLACK BOX CORPORATION        Common Stock   091826107     985    21120    SH    DEFINED  01,02,03       21120        0        0
BLACK HILLS CORP             Common Stock   092113109     736    26244    SH    DEFINED  01,02,03,04    23294        0     2950
BLACK HILLS CORP             Common Stock   092113109     244     8700    SH    OTHER                    8700        0        0
BLANCH E W HLDGS INC         Common Stock   093210102     317    15255    SH    DEFINED  01,02,03       14400        0      855
BLANCH E W HLDGS INC         Common Stock   093210102       6      300    SH    OTHER                       0        0      300
BLOCK DRUGS INC CL A         Common Stock   093644102      71     1657    SH    DEFINED  01              1657        0        0
BLOCK H & R INC              Common Stock   093671105    2198    59310    SH    DEFINED  01,02,03,04    55285        0     4025
BLOCK H & R INC              Common Stock   093671105     934    25200    SH    OTHER                   13850    11350        0
BLYTH INC                    Common Stock   09643P108     926    39500    SH    DEFINED  01,02,03       33300        0     6200
BOB EVANS FARMS              Common Stock   096761101     574    31007    SH    DEFINED  01,02,03       26222        0     4785
BOEING CO                    Common Stock   097023105   18983   301311    SH    DEFINED  01,03,04      288899      237    12175
BOEING CO                    Common Stock   097023105    1654    26251    SH    OTHER                   10660     3528    12063
BOISE CASCADE CORP           Common Stock   097383103     764    28754    SH    DEFINED  01,02,04       28154        0      600
BOMBAY INC                   Common Stock   097924104      92    37612    SH    DEFINED  01,02,03       37612        0        0
BOOKS-A-MILLION INC          Common Stock   098570104      53    20200    SH    DEFINED  01,02,03       20200        0        0
BORDERS GROUP INC            Common Stock   099709107    1020    73180    SH    DEFINED  01,02,03,04    62080        0    11100
BORDERS GROUP INC            Common Stock   099709107      29     2070    SH    OTHER                    2070        0        0
BORG WARNER INC              Common Stock   099724106     873    26355    SH    DEFINED  01,02,03       19495        0     6860
BORG WARNER INC              Common Stock   099724106      17      500    SH    OTHER                     500        0        0
BOSTON CHICKEN CV            Other          100578AC7       0    12000    PRN   DEFINED  01             12000        0        0
BOSTON PPTYS INC             Common Stock   101121101     571    13300    SH    DEFINED  01,02           3400        0     9900
BOSTON PPTYS INC             Common Stock   101121101      11      250    SH    OTHER                     250        0        0
BOSTON SCIENTIFIC CORP       Common Stock   101137107    2205   134164    SH    DEFINED  01,02,03      130424        0     3740
BOSTON SCIENTIFIC CORP       Common Stock   101137107      18     1100    SH    OTHER                    1100        0        0
BOWATER  INC                 Common Stock   102183100    1992    42893    SH    DEFINED  01,02,03       34993        0     7900
BOWNE & CO INC               Common Stock   103043105     367    37600    SH    DEFINED  01,02,03       37600        0        0
BRADY CORPORATION CL A       Common Stock   104674106     786    26000    SH    DEFINED  01,02,03       25500        0      500
BRIGGS & STRATTON CORP       Common Stock   109043109     270     7152    SH    DEFINED  01,02           6842       10      300
BRIGHTPOINT INC              Common Stock   109473108     325    64524    SH    DEFINED  01,02,03       62753        0     1771
BRINKER INTL INC             Common Stock   109641100   10446   346759    SH    DEFINED  01,02,03      330314      200    16245
BRINKER INTL INC             Common Stock   109641100     667    22130    SH    OTHER                   21150      760      220
BRISTOL MYERS SQUIBB CO      Common Stock   110122108   56909   996210    SH    DEFINED  01,02,03,04   872470     2516   121224
BRISTOL MYERS SQUIBB CO      Common Stock   110122108   19434   340196    SH    OTHER                  280984    39665    19547
BROADVISION INC              Common Stock   111412102     657    25565    SH    DEFINED  01             20823        0     4742
BROADVISION INC              Common Stock   111412102      38     1491    SH    OTHER                       0        0     1491
BROOKTROUT INC               Common Stock   114580103     451    13700    SH    DEFINED  01,02,03       13700        0        0
BROWN FORMAN CORP CL B       Common Stock   115637209    1210    22098    SH    DEFINED  01,02          21298        0      800
BROWN TOM INC NEW            Common Stock   115660201      78     3200    SH    DEFINED  01,02           3200        0        0
BROWN TOM INC NEW            Common Stock   115660201       7      300    SH    OTHER                     300        0        0
BRUNSWICK CORP               Common Stock   117043109     656    35969    SH    DEFINED  01,02,03       34969        0     1000
BRUSH ENGINEERED MATERIALS INCommon Stock   117421107     396    18300    SH    DEFINED  01,02,03       18300        0        0
BRUSH ENGINEERED MATERIALS INCommon Stock   117421107      12      537    SH    OTHER                     537        0        0
BUCKEYE TECHNOLOGY INC       Common Stock   118255108     811    39100    SH    DEFINED  01,02,03       39100        0        0
BUDGET GROUP INC             Common Stock   119003101     157    40450    SH    DEFINED  01             40450        0        0
BUFFETS INC                  Common Stock   119882108     470    34198    SH    DEFINED  01,02,03       28898        0     5300
BUILDING MATERIALS HLDG CORP Common Stock   120113105     126    14200    SH    DEFINED  01,02,03       14200        0        0
BURLINGTON COAT FACT WAREHS CCommon Stock   121579106     708    49500    SH    DEFINED  01,02,03       49500        0        0
BURLINGTON NORTHERN SANTA FE Common Stock   12189T104    3291   152607    SH    DEFINED  01,02,03,04   138303     4500     9804
BURLINGTON NORTHERN SANTA FE Common Stock   12189T104     244    11321    SH    OTHER                    9801     1395      125
BURLINGTON RESOURCES INC     Common Stock   122014103    4744   128876    SH    DEFINED  01,02,03,04   124679        0     4197
BURLINGTON RESOURCES INC     Common Stock   122014103     295     8009    SH    OTHER                    7052      697      260
BURZYNSKI RESH INST INC      Common Stock   123159105       1    29000    SH    DEFINED  01             29000        0        0
BUSH BOAKE ALLEN INC         Common Stock   123162109      67     1400    SH    DEFINED  01              1400        0        0

</TABLE>
<PAGE>

<TABLE>
<CAPTION>
<S>                          <C>            <C>        <C>      <C>      <C>    <C>      <C>           <C>      <C>        <C>
C & D TECHNOLOGIES INC       Common Stock   124661109    2107    37130    SH    DEFINED  01,02,03       36850        0      280
C & D TECHNOLOGIES INC       Common Stock   124661109      25      445    SH    OTHER                     400        0       45
C-COR.NET CORP               Common Stock   125010108     603    39400    SH    DEFINED  01,02,03       39400        0        0
C D I CORP                   Common Stock   125071100     341    21300    SH    DEFINED  01,02,03       21300        0        0
CDW COMPUTER CTRS INC        Common Stock   125129106    5128    74320    SH    DEFINED  01,02,03       62940        0    11380
C H ROBINSON WORLDWIDE INC   Common Stock   12541W100    2006    35590    SH    DEFINED  01,02,03       29300        0     6290
C H ROBINSON WORLDWIDE INC   Common Stock   12541W100      13      225    SH    OTHER                       0        0      225
CIGNA CORP                   Common Stock   125509109    6483    62100    SH    DEFINED  01,02,03       58046        0     4054
CIGNA CORP                   Common Stock   125509109     319     3060    SH    OTHER                    2619        0      441
CIT GROUP INC CL A           Common Stock   125577106    1477    84375    SH    DEFINED  01,02,03       81400        0     2975
CIT GROUP INC CL A           Common Stock   125577106      12      685    SH    OTHER                       0        0      685
CKE RESTAURANTS INC          Common Stock   12561E105     173    56323    SH    DEFINED  01,02,03       56323        0        0
CMGI INC                     Common Stock   125750109    2369    84782    SH    DEFINED  01             83782        0     1000
CMGI INC                     Common Stock   125750109     572    20490    SH    OTHER                   20185      150      155
CMS ENERGY CORP              Common Stock   125896100    1594    59165    SH    DEFINED  01,02,03,04    57365        0     1800
CMS ENERGY CORP              Common Stock   125896100     188     6967    SH    OTHER                    6342      625        0
CPI CORP                     Common Stock   125902106     185     8700    SH    DEFINED  01,02,03        8700        0        0
CNA FINANCIAL CORP           Common Stock   126117100     731    19100    SH    DEFINED  01             19100        0        0
CNF TRANSPORTATION INC       Common Stock   12612W104     890    39983    SH    DEFINED  01,02,03       33783        0     6200
CSG SYSTEMS INTL INC         Common Stock   126349109    1285    44300    SH    DEFINED  01,02,03       36400        0     7900
CSG SYSTEMS INTL INC         Common Stock   126349109       9      295    SH    OTHER                       0        0      295
CSX CORP                     Common Stock   126408103    2109    96703    SH    DEFINED  01,02,03       91403        0     5300
CSX CORP                     Common Stock   126408103     100     4583    SH    OTHER                    3783      500      300
CTS CORP                     Common Stock   126501105    3111    61450    SH    DEFINED  01,02,03       44450        0    17000
CTS CORP                     Common Stock   126501105      73     1450    SH    OTHER                    1450        0        0
CUNO INC                     Common Stock   126583103     472    21200    SH    DEFINED  01,02,03       21200        0        0
CVS CORPORATION (DEL)        Common Stock   126650100   10165   219495    SH    DEFINED  01,02,03,04   196141     1144    22210
CVS CORPORATION (DEL)        Common Stock   126650100    1477    31892    SH    OTHER                   29616     1100     1176
CABLEVISION SYSTEMS CORP     Common Stock   12686C109    5420    81736    SH    DEFINED  01             76572        0     5164
CABLEVISION SYSTEMS CORP     Common Stock   12686C109    2459    37079    SH    OTHER                   35811     1048      220
CABLETRON SYS INC            Common Stock   126920107    1904    64834    SH    DEFINED  01,02,03       62774        0     2060
CABLETRON SYS INC            Common Stock   126920107      32     1074    SH    OTHER                     774        0      300
CABLE DESIGN TECHNOLOGIES CORCommon Stock   126924109    1171    48150    SH    DEFINED  01,02,03       48150        0        0
CABOT CORP                   Common Stock   127055101    1755    55386    SH    DEFINED  01,02,03       46886        0     8500
CABOT CORP                   Common Stock   127055101      57     1800    SH    OTHER                    1800        0        0
CABOT OIL & GAS CORP CL A    Common Stock   127097103     662    32468    SH    DEFINED  01,02,03       32468        0        0
CACI INTL INC CL A           Common Stock   127190304     274    12800    SH    DEFINED  01,02,03       12800        0        0
CADENCE DESIGN SYS INC       Common Stock   127387108    5281   205576    SH    DEFINED  01,02,03      173976        0    31600
CAL DIVE INTL INC            Common Stock   127914109    1007    17600    SH    DEFINED  01,02,03       17600        0        0
CALLAWAY GOLF CO             Common Stock   131193104     971    63177    SH    DEFINED  01,02,03       53477        0     9700
CALLAWAY GOLF CO             Common Stock   131193104      31     2000    SH    OTHER                    2000        0        0
CALPINE CORP                 Common Stock   131347106   12913   123720    SH    DEFINED  01,02,03      105760        0    17960
CALPINE CORP                 Common Stock   131347106      10      100    SH    OTHER                     100        0        0
CAMBREX CORP                 Common Stock   132011107    1077    29100    SH    DEFINED  01,02,03       29100        0        0
CAMBREX CORP                 Common Stock   132011107      19      520    SH    OTHER                     520        0        0
CAMBRIDGE TECH PARTNERS MASS Common Stock   132524109     227    51800    SH    DEFINED  01,02,03       43700        0     8100
CAMPBELL SOUP CO             Common Stock   134429109    3902   150788    SH    DEFINED  01,02,03      146788        0     4000
CAMPBELL SOUP CO             Common Stock   134429109     122     4700    SH    OTHER                    4700        0        0
CAPITAL ONE FINANCIAL CORP   Common Stock   14040H105    5403    77115    SH    DEFINED  01,02,03       75035        0     2080
CAPITAL ONE FINANCIAL CORP   Common Stock   14040H105      80     1145    SH    OTHER                    1145        0        0
CARAUSTAR INDS INC           Common Stock   140909102     319    28800    SH    DEFINED  01,02,03       28800        0        0
CARDINAL HEALTH INC          Common Stock   14149Y108   33668   381777    SH    DEFINED  01,02,03      370153      200    11424
CARDINAL HEALTH INC          Common Stock   14149Y108    4759    53966    SH    OTHER                   33677    20024      265
CARLISLE COMPANIES INC       Common Stock   142339100    1134    27322    SH    DEFINED  01,02,03,04    23422        0     3900
CARMIKE CINEMAS INC CL A     Common Stock   143436103      14    20000    SH    DEFINED  01             20000        0        0
CARNIVAL CORP COMMON         Common Stock   143658102   18640   756959    SH    DEFINED  01,02,03      739568      200    17191
CARNIVAL CORP COMMON         Common Stock   143658102    3343   135745    SH    OTHER                  118530    14962     2253
CARPENTER TECHNOLOGY CORP    Common Stock   144285103     564    19380    SH    DEFINED  01,02,03       16580        0     2800
CARTER WALLACE INC           Common Stock   146285101    1016    41566    SH    DEFINED  01,02,03       30266        0    11300
CASCADE NAT GAS CORP         Common Stock   147339105     334    19070    SH    DEFINED  01,02,03       19070        0        0
CASEYS GENERAL STORES        Common Stock   147528103     722    55500    SH    DEFINED  01,02,03       55500        0        0
CASH AMER INTL INC           Common Stock   14754D100     211    28800    SH    DEFINED  01,02,03       28800        0        0
CASTLE A M & CO              Common Stock   148411101     152    15750    SH    DEFINED  01,02,03       15750        0        0
CATALINA MARKETING CORP      Common Stock   148867104    2365    62855    SH    DEFINED  01,02,03       61700        0     1155
CATALINA MARKETING CORP      Common Stock   148867104      12      310    SH    OTHER                       0        0      310
CATELLUS DEV CORP            Common Stock   149111106     443    25300    SH    DEFINED  01,02           8600        0    16700
CATELLUS DEV CORP            Common Stock   149111106      14      799    SH    OTHER                       0      799        0
CATERPILLAR INC              Common Stock   149123101    3964   117453    SH    DEFINED  01,02,03      112513        0     4940
CATERPILLAR INC              Common Stock   149123101    1786    52931    SH    OTHER                   52556        0      375
CATO CORP NEW CL A           Common Stock   149205106     348    27800    SH    DEFINED  01,02,03       27800        0        0
CELL GENESYS INC             Common Stock   150921104      73     2428    SH    DEFINED  01              2428        0        0
CELL GENESYS INC             Common Stock   150921104     173     5775    SH    OTHER                    5775        0        0
CELLSTAR CORP                Common Stock   150925105      14     4300    SH    DEFINED  01              4300        0        0
CELGENE CORP                 Common Stock   151020104     470     7900    SH    DEFINED  01,02           4600        0     3300
CELGENE CORP                 Common Stock   151020104       4       75    SH    OTHER                       0        0       75
CENTEX CORP                  Common Stock   152312104     641    19960    SH    DEFINED  01,02          19260        0      700
CENTEX CORP                  Common Stock   152312104       6      200    SH    OTHER                     200        0        0
CENTRAL GARDEN & PET CO      Common Stock   153527106      27     3900    SH    DEFINED  01              3900        0        0
CENTRAL PARKING CORP         Common Stock   154785109     810    40900    SH    DEFINED  01,02,03       40900        0        0
CENTRAL VERMONT PUB SERVICE CCommon Stock   155771108     130    12800    SH    DEFINED  01,02,03       12800        0        0
CENTRUM INDUSTRIES INC       Common Stock   15640H106      14    66667    SH    DEFINED  01             66667        0        0
CENTURA BKS INC              Common Stock   15640T100    1709    44600    SH    DEFINED  01,02,03       44600        0        0
CENTURY ALUMINUM CO          Common Stock   156431108      19     1500    SH    DEFINED  01              1500        0        0
CEPHALON INC                 Common Stock   156708109    2066    42600    SH    DEFINED  01,02,03       39000        0     3600
CERIDIAN CORP                Common Stock   15677T106    1307    46589    SH    DEFINED  01,02,03       45219        0     1370
CERNER CORP                  Common Stock   156782104    1760    37900    SH    DEFINED  01,02,03       37900        0        0
CERUS CORP                   Common Stock   157085101      50      900    SH    DEFINED  01               900        0        0
CHAMPION ENTERPRISES INC     Common Stock   158496109     226    53280    SH    DEFINED  01,02,03       53280        0        0
CHAMPION ENTERPRISES INC     Common Stock   158496109       0      100    SH    OTHER                     100        0        0
CHARTER ONE FINL INC         Common Stock   160903100    2659   109079    SH    DEFINED  01,02,03      102421        0     6658
CHARTER ONE FINL INC         Common Stock   160903100     250    10260    SH    OTHER                   10260        0        0
CHARMING SHOPPES INC         Common Stock   161133103      38     7200    SH    DEFINED  01              7200        0        0
CHARTER NATL BANCORP TAYLOR MCommon Stock   161244108     260     2656    SH    OTHER                    2182      474        0
CHASE MANHATTAN CORP NEW     Common Stock   16161A108   23542   509705    SH    DEFINED  01,02,03,04   474215      300    35190
CHASE MANHATTAN CORP NEW     Common Stock   16161A108    1797    38916    SH    OTHER                   21370     9609     7937
CHATTEM INC                  Common Stock   162456107       7      700    SH    DEFINED  01,02              0        0      700
CHECKPOINT SYS INC           Common Stock   162825103     406    53700    SH    DEFINED  01,02,03       33700        0    20000
CHEESECAKE FACTORY INC       Common Stock   163072101    1490    34450    SH    DEFINED  01,02,03       34450        0        0
CHEMED CORP                  Common Stock   163596109     359    11300    SH    DEFINED  01,02,03       11300        0        0
CHEMED CORP                  Common Stock   163596109      64     2000    SH    OTHER                    2000        0        0
CHEMFIRST INC                Common Stock   16361A106     393    18890    SH    DEFINED  01,02,03       17090        0     1800
CHEMICAL FINL CORP           Common Stock   163731102     154     6562    SH    DEFINED  01              6562        0        0
CHEMICAL FINL CORP           Common Stock   163731102     146     6225    SH    OTHER                    6225        0        0
CHESAPEAKE CORP              Common Stock   165159104     243    12632    SH    DEFINED  01,02,03       10632        0     2000
CHESAPEAKE ENERGY CORP       Common Stock   165167107      77    10750    SH    DEFINED  01             10750        0        0
CHEVRON CORPORATION          Common Stock   166751107   23239   272599    SH    DEFINED  01,02,03,04   256830        0    15769
CHEVRON CORPORATION          Common Stock   166751107    3291    38608    SH    OTHER                   32021     3036     3551
CHICOS FAS INC               Common Stock   168615102     663    19500    SH    DEFINED  01,02,03       19500        0        0
CHIQUITA BRANDS INTL INC     Common Stock   170032106     232    74400    SH    DEFINED  01,02,03       74400        0        0
CHIQUITA BRANDS INTL INC     Common Stock   170032106      12     4000    SH    OTHER                    4000        0        0
CHIRON CORP                  Common Stock   170040109    7903   175620    SH    DEFINED  01,02,03      129820        0    45800
CHIRON CORP                  Common Stock   170040109    3691    82015    SH    OTHER                   49675        0    32340
CHITTENDEN CORP              Common Stock   170228100     766    29800    SH    DEFINED  01,02,03       29800        0        0
CHOICEPOINT INC              Common Stock   170388102    2078    45304    SH    DEFINED  01,02,03       45224        0       80
CHOICEPOINT INC              Common Stock   170388102     347     7558    SH    OTHER                    7158      400        0
CHRIS CRAFT INDS INC         Common Stock   170520100    2376    28842    SH    DEFINED  01,02,03       24365        0     4477
CHRIS CRAFT INDS INC         Common Stock   170520100      32      390    SH    OTHER                     390        0        0
CHRONIMED INC                Common Stock   171164106      10     1400    SH    DEFINED  01,02              0        0     1400
CHUBB CORP                   Common Stock   171232101    5373    67903    SH    DEFINED  01,02,03,04    65903        0     2000
CHUBB CORP                   Common Stock   171232101    1642    20750    SH    OTHER                   20750        0        0
CHURCH & DWIGHT INC          Common Stock   171340102     577    31420    SH    DEFINED  01,02,03       26520        0     4900
CIBER INC                    Common Stock   17163B102     549    66600    SH    DEFINED  01,02,03       66600        0        0
CIENA CORP                   Common Stock   171779101    3089    25151    SH    DEFINED  01             21813        0     3338
CIENA CORP                   Common Stock   171779101     122      996    SH    OTHER                     396        0      600
CINAR CORPORATION            Common Stock   171905300       1      200    SH    DEFINED  01               200        0        0
CINCINNATI FINANCIAL CORP    Common Stock   172062101    2066    58196    SH    DEFINED  01,02,03,04    54496        0     3700
CINCINNATI FINANCIAL CORP    Common Stock   172062101     449    12645    SH    OTHER                   11565        0     1080
CINCINNATI FINL CONV         Other          172062AB7     179    75000    SH    OTHER                       0        0    75000
CINERGY CORP                 Common Stock   172474108    2044    61821    SH    DEFINED  01,02,03       59252        0     2569
CINERGY CORP                 Common Stock   172474108     110     3320    SH    OTHER                    3100        0      220
CIRCLE INTERNATIONAL INC     Common Stock   172574105     614    20300    SH    DEFINED  01,02,03       19800        0      500
CIRCUIT CITY GROUP           Common Stock   172737108    1598    69484    SH    DEFINED  01,02,03       66924        0     2560
CIRCUIT CITY GROUP           Common Stock   172737108      22      960    SH    OTHER                     230        0      730
CIRRUS LOGIC INC             Common Stock   172755100    2190    54333    SH    DEFINED  01,02,03       45833        0     8500
CISCO SYS INC                Common Stock   17275R102  214744  3886766    SH    DEFINED  01,02,03,04  3672209     4820   209737
CISCO SYS INC                Common Stock   17275R102   20673   374175    SH    OTHER                  309153    30933    34089
CINTAS CORP                  Common Stock   172908105    8228   188868    SH    DEFINED  01,02,03,04   167335        0    21533
CINTAS CORP                  Common Stock   172908105    1153    26471    SH    OTHER                   12749     9900     3822
CITIZENS BANKING             Common Stock   174420109    1268    55132    SH    DEFINED  01             55132        0        0
CITIZENS BANKING             Common Stock   174420109    1874    81498    SH    OTHER                   68169        0    13329
CITIZENS NATL BK BLUFFTON OH                175144104     364      520          OTHER                       0      520        0
CITIZENS UTILS TR CV PFD     Preferred Stock177351202      11      200    PRN   OTHER                       0      200        0
CITRIX SYS INC               Common Stock   177376100    1265    63061    SH    DEFINED  01,02,03       61261        0     1800
CITRIX SYS INC               Common Stock   177376100      15      755    SH    OTHER                     400        0      355
CITY NATL CORP               Common Stock   178566105    1520    39359    SH    DEFINED  01,02,03       33259        0     6100
CITY NATL CORP               Common Stock   178566105      15      397    SH    OTHER                     397        0        0
CLAIRES STORES INC           Common Stock   179584107     837    46511    SH    DEFINED  01,02,03       36856        0     9655
CLAIRES STORES INC           Common Stock   179584107      12      680    SH    OTHER                       0        0      680
CLARCOR INC                  Common Stock   179895107     527    27050    SH    DEFINED  01,02,03       27050        0        0
CLARCOR INC                  Common Stock   179895107      58     3000    SH    OTHER                    3000        0        0
CLAYTON HOMES INC CO         Common Stock   184190106    2889   288943    SH    DEFINED  01,02,03,04   251616        0    37327
CLAYTON HOMES INC CO         Common Stock   184190106     365    36493    SH    OTHER                   27243     8375      875
CLEAR CHANNEL COMMUNICATIONS Common Stock   184502102   11629   205816    SH    DEFINED  01,02,03      191557        0    14259
CLEAR CHANNEL COMMUNICATIONS Common Stock   184502102     249     4402    SH    OTHER                    1260       85     3057
CLEVELAND CLIFFS INC         Common Stock   185896107     218     9518    SH    DEFINED  01,02,03        8218        0     1300
CLEVELAND CLIFFS INC         Common Stock   185896107       7      300    SH    OTHER                     300        0        0
CLOROX CO                    Common Stock   189054109    3339    84391    SH    DEFINED  01,02,03,04    80723        0     3668
CLOROX CO                    Common Stock   189054109     274     6928    SH    OTHER                    4850        0     2078
COACHMEN INDS INC            Common Stock   189873102     182    17400    SH    DEFINED  01,02,03       17400        0        0
COASTAL CORP                 Common Stock   190441105   14525   195959    SH    DEFINED  01,02,03      182807        0    13152
COASTAL CORP                 Common Stock   190441105    1148    15488    SH    OTHER                   13150        0     2338
COCA COLA BOTTLING CO CONS   Common Stock   191098102     411     9800    SH    DEFINED  01,02,03        9800        0        0
COCA COLA CO                 Common Stock   191216100   60376  1095248    SH    DEFINED  01,02,03,04  1042559     4175    48514
COCA COLA CO                 Common Stock   191216100   18234   330780    SH    OTHER                  213652    92414    24714
COCA COLA ENTERPRISES INC    Common Stock   191219104    2132   133758    SH    DEFINED  01,02,03      129758        0     4000
COGNEX CORP                  Common Stock   192422103    1913    48500    SH    DEFINED  01,02,03       48500        0        0
COGNEX CORP                  Common Stock   192422103      10      260    SH    OTHER                     260        0        0
COGNOS INC                   Common Stock   19244C109     424    10400    SH    DEFINED  01,02,03        9800        0      600
COHERENT INC                 Common Stock   192479103    2145    31550    SH    DEFINED  01,02,03       31550        0        0
COHU INC                     Common Stock   192576106     348    22700    SH    DEFINED  01,02,03       22700        0        0
COINSTAR INC                 Common Stock   19259P300      19     1400    SH    DEFINED  01              1400        0        0
COLDWATER CREEK INC          Common Stock   193068103      20      750    SH    DEFINED  01               750        0        0
KENNETH COLE PRODUCTIONS CL ACommon Stock   193294105      35     1000    SH    DEFINED  01              1000        0        0
COLGATE PALMOLIVE CO         Common Stock   194162103   21363   452602    SH    DEFINED  01,02,03,04   425916     2640    24046
COLGATE PALMOLIVE CO         Common Stock   194162103   10226   216656    SH    OTHER                  202211     8040     6405
COLONIAL BANCGROUP           Common Stock   195493309      82     7900    SH    DEFINED  01              7900        0        0
COLUMBIA ENERGY GROUP        Common Stock   197648108    2032    28613    SH    DEFINED  01,02,03       27813        0      800
COLUMBIA ENERGY GROUP        Common Stock   197648108     121     1700    SH    OTHER                    1700        0        0
COMCAST CORP CLASS A SPL     Common Stock   200300200   14282   348867    SH    DEFINED  01,02,03,04   335597        0    13270
COMCAST CORP CLASS A SPL     Common Stock   200300200     198     4845    SH    OTHER                    3035        0     1810
COMDISCO INC                 Common Stock   200336105    2457   128885    SH    DEFINED  01,02,03      108534        0    20351
COMERICA INC                 Common Stock   200340107   72838  1246419    SH    DEFINED  01,02,03,04  1057926     2405   186088
COMERICA INC                 Common Stock   200340107   55386   947767    SH    OTHER                  651249   107057   189461
COMMERCE BANCORP INC N J     Common Stock   200519106    2018    34677    SH    DEFINED  01,02,03       34677        0        0
COMMERCE BANCSHARES INC      Common Stock   200525103     216     5878    SH    DEFINED  01              4408        0     1470
COMMERCIAL FEDERAL CORP      Common Stock   201647104    1209    63200    SH    DEFINED  01,02,03       63200        0        0
COMMERCIAL METAL CO          Common Stock   201723103     405    15866    SH    DEFINED  01,02,03       15866        0        0
COMMONWEALTH INDUSTRIES INC  Common Stock   203004106     103    18500    SH    DEFINED  01,02,03       18500        0        0
COMMSCOPE INC                Common Stock   203372107    1031    42100    SH    DEFINED  01,02,03       35500        0     6600
COMMUNITY FIRST BANKSHARES INCommon Stock   203902101     880    50100    SH    DEFINED  01,02,03       50100        0        0
COMPAQ COMPUTER CORP         Common Stock   204493100   16199   587350    SH    DEFINED  01,03         552499        0    34851
COMPAQ COMPUTER CORP         Common Stock   204493100     481    17449    SH    OTHER                    7634      200     9615
COMPASS BANCSHARES INC       Common Stock   20449H109    1953   100150    SH    DEFINED  01,02,03       84650        0    15500
COMPLETE BUSINESS SOLUTIONS ICommon Stock   20452F107      35     2626    SH    DEFINED  01              2626        0        0
COMPUTER ASSOC INTL INC      Common Stock   204912109    5065   201078    SH    DEFINED  01,02,03,04   191801        0     9277
COMPUTER ASSOC INTL INC      Common Stock   204912109     236     9352    SH    OTHER                    8977        0      375
COMPUTER NETWORK TECHNOLOGY CCommon Stock   204925101     542    15780    SH    DEFINED  01              3780        0    12000
COMPUTER SCIENCES CORP       Common Stock   205363104   17232   232075    SH    DEFINED  01,02,03,04   219083      375    12617
COMPUTER SCIENCES CORP       Common Stock   205363104    4047    54503    SH    OTHER                   33624    19654     1225
COMPUTER TASK GROUP INC      Common Stock   205477102      96    30744    SH    DEFINED  01,02,03       30744        0        0
COMPUWARE CORP               Common Stock   205638109    5258   627781    SH    DEFINED  01,02,03,04   606586        0    21195
COMPUWARE CORP               Common Stock   205638109    3799   453671    SH    OTHER                  437556     9810     6305
COMVERSE TECHNOLOGY INC      Common Stock   205862402   17934   166060    SH    DEFINED  01,02,03      158585        0     7475
COMVERSE TECHNOLOGY INC      Common Stock   205862402     740     6850    SH    OTHER                    6850        0        0
CONAGRA INC                  Common Stock   205887102    4411   219844    SH    DEFINED  01,02,03,04   209424        0    10420
CONAGRA INC                  Common Stock   205887102    1506    75080    SH    OTHER                   71730     1210     2140
COMPUTER HORIZONS CORP       Common Stock   205908106      16     2275    SH    DEFINED  01              2275        0        0
CONCORD CAMERA CORP          Common Stock   206156101     265    10350    SH    DEFINED  01,02          10350        0        0
CONCORD CAMERA CORP          Common Stock   206156101      13      500    SH    OTHER                     500        0        0
CONCORD COMMUNICATIONS INC   Common Stock   206186108     482    18200    SH    DEFINED  01,02,03       18200        0        0
CONCORD EFS INC              Common Stock   206197105   19739   555775    SH    DEFINED  01,02,03,04   520731        0    35044
CONCORD EFS INC              Common Stock   206197105    2398    67515    SH    OTHER                   65010     1665      840
CONE MILLS CORP N C          Common Stock   206814105     129    28700    SH    DEFINED  01,02,03       28700        0        0
CONMED CORP                  Common Stock   207410101     255    18650    SH    DEFINED  01,02,03       17100        0     1550
CONNETICS CORPORATION        Common Stock   208192104      48     2000    SH    DEFINED  01              2000        0        0
CONSECO CO INC               Common Stock   208464107     956   125320    SH    DEFINED  01,02,03,04   122137        0     3183
CONSECO CO INC               Common Stock   208464107      15     1992    SH    OTHER                    1992        0        0
CONSOLIDATED GRAPHICS INC    Common Stock   209341106     172    14600    SH    DEFINED  01,02,03       14600        0        0
CONSOLIDATED PRODUCTS INC    Common Stock   209798107     260    32495    SH    DEFINED  01,02,03       32495        0        0
CONSOLIDATED STORES INC      Common Stock   210149100     522    38649    SH    DEFINED  01,02,03       37549        0     1100
CONSOLIDATED STORES INC      Common Stock   210149100      20     1475    SH    OTHER                    1475        0        0
CONTINENTAL AIRLS INC CL B   Common Stock   210795308     227     5000    SH    DEFINED  01              5000        0        0
COOPER CAMERON CORP          Common Stock   216640102    4101    55652    SH    DEFINED  01,02,03       48852        0     6800
COOPER CAMERON CORP          Common Stock   216640102     236     3200    SH    OTHER                    3200        0        0
COOPER COMPANIES INC         Common Stock   216648402     601    17000    SH    DEFINED  01,02,03       15800        0     1200
COOPER INDS INC              Common Stock   216669101    1728    49027    SH    DEFINED  01,02,03       46627        0     2400
COOPER INDS INC              Common Stock   216669101      86     2428    SH    OTHER                    2428        0        0
COOPER TIRE & RUBBER         Common Stock   216831107     261    25940    SH    DEFINED  01,02,03       25140        0      800
COOPER TIRE & RUBBER         Common Stock   216831107       4      360    SH    OTHER                     200      160        0
COORS ADOLPH CO CLASS B      Common Stock   217016104     730    11559    SH    DEFINED  01             11159        0      400
COPART INC                   Common Stock   217204106     839    60500    SH    DEFINED  01,02,03       60500        0        0
COR THERAPEUTICS INC         Common Stock   217753102    4063    65200    SH    DEFINED  01,02,03       59800        0     5400
CORAM HEALTHCARE CORP        Common Stock   218103109       0       79    SH    DEFINED  01,02              0        0       79
CORIXA CORP                  Common Stock   21887F100      74     1475    SH    DEFINED  01              1400        0       75
CORNING INCORPORATED         Common Stock   219350105   28279    95215    SH    DEFINED  01,02,03       91636        0     3579
CORNING INCORPORATED         Common Stock   219350105    2037     6858    SH    OTHER                    5669        0     1189
CORSAIR COMMUNICATIONS INC   Common Stock   220406102      23     2950    SH    DEFINED  01,02           2950        0        0
CORUS BANKSHARES INC         Common Stock   220873103      36     1000    SH    DEFINED  01              1000        0        0
COST PLUS INC                Common Stock   221485105     696    23100    SH    DEFINED  01,02,03       23100        0        0
COULTER PHARMACEUTICAL INC   Common Stock   222116105      72     2500    SH    DEFINED  01,02           1200        0     1300
COUNTRYWIDE CREDITS INDS INC Common Stock   222372104    1508    39953    SH    DEFINED  01,02,03       37038        0     2915
COUNTRYWIDE CREDITS INDS INC Common Stock   222372104      10      270    SH    OTHER                       0        0      270
COUNTY BANK CORP             Common Stock   222407108      21      500    SH    DEFINED  01               500        0        0
COVANCE INC                  Common Stock   222816100     426    52086    SH    DEFINED  01,02,03       40186        0    11900
COVANCE INC                  Common Stock   222816100       4      500    SH    OTHER                     500        0        0
COX COMMUNICATIONS INC CL A NCommon Stock   224044107    1681    43941    SH    DEFINED  01,04          42406        0     1535
COX COMMUNICATIONS INC CL A NCommon Stock   224044107       8      210    SH    OTHER                       0        0      210
COX RADIO INC CL A           Common Stock   224051102      47     2701    SH    DEFINED  01              2600        0      101
CRANE CO                     Common Stock   224399105     448    19563    SH    DEFINED  01,02,03       19038        0      525
CRANE CO                     Common Stock   224399105     114     4996    SH    OTHER                    4996        0        0
CRAY COMPUTER CORP           Common Stock   225222108       0     7500    SH    OTHER                    7500        0        0
CREDENCE SYSTEMS CORP        Common Stock   225302108    1227    40902    SH    DEFINED  01,02,03       34502        0     6400
CREDIT ACCEP CORP MICH       Common Stock   225310101      20     3200    SH    DEFINED  01              3200        0        0
CREE, INC                    Common Stock   225447101     302     2600    SH    DEFINED  01              2600        0        0
CROSS A T CO CL A            Common Stock   227478104     102    19000    SH    DEFINED  01,02,03       19000        0        0
CROSS TIMBERS OIL CO         Common Stock   227573102    1494    77880    SH    DEFINED  01,02,03       77880        0        0
CROWN CORK & SEAL INC        Common Stock   228255105     524    49027    SH    DEFINED  01,02,03       44367        0     4660
CROWN CORK & SEAL INC        Common Stock   228255105      33     3045    SH    OTHER                    1725        0     1320
CRYOLIFE INC                 Common Stock   228903100      66     1900    SH    DEFINED  01              1900        0        0
CUBIC CORP                   Common Stock   229669106      16      650    SH    DEFINED  01               650        0        0
CULLEN FROST                 Common Stock   229899109    1911    58805    SH    DEFINED  01,02,03       58805        0        0
CULLEN FROST                 Common Stock   229899109      20      600    SH    OTHER                     600        0        0
CUMMINS ENGINE INC           Common Stock   231021106     390    13015    SH    DEFINED  01             12515        0      500
CURATIVE HEALTH SERVICES INC Common Stock   231264102      58    10600    SH    DEFINED  01,02,03        9300        0     1300
CUTTER & BUCK INC            Common Stock   232217109     216    17400    SH    DEFINED  01,02          17400        0        0
CUTTER & BUCK INC            Common Stock   232217109      11      850    SH    OTHER                     850        0        0
CYBEROPTICS CORP             Common Stock   232517102      12      630    SH    DEFINED  01               550        0       80
CYBERONICS INC               Common Stock   23251P102      28     1300    SH    DEFINED  01              1300        0        0
CYGNUS INC                   Common Stock   232560102     351    31900    SH    DEFINED  01,02,03       29400        0     2500
CYGNUS INC                   Common Stock   232560102       1       91    SH    OTHER                      91        0        0
CYMER INC                    Common Stock   232572107     261     8505    SH    DEFINED  01,02           8505        0        0
CYMER INC                    Common Stock   232572107      40     1290    SH    OTHER                    1190      100        0
CYPRESS SEMICONDUCTOR CORP   Common Stock   232806109    4155    99970    SH    DEFINED  01,02,03       84470        0    15500
CYRK INTERNATIONAL INC       Common Stock   232817106      62    18000    SH    DEFINED  01,02,03       18000        0        0
CYTEC INDUSTRIES INC         Common Stock   232820100    1123    33576    SH    DEFINED  01,02,03       28376        0     5200
CYTEC INDUSTRIES INC         Common Stock   232820100      16      477    SH    OTHER                     477        0        0
CYTOGEN CORP                 Common Stock   232824102      33     5200    SH    DEFINED  01              5200        0        0
CYTOGEN CORP                 Common Stock   232824102      95    15000    SH    OTHER                   15000        0        0
CYTYC CORP                   Common Stock   232946103     112     2600    SH    DEFINED  01              2600        0        0
DPL INC                      Common Stock   233293109    4154   139624    SH    DEFINED  01,02,03,04   121159        0    18465
DPL INC                      Common Stock   233293109     437    14695    SH    OTHER                    7375      700     6620
DQE INC                      Common Stock   23329J104    2009    50059    SH    DEFINED  01,02,03       42459        0     7600
DQE INC                      Common Stock   23329J104      15      380    SH    OTHER                       0      380        0
D R HORTON INC               Common Stock   23331A109    1293    75243    SH    DEFINED  01,02,03       75243        0        0
D R HORTON INC               Common Stock   23331A109      19     1090    SH    OTHER                       0        0     1090
DST SYSTEMS INC              Common Stock   233326107    6104    51950    SH    DEFINED  01,02,03       43850        0     8100
DSP GROUP INC                Common Stock   23332B106    1250    33450    SH    DEFINED  01,02,03       30050        0     3400
DSP GROUP INC                Common Stock   23332B106      22      600    SH    OTHER                     600        0        0
DTE ENERGY CO                Common Stock   233331107    5027   131414    SH    DEFINED  01,02,03,04   127914        0     3500
DTE ENERGY CO                Common Stock   233331107     567    14825    SH    OTHER                   13525     1300        0
DVI INC                      Common Stock   233343102     218    11200    SH    DEFINED  01              1200        0    10000
DAL-TILE INTERNATIONAL INC   Common Stock   23426R108      49     3900    SH    DEFINED  01              3900        0        0
DALLAS SEMICONDUCTOR         Common Stock   235204104    2376    72285    SH    DEFINED  01,02,03       71000        0     1285
DALLAS SEMICONDUCTOR         Common Stock   235204104     169     5145    SH    OTHER                     800        0     4345
DANA CORP                    Common Stock   235811106    1129    52506    SH    DEFINED  01,02,03       51063        0     1443
DANA CORP                    Common Stock   235811106    6273   291760    SH    OTHER                    3760   288000        0
DANAHER CORP                 Common Stock   235851102    3494    70235    SH    DEFINED  01,02,03       68735        0     1500
DANAHER CORP                 Common Stock   235851102     162     3250    SH    OTHER                    3250        0        0
DARDEN RESTAURANTS INC       Common Stock   237194105     820    39386    SH    DEFINED  01,02,03       38086        0     1300
DARDEN RESTAURANTS INC       Common Stock   237194105      59     2840    SH    OTHER                    2840        0        0
DATASCOPE CORP               Common Stock   238113104     616    18400    SH    DEFINED  01,02,03       16600        0     1800
DAVOX CORP                   Common Stock   239208101     157    15650    SH    DEFINED  01,02,03       15650        0        0
DEAN FOODS INC               Common Stock   242361103     975    29324    SH    DEFINED  01,02,03       24724        0     4600
DEAN FOODS INC               Common Stock   242361103      12      350    SH    OTHER                       0        0      350
DEERE & CO                   Common Stock   244199105    2863    86111    SH    DEFINED  01,02,03       83731        0     2380
DEERE & CO                   Common Stock   244199105      18      550    SH    OTHER                     520        0       30
DELL COMPUTER CORP           Common Stock   247025109   27858   904115    SH    DEFINED  01,02,03,04   843924        0    60191
DELL COMPUTER CORP           Common Stock   247025109     867    28133    SH    OTHER                   16694      195    11244
DELPHI FINL GROUP INC CL A   Common Stock   247131105     909    22437    SH    DEFINED  01,02,03       22437        0        0
DELTA & PINE LAND CO         Common Stock   247357106    1100    42839    SH    DEFINED  01,02,03       42839        0        0
DELTA AIR LINES INC DEL      Common Stock   247361108    2071    46667    SH    DEFINED  01,02,03,04    43502        0     3165
DELTA AIR LINES INC DEL      Common Stock   247361108      70     1580    SH    OTHER                     625        0      955
DELTIC TIMBER CORP           Common Stock   247850100     232    13700    SH    DEFINED  01,02,03       13700        0        0
DELUXE CORPORATION           Common Stock   248019101     580    28538    SH    DEFINED  01,02,03,04    27138        0     1400
DELUXE CORPORATION           Common Stock   248019101      61     3000    SH    OTHER                    3000        0        0
DENDRITE INTERNATIONAL INC   Common Stock   248239105    1341    50000    SH    DEFINED  01,02,03       44200        0     5800
DENTSPLY INTERNATIONAL INC   Common Stock   249030107    1723    49314    SH    DEFINED  01,02,03       36014        0    13300
DEPARTMENT 56 INC            Common Stock   249509100     212    16100    SH    DEFINED  01,02,03       16100        0        0
DETROIT-TEXAS GAS GATHERING WCommon Stock   251403101       0   337500    SH    OTHER                       0   337500        0
DEVRY INC DEL                Common Stock   251893103    2152    57200    SH    DEFINED  01,02,03       48300        0     8900
DEXTER CORP                  Common Stock   252165105      30      500    SH    DEFINED  01               500        0        0
DEXTER CORP                  Common Stock   252165105      30      500    SH    OTHER                     500        0        0
DIAGNOSTIC PRODUCTS CORP     Common Stock   252450101     901    16802    SH    DEFINED  01,02,03       15302        0     1500
DIAL CORP NEW                Common Stock   25247D101     941    80989    SH    DEFINED  01,02,03       67789     1000    12200
DIAL CORP NEW                Common Stock   25247D101       8      648    SH    OTHER                       0      648        0
DIAMOND OFFSHORE DRILLING INCCommon Stock   25271C102     573    13970    SH    DEFINED  01             13800        0      170
DIAMOND OFFSHORE DRILLING INCCommon Stock   25271C102      16      400    SH    OTHER                     400        0        0
DIAMOND TECH PARTNERS CL A   Common Stock   252762109     114     1535    SH    DEFINED  01              1440        0       95
DIEBOLD INC                  Common Stock   253651103    1625    61173    SH    DEFINED  01,02,03       51225        0     9948
DIEBOLD INC                  Common Stock   253651103      24      900    SH    OTHER                     400        0      500
DIGENE CORP                  Common Stock   253752109      41     1150    SH    DEFINED  01              1150        0        0
DIGI INTL INC                Common Stock   253798102     132    16800    SH    DEFINED  01,02,03       16800        0        0
DIGI INTL INC                Common Stock   253798102       4      450    SH    OTHER                     450        0        0
DIGITAL LIGHTWAVE INC        Common Stock   253855100     156     2145    SH    DEFINED  01              2100        0       45
DIME CMNTY BANCORP INC       Common Stock   253922108      22      875    SH    DEFINED  01               875        0        0
DILLARD'S INC                Common Stock   254067101     358    33660    SH    DEFINED  01,02,03       30960        0     2700
DILLARD'S INC                Common Stock   254067101      41     3900    SH    OTHER                    1940        0     1960
DIME BANCORP INC NEW         Common Stock   25429Q102    1951    90487    SH    DEFINED  01,02,03       76410        0    14077
DIMON INC W/I                Common Stock   254394109     162    49800    SH    DEFINED  01,02,03       49800        0        0
DIONEX CORP                  Common Stock   254546104     737    26670    SH    DEFINED  01,02,03       26670        0        0
DIONEX CORP                  Common Stock   254546104      19      690    SH    OTHER                     690        0        0
DISCOUNT AUTO PARTS INC      Common Stock   254642101     144    18700    SH    DEFINED  01,02,03       18700        0        0
DISNEY WALT HLDG CO          Common Stock   254687106   50076  1309170    SH    DEFINED  01,02,03,04  1238925     5230    65015
DISNEY WALT HLDG CO          Common Stock   254687106   11334   296322    SH    OTHER                  240928    41818    13576
DIXCOM INC                   Common Stock   255425100       0   200000    SH    DEFINED  01            200000        0        0
THE DIXIE GROUP INC          Common Stock   255519100      50    12900    SH    DEFINED  01,02,03       12900        0        0
DOCUMENTUM INC               Common Stock   256159104     106     1300    SH    DEFINED  01              1300        0        0
DOLE FOOD INC                Common Stock   256605106     723    48193    SH    DEFINED  01,02,03       40993        0     7200
DOLLAR GENERAL CORP          Common Stock   256669102    3443   205556    SH    DEFINED  01,02,04      202244        0     3312
DOLLAR GENERAL CORP          Common Stock   256669102     270    16133    SH    OTHER                   15852      281        0
DOLLAR THRIFTY AUTOMOTIVE GROCommon Stock   256743105     172     8700    SH    DEFINED  01,02           8700        0        0
DOLLAR THRIFTY AUTOMOTIVE GROCommon Stock   256743105      10      500    SH    OTHER                     500        0        0
DOLLAR TREE STORES INC       Common Stock   256747106    3736    92109    SH    DEFINED  01,02,03       78309        0    13800
DONALDSON INC                Common Stock   257651109     897    40763    SH    DEFINED  01,02,03       34963        0     5800
DONALDSON INC                Common Stock   257651109     977    44400    SH    OTHER                   44400        0        0
DONALDSON LUFKIN & JENRETTE  Common Stock   257661108     814     9100    SH    DEFINED  01              9100        0        0
DONNELLEY R R & SONS CO      Common Stock   257867101    1043    42459    SH    DEFINED  01,02,03       39966        0     2493
DONNELLEY R R & SONS CO      Common Stock   257867101     394    16030    SH    OTHER                   12580        0     3450
DOVER CORP                   Common Stock   260003108    3978    84750    SH    DEFINED  01,02,03,04    78935        0     5815
DOVER CORP                   Common Stock   260003108      89     1886    SH    OTHER                    1176        0      710
DOW CHEMICAL CO              Common Stock   260543103   10351   415078    SH    DEFINED  01,02,03,04   404702      675     9701
DOW CHEMICAL CO              Common Stock   260543103    3407   136619    SH    OTHER                  128711     3600     4308
DOW JONES & CO INC           Common Stock   260561105    1688    27908    SH    DEFINED  01,02,03       27008        0      900
DOW JONES & CO INC           Common Stock   260561105      14      228    SH    OTHER                     228        0        0
DOWNY FINANCIAL CORP         Common Stock   261018105    1245    31529    SH    DEFINED  01,02,03       31529        0        0
DRESS BARN INC               Common Stock   261570105     420    20000    SH    DEFINED  01,02,03       20000        0        0
DREYERS GRAND ICE CREAM      Common Stock   261878102     500    23208    SH    DEFINED  01,02,03       19608        0     3600
DRIL-QUIP INC                Common Stock   262037104     766    19200    SH    DEFINED  01,02,03       19200        0        0
DU PONT E I DE NEMOURS & CO  Common Stock   263534109   17144   413735    SH    DEFINED  01,02,03,04   390824        0    22911
DU PONT E I DE NEMOURS & CO  Common Stock   263534109    4176   100785    SH    OTHER                   83800    12920     4065
DUKE ENERGY CORP             Common Stock   264399106   11672   136114    SH    DEFINED  01,02,03,04   131413        0     4701
DUKE ENERGY CORP             Common Stock   264399106    3978    46386    SH    OTHER                   43603      450     2333
DURA AUTOMOTIVE SYSTEMS INC  Common Stock   265903104      81     8814    SH    DEFINED  01,02           8814        0        0
DURA AUTOMOTIVE SYSTEMS INC  Common Stock   265903104       6      600    SH    OTHER                     600        0        0
DUPONT PHOTOMASKS INC        Common Stock   26613X101      79     1350    SH    DEFINED  01              1350        0        0
DURA PHARMACEUTICALS INC     Common Stock   26632S109    1995    56400    SH    DEFINED  01,02,03       49700        0     6700
DYCOM INDS INC               Common Stock   267475101    1964    47175    SH    DEFINED  01,02,03       47175        0        0
E M C CORP                   Common Stock   268648102  134925  1361164    SH    DEFINED  01,02,03,04  1269846     2200    89118
E M C CORP                   Common Stock   268648102   22095   222899    SH    OTHER                  123898     8399    90602
ENSCO INTERNATIONAL INC      Common Stock   26874Q100    4657   121752    SH    DEFINED  01,02,03      102826        0    18926
ENSCO INTERNATIONAL INC      Common Stock   26874Q100      40     1042    SH    OTHER                     870        0      172
ESS TECHNOLOGY INC           Common Stock   269151106     694    48500    SH    DEFINED  01,02,03       48500        0        0
E TRADE GROUP INC            Common Stock   269246104    4083   248376    SH    DEFINED  01,02,03      209876        0    38500
EARTHGRAINS CO               Common Stock   270319106     877    47580    SH    DEFINED  01,02,03       47580        0        0
EARTHGRAINS CO               Common Stock   270319106       4      224    SH    OTHER                      32      192        0
EASTERN ENTERPRISES          Common Stock   27637F100     551     8637    SH    DEFINED  01,02           8337        0      300
EASTMAN CHEMICAL CO          Common Stock   277432100    1029    27870    SH    DEFINED  01,02,03       25853      440     1577
EASTMAN CHEMICAL CO          Common Stock   277432100      14      383    SH    OTHER                     383        0        0
EASTMAN KODAK CO             Common Stock   277461109    4805   117549    SH    DEFINED  01,02,03,04   107342     2059     8148
EASTMAN KODAK CO             Common Stock   277461109    1952    47748    SH    OTHER                   46388      300     1060
EATON CORP                   Common Stock   278058102    1847    29977    SH    DEFINED  01,02,04       29079        0      898
EATON CORP                   Common Stock   278058102     186     3024    SH    OTHER                    3024        0        0
EATON VANCE CORP NON VTG     Common Stock   278265103    2066    40500    SH    DEFINED  01,02,03       39600        0      900
EATON VANCE CORP NON VTG     Common Stock   278265103     137     2695    SH    OTHER                    2500        0      195
ECHOSTAR COMMUNICATIONS CL A Common Stock   278762109    1410    26730    SH    DEFINED  01             16500        0    10230
ECHOSTAR COMMUNICATIONS CL A Common Stock   278762109      53     1000    SH    OTHER                    1000        0        0
ECOLAB INC                   Common Stock   278865100   15332   425144    SH    DEFINED  01,02,03      418499      400     6245
ECOLAB INC                   Common Stock   278865100    2020    56005    SH    OTHER                   48355     7310      340
EDISON INTERNATIONAL         Common Stock   281020107    2079   107651    SH    DEFINED  01,02,03      104651        0     3000
EDISON INTERNATIONAL         Common Stock   281020107     403    20842    SH    OTHER                   14342     2600     3900
EDUCATION MGMT CORP          Common Stock   28139T101      57     2100    SH    DEFINED  01              2100        0        0
EDWARDS J D & CO             Common Stock   281667105     202     7800    SH    DEFINED  01              7800        0        0
EDWARDS A G INC              Common Stock   281760108    3559    68030    SH    DEFINED  01,02,03       57468        0    10562
EDWARDS A G INC              Common Stock   281760108     144     2747    SH    OTHER                    2560        0      187
EL PASO ELECTRIC CO          Common Stock   283677854      54     3925    SH    DEFINED  01              3925        0        0
ELANTEC SEMICONDUCTOR INC    Common Stock   284155108     134     1350    SH    DEFINED  01              1350        0        0
ELCOR CORP                   Common Stock   284443108     328    22625    SH    DEFINED  01,02,03       22625        0        0
ELCOR CORP                   Common Stock   284443108      22     1500    SH    OTHER                    1500        0        0
ELECTRO SCIENTIFIC INDS INC  Common Stock   285229100    1047    29800    SH    DEFINED  01,02,03       29800        0        0
ELECTROGLAS INC              Common Stock   285324109     396    23200    SH    DEFINED  01,02,03       23200        0        0
ELECTRONIC ARTS              Common Stock   285512109    5299   107326    SH    DEFINED  01,02,03       90626        0    16700
ELECTRONIC DATA SYSTEMS CORP Common Stock   285661104    9088   218987    SH    DEFINED  01,02,03,04   206346      500    12141
ELECTRONIC DATA SYSTEMS CORP Common Stock   285661104    2295    55293    SH    OTHER                   45504     5254     4535
ELECTRONICS FOR IMAGING INC  Common Stock   286082102     115     4540    SH    DEFINED  01              4400        0      140
ELECTRONICS FOR IMAGING INC  Common Stock   286082102      76     3000    SH    OTHER                       0        0     3000
EMCORE CORP                  Common Stock   290846104     100     2400    SH    DEFINED  01              2400        0        0
EMCOR GROUP INC              Common Stock   29084Q100      20      750    SH    DEFINED  01               750        0        0
EMERSON ELEC CO              Common Stock   291011104   31072   463755    SH    DEFINED  01,02,03,04   440107     1295    22353
EMERSON ELEC CO              Common Stock   291011104   13419   200281    SH    OTHER                  165362    26562     8357
EMISPHERE TECHNOLOGIES INC COCommon Stock   291345106      36     1200    SH    DEFINED  01              1200        0        0
EMMIS COMMUNICATIONS CL A    Common Stock   291525103      72     2900    SH    DEFINED  01              2900        0        0
EMULEX CORP NEW              Common Stock   292475209     330     2690    SH    DEFINED  01              2610        0       80
ENERGEN CORP                 Common Stock   29265N108    1032    34700    SH    DEFINED  01,02,03       34700        0        0
ENGELHARD CORP               Common Stock   292845104     946    58193    SH    DEFINED  01,02,03,04    47841        0    10352
ENGELHARD CORP               Common Stock   292845104      55     3390    SH    OTHER                    2250        0     1140
ENGINEERING ANIMATION INC    Common Stock   292872108      34     2500    SH    OTHER                    2500        0        0
ENHANCE FINL SVCS GROUP INC  Common Stock   293310108     554    42600    SH    DEFINED  01,02,03       42600        0        0
ENRON CORP OREGON            Common Stock   293561106   29590   337692    SH    DEFINED  01,02,03,04   323420        0    14272
ENRON CORP OREGON            Common Stock   293561106    5914    67490    SH    OTHER                   45575    20400     1515
ENTERGY CORP NEW             Common Stock   29364G103    2745    73687    SH    DEFINED  01,02,03       69712        0     3975
ENTERGY CORP NEW             Common Stock   29364G103      53     1436    SH    OTHER                     331        0     1105
ENTREMED INC                 Common Stock   29382F103      59     2100    SH    DEFINED  01,02           1100        0     1000
ENZON INC                    Common Stock   293904108     662    10035    SH    DEFINED  01,02           9995        0       40
ENZON INC                    Common Stock   293904108      15      225    SH    OTHER                     225        0        0
ENZO BIOCHEM INC             Common Stock   294100102    1526    31469    SH    DEFINED  01,02,03       28477        0     2992
EQUIFAX INC                  Common Stock   294429105   11101   412090    SH    DEFINED  01,02,03      402900      430     8760
EQUIFAX INC                  Common Stock   294429105    3787   140591    SH    OTHER                  129252    10739      600
EQUITABLE RESOURCES INC      Common Stock   294549100     457     7215    SH    DEFINED  01,02           7215        0        0
EQUITABLE RESOURCES INC      Common Stock   294549100      25      400    SH    OTHER                     400        0        0
EQUITY RESIDEN CV PFD 7.250% Preferred Stock29476L859      13      565    PRN   DEFINED  01               100        0      465
EQUITY RESIDEN CV PFD 7.250% Preferred Stock29476L859       7      310    PRN   OTHER                       0      200      110
ERIE FAMILY LIFE INS CO COM  Common Stock   295242101     110     6000    SH    DEFINED  01              6000        0        0
ERIE FAMILY LIFE INS CO COM  Common Stock   295242101     113     6210    SH    OTHER                    4200     2010        0
ERIE INDEMNITY COMPANY CL A  Common Stock   29530P102     135     4600    SH    DEFINED  01              4600        0        0
ERIE INDEMNITY COMPANY CL A  Common Stock   29530P102      18      600    SH    OTHER                       0        0      600
ESTERLINE TECHNOLOGIES CORP  Common Stock   297425100     419    21306    SH    DEFINED  01,02,03       20650        0      656
ETHAN ALLEN INTERIORS INC    Common Stock   297602104    1253    44250    SH    DEFINED  01,02,03       44250        0        0
ETHAN ALLEN INTERIORS INC    Common Stock   297602104       5      180    SH    OTHER                     180        0        0
ETHYL CORP                   Common Stock   297659104      99    68888    SH    DEFINED  01,02,03       58188        0    10700
EVERGREEN RES INC            Common Stock   299900308      38     1100    SH    DEFINED  01              1100        0        0
EXABYTE CORP                 Common Stock   300615101     290    25800    SH    DEFINED  01,02,03       25800        0        0
EXAR CORP                    Common Stock   300645108     163     1350    SH    DEFINED  01              1350        0        0
EXCALIBUR TECHNOLOGIES CORP  Common Stock   300651205      72     1075    SH    DEFINED  01              1075        0        0
EXCEL TECHNOLOGY INC         Common Stock   30067T103      53     1667    SH    DEFINED  01              1667        0        0
EXIDE CORP                   Common Stock   302051107     128    14069    SH    DEFINED  01             14069        0        0
EXPEDITORS INTERNATIONAL     Common Stock   302130109    2585    57360    SH    DEFINED  01,02,03       57300        0       60
EXPRESS SCRIPTS INC CL A     Common Stock   302182100    2784    38538    SH    DEFINED  01,02,03       26561        0    11977
EXTENDED STAY AMERICA INC    Common Stock   30224P101      90     6828    SH    DEFINED  01              6828        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
<S>                          <C>            <C>        <C>      <C>      <C>    <C>      <C>           <C>      <C>        <C>
FEI CO                       Common Stock   30241L109      43     2000    SH    DEFINED  01              2000        0        0
FMC CORP - NEW               Common Stock   302491303     669     9982    SH    DEFINED  01,02           9582        0      400
FMC CORP - NEW               Common Stock   302491303       7      100    SH    OTHER                     100        0        0
FPIC INSURANCE GROUP INC     Common Stock   302563101      10      700    SH    DEFINED  01               700        0        0
FPL GROUP INC                Common Stock   302571104    4414    67136    SH    DEFINED  01,02,03,04    64836        0     2300
FPL GROUP INC                Common Stock   302571104     926    14078    SH    OTHER                    5228     4750     4100
FX ENERGY INC                Common Stock   302695101     124    37919    SH    OTHER                   37919        0        0
F Y I INC                    Common Stock   302712104     639    17100    SH    DEFINED  01,02,03       17100        0        0
FACTSET RESEARCH SYSTEMS INC Common Stock   303075105    1408    37445    SH    DEFINED  01,02,03       36300        0     1145
FACTSET RESEARCH SYSTEMS INC Common Stock   303075105      12      315    SH    OTHER                       0        0      315
FAIR ISSAC & CO INC          Common Stock   303250104     719    16840    SH    DEFINED  01,02,03       16100        0      740
FAIR ISSAC & CO INC          Common Stock   303250104       9      215    SH    OTHER                       0        0      215
FAMILY DOLLAR STORES         Common Stock   307000109    9703   504047    SH    DEFINED  01,02,03      470047        0    34000
FAMILY DOLLAR STORES         Common Stock   307000109     258    13425    SH    OTHER                   13425        0        0
FASTENAL CO                  Common Stock   311900104    2096    36377    SH    DEFINED  01,02,03,04    31477        0     4900
FASTENAL CO                  Common Stock   311900104      40      700    SH    OTHER                       0        0      700
FEDDERS USA INC              Common Stock   313135105     154    39660    SH    DEFINED  01,02,03       39660        0        0
FED HOME LN MTG CORP         Common Stock   313400301   18262   337800    SH    DEFINED  01,02,03      316215        0    21585
FED HOME LN MTG CORP         Common Stock   313400301     758    14012    SH    OTHER                    9077        0     4935
FEDERAL MOGUL CORP           Common Stock   313549107     332    61044    SH    DEFINED  01,02,03       51944        0     9100
FEDERAL MOGUL CORP           Common Stock   313549107       9     1600    SH    OTHER                     600        0     1000
FEDERAL NATL MTG ASSN        Common Stock   313586109   64901   907704    SH    DEFINED  01,02,03,04   850774     2680    54250
FEDERAL NATL MTG ASSN        Common Stock   313586109   20528   287099    SH    OTHER                  198622    77774    10703
FEDERAL SIGNAL CORP          Common Stock   313855108     946    47591    SH    DEFINED  01,02,03       39960        0     7631
FEDERAL SIGNAL CORP          Common Stock   313855108      77     3850    SH    OTHER                    3400        0      450
FEDERATED DEPT STORES INC    Common Stock   31410H101    1863    71324    SH    DEFINED  01             66469        0     4855
FEDERATED DEPT STORES INC    Common Stock   31410H101     111     4240    SH    OTHER                    3715        0      525
FERRO CORP                   Common Stock   315405100     545    28583    SH    DEFINED  01,02,03       24083        0     4500
FERRO CORP                   Common Stock   315405100      29     1500    SH    OTHER                    1500        0        0
FIDELITY NATL FINL INC       Common Stock   316326107    1863    75266    SH    DEFINED  01,02,03       75266        0        0
FIFTH THIRD BANCORP COM      Common Stock   316773100   10626   197234    SH    DEFINED  01,02,03,04   186454        0    10780
FIFTH THIRD BANCORP COM      Common Stock   316773100    1893    35145    SH    OTHER                   11535    22500     1110
FILENET CORP                 Common Stock   316869106     697    38300    SH    DEFINED  01,02,03       38300        0        0
FINANCIAL FEDERAL CORP       Common Stock   317492106     333    13750    SH    DEFINED  01,02          13750        0        0
FINANCIAL FEDERAL CORP       Common Stock   317492106      37     1550    SH    OTHER                    1550        0        0
FINISH LINE INC CL A         Common Stock   317923100      10     1300    SH    DEFINED  01              1300        0        0
FINOVA GROUP INC             Common Stock   317928109     392    54013    SH    DEFINED  01,02,03       46113        0     7900
FINOVA GROUP INC             Common Stock   317928109      13     1789    SH    OTHER                    1715       74        0
FIRST AMERICAN CORP          Common Stock   318522307    1484    71096    SH    DEFINED  01,02,03       71096        0        0
FIRST DATA CORP              Common Stock   319963104    7705   197250    SH    DEFINED  01,02,03,04   184073      600    12577
FIRST DATA CORP              Common Stock   319963104    1399    35803    SH    OTHER                   21269    12724     1810
FIRST FINL BANCORP           Common Stock   320209109     160    10137    SH    DEFINED  01             10137        0        0
FIRST FINL BANCORP           Common Stock   320209109      23     1464    SH    OTHER                    1464        0        0
FIRST MIDWEST BANCORP INC DELCommon Stock   320867104    1223    45950    SH    DEFINED  01,02,03       45950        0        0
FIRST REP BANCORP INC        Common Stock   336158100      20      675    SH    DEFINED  01               675        0        0
FIRST SEC CORP DEL           Common Stock   336294103    2662   163187    SH    DEFINED  01,02,03      137887        0    25300
FIRST TENN NATL CORP         Common Stock   337162101    2261   110625    SH    DEFINED  01,02,03       93925        0    16700
FIRST UNION CORP             Common Stock   337358105   10756   334161    SH    DEFINED  01,03         315789        0    18372
FIRST UNION CORP             Common Stock   337358105     408    12679    SH    OTHER                   10714        0     1965
FIRST VIRGINIA BANKS INC     Common Stock   337477103    1622    38044    SH    DEFINED  01,02,03       32144        0     5900
FIRSTBANK CORP MICH          Common Stock   33761G104     111     5328    SH    DEFINED  01              5328        0        0
FISERV INC                   Common Stock   337738108   40552   677285    SH    DEFINED  01,02,03,04   642840     4325    30120
FISERV INC                   Common Stock   337738108    6121   102225    SH    OTHER                   87338    13717     1170
FIRSTFED FINL CORP DEL       Common Stock   337907109      28     1200    SH    DEFINED  01              1200        0        0
FIRSTMERIT CORPORATION       Common Stock   337915102    1760    76708    SH    DEFINED  01,02,03       65408        0    11300
FIRSTMERIT CORPORATION       Common Stock   337915102      79     3450    SH    OTHER                    3450        0        0
FLEETWOOD ENTERPRISES INC    Common Stock   339099103     509    37500    SH    DEFINED  01,02,03       37500        0        0
FLEMING COS                  Common Stock   339130106     579    44300    SH    DEFINED  01,02,03       44300        0        0
FLORIDA PROGRESS CORP        Common Stock   341109106    2303    43501    SH    DEFINED  01,02,03,04    41591        0     1910
FLORIDA PROGRESS CORP        Common Stock   341109106     246     4653    SH    OTHER                    4500        0      153
FLORIDA ROCK IND             Common Stock   341140101     840    21300    SH    DEFINED  01,02,03       21300        0        0
FLOW INTERNATIONAL CORP COM  Common Stock   343468104     179    16500    SH    DEFINED  01,02,03       16500        0        0
FLOW INTERNATIONAL CORP COM  Common Stock   343468104      11     1000    SH    OTHER                    1000        0        0
FLOWERS INDS INC             Common Stock   343496105    1728    88625    SH    DEFINED  01,02,03       74370        0    14255
FLOWERS INDS INC             Common Stock   343496105       6      320    SH    OTHER                     320        0        0
FLOWSERVE CORP               Common Stock   34354P105     724    44017    SH    DEFINED  01,02,03       38643        0     5374
FLUOR CORP                   Common Stock   343861100     760    25341    SH    DEFINED  01,02,03       24641        0      700
FLUSHING FINANCIAL CORP      Common Stock   343873105      11      700    SH    DEFINED  01               700        0        0
FOAMEX INTL INC              Common Stock   344123104      11     1800    SH    DEFINED  01              1800        0        0
FOOTSTAR INC                 Common Stock   344912100     704    21800    SH    DEFINED  01,02,03       21800        0        0
FORD MOTOR CO (OLD)          Common Stock   345370100     742    15940    SH    DEFINED  01             15940        0        0
FOREST CITY ENTERPRISES INC CCommon Stock   345550107     243     6750    SH    DEFINED  01,02           3550        0     3200
FOREST LABS INC              Common Stock   345838106   10080    87893    SH    DEFINED  01,02,03       65872        0    22021
FOREST LABS INC              Common Stock   345838106      50      433    SH    OTHER                     370        0       63
FOREST OIL CORP              Common Stock   346091606      62     3800    SH    DEFINED  01              3800        0        0
FORRESTER RESH INC           Common Stock   346563109      93     1460    SH    DEFINED  01              1460        0        0
FORT JAMES CORP              Common Stock   347471104    2145    70174    SH    DEFINED  01,02,03       68074        0     2100
FORTUNE BRANDS INC           Common Stock   349631101    1735    65470    SH    DEFINED  01,02,03       62560        0     2910
FORTUNE BRANDS INC           Common Stock   349631101     832    31384    SH    OTHER                   29109     1600      675
FOSSIL INC                   Common Stock   349882100     479    35950    SH    DEFINED  01,02,03       35950        0        0
FOSTER WHEELER CORP          Common Stock   350244109     503    69400    SH    DEFINED  01,02,03,04    67400        0     2000
FOUNDATION HEALTH SYSTEMS CL Common Stock   350404109    1721   103520    SH    DEFINED  01,02,03       82080        0    21440
FRANKLIN COVEY CO            Common Stock   353469109     169    23100    SH    DEFINED  01,02,03       23100        0        0
FRANKLIN ELEC INC            Common Stock   353514102      28      400    SH    DEFINED  01               400        0        0
FRANKLIN RES INC             Common Stock   354613101    3630    81711    SH    DEFINED  01,02          78941        0     2770
FRANKLIN RES INC             Common Stock   354613101     158     3556    SH    OTHER                    3556        0        0
FREEPORT-MCMORAN COPPER-B    Common Stock   35671D857     432    49060    SH    DEFINED  01,02,03       47448        0     1612
FREMONT GEN CORP             Common Stock   357288109     269    78330    SH    DEFINED  01,02,03       78330        0        0
FRIEDE GOLDMAN INTL INC      Common Stock   358430106     387    54772    SH    DEFINED  01,02,03       54772        0        0
FRITZ COS INC                Common Stock   358846103     490    40862    SH    DEFINED  01,02,03       40862        0        0
FROZEN FOOD EXPRESS INDS INC Common Stock   359360104      47    18200    SH    DEFINED  01,02,03       18200        0        0
FULL HOUSE RESORTS INC       Common Stock   359678109    1255  1056471    SH    DEFINED  01,04        1056471        0        0
FULLER H B CO                Common Stock   359694106     332    11549    SH    DEFINED  01,02,03        9749        0     1800
FURNITURE BRANDS INTL INC    Common Stock   360921100     732    44015    SH    DEFINED  01,02,03       37615        0     6400
FURNITURE BRANDS INTL INC    Common Stock   360921100      33     2000    SH    OTHER                    1000        0     1000
G & K SVCS INC CL A          Common Stock   361268105     645    23000    SH    DEFINED  01,02,03       23000        0        0
GATX CORP                    Common Stock   361448103    1587    37900    SH    DEFINED  01,03          31800        0     6100
GBC BANCORP CALIF            Common Stock   361475106     436    12800    SH    DEFINED  01,02,03       12800        0        0
GPU INC                      Common Stock   36225X100    1282    39532    SH    DEFINED  01,02,03       38232        0     1300
GPU INC                      Common Stock   36225X100      15      450    SH    OTHER                       0      100      350
GTE CORP                     Common Stock   362320103    1214    19500    SH    DEFINED  01             19500        0        0
GADZOOKS INC                 Common Stock   362553109      44     2450    SH    DEFINED  01,02           2450        0        0
GALILEO INTL INC             Common Stock   363547100    1174    75740    SH    DEFINED  01,02,03       64240        0    11500
GALLAGHER ARTHUR J & CO      Common Stock   363576109    2519    42600    SH    DEFINED  01,02,03       42600        0        0
GANNETT INC                  Common Stock   364730101    6681   126061    SH    DEFINED  01,03,04      115196     5000     5865
GANNETT INC                  Common Stock   364730101    1058    19969    SH    OTHER                   12633      775     6561
GAP INC                      Common Stock   364760108    6154   305790    SH    DEFINED  01,02,03      283036        0    22754
GAP INC                      Common Stock   364760108     144     7160    SH    OTHER                    3035        0     4125
GARDNER DENVER INC           Common Stock   365558105     279    17180    SH    DEFINED  01,02,03       17000        0      180
GARTNER GROUP INC CL A       Common Stock   366651107      46     4000    SH    DEFINED  01,04              0        0     4000
GAYLORD CONTAINER CORP CL A  Common Stock   368145108       7     3900    SH    DEFINED  01              3900        0        0
GELTEX PHARMACEUTICALS INC   Common Stock   368538104     126     2700    SH    DEFINED  01,02           1400        0     1300
GENCORP INC                  Common Stock   368682100     389    47900    SH    DEFINED  01,02,03       47900        0        0
GENELABS TECHNOLOGIES INC    Common Stock   368706107      90    15000    SH    OTHER                   15000        0        0
GENERAL COMMUNICATION CL A   Common Stock   369385109     415    58000    SH    DEFINED  01,02,03       58000        0        0
GENERAL DYNAMICS CORP        Common Stock   369550108    4099    65256    SH    DEFINED  01,02,03       63111        0     2145
GENERAL DYNAMICS CORP        Common Stock   369550108      36      580    SH    OTHER                     400        0      180
GENERAL ELEC CO              Common Stock   369604103  373240  6469983    SH    DEFINED  01,02,03,04  6082517   102768   284698
GENERAL ELEC CO              Common Stock   369604103  113146  1961350    SH    OTHER                 1442345   411490   107515
GENERAL MAGIC INC            Common Stock   370253106      22     3700    SH    DEFINED  01              3700        0        0
GENERAL MILLS INC            Common Stock   370334104    8793   247696    SH    DEFINED  01,02,03,04   240476     1400     5820
GENERAL MILLS INC            Common Stock   370334104    1950    54928    SH    OTHER                   44848     3545     6535
GENERAL MTRS CORP            Common Stock   370442105   17660   271693    SH    DEFINED  01,02,03,04   259187       77    12429
GENERAL MTRS CORP            Common Stock   370442105    2782    42799    SH    OTHER                   21569    10600    10630
GENERAL SEMICONDUCTOR INC    Common Stock   370787103     587    48200    SH    DEFINED  01,02,03       48200        0        0
GENERAL SEMICONDUCTOR INC    Common Stock   370787103      44     3600    SH    OTHER                    3600        0        0
GENESCO INC                  Common Stock   371532102      25     1500    SH    DEFINED  01              1500        0        0
GENTEX CORP                  Common Stock   371901109    2074    82950    SH    DEFINED  01,02,03       82950        0        0
GENTEX CORP                  Common Stock   371901109      50     2000    SH    OTHER                    2000        0        0
GENRAD INC                   Common Stock   372447102      41     3700    SH    DEFINED  01              3700        0        0
GENUINE PARTS CO             Common Stock   372460105    4703   246729    SH    DEFINED  01,02,03      242394      475     3860
GENUINE PARTS CO             Common Stock   372460105     529    27727    SH    OTHER                   25612     1670      445
GENZYME TRANSGENICS CORP     Common Stock   37246E105      72     2055    SH    DEFINED  01              2000        0       55
GENZYME CORP-GENERAL DIVISIONCommon Stock   372917104    5541    81261    SH    DEFINED  01,02,03       60361        0    20900
GENZYME CORP-GENERAL DIVISIONCommon Stock   372917104      77     1132    SH    OTHER                     132        0     1000
GEORGIA GULF CORP            Common Stock   373200203     296    25851    SH    DEFINED  01,02,03       21851        0     4000
GEORGIA PACIFIC GROUP        Common Stock   373298108    1732    73683    SH    DEFINED  01,02,03       69483     2000     2200
GEORGIA PACIFIC GROUP        Common Stock   373298108     156     6650    SH    OTHER                    6650        0        0
GERBER SCIENTIFIC INC        Common Stock   373730100     255    29600    SH    DEFINED  01,02,03       29600        0        0
GILEAD SCIENCES INC          Common Stock   375558103    4752    43321    SH    DEFINED  01,02,03       32300        0    11021
GILEAD SCIENCES INC          Common Stock   375558103     548     5000    SH    OTHER                    5000        0        0
GILLETTE CO                  Common Stock   375766102   14116   457209    SH    DEFINED  01,02,03,04   432817        0    24392
GILLETTE CO                  Common Stock   375766102    3759   121737    SH    OTHER                   90691    27324     3722
GLATFELTER PH CO             Common Stock   377316104     421    34694    SH    DEFINED  01,02,03       29294        0     5400
GLENAYRE TECHNOLOGIES INC    Common Stock   377899109     853    78407    SH    DEFINED  01,02          78407        0        0
GLENAYRE TECHNOLOGIES INC    Common Stock   377899109      24     2200    SH    OTHER                    2200        0        0
GLENBOROUGH RLTY TR INC      Common Stock   37803P105     124     6889    SH    DEFINED  01,02           1689        0     5200
GLENBOROUGH RLTY TR INC      Common Stock   37803P105      15      830    SH    OTHER                       0        0      830
GLOBAL INDS LTD              Common Stock   379336100      92     7400    SH    DEFINED  01              7400        0        0
GLOBAL MARINE NEW            Common Stock   379352404    4497   145664    SH    DEFINED  01,02,03      123164        0    22500
GLOBECOMM SYSTEMS INC        Common Stock   37956X103      10      800    SH    DEFINED  01               800        0        0
GOLDEN STATE BANCORP INC     Common Stock   381197102     208     8787    SH    DEFINED  01              8787        0        0
GOLDEN WEST FINANCIAL CORP   Common Stock   381317106    2775    51749    SH    DEFINED  01,02          48629        0     3120
GOLDEN WEST FINANCIAL CORP   Common Stock   381317106    1633    30449    SH    OTHER                   29484        0      965
GOODRICH B F CO              Common Stock   382388106    1289    32898    SH    DEFINED  01,02          31898        0     1000
GOODRICH B F CO              Common Stock   382388106     100     2550    SH    OTHER                    2550        0        0
GOODYEAR TIRE & RUBBER CO    Common Stock   382550101    1046    58131    SH    DEFINED  01,02,03       53671        0     4460
GOODYEAR TIRE & RUBBER CO    Common Stock   382550101      43     2390    SH    OTHER                     910        0     1480
GOODYS FAMILY CLOTHING INC   Common Stock   382588101     143    36400    SH    DEFINED  01,02,03       36400        0        0
GOTTSCHALKS INC              Common Stock   383485109      86    14100    SH    DEFINED  01,02,03       14100        0        0
GO2NET INC                   Common Stock   383486107     119     2200    SH    DEFINED  01              2200        0        0
GO2NET INC                   Common Stock   383486107       4       80    SH    OTHER                      80        0        0
GRACO INC                    Common Stock   384109104     732    22700    SH    DEFINED  01,02,03       22700        0        0
GRAINGER W W INC             Common Stock   384802104     879    33417    SH    DEFINED  01,02          32517        0      900
GRAINGER W W INC             Common Stock   384802104      71     2700    SH    OTHER                    2700        0        0
GRANITE CONSTRUCTION INC     Common Stock   387328107     545    22455    SH    DEFINED  01,02,03       18905        0     3550
GREAT ATLANTIC & PAC TEA INC Common Stock   390064103     475    42900    SH    DEFINED  01,02,03       42900        0        0
GREAT LAKES CHEM CORP        Common Stock   390568103     633    21586    SH    DEFINED  01,02          17616        0     3970
GREAT LAKES CHEM CORP        Common Stock   390568103     295    10072    SH    OTHER                    8702        0     1370
GREAT PLAINS SOFTWARE INC    Common Stock   39119E105     622    22100    SH    DEFINED  01,02,03       22100        0        0
GREATER BAY BANCORP          Common Stock   391648102    1139    16400    SH    DEFINED  01,02,03       13800        0     2600
GREENPOINT FINANCIAL CORP    Common Stock   395384100    2495    84227    SH    DEFINED  01,02,03       71127        0    13100
GREIF BROS CORP CL A         Common Stock   397624107     485    14600    SH    DEFINED  01              1600    13000        0
GREIF BROS CORP CL B         Common Stock   397624206     397    12908    SH    DEFINED  01              8000     4908        0
GREY WOLF INC                Common Stock   397888108      74    12800    SH    DEFINED  01             12800        0        0
GRIFFON CORPORATION          Common Stock   398433102     259    34296    SH    DEFINED  01,02,03       34296        0        0
GROUP 1 AUTOMOTIVE INC       Common Stock   398905109     261    24000    SH    DEFINED  01,02,03       24000        0        0
GTECH HLDGS CORP             Common Stock   400518106     476    28712    SH    DEFINED  01,02,03       24212        0     4500
GUIDANT CORP                 Common Stock   401698105   26261   371504    SH    DEFINED  01,02,03      362526      200     8778
GUIDANT CORP                 Common Stock   401698105    4707    66593    SH    OTHER                   59818     4620     2155
GUILFORD MILLS INC           Common Stock   401794102      40    21550    SH    DEFINED  01,02,03       21550        0        0
GUILFORD PHARMACEUTICALS INC Common Stock   401829106      74     3200    SH    DEFINED  01,02           1700        0     1500
GULF INDONESIA RES LTD       Common Stock   402284103     111    10250    SH    DEFINED  01,03          10250        0        0
GYMBOREE CORP                Common Stock   403777105     203    37300    SH    DEFINED  01,02,03       37300        0        0
HCC INS HLDGS INC            Common Stock   404132102     275    13550    SH    DEFINED  01,04          13550        0        0
HNC SOFTWARE INC             Common Stock   40425P107    2888    35295    SH    DEFINED  01,02,03       35295        0        0
HSB GROUP INC                Common Stock   40428N109     974    24282    SH    DEFINED  01,02,03       20332        0     3950
HS RESOURCES INC             Common Stock   404297103    1157    34402    SH    DEFINED  01,02,03       34402        0        0
HS RESOURCES INC             Common Stock   404297103       7      200    SH    OTHER                     200        0        0
HA-LO INDS INC               Common Stock   404429102     287    71750    SH    DEFINED  01,02,03       71750        0        0
HALL KINION & ASSOCS INC     Common Stock   406069104      26      900    SH    DEFINED  01               900        0        0
HALLIBURTON CO HLDG          Common Stock   406216101    9044   184808    SH    DEFINED  01,02,03,04   170468        0    14340
HALLIBURTON CO HLDG          Common Stock   406216101    1490    30440    SH    OTHER                   12725    12400     5315
HAMILTON BANCORP INC         Common Stock   407013101    3565   209711    SH    DEFINED  01            209711        0        0
HANCOCK FABRICS INC          Common Stock   409900107     101    20244    SH    DEFINED  01,02,03       20244        0        0
HANDLEMAN CO DEL             Common Stock   410252100      74     5951    SH    DEFINED  01              5951        0        0
HANDLEMAN CO DEL             Common Stock   410252100      17     1350    SH    OTHER                    1350        0        0
HANGER ORTHOPEDIC GROUP INC  Common Stock   41043F208      85    22600    SH    DEFINED  01,02,03       21200        0     1400
HANOVER COMPRESSOR CO        Common Stock   410768105    4458   135350    SH    DEFINED  01,02,03      125425        0     9925
HANOVER COMPRESSOR CO        Common Stock   410768105      97     2950    SH    OTHER                    2950        0        0
HANOVER DIRECT INC           Common Stock   410783104       9    15100    SH    DEFINED  01             15100        0        0
HARBINGER CORP               Common Stock   41145C103    2470   133526    SH    DEFINED  01            133526        0        0
HARCOURT GENERAL INC         Common Stock   41163G101    1353    22924    SH    DEFINED  01,02,03       22376        0      548
HARKEN ENERGY CORP           Common Stock   412552101      11    17700    SH    DEFINED  01             17700        0        0
HARLAND JOHN H CO            Common Stock   412693103     487    31800    SH    DEFINED  01,02,03       31800        0        0
HARLAND JOHN H CO            Common Stock   412693103      25     1600    SH    OTHER                    1600        0        0
HARLEY DAVIDSON INC          Common Stock   412822108    5601   116984    SH    DEFINED  01,03         103099        0    13885
HARLEY DAVIDSON INC          Common Stock   412822108    1057    22087    SH    OTHER                    2730      242    19115
HARMAN INTL INDS INC NEW     Common Stock   413086109    1491    38136    SH    DEFINED  01,02,03       38136        0        0
HARMONIC INC                 Common Stock   413160102     110     4600    SH    DEFINED  01              4600        0        0
HARRAH'S ENTERTAINMENT INC   Common Stock   413619107    1058    38470    SH    DEFINED  01,02,03       37220        0     1250
HARRIS CORP DEL              Common Stock   413875105    1658    58315    SH    DEFINED  01,02,03       48805        0     9510
HARRIS CORP DEL              Common Stock   413875105      52     1840    SH    OTHER                     990        0      850
HARSCO CORP                  Common Stock   415864107     757    34294    SH    DEFINED  01,02,03       29194        0     5100
HARSCO CORP                  Common Stock   415864107     536    24300    SH    OTHER                       0    24300        0
HARTE-HANKS INC              Common Stock   416196103    1523    55900    SH    DEFINED  01,02,03       47000        0     8900
HARTFORD FINL SERVICES GROUP Common Stock   416515104    6054    83005    SH    DEFINED  01,02,03       71324        0    11681
HARTFORD FINL SERVICES GROUP Common Stock   416515104     284     3891    SH    OTHER                    3006        0      885
HARTMARX CORP                Common Stock   417119104      99    33090    SH    DEFINED  01,02,03       33090        0        0
HASBRO INC                   Common Stock   418056107     648    56641    SH    DEFINED  01,02,03       53201        0     3440
HASBRO INC                   Common Stock   418056107       0       42    SH    OTHER                       0        0       42
HAWAIIAN ELECTRIC INDS INC   Common Stock   419870100    1063    30491    SH    DEFINED  01,02,03       26291        0     4200
HAWAIIAN ELECTRIC INDS INC   Common Stock   419870100      10      300    SH    OTHER                     300        0        0
HEALTHSOUTH CORP             Common Stock   421924101    1590   195652    SH    DEFINED  01,02,04      140757        0    54895
HEALTHSOUTH CORP             Common Stock   421924101      55     6770    SH    OTHER                    6770        0        0
HEALTH MGMT ASSOC INC CL A NECommon Stock   421933102    6300   302718    SH    DEFINED  01,02,03,04   271493        0    31225
HEALTH MGMT ASSOC INC CL A NECommon Stock   421933102     862    41393    SH    OTHER                   41393        0        0
HEARST-ARGYLE TELEVISION INC Common Stock   422317107      74     3717    SH    DEFINED  01              3717        0        0
HEARST-ARGYLE TELEVISION INC Common Stock   422317107      22     1091    SH    OTHER                    1091        0        0
HEARTLAND EXPRESS INC        Common Stock   422347104     494    28436    SH    DEFINED  01,02,03       28436        0        0
HEINZ H J CO                 Common Stock   423074103    7134   192477    SH    DEFINED  01,02,03,04   183712        0     8765
HEINZ H J CO                 Common Stock   423074103    2876    77585    SH    OTHER                   65590     2850     9145
HELIX TECHNOLOGY CORP        Common Stock   423319102     963    32250    SH    DEFINED  01,02,03       32250        0        0
HELIX TECHNOLOGY CORP        Common Stock   423319102      15      500    SH    OTHER                     300        0      200
HELMERICH & PAYNE INC        Common Stock   423452101    1481    41000    SH    DEFINED  01,02,03       34600        0     6400
HELMERICH & PAYNE INC        Common Stock   423452101      72     2000    SH    OTHER                    2000        0        0
HENRY JACK & ASSOC INC       Common Stock   426281101    2209    50935    SH    DEFINED  01,02,03       49750        0     1185
HENRY JACK & ASSOC INC       Common Stock   426281101      25      570    SH    OTHER                     250        0      320
HERCULES INC                 Common Stock   427056106     902    63845    SH    DEFINED  01,02,03,04    62845        0     1000
HERCULES INC                 Common Stock   427056106       4      300    SH    OTHER                     300        0        0
HERSHEY FOODS CORP           Common Stock   427866108    6262   115696    SH    DEFINED  01,02,03,04   108796     1200     5700
HERSHEY FOODS CORP           Common Stock   427866108     803    14838    SH    OTHER                   13478      300     1060
HERTZ CORP CL A              Common Stock   428040109      93     2940    SH    DEFINED  01              2940        0        0
HERTZ CORP CL A              Common Stock   428040109      10      330    SH    OTHER                     330        0        0
HEWLETT PACKARD CO           Common Stock   428236103   57447   592241    SH    DEFINED  01,02,03,04   563070      590    28581
HEWLETT PACKARD CO           Common Stock   428236103   12520   129072    SH    OTHER                   94039    24289    10744
HIBERNIA CORP CLASS A        Common Stock   428656102    1612   131604    SH    DEFINED  01,02,03      111204        0    20400
HIGHLAND SUPER STORES        Common Stock   430771105       0      500    SH    DEFINED  01               500        0        0
HIGHLAND SUPER STORES        Common Stock   430771105       1    20000    SH    OTHER                   20000        0        0
HILB ROGAL & HAMILTON CO     Common Stock   431294107     609    14600    SH    DEFINED  01,02,03       14600        0        0
HILLENBRAND IND INC          Common Stock   431573104    2519    56296    SH    DEFINED  01,02,03,04    47896      400     8000
HILLENBRAND IND INC          Common Stock   431573104     336     7500    SH    OTHER                    7500        0        0
HILTON HOTELS CORP           Common Stock   432848109    2527   218506    SH    DEFINED  01,03         215106        0     3400
HOLLINGER INTERNATIONAL      Common Stock   435569108     123     7350    SH    DEFINED  01              7350        0        0
HOLLYWOOD ENTERTAINMENT CORP Common Stock   436141105     341    45900    SH    DEFINED  01,02          45900        0        0
HOLLYWOOD ENTERTAINMENT CORP Common Stock   436141105      16     2150    SH    OTHER                    2150        0        0
HOLOGIC INC                  Common Stock   436440101     138    18600    SH    DEFINED  01,02,03       17200        0     1400
HOME DEPOT INC               Common Stock   437076102  119968  2260856    SH    DEFINED  01,02,03,04  2152442     8425    99988
HOME DEPOT INC               Common Stock   437076102   31632   596122    SH    OTHER                  459490   113547    23085
HOME PRODS INTL INC          Common Stock   437305105     105    67300    SH    DEFINED  01             67300        0        0
HOMESTAKE MNG CO             Common Stock   437614100     477    91964    SH    DEFINED  01,02,03       89364        0     2600
HOMESTAKE MNG CO             Common Stock   437614100      39     7500    SH    OTHER                    7500        0        0
HON INDS INC                 Common Stock   438092108    1218    49446    SH    DEFINED  01,02,03       41746        0     7700
HOOPER HOLMES INC            Common Stock   439104100    1060   111470    SH    DEFINED  01,02,03       74630        0    36840
HOOPER HOLMES INC            Common Stock   439104100      16     1690    SH    OTHER                       0        0     1690
HORACE MANN EDUCATORS CORP NECommon Stock   440327104     548    33445    SH    DEFINED  01,02,03       28245        0     5200
HORMEL FOODS CORP            Common Stock   440452100    1940   116272    SH    DEFINED  01,02,03       98272        0    18000
HORMEL FOODS CORP            Common Stock   440452100      22     1314    SH    OTHER                     650      664        0
HOT TOPIC INC                Common Stock   441339108      22      725    SH    DEFINED  01               725        0        0
HOUGHTON MIFFLIN CO          Common Stock   441560109     989    25185    SH    DEFINED  01,02,03       21090        0     4095
HOUSEHOLD INTL INC           Common Stock   441815107   12176   215020    SH    DEFINED  01,02,03,04   179277        0    35743
HOUSEHOLD INTL INC           Common Stock   441815107    1157    20431    SH    OTHER                   15476     3000     1955
HOVNANIAN ENTERPRISES INC CL Common Stock   442487203     112    15000    SH    OTHER                       0    15000        0
HOVNANIAN ENTERPRISES INC CL Common Stock   442487302     112    15000    SH    OTHER                       0    15000        0
HUBBELL INC CL B             Common Stock   443510201    1293    51606    SH    DEFINED  01,02,03       43836        0     7770
HUBBELL INC CL B             Common Stock   443510201      75     3002    SH    OTHER                    3002        0        0
HUFFY CORP                   Common Stock   444356109     120    11400    SH    DEFINED  01,02,03       11400        0        0
HUGHES SUPPLY INC            Common Stock   444482103     519    26450    SH    DEFINED  01,02,03       26450        0        0
HUMANA INC                   Common Stock   444859102     814    75702    SH    DEFINED  01,02          51582        0    24120
HUMANA INC                   Common Stock   444859102      20     1825    SH    OTHER                    1825        0        0
HUMAN GENOME SCIENCES INC    Common Stock   444903108    1552     8967    SH    DEFINED  01,02           3920        0     5047
HUNT JB TRANS SVCS INC       Common Stock   445658107     370    29027    SH    DEFINED  01,02,03       24527        0     4500
HUNTINGTON BANCSHARES INC    Common Stock   446150104    1679   114308    SH    DEFINED  01,03         112034        0     2274
HUNTINGTON BANCSHARES INC    Common Stock   446150104     651    44290    SH    OTHER                   20681        0    23609
HUTCHINSON TECHNOLOGY INC    Common Stock   448407106     586    27800    SH    DEFINED  01,02,03       27800        0        0
ICN PHARMACEUTICALS INC NEW  Common Stock   448924100    2505    75331    SH    DEFINED  01,02,03       55810        0    19521
ICN PHARMACEUTICALS INC NEW  Common Stock   448924100      10      300    SH    OTHER                       0      300        0
IDT CORP                     Common Stock   448947101      66     1700    SH    DEFINED  01              1700        0        0
HYPERCOM CORP                Common Stock   44913M105      26     2500    SH    DEFINED  01              2500        0        0
IBP INC                      Common Stock   449223106    1658    90513    SH    DEFINED  01,02,03       73528        0    16985
IBP INC                      Common Stock   449223106      35     1915    SH    OTHER                     150        0     1765
ICOS CORP                    Common Stock   449295104     460     8500    SH    DEFINED  01,02           3300        0     5200
ICOS CORP                    Common Stock   449295104    1082    20000    SH    OTHER                   20000        0        0
IDEC PHARMACEUTICALS CORP    Common Stock   449370105    7141    40720    SH    DEFINED  01,02,03       31100        0     9620
IHOP CORP NEW                Common Stock   449623107     430    22500    SH    DEFINED  01,02,03       22500        0        0
IMC GLOBAL INC               Common Stock   449669100    1403    96761    SH    DEFINED  01,02,03       81710        0    15051
IMC GLOBAL INC               Common Stock   449669100      10      700    SH    OTHER                       0        0      700
IMCO RECYCLING INC           Common Stock   449681105     103    17100    SH    DEFINED  01,02,03       17100        0        0
ITC DELTACOM INC             Common Stock   45031T104      52     4535    SH    DEFINED  01              4400        0      135
ITT EDUCATIONAL SERVICES INC Common Stock   45068B109      46     1700    SH    DEFINED  01              1700        0        0
ITT INDS INC                 Common Stock   450911102     953    29392    SH    DEFINED  01,02,03       28092        0     1300
ITT INDS INC                 Common Stock   450911102      40     1243    SH    OTHER                    1243        0        0
IDEX CORP                    Common Stock   45167R104     939    33600    SH    DEFINED  01,02,03       33600        0        0
IDEX CORP                    Common Stock   45167R104      63     2250    SH    OTHER                    2250        0        0
IDEXX LABORATORIES INC       Common Stock   45168D104    1164    43500    SH    DEFINED  01,02,03       38700        0     4800
IDEXX LABORATORIES INC       Common Stock   45168D104       5      200    SH    OTHER                     200        0        0
IKON OFFICE SOLUTIONS INC    Common Stock   451713101      55    13890    SH    DEFINED  01             12460        0     1430
IKON OFFICE SOLUTIONS INC    Common Stock   451713101      11     2740    SH    OTHER                     550        0     2190
ILEX ONCOLOGY INC            Common Stock   451923106      54     1800    SH    DEFINED  01              1800        0        0
ILLINOIS TOOL WKS INC        Common Stock   452308109    6334   113365    SH    DEFINED  01,02,03,04   106573        0     6792
ILLINOIS TOOL WKS INC        Common Stock   452308109      74     1323    SH    OTHER                     260      100      963
IMATION CORP                 Common Stock   45245A107     573    30761    SH    DEFINED  01,02,03       25841        0     4920
IMATION CORP                 Common Stock   45245A107      38     2047    SH    OTHER                    1847      100      100
IMCLONE SYSTEMS INC          Common Stock   45245W109     705     6025    SH    DEFINED  01,02           4725        0     1300
IMCLONE SYSTEMS INC          Common Stock   45245W109      12      100    SH    OTHER                       0        0      100
IMMUNEX CORP NEW             Common Stock   452528102    4174    95965    SH    DEFINED  01,02          35900        0    60065
IMMUNE RESPONSE CORP DEL     Common Stock   45252T106     214    31100    SH    DEFINED  01,02,03       30600        0      500
IMMUNOGEN INC                Common Stock   45253H101      82     2400    SH    DEFINED  01              2400        0        0
IMMUNOGEN INC                Common Stock   45253H101     855    25000    SH    OTHER                   25000        0        0
IMPERIAL BANCORP             Common Stock   452556103     949    49600    SH    DEFINED  01,02,03       49600        0        0
IMPATH INC                   Common Stock   45255G101      69     1100    SH    DEFINED  01              1100        0        0
IMATRON INC                  Common Stock   452906100      39    16650    SH    DEFINED  01,02          16650        0        0
IMMUNOMEDICS INC             Common Stock   452907108     182     8680    SH    DEFINED  01,02           4180        0     4500
INAMED CORP                  Common Stock   453235103      42     1500    SH    DEFINED  01              1500        0        0
INCYTE GENOMICS INC          Common Stock   45337C102    2439    59300    SH    DEFINED  01,02,03       44300        0    15000
INDEPENDENT BANK CORP        Common Stock   453838104     133     7677    SH    DEFINED  01,04           7677        0        0
INDUS INTL INC               Common Stock   45578L100      12     2400    SH    DEFINED  01              2400        0        0
INFORMIX CORP                Common Stock   456779107     988   239480    SH    DEFINED  01,02,03      202980        0    36500
INGERSOLL RAND CO            Common Stock   456866102    2213    65332    SH    DEFINED  01,02,03       57401        0     7931
INGERSOLL RAND CO            Common Stock   456866102      51     1495    SH    OTHER                    1440        0       55
INFORMATION RESOURSE INC     Common Stock   456905108     221    32500    SH    DEFINED  01,02,03       32500        0        0
INFORMATION RESOURSE INC     Common Stock   456905108       0        3    SH    OTHER                       3        0        0
INGRAM MICRO INC CL A        Common Stock   457153104      74     5350    SH    DEFINED  01              5350        0        0
INGRAM MICRO INC CL A        Common Stock   457153104      15     1100    SH    OTHER                    1100        0        0
INHALE THERAPEUTIC SYSTEMS   Common Stock   457191104     507     9000    SH    DEFINED  01,02           6600        0     2400
INNOVEX INC                  Common Stock   457647105     226    16600    SH    DEFINED  01,02,03       16600        0        0
INPUT/OUTPUT INC             Common Stock   457652105     544    56500    SH    DEFINED  01,02,03       56500        0        0
INSIGHT ENTERPRISES INC      Common Stock   45765U103    1245    45675    SH    DEFINED  01,02,03       45675        0        0
INSITUFORM TECHNOLOGIES CL A Common Stock   457667103     935    27800    SH    DEFINED  01,02,03       27800        0        0
INSURANCE AUTO AUCTIONS INC  Common Stock   457875102     212    13100    SH    DEFINED  01,02,03       13100        0        0
INTEGRATED DEVICE TECHNOLOGY Common Stock   458118106    7989    88276    SH    DEFINED  01,02,03       74876        0    13400
INTEGRATED SILICON SOLUTION ICommon Stock   45812P107      26     1800    SH    DEFINED  01              1800        0        0
INTEL CORP                   Common Stock   458140100  161814  3893215    SH    DEFINED  01,02,03,04  3680080     1990   211145
INTEL CORP                   Common Stock   458140100   24105   579974    SH    OTHER                  426121    87125    66728
INTER TEL                    Common Stock   458372109     351    30900    SH    DEFINED  01,02,03       30900        0        0
INTERFACE INC CL A           Common Stock   458665106     456    57200    SH    DEFINED  01,02,03       57200        0        0
INTERDIGITAL COMMUNICATIONS CCommon Stock   45866A105      69     4900    SH    DEFINED  01              4900        0        0
INTERDIGITAL COMMUNICATIONS CCommon Stock   45866A105      35     2500    SH    OTHER                       0        0     2500
INTERMAGNETICS GENERAL CORP  Common Stock   458771102     407    15286    SH    DEFINED  01,02,03       15286        0        0
INTERMEDIA COMMUNICATIONS INCCommon Stock   458801107     116     3940    SH    DEFINED  01              3940        0        0
INTERMET CORP                Common Stock   45881K104     206    28400    SH    DEFINED  01,02,03       28400        0        0
IBM CORP                     Common Stock   459200101  102422   910420    SH    DEFINED  01,02,03,04   852264     2658    55498
IBM CORP                     Common Stock   459200101   14889   132343    SH    OTHER                  109170    10150    13023
INTERNATNL FLAVORS & FRAGRANCCommon Stock   459506101     964    52802    SH    DEFINED  01,02,03,04    45752        0     7050
INTERNATNL FLAVORS & FRAGRANCCommon Stock   459506101     153     8400    SH    OTHER                    7200        0     1200
INTERNATIONAL GAME TECHNOLOGYCommon Stock   459902102    2319    68981    SH    DEFINED  01,02,03       50741        0    18240
INTERNATIONAL GAME TECHNOLOGYCommon Stock   459902102      45     1328    SH    OTHER                       0     1328        0
INTERNATIONAL MULTIFOODS CRP Common Stock   460043102     299    17226    SH    DEFINED  01,02,03       14826        0     2400
INTERNATIONAL PAPER CAP CV PFPreferred Stock460137300      22      560    PRN   DEFINED  01               135        0      425
INTERNATIONAL PAPER CAP CV PFPreferred Stock460137300       2       55    PRN   OTHER                       0        0       55
INTERNATIONAL PAPER CO       Common Stock   460146103    5334   185938    SH    DEFINED  01,02,03      178236        0     7702
INTERNATIONAL PAPER CO       Common Stock   460146103     250     8704    SH    OTHER                    6612     1188      904
INTERNATIONAL RECTIFIER CORP Common Stock   460254105    2775    54950    SH    DEFINED  01,02,03       47050        0     7900
INTERNATIONAL RECTIFIER CORP Common Stock   460254105      65     1285    SH    OTHER                    1200        0       85
INTERNATIONAL SPEEDWAY CORP CCommon Stock   460335201    1725    44221    SH    DEFINED  01,02,03       37421        0     6800
INTERNATIONAL SPEEDWAY CORP CCommon Stock   460335201      39     1000    SH    OTHER                    1000        0        0
INTERPUBLIC GROUP COS INC    Common Stock   460690100   23494   689736    SH    DEFINED  01,02,03,04   658171     4024    27541
INTERPUBLIC GROUP COS INC    Common Stock   460690100   15640   459163    SH    OTHER                  167515   289524     2124
INTERSTATE BAKERIES CORP DEL Common Stock   46072H108     794    54300    SH    DEFINED  01,02,03       45800        0     8500
INTERVOICE-BRITE INC         Common Stock   461142101     385    36700    SH    DEFINED  01,02,03       36700        0        0
INTIMATE BRANDS INC          Common Stock   461156101    1198    64110    SH    DEFINED  01,02          61890        0     2220
INTIMATE BRANDS INC          Common Stock   461156101       4      200    SH    OTHER                     200        0        0
INTUIT INC                   Common Stock   461202103    9755   171144    SH    DEFINED  01,02,03      145044        0    26100
INVACARE CORP                Common Stock   461203101    1201    37400    SH    DEFINED  01,02,03       33600        0     3800
INVESTORS FINANCIAL SVCS CORPCommon Stock   461915100    2096    33200    SH    DEFINED  01,02,03       33200        0        0
IOMEGA CORP                  Common Stock   462030107      97    19400    SH    DEFINED  01             19400        0        0
IONICS INC                   Common Stock   462218108     386    18100    SH    DEFINED  01,02,03       18100        0        0
IONICS INC                   Common Stock   462218108       4      200    SH    OTHER                       0      200        0
IPALCO ENTERPRISES INC       Common Stock   462613100    1705    74520    SH    DEFINED  01,02,03       60520        0    14000
IPALCO ENTERPRISES INC       Common Stock   462613100     206     8992    SH    OTHER                    7632     1360        0
ISIS PHARMACEUTICALS         Common Stock   464330109      67     5800    SH    DEFINED  01,02           2700        0     3100
ITRON INC                    Common Stock   465741106     104    16900    SH    DEFINED  01,02,03       16900        0        0
I2 TECHNOLOGIES INC          Common Stock   465754109    3253    17390    SH    DEFINED  01             15800        0     1590
IVAX CORP                    Common Stock   465823102    7039   153012    SH    DEFINED  01,02,03      110932        0    42080
IVAX CORP                    Common Stock   465823102       9      195    SH    OTHER                       0        0      195
J & J SNACK FOODS            Common Stock   466032109     124     9600    SH    DEFINED  01,02,03        9600        0        0
JDA SOFTWARE GROUP INC       Common Stock   46612K108      22     1700    SH    DEFINED  01              1700        0        0
JLG INDS INC                 Common Stock   466210101     594    48700    SH    DEFINED  01,02,03       48700        0        0
JABIL CIRCUIT INC            Common Stock   466313103   10559   186070    SH    DEFINED  01,02,03      161670        0    24400
JABIL CIRCUIT INC            Common Stock   466313103    6257   110250    SH    OTHER                     250        0   110000
JACOBS ENGR GROUP INC        Common Stock   469814107     992    24616    SH    DEFINED  01,02,03       21216        0     3400
JACOBSON STORES INC          Common Stock   469834105      59    13502    SH    DEFINED  01,04          11752     1750        0
JACOBSON STORES INC          Common Stock   469834105       1      169    SH    OTHER                     169        0        0
JACOBSON STORES CONV         Other          469834AC9      17    25000    SH    DEFINED  01             25000        0        0
JEFFERSON PILOT CORP         Common Stock   475070108    2294    33795    SH    DEFINED  01,02,03       32770        0     1025
JEFFERSON PILOT CORP         Common Stock   475070108     204     3000    SH    OTHER                    3000        0        0
JOHN NUVEEN CO CL A          Common Stock   478035108     106     2200    SH    DEFINED  01              2200        0        0
JOHNS MANVILLE CORP          Common Stock   478129109     120    10600    SH    DEFINED  01             10600        0        0
JOHNSON & JOHNSON            Common Stock   478160104  102084  1086722    SH    DEFINED  01,02,03,04  1034110     2120    50492
JOHNSON & JOHNSON            Common Stock   478160104   22730   241966    SH    OTHER                  197603    22267    22096
JOHNSON CTLS INC             Common Stock   478366107   11910   223914    SH    DEFINED  01,02,03      212131      340    11443
JOHNSON CTLS INC             Common Stock   478366107    2708    50917    SH    OTHER                   34998    13245     2674
JONES APPAREL GROUP INC      Common Stock   480074103    3713   140126    SH    DEFINED  01,02,03      123077        0    17049
JONES APPAREL GROUP INC      Common Stock   480074103     260     9800    SH    OTHER                    9400        0      400
JOURNAL REGISTER CO          Common Stock   481138105      53     3200    SH    DEFINED  01              3200        0        0
KLA-TENCOR CORP              Common Stock   482480100    2503    60780    SH    DEFINED  01,02,03       58795        0     1985
KLA-TENCOR CORP              Common Stock   482480100      44     1076    SH    OTHER                     550        0      526
K MART CORPORATION           Common Stock   482584109    1307   217853    SH    DEFINED  01,02,04      202333        0    15520
K MART CORPORATION           Common Stock   482584109     230    38257    SH    OTHER                   36587        0     1670
K-SWISS INC                  Common Stock   482686102     256    11400    SH    DEFINED  01,02,03       11400        0        0
K2 INC                       Common Stock   482732104     180    20100    SH    DEFINED  01,02,03       20100        0        0
KAMAN CORP CLASS A           Common Stock   483548103     328    26000    SH    DEFINED  01,02,03       26000        0        0
KANSAS CITY PWR & LT CO      Common Stock   485134100    1492    55900    SH    DEFINED  01,02,03       48000        0     7900
KANSAS CITY PWR & LT CO      Common Stock   485134100      56     2100    SH    OTHER                     800     1300        0
KAUFMAN & BROAD HOME CORP    Common Stock   486168107     409    15170    SH    DEFINED  01,02          14750        0      420
KAYDON CORP                  Common Stock   486587108     565    24564    SH    DEFINED  01,02,03       20764        0     3800
KEANE INC                    Common Stock   486665102     997    57305    SH    DEFINED  01,02,03       48405        0     8900
KEITHLEY INSTRUMENTS INC     Common Stock   487584104      58      825    SH    DEFINED  01               825        0        0
KELLOGG CO                   Common Stock   487836108    4618   190938    SH    DEFINED  01,02,03,04   186813        0     4125
KELLOGG CO                   Common Stock   487836108    5232   216308    SH    OTHER                  157581     4900    53827
KELLWOOD CO                  Common Stock   488044108     490    26850    SH    DEFINED  01,02,03       26850        0        0
KELLY SERVICES INC CL A      Common Stock   488152208     701    29669    SH    DEFINED  01,02,03       25094        0     4575
KELLY SERVICES INC CL A      Common Stock   488152208   10299   435930    SH    OTHER                    1790   434140        0
KEMET CORP                   Common Stock   488360108    2902   105059    SH    DEFINED  01,02,03       99535        0     5524
KEMET CORP                   Common Stock   488360108      94     3387    SH    OTHER                    2000        0     1387
KENNAMETAL INC               Common Stock   489170100     657    25507    SH    DEFINED  01,02,03       21607        0     3900
KENT ELECTRS CORP            Common Stock   490553104     762    31900    SH    DEFINED  01,02,03       31900        0        0
KERR MCGEE CORP              Common Stock   492386107    2776    41900    SH    DEFINED  01,02,03       37620        0     4280
KERR MCGEE CORP              Common Stock   492386107      63      956    SH    OTHER                     414        0      542
KEY ENERGY SERVICES INC      Common Stock   492914106     464    47250    SH    DEFINED  01,02          47250        0        0
KEY ENERGY SERVICES INC      Common Stock   492914106      26     2650    SH    OTHER                    2650        0        0
KEYCORP (NEW)                Common Stock   493267108    3945   155865    SH    DEFINED  01,02,03      151231        0     4634
KEYCORP (NEW)                Common Stock   493267108     363    14324    SH    OTHER                    8524        0     5800
KEYSTONE FINL INC            Common Stock   493482103     881    40486    SH    DEFINED  01,02,03       34186        0     6300
KIMBERLY CLARK CORP          Common Stock   494368103   22426   401808    SH    DEFINED  01,02,03,04   377154     2350    22304
KIMBERLY CLARK CORP          Common Stock   494368103   11593   207705    SH    OTHER                  144895    46900    15910
KIRBY CORP                   Common Stock   497266106     540    27500    SH    DEFINED  01,02,03       27500        0        0
KMART FIN 7.750% SER KM PFD CPreferred Stock498778208      22      700    PRN   DEFINED  01               700        0        0
KMART FIN 7.750% SER KM PFD CPreferred Stock498778208      36     1150    PRN   OTHER                    1050      100        0
KNAPE & VOGT MFG CO CL B     Common Stock   498782200     179    12710    SH    OTHER                       0        0    12710
KNIGHT RIDDER INC            Common Stock   499040103    1620    31878    SH    DEFINED  01,02,03       29293        0     2585
KNIGHT RIDDER INC            Common Stock   499040103      41      810    SH    OTHER                     395        0      415
KOHLS CORP                   Common Stock   500255104    6719   116475    SH    DEFINED  01,02,03      110951        0     5524
KOHLS CORP                   Common Stock   500255104     141     2448    SH    OTHER                     140        0     2308
KOPIN CORP                   Common Stock   500600101      84     4670    SH    DEFINED  01              4500        0      170
KROGER CO                    Common Stock   501044101    6796   301208    SH    DEFINED  01,02,03      280642        0    20566
KROGER CO                    Common Stock   501044101     166     7342    SH    OTHER                    4000        0     3342
KRONOS INC                   Common Stock   501052104     416    13850    SH    DEFINED  01,02,03       13850        0        0
KULICKE & SOFFA INDS INC     Common Stock   501242101     724    54400    SH    DEFINED  01,02,03       54400        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
<S>                          <C>            <C>        <C>      <C>      <C>    <C>      <C>           <C>      <C>        <C>
LCC INTERNATIONAL INC CL A   Common Stock   501810105     197    13575    SH    DEFINED  01,02          13575        0        0
LCC INTERNATIONAL INC CL A   Common Stock   501810105      10      700    SH    OTHER                     700        0        0
LG&E ENERGY CORP             Common Stock   501917108    2787   114064    SH    DEFINED  01,02,03       96489        0    17575
LTV CORP NEW                 Common Stock   501921100       9     7200    SH    DEFINED  01              7200        0        0
LSI LOGIC CORP               Common Stock   502161102    2843    97212    SH    DEFINED  01,02,03       94212        0     3000
LSI LOGIC CORP               Common Stock   502161102       6      200    SH    OTHER                     200        0        0
LTX CORP                     Common Stock   502392103      62     3300    SH    DEFINED  01              3300        0        0
LA Z BOY INCORPORATED        Common Stock   505336107    1169    80275    SH    DEFINED  01,02,03       67800        0    12475
LA Z BOY INCORPORATED        Common Stock   505336107      14      930    SH    OTHER                       0        0      930
LABOR READY INC              Common Stock   505401208     196    46700    SH    DEFINED  01,02,03       46700        0        0
LACLEDE GAS CO               Common Stock   505588103     458    21200    SH    DEFINED  01,02,03       21200        0        0
LAFARGE CORP                 Common Stock   505862102     117     5400    SH    DEFINED  01              5400        0        0
LAM RESH CORP                Common Stock   512807108     186     8860    SH    DEFINED  01              8860        0        0
LAMAR ADVERTISING CO         Common Stock   512815101     193     5100    SH    DEFINED  01              5100        0        0
LANCASTER COLONY CORP        Common Stock   513847103     900    36629    SH    DEFINED  01,02,03       31630        0     4999
LANCASTER COLONY CORP        Common Stock   513847103      10      400    SH    OTHER                     400        0        0
LANCE INC                    Common Stock   514606102     232    23850    SH    DEFINED  01,02,03       20150        0     3700
LANDS END INC                Common Stock   515086106     522    24864    SH    DEFINED  01,02,03       20964        0     3900
LANDRYS SEAFOOD RESTAURANTS ICommon Stock   51508L103     170    25000    SH    DEFINED  01,02,03       25000        0        0
LANDSTAR SYSTEM INC          Common Stock   515098101     442     9900    SH    DEFINED  01,02,03        9900        0        0
LASER VISION CTRS INC        Common Stock   51807H100     128    29455    SH    DEFINED  01,02,03       29455        0        0
LATTICE SEMICONDUCTOR CORP   Common Stock   518415104    2478    46100    SH    DEFINED  01,02,03       39700        0     6400
LAUDER ESTEE COS INC         Common Stock   518439104     373    10196    SH    DEFINED  01             10120        0       76
LAWSON PRODUCTS INC          Common Stock   520776105     266    11000    SH    DEFINED  01,02,03       11000        0        0
LEAR CORP                    Common Stock   521865105    1232    59896    SH    DEFINED  01,02,03       51096        0     8800
LEAR CORP                    Common Stock   521865105      11      525    SH    OTHER                     525        0        0
LEARNING TREE INTL INC       Common Stock   522015106      88     1840    SH    DEFINED  01              1600        0      240
LEARNING TREE INTL INC       Common Stock   522015106       2       45    SH    OTHER                       0        0       45
LEE ENTERPRISES INC          Common Stock   523768109    1046    36227    SH    DEFINED  01,02,03       30362        0     5865
LEGATO SYSTEMS INC           Common Stock   524651106     977    72690    SH    DEFINED  01,02,03       61490        0    11200
LEGGETT & PLATT INC          Common Stock   524660107    5909   373650    SH    DEFINED  01,02,03,04   367120        0     6530
LEGGETT & PLATT INC          Common Stock   524660107    1131    71520    SH    OTHER                   37690    33830        0
LEGG MASON INC               Common Stock   524901105    2924    50300    SH    DEFINED  01,02,03       42500        0     7800
LEHMAN BROS HLDGS INC        Common Stock   524908100    7304    49435    SH    DEFINED  01,02          45741        0     3694
LEHMAN BROS HLDGS INC        Common Stock   524908100     235     1593    SH    OTHER                     936        0      657
LENNAR CORP                  Common Stock   526057104    1505    50700    SH    DEFINED  01,02,03       42800        0     7900
LEUCADIA NATL CORP           Common Stock   527288104     107     3984    SH    DEFINED  01              3984        0        0
LEXMARK INTL INC             Common Stock   529771107    2861    76299    SH    DEFINED  01,02,03       72821        0     3478
LEXMARK INTL INC             Common Stock   529771107      49     1310    SH    OTHER                     850        0      460
LIBBEY INC                   Common Stock   529898108     529    17000    SH    DEFINED  01,02,03       17000        0        0
LIBERTY FINANCIAL CO INC     Common Stock   530512102      81     3427    SH    DEFINED  01              3427        0        0
LIFE TECH INC                Common Stock   532177201     151     2600    SH    DEFINED  01,02              0        0     2600
LIFECORE BIOMEDICAL INC      Common Stock   532187101      11     1400    SH    DEFINED  01,02              0        0     1400
LIGAND PHARMACEUTICALS INC CLCommon Stock   53220K207      68     5279    SH    DEFINED  01,02           1861        0     3418
LIGHTBRIDGE INC              Common Stock   532226107      14     1200    SH    DEFINED  01              1200        0        0
LILLIAN VERNON CORP          Common Stock   532430105      95     9700    SH    DEFINED  01,02,03        9700        0        0
LILLY ELI & CO               Common Stock   532457108   34475   424955    SH    DEFINED  01,03,04      405149        0    19806
LILLY ELI & CO               Common Stock   532457108    6554    80789    SH    OTHER                   77499     2600      690
LILLY INDS INC CL A          Common Stock   532491107     766    25970    SH    DEFINED  01,02,03       25970        0        0
LIMITED INC                  Common Stock   532716107    3066   138981    SH    DEFINED  01,03         133383        0     5598
LIMITED INC                  Common Stock   532716107      50     2280    SH    OTHER                       0        0     2280
LINCARE HLDGS INC            Common Stock   532791100    1471    51270    SH    DEFINED  01,02,03       37070        0    14200
LINCOLN NATL CORP IND        Common Stock   534187109    3981    82721    SH    DEFINED  01,03          79416        0     3305
LINCOLN NATL CORP IND        Common Stock   534187109     232     4813    SH    OTHER                    1132        0     3681
LINDSAY MFG CO               Common Stock   535555106     245    13162    SH    DEFINED  01,02,03       13162        0        0
LINEAR TECHNOLOGY CORP       Common Stock   535678106    7255   112047    SH    DEFINED  01,02,03      102018        0    10029
LINEAR TECHNOLOGY CORP       Common Stock   535678106     478     7386    SH    OTHER                    6900        0      486
LINENS N THINGS INC          Common Stock   535679104    1135    44500    SH    DEFINED  01,02,03       44500        0        0
LITTLEFUSE INC               Common Stock   537008104      61     2050    SH    DEFINED  01              2000        0       50
LITTON INDS INC              Common Stock   538021106    1698    38004    SH    DEFINED  01,02,03       32204        0     5800
LITTON INDS INC              Common Stock   538021106       4      100    SH    OTHER                     100        0        0
LIZ CLAIBORNE INC            Common Stock   539320101     892    23178    SH    DEFINED  01             17650        0     5528
LIZ CLAIBORNE INC            Common Stock   539320101     156     4055    SH    OTHER                    3100        0      955
LOCKHEED MARTIN CORP         Common Stock   539830109    4606   139753    SH    DEFINED  01,02,03      132042        0     7711
LOCKHEED MARTIN CORP         Common Stock   539830109     927    28138    SH    OTHER                   25758        0     2380
LOEWS CORP                   Common Stock   540424108    2661    31912    SH    DEFINED  01,03          29957        0     1955
LOEWS CORP                   Common Stock   540424108      98     1170    SH    OTHER                     650        0      520
LOEWS CORP CONV              Other          540424AL2      11    13000    SH    DEFINED  01              5000        0     8000
LOEWS CORP CONV              Other          540424AL2       3     3000    SH    OTHER                       0        0     3000
LONE STAR STEAKHOUSE SALOON  Common Stock   542307103     157    21307    SH    DEFINED  01,02,03       18007        0     3300
LONE STAR TECHNOLOGY INC     Common Stock   542312103      78     1700    SH    DEFINED  01              1700        0        0
LONGS DRUG STORES CORP       Common Stock   543162101     330    17253    SH    DEFINED  01,02          12153        0     5100
LONGVIEW FIBRE CO            Common Stock   543213102     510    42528    SH    DEFINED  01,02,03       35928        0     6600
LOUIS DREYFUS NAT GAS CORP   Common Stock   546011107    1910    48200    SH    DEFINED  01,02,03       48200        0        0
LOUISIANA PAC CORP           Common Stock   546347105     364    39619    SH    DEFINED  01,02,03       38519        0     1100
LOUISIANA PAC CORP           Common Stock   546347105      15     1642    SH    OTHER                    1642        0        0
LOWES COS INC                Common Stock   548661107   10971   244479    SH    DEFINED  01,02,03      226224        0    18255
LOWES COS INC                Common Stock   548661107     408     9098    SH    OTHER                    6650        0     2448
LUBRIZOL CORP                Common Stock   549271104     971    49304    SH    DEFINED  01,02,03       38021        0    11283
LUBRIZOL CORP                Common Stock   549271104      28     1420    SH    OTHER                     420        0     1000
LUBY'S INC                   Common Stock   549282101     134    25138    SH    DEFINED  01,02,03       25138        0        0
LUCENT TECHNOLOGIES INC      Common Stock   549463107   55263  1808162    SH    DEFINED  01,02,03,04  1627015     6844   174303
LUCENT TECHNOLOGIES INC      Common Stock   549463107    8813   288342    SH    OTHER                  215092    47224    26026
LYCOS INC                    Common Stock   550818108     543     7900    SH    DEFINED  01              7900        0        0
LYDALL INC                   Common Stock   550819106     204    17800    SH    DEFINED  01,02,03       17800        0        0
LYDALL INC                   Common Stock   550819106       6      500    SH    OTHER                     500        0        0
LYONDELL PETROCHEMICAL CO    Common Stock   552078107    1149    97274    SH    DEFINED  01,02,03       82174        0    15100
LYONDELL PETROCHEMICAL CO    Common Stock   552078107       1      100    SH    OTHER                     100        0        0
MAF BANCORP INC              Common Stock   55261R108     644    25900    SH    DEFINED  01,02,03       25900        0        0
MBIA INC                     Common Stock   55262C100    3973    55864    SH    DEFINED  01,02,03       53719        0     2145
MBIA INC                     Common Stock   55262C100     644     9050    SH    OTHER                    8960       90        0
MBNA CORP                    Common Stock   55262L100   52578  1365657    SH    DEFINED  01,02,03,04  1307841     3502    54314
MBNA CORP                    Common Stock   55262L100   13202   342905    SH    OTHER                  319224    14994     8687
M D C HLDGS INC              Common Stock   552676108     619    23800    SH    DEFINED  01,02,03       23800        0        0
MCN ENERGY GROUP INC         Common Stock   55267J100    3331   129986    SH    DEFINED  01,02,03      114368        0    15618
MCN ENERGY GROUP INC         Common Stock   55267J100     143     5584    SH    OTHER                    3640     1944        0
MDU RESOURCES GROUP INC      Common Stock   552690109     230     7725    SH    DEFINED  01              6225     1500        0
MDU RESOURCES GROUP INC      Common Stock   552690109     494    16600    SH    OTHER                    5725     3375     7500
MGIC INVT CORP WIS           Common Stock   552848103    8332   136305    SH    DEFINED  01,02,03      125835        0    10470
MGIC INVT CORP WIS           Common Stock   552848103     311     5085    SH    OTHER                    4355        0      730
MGM MIRAGE                   Common Stock   552953101     439    11490    SH    DEFINED  01             11490        0        0
MMC NETWORKS INC             Common Stock   55308N102     291     2300    SH    DEFINED  01              2300        0        0
MRV COMMUNICATIONS INC       Common Stock   553477100     186     4100    SH    DEFINED  01              4100        0        0
MSC INDL DIRECT INC CL A     Common Stock   553530106      37     2400    SH    DEFINED  01              2400        0        0
M S CARRIERS INC             Common Stock   553533100     200    12800    SH    DEFINED  01,02,03       12800        0        0
MTS SYS CORP                 Common Stock   553777103      10     1500    SH    DEFINED  01              1500        0        0
MACDERMID INC                Common Stock   554273102     731    34800    SH    DEFINED  01,02,03       34800        0        0
MACROMEDIA INC               Common Stock   556100105    3532    43700    SH    DEFINED  01,02,03       37000        0     6700
MADISON GAS & ELEC CO        Common Stock   557497104      32     1400    SH    DEFINED  01              1400        0        0
MAGELLAN HEALTH SVCS INC     Common Stock   559079108      16     4000    SH    DEFINED  01,02              0        0     4000
MAGNA INTL INC               Other          559222AE4      28    29000    SH    DEFINED  01                 0        0    29000
MAGNA INTL INC               Other          559222AE4       2     2000    SH    OTHER                       0        0     2000
MAGNETEK INC                 Common Stock   559424106     204    19216    SH    DEFINED  01,02,03       16216        0     3000
MAIL-WELL INC                Common Stock   560321200      16     3500    SH    DEFINED  01              3500        0        0
MALLINCKRODT INC             Common Stock   561232109    1482    32472    SH    DEFINED  01,02          22452        0    10020
MALLINCKRODT INC             Common Stock   561232109      37      812    SH    OTHER                     142        0      670
MANITOWOC CO. INC.           Common Stock   563571108     527    27400    SH    DEFINED  01,02,03       27400        0        0
MANITOWOC CO. INC.           Common Stock   563571108    2050   106468    SH    OTHER                  106468        0        0
MANPOWER INC WIS             Common Stock   56418H100    2016    63109    SH    DEFINED  01,02,03       52809        0    10300
MAPICS INC                   Common Stock   564910107       9     1300    SH    DEFINED  01              1300        0        0
MANUGISTICS GROUP INC        Common Stock   565011103     208     2120    SH    DEFINED  01              2120        0        0
MAPINFO CORP                 Common Stock   565105103     398    12712    SH    DEFINED  01,02          12712        0        0
MAPINFO CORP                 Common Stock   565105103      23      750    SH    OTHER                     750        0        0
MARCUS CORP                  Common Stock   566330106     345    32887    SH    DEFINED  01,02,03       32887        0        0
MARINE DRILLING COS INC      Common Stock   568240204     120     4200    SH    DEFINED  01              4200        0        0
MARKEL CORP                  Common Stock   570535104      80      525    SH    DEFINED  01               525        0        0
MARSH & MCLENNAN COS INC     Common Stock   571748102   22496   169462    SH    DEFINED  01,02,03,04   161130        0     8332
MARSH & MCLENNAN COS INC     Common Stock   571748102    3093    23299    SH    OTHER                   16003     6071     1225
MARSHALL & ILSLEY CORP       Common Stock   571834100    4312    86028    SH    DEFINED  01,02,03       72628        0    13400
MARSHALL & ILSLEY CORP       Common Stock   571834100      10      200    SH    OTHER                     200        0        0
MARTIN MARIETTA MATERIALS INCCommon Stock   573284106    1475    38537    SH    DEFINED  01,02,03       32537        0     6000
MASCO CORP                   Common Stock   574599106    7264   389998    SH    DEFINED  01,02,03,04   355243    15800    18955
MASCO CORP                   Common Stock   574599106    2664   143040    SH    OTHER                   57125    80800     5115
MASCOTECH INC                Common Stock   574670105    1146    69192    SH    DEFINED  01,02,03       69192        0        0
MASCOTECH INC                Common Stock   574670105     515    31120    SH    OTHER                    6120    25000        0
MASCOTECH INC CV             Other          574670AB1       7    10000    SH    OTHER                       0    10000        0
MASTEC INC                   Common Stock   576323109     148     4740    SH    DEFINED  01              4740        0        0
MATERIAL SCIENCE CORP        Common Stock   576674105     190    16700    SH    DEFINED  01,02,03       16700        0        0
MATRIX PHARMACEUTICAL INC    Common Stock   576844104      25     1600    SH    DEFINED  01              1600        0        0
MATTEL INC                   Common Stock   577081102    1580   141223    SH    DEFINED  01,02,03      135997        0     5226
MATTEL INC                   Common Stock   577081102       9      800    SH    OTHER                     800        0        0
MATTHEWS INTL CORP CL A      Common Stock   577128101      26      900    SH    DEFINED  01               900        0        0
MATTSON TECHNOLOGY INC       Common Stock   577223100      21     1400    SH    DEFINED  01              1400        0        0
MAXIM INTEGRATED PRODS INC   Common Stock   57772K101   19457   241884    SH    DEFINED  01,02,03      229742        0    12142
MAXIM INTEGRATED PRODS INC   Common Stock   57772K101     691     8591    SH    OTHER                    7630       50      911
MAXWELL TECHNOLOGIES INC     Common Stock   577767106      13      700    SH    DEFINED  01,02              0        0      700
MAY DEPT STORES CO           Common Stock   577778103    3809   185822    SH    DEFINED  01,02,03,04   174482        0    11340
MAY DEPT STORES CO           Common Stock   577778103    2138   104285    SH    OTHER                   78886    17862     7537
MAVERICK TUBE CORP           Common Stock   577914104      35     1300    SH    DEFINED  01              1300        0        0
MAXIMUS INC                  Common Stock   577933104     522    23600    SH    DEFINED  01,02,03       23600        0        0
MAYTAG CORP                  Common Stock   578592107    1194    38434    SH    DEFINED  01,02,03       37634        0      800
MAYTAG CORP                  Common Stock   578592107      62     2000    SH    OTHER                    2000        0        0
THE MCCLATCHY CO (HLDGS CO) CCommon Stock   579489105     117     3330    SH    DEFINED  01              3175        0      155
MC CORMICK & CO              Common Stock   579780206    2155    72453    SH    DEFINED  01,02,03       63358        0     9095
MC CORMICK & CO              Common Stock   579780206      82     2750    SH    OTHER                    2750        0        0
MCDERMOTT INTERNATIONAL INC  Common Stock   580037109     209    19012    SH    DEFINED  01,02          18312        0      700
MCDONALDS CORP               Common Stock   580135101   25111   831814    SH    DEFINED  01,02,03,04   767638     2800    61376
MCDONALDS CORP               Common Stock   580135101    7031   232906    SH    OTHER                  199862    24854     8190
MCGRAW-HILL COMPANIES INC    Common Stock   580645109    7316   115105    SH    DEFINED  01,02,03      110071        0     5034
MCGRAW-HILL COMPANIES INC    Common Stock   580645109    1632    25678    SH    OTHER                   22677      580     2421
MCLEODUSA INCORPORATED       Common Stock   582266102     598    41756    SH    DEFINED  01             41359        0      397
MEAD CORP                    Common Stock   582834107     814    34822    SH    DEFINED  01,02          33722        0     1100
MEADOWBROOK INS GROUP INC    Common Stock   58319P108       0      100    SH    DEFINED  01,02            100        0        0
MEDAREX INC                  Common Stock   583916101     966     8234    SH    DEFINED  01              2520        0     5714
MEDAREX INC                  Common Stock   583916101    1173    10000    SH    OTHER                   10000        0        0
MEDIA GEN INC                Common Stock   584404107     817    19009    SH    DEFINED  01,02,03       16009        0     3000
MEDIA GEN INC                Common Stock   584404107      52     1200    SH    OTHER                    1200        0        0
MEDIA 100 INC                Common Stock   58440W105     298    27100    SH    DEFINED  01,02          27100        0        0
MEDIA 100 INC                Common Stock   58440W105      14     1300    SH    OTHER                    1300        0        0
MEDICIS PHARMACEUTICAL CL A  Common Stock   584690309    2454    39900    SH    DEFINED  01,02,03       34300        0     5600
MEDIMMUNE INC                Common Stock   584699102    6928    89685    SH    DEFINED  01,02,03       66905        0    22780
MEDIMMUNE INC                Common Stock   584699102      56      722    SH    OTHER                     323        0      399
MEDTRONIC INC                Common Stock   585055106   36012   695042    SH    DEFINED  01,02,03,04   645195     2200    47647
MEDTRONIC INC                Common Stock   585055106    5412   104449    SH    OTHER                   74790     7748    21911
MEMBERWORKS INC              Common Stock   586002107     593    18053    SH    DEFINED  01,02,03       18053        0        0
MENS WEARHOUSE INC           Common Stock   587118100    1554    54875    SH    DEFINED  01,02,03       54875        0        0
MENS WEARHOUSE INC           Common Stock   587118100      13      475    SH    OTHER                     475        0        0
MENTOR CORP MINN             Common Stock   587188103     458    29100    SH    DEFINED  01,02,03       26100        0     3000
MENTOR GRAPHICS              Common Stock   587200106    1243    52761    SH    DEFINED  01,02,03       44561        0     8200
MERCANTILE BANKSHARES        Common Stock   587405101    2101    57872    SH    DEFINED  01,02,03       48872        0     9000
MERCK & CO INC               Common Stock   589331107  121439  1631414    SH    DEFINED  01,02,03,04  1536332    14900    80182
MERCK & CO INC               Common Stock   589331107   32493   436509    SH    OTHER                  336605    70781    29123
MERCURY GEN CORP NEW         Common Stock   589400100     110     3900    SH    DEFINED  01              3900        0        0
MERCURY INTERACTIVE CORP     Common Stock   589405109    4052    25850    SH    DEFINED  01,02,03       24950        0      900
MERCURY INTERACTIVE CORP     Common Stock   589405109    1070     6825    SH    OTHER                       0        0     6825
MEREDITH CORP                Common Stock   589433101     494    16756    SH    DEFINED  01,02,03       16156        0      600
MEREDITH CORP                Common Stock   589433101       6      200    SH    OTHER                     200        0        0
MERIDIAN GOLD INC            Common Stock   589975101      40     5800    SH    DEFINED  01              5800        0        0
MERIX CORP                   Common Stock   590049102      47      725    SH    DEFINED  01               725        0        0
MERRILL LYNCH & CO INC       Common Stock   590188108   19036   288423    SH    DEFINED  01,03,04      268273        0    20150
MERRILL LYNCH & CO INC       Common Stock   590188108     921    13958    SH    OTHER                    4530      204     9224
MESA AIR GROUP INC           Common Stock   590479101     199    36400    SH    DEFINED  01,02,03       36400        0        0
METHODE ELECTRONICS INC CL A Common Stock   591520200    1941    43800    SH    DEFINED  01,02,03       41300        0     2500
METHODE ELECTRONICS INC CL A Common Stock   591520200      13      300    SH    OTHER                     300        0        0
METRICOM INC                 Common Stock   591596101      57     2200    SH    DEFINED  01              2200        0        0
METRIS COS INC               Common Stock   591598107    1127    28538    SH    DEFINED  01,02          21788        0     6750
METRIS COS INC               Common Stock   591598107      32      800    SH    OTHER                     800        0        0
METRO-GOLDWYN-MAYER INC NEW  Common Stock   591610100     355    14807    SH    DEFINED  01             14807        0        0
METROMEDIA FIBER NTWRK-CL A  Common Stock   591689104     845    34766    SH    DEFINED  01             34200        0      566
METROMEDIA FIBER NTWRK-CL A  Common Stock   591689104     267    11000    SH    OTHER                    1000        0    10000
METROMEDIA INTL GROUP INC    Common Stock   591695101      28     7596    SH    DEFINED  01,02           7533        0       63
METTLER-TOLEDO INTL INC      Common Stock   592688105     224     5090    SH    DEFINED  01,03           5000        0       90
MICHAEL FOODS INC            Common Stock   594079105     482    20600    SH    DEFINED  01,02,03       20600        0        0
MICHAELS STORES INC          Common Stock   594087108    1738    43450    SH    DEFINED  01,02,03       43450        0        0
MICHAELS STORES INC          Common Stock   594087108      24      600    SH    OTHER                     600        0        0
MICREL INC                   Common Stock   594793101    4646    69340    SH    DEFINED  01,02,03       58540        0    10800
MICROS SYS INC               Common Stock   594901100     289    19200    SH    DEFINED  01,02,03       19200        0        0
MICROSOFT CORP               Common Stock   594918104  151215  2507169    SH    DEFINED  01,02,03,04  2363641     1110   142418
MICROSOFT CORP               Common Stock   594918104   14251   236278    SH    OTHER                  200375    16078    19825
MICROCHIP TECHNOLOGY INC     Common Stock   595017104    3415   103275    SH    DEFINED  01,02,03       88050        0    15225
MICROCHIP TECHNOLOGY INC     Common Stock   595017104      50     1518    SH    OTHER                    1518        0        0
MICROCELL TELECOMMUNICATIONS Common Stock   59501T304     137     4700    SH    DEFINED  01,03           4700        0        0
MICRON ELECTRONICS INC       Common Stock   595100108      62     6900    SH    DEFINED  01              6900        0        0
MICRON TECHNOLOGY INC        Common Stock   595112103    8323   180930    SH    DEFINED  01,02,03,04   175296        0     5634
MICRON TECHNOLOGY INC        Common Stock   595112103      31      664    SH    OTHER                       0        0      664
MICROSEMI CORP               Common Stock   595137100      37      975    SH    DEFINED  01               975        0        0
MID ATLANTIC MED SVCS INC    Common Stock   59523C107     891    58900    SH    DEFINED  01,02,03       52900        0     6000
MIDWEST EXPRESS HLDGS INC    Common Stock   597911106     316    15700    SH    DEFINED  01,02,03       15700        0        0
MIDWAY GAMES INC             Common Stock   598148104     295    42209    SH    DEFINED  01,02,03       42209        0        0
MILLENNIUM PHARMACEUTICALS INCommon Stock   599902103   12120    82980    SH    DEFINED  01,02,03       65480        0    17500
MILLENNIUM PHARMACEUTICALS INCommon Stock   599902103    6471    44300    SH    OTHER                   44300        0        0
MILLER HERMAN INC            Common Stock   600544100    2158    67306    SH    DEFINED  01,02,03,04    56916        0    10390
MILLIPORE CORP               Common Stock   601073109     808    16687    SH    DEFINED  01,02,03       16187        0      500
MILLIPORE CORP               Common Stock   601073109     184     3800    SH    OTHER                     800        0     3000
MINERALS TECHNOLOGIES INC    Common Stock   603158106     779    16937    SH    DEFINED  01,02,03       14337        0     2600
MINERALS TECHNOLOGIES INC    Common Stock   603158106      52     1120    SH    OTHER                    1120        0        0
MINIMED INC                  Common Stock   60365K108    5164    57778    SH    DEFINED  01,02,03       44300        0    13478
MINNESOTA MNG & MFG          Common Stock   604059105   19272   211486    SH    DEFINED  01,02,03,04   196587     1000    13899
MINNESOTA MNG & MFG          Common Stock   604059105    9857   108174    SH    OTHER                   87348    15318     5508
MISSISSIPPI CHEMICAL CORP    Common Stock   605288208     117    29143    SH    DEFINED  01,02,03       29143        0        0
MITCHELL ENERGY & DEV CORP CLCommon Stock   606592202     163     3500    SH    DEFINED  01              3500        0        0
MITCHELL ENERGY & DEV CORP CLCommon Stock   606592202     233     5000    SH    OTHER                       0     5000        0
MITEL CORP                   Common Stock   606711109     351    17100    SH    DEFINED  01,02,03       16000        0     1100
MOBILE MINI INC              Common Stock   60740F105     247    12850    SH    DEFINED  01,02          12850        0        0
MOBILE MINI INC              Common Stock   60740F105      13      650    SH    OTHER                     650        0        0
MODINE MFG CO                Common Stock   607828100     684    24285    SH    DEFINED  01,02,03       20485        0     3800
MOHAWK INDS INC              Common Stock   608190104     953    43700    SH    DEFINED  01,02,03       36900        0     6800
MOLECULAR DEVICES CORP       Common Stock   60851C107     106     1075    SH    DEFINED  01              1075        0        0
MOLEX INC                    Common Stock   608554101    3479    63910    SH    DEFINED  01,02,03       61910        0     2000
MOLEX INC                    Common Stock   608554101      17      312    SH    OTHER                     312        0        0
MOLEX INC CL A               Common Stock   608554200      89     2147    SH    DEFINED  01,04            976        0     1171
MOLEX INC CL A               Common Stock   608554200     202     4868    SH    OTHER                    2868        0     2000
MONACO COACH CORP            Common Stock   60886R103     376    22800    SH    DEFINED  01,02,03       22800        0        0
MONACO COACH CORP            Common Stock   60886R103      13      800    SH    OTHER                     800        0        0
MONTANA POWER CO             Common Stock   612085100    3286    98448    SH    DEFINED  01,02,03       80598        0    17850
MONTANA POWER CO             Common Stock   612085100     225     6740    SH    OTHER                    3440     2300     1000
MORGAN J P & CO INC          Common Stock   616880100   10218    62541    SH    DEFINED  01,03,04       60501        0     2040
MORGAN J P & CO INC          Common Stock   616880100    5953    36437    SH    OTHER                   33753     2350      334
MORGAN KEEGAN INC            Common Stock   617410105     560    32000    SH    DEFINED  01,02,03       32000        0        0
MORGAN STANLEY DEAN WITTER & Common Stock   617446448   40368   441476    SH    DEFINED  01,02,03      417638        0    23838
MORGAN STANLEY DEAN WITTER & Common Stock   617446448     956    10459    SH    OTHER                    8796        0     1663
MOTOROLA INC                 Common Stock   620076109   26013   920830    SH    DEFINED  01,02,03,04   866803     8400    45627
MOTOROLA INC                 Common Stock   620076109    5183   183484    SH    OTHER                  123262    31050    29172
MOVADO GROUP INC             Common Stock   624580106      15      887    SH    DEFINED  01               887        0        0
MUELLER INDS INC             Common Stock   624756102     867    38660    SH    DEFINED  01,02,03       38660        0        0
MUNICIPAL MTG & EQUITY LLC   Other          62624B101     230    10842    SH    OTHER                   10842        0        0
MURPHY OIL CORP              Common Stock   626717102    2404    37097    SH    DEFINED  01,02,03       31297        0     5800
MUTUAL RISK MGMT LTD         Common Stock   628351108    1013    46157    SH    DEFINED  01,02,03       46032        0      125
MYERS INDS INC               Common Stock   628464109     306    24089    SH    DEFINED  01,02,03       24089        0        0
MYLAN LABS INC               Common Stock   628530107    4018   149172    SH    DEFINED  01,02,03,04   115922        0    33250
MYLAN LABS INC               Common Stock   628530107      86     3200    SH    OTHER                    3200        0        0
MYRIAD GENETICS INC          Common Stock   62855J104     149     1720    SH    DEFINED  01              1650        0       70
MYRIAD GENETICS INC          Common Stock   62855J104    4319    50000    SH    OTHER                   50000        0        0
NBTY INC                     Common Stock   628782104     509    78000    SH    DEFINED  01,02,03       76500        0     1500
NCH CORP                     Common Stock   628850109     154     4347    SH    DEFINED  01,02,03        3647        0      700
NCH CORP                     Common Stock   628850109      19      550    SH    OTHER                     550        0        0
NCI BUILDING SYSTEMS INC     Common Stock   628852105      19     1300    SH    DEFINED  01              1300        0        0
NCO GROUP INC                Common Stock   628858102     251    21100    SH    DEFINED  01,02,03       17800        0     3300
NCR CORP NEW                 Common Stock   62886E108    1183    31281    SH    DEFINED  01,03          29760        0     1521
NCR CORP NEW                 Common Stock   62886E108      29      764    SH    OTHER                     297      217      250
NL INDS INC COM NEW          Common Stock   629156407      95     4485    SH    DEFINED  01              4485        0        0
NL INDS INC COM NEW          Common Stock   629156407      47     2200    SH    OTHER                    2200        0        0
NTL INC                      Common Stock   629407107    8819   190414    SH    DEFINED  01            189899        0      515
NTL INC                      Common Stock   629407107       1       30    SH    OTHER                       0        0       30
NUI CORP                     Common Stock   629430109     485    16078    SH    DEFINED  01,02,03       16078        0        0
NUI CORP                     Common Stock   629430109      15      500    SH    OTHER                     500        0        0
NVR INC                      Common Stock   62944T105     826    10200    SH    DEFINED  01,02,03       10200        0        0
NVR INC                      Common Stock   62944T105       8      100    SH    OTHER                     100        0        0
N-VIRO INTERNATIONAL CORP    Common Stock   62944W207      39    15028    SH    OTHER                   15028        0        0
NABISCO HOLDINGS CORP CL A   Common Stock   629526104     205     3816    SH    DEFINED  01              3700        0      116
NABORS INDS INC              Common Stock   629568106    6539   124788    SH    DEFINED  01,02,03      105134        0    19654
NABORS INDS INC              Common Stock   629568106      24      455    SH    OTHER                     250        0      205
NANOPHASE TECHNOLOGIES CORP  Common Stock   630079101     785    58129    SH    DEFINED  01                 0        0    58129
NASH FINCH CO                Common Stock   631158102     134    12800    SH    DEFINED  01,02,03       12800        0        0
NATL AUSTRALIA BK CV 7.875% PPreferred Stock632525309      78     3085    PRN   DEFINED  01               485        0     2600
NATL AUSTRALIA BK CV 7.875% PPreferred Stock632525309       3      100    PRN   OTHER                       0        0      100
NATIONAL CITY CORP           Common Stock   635405103    9876   446385    SH    DEFINED  01,02,03,04   400497     4800    41088
NATIONAL CITY CORP           Common Stock   635405103    7962   359859    SH    OTHER                  329170    24208     6481
NATIONAL COMM BANCORPORATION Common Stock   635449101    3869   194042    SH    DEFINED  01,02,03      165782        0    28260
NATIONAL COMM BANCORPORATION Common Stock   635449101     125     6270    SH    OTHER                    1490        0     4780
NATIONAL DATA CORP           Common Stock   635621105    1201    36600    SH    DEFINED  01,02,03       36600        0        0
NATIONAL FUEL GAS CO N J     Common Stock   636180101    2014    35928    SH    DEFINED  01,02,03       30928        0     5000
NATIONAL FUEL GAS CO N J     Common Stock   636180101     199     3545    SH    OTHER                    3530        0       15
NATIONAL INSTRUMENTS CORP    Common Stock   636518102    2670    60500    SH    DEFINED  01,02,03       60500        0        0
NATIONAL INSTRUMENTS CORP    Common Stock   636518102      11      250    SH    OTHER                     250        0        0
NATIONAL-OILWELL INC         Common Stock   637071101     164     5252    SH    DEFINED  01              5252        0        0
NATIONAL PRESTO INDS INC     Common Stock   637215104     234     7800    SH    DEFINED  01,02,03        7800        0        0
NATIONAL PRESTO INDS INC     Common Stock   637215104       6      200    SH    OTHER                       0      200        0
NATIONAL SEMICONDUCTOR CORP  Common Stock   637640103    2289    56869    SH    DEFINED  01,02,03       54684        0     2185
NATIONAL SEMICONDUCTOR CORP  Common Stock   637640103       5      117    SH    OTHER                       0        0      117
NATIONAL SVC INDS INC        Common Stock   637657107     257    13126    SH    DEFINED  01,02          12626        0      500
NATIONWIDE FINL SVCS INC CL ACommon Stock   638612101     211     5640    SH    DEFINED  01,02           5300        0      340
NATURAL MICROSYSTEMS CORP    Common Stock   638882100     129     2400    SH    DEFINED  01              2400        0        0
NATURES SUNSHINE PRODS INC   Common Stock   639027101     157    21145    SH    DEFINED  01,02,03       18680        0     2465
NAUTICA ENTERPRISES INC      Common Stock   639089101     450    34800    SH    DEFINED  01,02,03       34800        0        0
NAVISTAR INTL CORP NEW       Common Stock   63934E108     592    19785    SH    DEFINED  01,02,03       19110        0      675
NAVISTAR INTL CORP NEW       Common Stock   63934E108       5      180    SH    OTHER                       0        0      180
NELSON THOMAS INC            Common Stock   640376109     129    15812    SH    DEFINED  01,02,03       15812        0        0
NEMATRON CORPORATION         Common Stock   640441101      50    27500    SH    DEFINED  01             27500        0        0
NEOGEN CORP                  Common Stock   640491106     123    17700    SH    DEFINED  01             17700        0        0
NEORX CORP                   Common Stock   640520300      43     1750    SH    DEFINED  01              1750        0        0
NEOSE TECHNOLOGIES INC       Common Stock   640522108      63     1300    SH    DEFINED  01              1300        0        0
NETMANAGE INC                Common Stock   641144100      10     4640    SH    DEFINED  01              4640        0        0
NETWORK EQUIP TECH           Common Stock   641208103     258    24100    SH    DEFINED  01,02,03       24100        0        0
NETWORK EQUIP TECH           Common Stock   641208103      12     1100    SH    OTHER                    1100        0        0
NETWORK APPLIANCE INC        Common Stock   64120L104   13910   109208    SH    DEFINED  01,02,03      100292        0     8916
NETWORK APPLIANCE INC        Common Stock   64120L104    9444    74147    SH    OTHER                     284        0    73863
NEW ENGLAND BUS              Common Stock   643872104     272    15000    SH    DEFINED  01,02,03       15000        0        0
NEW ERA OF NETWORKS INC      Common Stock   644312100      74     3022    SH    DEFINED  01              2630        0      392
NEW JERSEY RESOURCES CORP    Common Stock   646025106     833    20500    SH    DEFINED  01,02,03       20000        0      500
NEW YORK TIMES CO CLASS A    Common Stock   650111107    3498    88970    SH    DEFINED  01,03,04       80340     1000     7630
NEW YORK TIMES CO CLASS A    Common Stock   650111107      41     1055    SH    OTHER                     845        0      210
NEWCOR INC                   Common Stock   651186108       5     2700    SH    OTHER                    2700        0        0
NEWFIELD EXPLORATION CO      Common Stock   651290108    2257    48350    SH    DEFINED  01,02,03       48225        0      125
NEWFIELD EXPLORATION CO      Common Stock   651290108      70     1500    SH    OTHER                    1500        0        0
NEWMONT MNG CORP             Common Stock   651639106     946    55658    SH    DEFINED  01,02,03       53923        0     1735
NEWMONT MNG CORP             Common Stock   651639106      68     4000    SH    OTHER                    4000        0        0
NEWPARK RESOURCES INC NEW    Common Stock   651718504      70     7580    SH    DEFINED  01              7580        0        0
NEWPARK RESOURCES INC NEW    Common Stock   651718504      69     7500    SH    OTHER                    7500        0        0
NEWPORT CORP                 Common Stock   651824104     326     2050    SH    DEFINED  01              2000        0       50
NEWPORT NEWS SHIPBUILDING INCCommon Stock   652228107    1242    28642    SH    DEFINED  01,02,03       21564        0     7078
NEWPORT NEWS SHIPBUILDING INCCommon Stock   652228107      32      736    SH    OTHER                     736        0        0
NEXTEL COMMUNICATIONS INC CL Common Stock   65332V103   11834   253133    SH    DEFINED  01,02,03,04   241828        0    11305
NEXTEL COMMUNICATIONS INC CL Common Stock   65332V103     237     5067    SH    OTHER                    2860        0     2207
NEXTLINK COMMUN INC CL A     Common Stock   65333H707     686    19489    SH    DEFINED  01             18489        0     1000
NEXTLINK COMMUN INC CL A     Common Stock   65333H707      28      800    SH    OTHER                     800        0        0
NICOR INC                    Common Stock   654086107     710    19624    SH    DEFINED  01,02          18824        0      800
NICOR INC                    Common Stock   654086107      29      800    SH    OTHER                     800        0        0
NIKE INC CL B                Common Stock   654106103    3734    93206    SH    DEFINED  01,03          87206        0     6000
NIKE INC CL B                Common Stock   654106103       4      100    SH    OTHER                     100        0        0
99 CENTS ONLY STORES         Common Stock   65440K106    1900    37865    SH    DEFINED  01,02,03       37865        0        0
NOBLE AFFILIATES INC         Common Stock   654894104    1745    46992    SH    DEFINED  01,02,03       39792        0     7200
NOBLE AFFILIATES INC         Common Stock   654894104      74     2000    SH    OTHER                    2000        0        0
NOBLE DRILLING CO            Common Stock   655042109    5764   114709    SH    DEFINED  01,02,03       97420        0    17289
NOBLE DRILLING CO            Common Stock   655042109       8      150    SH    OTHER                     150        0        0
NORAM ENERGY CORP CV         Other          655419AC3       9    10000    SH    OTHER                       0    10000        0
NORDSON CORP                 Common Stock   655663102     800    28144    SH    DEFINED  01,02,03       22444        0     5700
NORDSON CORP                 Common Stock   655663102       9      320    SH    OTHER                       0        0      320
NORDSTROM INC                Common Stock   655664100     644    41360    SH    DEFINED  01             39560        0     1800
NORFOLK SOUTHERN CORP        Common Stock   655844108    2303   157441    SH    DEFINED  01,02,03      150741        0     6700
NORFOLK SOUTHERN CORP        Common Stock   655844108     413    28213    SH    OTHER                   17010     5253     5950
NORTH FORK BANCORPORTN INC NYCommon Stock   659424105    3111   143844    SH    DEFINED  01,02,03      121494        0    22350
NORTH PITTSBURGH SYS INC     Common Stock   661562108     290    21300    SH    DEFINED  01             21300        0        0
NORTH PITTSBURGH SYS INC     Common Stock   661562108       5      400    SH    OTHER                       0        0      400
NORTHEAST UTILS              Common Stock   664397106    2882   132876    SH    DEFINED  01,02,03      113576        0    19300
NORTHEAST UTILS              Common Stock   664397106      16      760    SH    OTHER                     760        0        0
NORTHERN TRUST CORP          Common Stock   665859104   13727   154452    SH    DEFINED  01,02,03      151682        0     2770
NORTHERN TRUST CORP          Common Stock   665859104    2961    33320    SH    OTHER                   29170     4150        0
NORTHROP GRUMMAN CORP        Common Stock   666807102    2029    22330    SH    DEFINED  01,02          21530        0      800
NORTHROP GRUMMAN CORP        Common Stock   666807102      18      200    SH    OTHER                     200        0        0
NORTHWEST AIRLS CORP CL A    Common Stock   667280101     150     6100    SH    DEFINED  01              6100        0        0
NORTHWEST AIRLS CORP CL A    Common Stock   667280101       2      100    SH    OTHER                       0        0      100
NORTHWEST NATURAL GAS        Common Stock   667655104     642    28200    SH    DEFINED  01,02,03       28200        0        0
NORTHWEST NATURAL GAS        Common Stock   667655104      34     1500    SH    OTHER                    1500        0        0
NOVA CORP GA                 Common Stock   669784100    1208    70530    SH    DEFINED  01,02,03       55030        0    15500
NOVA CORP GA                 Common Stock   669784100      43     2525    SH    OTHER                    2525        0        0
NU HORIZONS ELECTRONICS CORP Common Stock   669908105      20      725    SH    DEFINED  01               725        0        0
NOVELL INC                   Common Stock   670006105    1073   107930    SH    DEFINED  01,02         102190        0     5740
NOVELL INC                   Common Stock   670006105      30     3055    SH    OTHER                     500        0     2555
NOVELLUS SYS INC             Common Stock   670008101    4237    90993    SH    DEFINED  01,02          89363        0     1630
NOVEN PHARMACEUTICALS INC    Common Stock   670009109    1582    37000    SH    DEFINED  01,02,03       34500        0     2500
NOVEN PHARMACEUTICALS INC    Common Stock   670009109      24      550    SH    OTHER                     550        0        0
NOVOSTE CORP                 Common Stock   67010C100      49     1155    SH    DEFINED  01              1100        0       55
NSTOR TECHNOLOGIES INC       Common Stock   67018N108     266   125000    SH    DEFINED  01            125000        0        0
NU SKIN ENTERPRISES INC      Common Stock   67018T105      79    11950    SH    DEFINED  01,02          10550        0     1400
NUCOR CORP                   Common Stock   670346105     824    27362    SH    DEFINED  01,02,03       26662        0      700
NUCOR CORP                   Common Stock   670346105     349    11582    SH    OTHER                    1582    10000        0
NUEVO ENERGY CO              Common Stock   670509108     366    19892    SH    DEFINED  01,02,03       19892        0        0
O CHARLEYS INC               Common Stock   670823103      14     1100    SH    DEFINED  01              1100        0        0
OGE ENERGY CORP              Common Stock   670837103    1394    65420    SH    DEFINED  01,02,03       55420        0    10000
OM GROUP INC                 Common Stock   670872100    1553    35605    SH    DEFINED  01,02,03       35605        0        0
OM GROUP INC                 Common Stock   670872100       9      200    SH    OTHER                     200        0        0
OSI PHARMACEUTICAL INC       Common Stock   671040103     133     1900    SH    DEFINED  01              1900        0        0
OAK TECHNOLOGY INC           Common Stock   671802106     101     3700    SH    DEFINED  01              3700        0        0
OAK TECHNOLOGY INC           Common Stock   671802106       3       95    SH    OTHER                       0        0       95
OAKLEY INC                   Common Stock   673662102     259    14761    SH    DEFINED  01,02           5111        0     9650
OCCIDENTAL PETROLEUM CORP    Common Stock   674599105    3015   138199    SH    DEFINED  01,02,03      134599        0     3600
OCCIDENTAL PETROLEUM CORP    Common Stock   674599105     219    10044    SH    OTHER                    9729      315        0
OCEANEERING INTL INC         Common Stock   675232102     427    25700    SH    DEFINED  01,02,03       25700        0        0
OCWEN FINANCIAL CORP         Common Stock   675746101      26     4400    SH    DEFINED  01              4400        0        0
OCUREST LABS INC             Common Stock   67574P109      12    92940    SH    OTHER                   92940        0        0
OFFICE DEPOT INC             Common Stock   676220106     880   112664    SH    DEFINED  01,02,03,04   109064        0     3600
OFFICE DEPOT INC             Common Stock   676220106      33     4250    SH    OTHER                    4250        0        0
OFFICEMAX INC                Common Stock   67622M108     350    98360    SH    DEFINED  01,02,03       83860        0    14500
OFFSHORE LOGISTICS           Common Stock   676255102     422    23600    SH    DEFINED  01,02,03       23600        0        0
OGDEN CORP                   Common Stock   676346109     594    43759    SH    DEFINED  01,02,03       36581        0     7178
OHIO CAS CORP                Common Stock   677240103     365    57600    SH    DEFINED  01,02,03,04    44700        0    12900
OHIO CAS CORP                Common Stock   677240103      25     4000    SH    OTHER                       0        0     4000
OLD KENT FINANCIAL CORP COM  Common Stock   679833103    4272   147612    SH    DEFINED  01,02,03,04   146352        0     1260
OLD KENT FINANCIAL CORP COM  Common Stock   679833103    1153    39856    SH    OTHER                   36276        0     3580
OLD REP INTL CORP            Common Stock   680223104    2407   100044    SH    DEFINED  01,02,03       84994        0    15050
OLD REP INTL CORP            Common Stock   680223104       7      300    SH    OTHER                     300        0        0
OLIN CORP COM PAR $1         Common Stock   680665205     780    48194    SH    DEFINED  01,02,03       34140        0    14054
OLIN CORP COM PAR $1         Common Stock   680665205      50     3100    SH    OTHER                    3100        0        0
OMNICARE INC                 Common Stock   681904108    1589    98554    SH    DEFINED  01,02,03,04    75954        0    22600
OMNICARE INC                 Common Stock   681904108       6      370    SH    OTHER                     370        0        0
OMNICOM GROUP INC            Common Stock   681919106   16436   225343    SH    DEFINED  01,02,03,04   213996        0    11347
OMNICOM GROUP INC            Common Stock   681919106    2452    33621    SH    OTHER                   32840        0      781
ON ASSIGNMENT INC            Common Stock   682159108     806    25700    SH    DEFINED  01,02,03       25700        0        0
ORACLE CORPORATION           Common Stock   68389X105  144303  1832417    SH    DEFINED  01,02,03     1775686     1700    55031
ORACLE CORPORATION           Common Stock   68389X105   21581   274047    SH    OTHER                  237219    24880    11948
ORBITAL SCIENCES CORP        Common Stock   685564106     353    42200    SH    DEFINED  01,02,03       42200        0        0
ORGANOGENESIS INC            Common Stock   685906109     878    59735    SH    DEFINED  01,02,03       56250        0     3485
ORGANOGENESIS INC            Common Stock   685906109      15     1000    SH    OTHER                    1000        0        0
O REILLY AUTOMOTIVE INC      Common Stock   686091109     837    57200    SH    DEFINED  01,02,03       57200        0        0
ORTHODONTIC CENTERS OF AMER  Common Stock   68750P103    2015    60500    SH    DEFINED  01,02,03       54300        0     6200
OSHKOSH-B-GOSH CL A          Common Stock   688222207     207    13630    SH    DEFINED  01,02,03       13630        0        0
OSHKOSH TRUCK CORP CL B      Common Stock   688239201     771    19900    SH    DEFINED  01,02,03       19900        0        0
OSHKOSH TRUCK CORP CL B      Common Stock   688239201      23      600    SH    OTHER                     600        0        0
OSMONICS INC                 Common Stock   688350107       8     1000    SH    DEFINED  01              1000        0        0
OSTEOTECH INC                Common Stock   688582105     159    16650    SH    DEFINED  01,02,03       15600        0     1050
OTTAWA SAVINGS BANK COMMON STCommon Stock   689389104      60     2094    SH    DEFINED  01              2094        0        0
OUTBACK STEAKHOUSE INC       Common Stock   689899102    3635   133997    SH    DEFINED  01,02,03      114447        0    19550
OUTBACK STEAKHOUSE INC       Common Stock   689899102     104     3850    SH    OTHER                    3850        0        0
OVERSEAS SHIPHOLDING GROUP INCommon Stock   690368105     766    27979    SH    DEFINED  01,02,03       23579        0     4400
OWENS & MINOR INC HLDG CO    Common Stock   690732102     650    41250    SH    DEFINED  01,02,03       36950        0     4300
OWENS CORNING                Common Stock   69073F103      76    29031    SH    DEFINED  01,02,03,04    28431        0      600
OWENS CORNING                Common Stock   69073F103       1      400    SH    OTHER                     400        0        0
OWENS ILL INC                Common Stock   690768403     448    48431    SH    DEFINED  01,02          46931        0     1500
OWENS ILL INC                Common Stock   690768403      14     1500    SH    OTHER                    1500        0        0
OXFORD HEALTH PLANS INC      Common Stock   691471106    2438    79311    SH    DEFINED  01,02,03       57166        0    22145
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
<S>                          <C>            <C>        <C>      <C>      <C>    <C>      <C>           <C>      <C>        <C>
P-COM INC                    Common Stock   693262107     574    86600    SH    DEFINED  01,02,03       86600        0        0
PECO ENERGY CO               Common Stock   693304107    3388    55935    SH    DEFINED  01,02,03       54335        0     1600
PECO ENERGY CO               Common Stock   693304107     118     1949    SH    OTHER                    1149        0      800
P G & E CORPORATION          Common Stock   69331C108    3448   142554    SH    DEFINED  01,02,03      135534        0     7020
P G & E CORPORATION          Common Stock   69331C108     248    10252    SH    OTHER                    6689      525     3038
PFF BANCORP INC              Common Stock   69331W104      21      975    SH    DEFINED  01               975        0        0
PMC-SIERRA INC               Common Stock   69344F106    2170    10083    SH    DEFINED  01,02           6887        0     3196
PMC-SIERRA INC               Common Stock   69344F106     252     1170    SH    OTHER                      75       22     1073
THE PMI GROUP INC            Common Stock   69344M101    2464    36367    SH    DEFINED  01,02,03       30702        0     5665
THE PMI GROUP INC            Common Stock   69344M101       5       80    SH    OTHER                       0        0       80
PNC FINANCIAL SERVICES GROUP Common Stock   693475105    6777   104254    SH    DEFINED  01,02,03      100925        0     3329
PNC FINANCIAL SERVICES GROUP Common Stock   693475105     741    11400    SH    OTHER                    9954     1200      246
PPG INDS INC                 Common Stock   693506107    3689    92953    SH    DEFINED  01,02,03,04    90223        0     2730
PPG INDS INC                 Common Stock   693506107    1515    38162    SH    OTHER                   36547        0     1615
PRI AUTOMATION INC           Common Stock   69357H106      31     1700    SH    DEFINED  01              1700        0        0
PACCAR INC                   Common Stock   693718108     943    25452    SH    DEFINED  01,02          24822        0      630
PACIFIC CENTURY FINL CORP    Common Stock   694058108    1282    74886    SH    DEFINED  01,02,03       64686        0    10200
PACIFIC CENTURY FINL CORP    Common Stock   694058108     412    24050    SH    OTHER                   10460     4590     9000
PACIFIC SUNWEAR CALIFORNIA INCommon Stock   694873100     667    35575    SH    DEFINED  01,02,03       35575        0        0
PACIFICARE HELATH SYSTEMS    Common Stock   695112102    1166    33479    SH    DEFINED  01,02,03       23431        0    10048
PAINEWEBBER GROUP INC        Common Stock   695629105    3351    49186    SH    DEFINED  01,02,03       47386        0     1800
PALL CORPORATION             Common Stock   696429307    1106    55463    SH    DEFINED  01,02,03,04    49538        0     5925
PALL CORPORATION             Common Stock   696429307      73     3650    SH    OTHER                    1650        0     2000
PANAMSAT CORP                Common Stock   697933109      42     1324    SH    DEFINED  01              1324        0        0
PAPA JOHNS INTL INC          Common Stock   698813102    1827    72914    SH    DEFINED  01,02,03       66917        0     5997
PAPA JOHNS INTL INC          Common Stock   698813102      86     3412    SH    OTHER                    3412        0        0
PARAMETRIC TECHNOLOGY CORP   Common Stock   699173100     958    87573    SH    DEFINED  01,02,03       85013        0     2560
PAREXEL INTERNATIONAL CORP   Common Stock   699462107     258    30300    SH    DEFINED  01,02,03       28400        0     1900
PARK ELECTROCHEMICAL CORP    Common Stock   700416209     656    11800    SH    DEFINED  01,02,03       11800        0        0
PARK NATL CORP               Common Stock   700658107      69      715    SH    DEFINED  01               715        0        0
PARK NATL CORP               Common Stock   700658107     382     3983    SH    OTHER                       0     3983        0
PARKER DRILLING CO           Common Stock   701081101      38     5500    SH    DEFINED  01              5500        0        0
PARKER HANNIFIN CORP         Common Stock   701094104    2478    73435    SH    DEFINED  01,02,03       36476        0    36959
PARKER HANNIFIN CORP         Common Stock   701094104     151     4482    SH    OTHER                    1445     3037        0
PATINA OIL & GAS CORP        Common Stock   703224105     378    18900    SH    DEFINED  01,02,03       18900        0        0
PATTERSON DENTAL CO          Common Stock   703412106    2702   120100    SH    DEFINED  01,02,03      109400        0    10700
PATTERSON DENTAL CO          Common Stock   703412106      11      500    SH    OTHER                     400        0      100
PATTERSON ENERGY INC         Common Stock   703414102      79     2300    SH    DEFINED  01              2300        0        0
PAXAR CORP                   Common Stock   704227107     439    49165    SH    DEFINED  01,02,03       49165        0        0
PAXAR CORP                   Common Stock   704227107     240    26853    SH    OTHER                   26853        0        0
PAYCHEX INC                  Common Stock   704326107    7674   146167    SH    DEFINED  01,02,03,04   139167     1350     5650
PAYCHEX INC                  Common Stock   704326107      95     1803    SH    OTHER                    1395        0      408
PAYLESS SHOESOURCE INC       Common Stock   704379106    1052    18794    SH    DEFINED  01,02,03       15638        0     3156
PEDIATRIX MEDICAL GROUP INC  Common Stock   705324101     250    19300    SH    DEFINED  01,02,03       17700        0     1600
PEGASUS SOLUTIONS INC        Common Stock   705906105     539    27555    SH    DEFINED  01,02,03       27200        0      355
PENN TREATY AMERN CORP       Common Stock   707874103      10      575    SH    DEFINED  01               575        0        0
PENNEY J C INC               Common Stock   708160106    1256   106318    SH    DEFINED  01,02,03,04   103818        0     2500
PENNEY J C INC               Common Stock   708160106     488    41350    SH    OTHER                   40350     1000        0
PENTAIR INC                  Common Stock   709631105    1094    40901    SH    DEFINED  01,02,03       34701        0     6200
PENTAIR INC                  Common Stock   709631105     278    10400    SH    OTHER                   10400        0        0
PEOPLES ENERGY CORP          Common Stock   711030106     518    15508    SH    DEFINED  01,02          14908        0      600
PEOPLES ENERGY CORP          Common Stock   711030106      63     1900    SH    OTHER                    1900        0        0
PEOPLES STATE BANK-HAMTRAMCK Common Stock   712422104     375    11318    SH    OTHER                       0        0    11318
PEOPLESOFT INC               Common Stock   712713106    2506    89686    SH    DEFINED  01,02,03       87104        0     2582
PEP BOYS MANNY MOE & JACK    Common Stock   713278109     311    62270    SH    DEFINED  01,02,03,04    61120        0     1150
PEP BOYS MANNY MOE & JACK    Common Stock   713278109      10     2060    SH    OTHER                     440        0     1620
PEPSICO INC                  Common Stock   713448108  140435  3052938    SH    DEFINED  01,02,03,04  2980166    15500    57272
PEPSICO INC                  Common Stock   713448108   26980   586525    SH    OTHER                  298041    44282   244202
PERFORMANCE FOOD GROUP CO    Common Stock   713755106     621    16500    SH    DEFINED  01,02,03       16500        0        0
PERFORMANCE FOOD GROUP CO    Common Stock   713755106      13      350    SH    OTHER                     350        0        0
PERRIGO CO                   Common Stock   714290103     483    70549    SH    DEFINED  01,02,03       52249        0    18300
PETSMART INC                 Common Stock   716768106      38     8000    SH    DEFINED  01              8000        0        0
PHARMACYCLICS INC            Common Stock   716933106      57     1150    SH    DEFINED  01              1150        0        0
PFIZER INC                   Common Stock   717081103  169233  3765921    SH    DEFINED  01,02,03,04  3548624    12650   204648
PFIZER INC                   Common Stock   717081103   43086   958792    SH    OTHER                  671473   237762    49557
PHARMACEUTICAL PROD DEV INC  Common Stock   717124101    1651    62164    SH    DEFINED  01,02,03,04    60364        0     1800
PHARMACOPEIA INC             Common Stock   71713B104      41     1600    SH    DEFINED  01              1600        0        0
PHELPS DODGE CORP            Common Stock   717265102    1061    25416    SH    DEFINED  01,03          24099        0     1317
PHELPS DODGE CORP            Common Stock   717265102       5      111    SH    OTHER                       0        0      111
PHILADEL SUBN CRP COM PAR $0.Common Stock   718009608    1066    45978    SH    DEFINED  01,02,03       45978        0        0
PHILADEL SUBN CRP COM PAR $0.Common Stock   718009608      12      500    SH    OTHER                     500        0        0
PHILIP MORRIS COMPANIES INC  Common Stock   718154107   27406   930968    SH    DEFINED  01,02,03,04   880940     2800    47228
PHILIP MORRIS COMPANIES INC  Common Stock   718154107    3815   129598    SH    OTHER                  111948     5850    11800
PHILLIPS PETE CO             Common Stock   718507106    6121    97539    SH    DEFINED  01,02,03       87480        0    10059
PHILLIPS PETE CO             Common Stock   718507106     369     5879    SH    OTHER                    4819        0     1060
PHILLIPS VAN HEUSEN          Common Stock   718592108     316    30600    SH    DEFINED  01,02,03       30600        0        0
PHOENIX TECHNOLOGIES LTD     Common Stock   719153108     469    29400    SH    DEFINED  01,02,03       29400        0        0
PHOTRONICS INC               Common Stock   719405102     689    31600    SH    DEFINED  01,02,03       31600        0        0
PIEDMONT NATURAL GAS CORP - NCommon Stock   720186105    1081    35300    SH    DEFINED  01,02,03       35300        0        0
PIEDMONT NATURAL GAS CORP - NCommon Stock   720186105       6      200    SH    OTHER                     200        0        0
PIER #1 INC                  Common Stock   720279108    1466   108109    SH    DEFINED  01,02,03      108109        0        0
PINNACLE SYSTEMS INC         Common Stock   723481107     629    55900    SH    DEFINED  01,02,03       55900        0        0
PINNACLE WEST CAPITAL CORP   Common Stock   723484101    1373    26988    SH    DEFINED  01,02          26088        0      900
PINNACLE WEST CAPITAL CORP   Common Stock   723484101      77     1512    SH    OTHER                     766      296      450
PIONEER GROUP INC            Common Stock   723684106    1319    30000    SH    DEFINED  01,02,03       30000        0        0
PIONEER GROUP INC            Common Stock   723684106     158     3600    SH    OTHER                    3600        0        0
PIONEER NATURAL RESOURCES    Common Stock   723787107    1545   108877    SH    DEFINED  01,02,03       96149        0    12728
PIONEER NATURAL RESOURCES    Common Stock   723787107      21     1500    SH    OTHER                    1500        0        0
PIONEER STD ELECTRS          Common Stock   723877106     413    30437    SH    DEFINED  01,02,03       30437        0        0
PITNEY BOWES INC             Common Stock   724479100    7252   183877    SH    DEFINED  01,02,03,04   165108        0    18769
PITNEY BOWES INC             Common Stock   724479100    1649    41825    SH    OTHER                   32750     9000       75
PITTSTON BRINK'S GROUP       Common Stock   725701106     661    42660    SH    DEFINED  01,02,03       36003        0     6657
PIXAR INC                    Common Stock   725811103     119     3704    SH    DEFINED  01              3600        0      104
PIXAR INC                    Common Stock   725811103       7      217    SH    OTHER                       0        0      217
PLAINS RESOURCES INC NEW     Common Stock   726540503     378    20000    SH    DEFINED  01,02,03       20000        0        0
PLANTRONICS INC NEW          Common Stock   727493108    2079    54700    SH    DEFINED  01,02,03       54700        0        0
PLANTRONICS INC NEW          Common Stock   727493108       4      100    SH    OTHER                       0      100        0
PLAYTEX PRODUCTS INC         Common Stock   72813P100      51     4300    SH    DEFINED  01              4300        0        0
PLEXUS CORP                  Common Stock   729132100    2898    41100    SH    DEFINED  01,02,03       41100        0        0
PLEXUS CORP                  Common Stock   729132100      32      455    SH    OTHER                     400        0       55
POGO PRODUCING CO            Common Stock   730448107    1144    45100    SH    DEFINED  01,02,03       45100        0        0
POLARIS INDUSTRIES INC       Common Stock   731068102     941    26700    SH    DEFINED  01,02,03       26700        0        0
POLAROID CORP                Common Stock   731095105     193    14393    SH    DEFINED  01,02          13887        0      506
POLICY MANAGEMENT SYSTEMS CORCommon Stock   731108106     437    32340    SH    DEFINED  01,02,03,04    27740        0     4600
POLO RALPH LAUREN CORP CL A  Common Stock   731572103      37     2300    SH    DEFINED  01              2300        0        0
POLYMEDICA CORP              Common Stock   731738100    1089    25400    SH    DEFINED  01,02,03       25400        0        0
POLYMEDICA CORP              Common Stock   731738100      43     1000    SH    OTHER                    1000        0        0
POMEROY COMPUTER RESOURCES INCommon Stock   731822102      17      875    SH    DEFINED  01               875        0        0
POPE & TALBOT                Common Stock   732827100     225    15700    SH    DEFINED  01,02,03       15700        0        0
POTLATCH CORP                Common Stock   737628107    1161    36718    SH    DEFINED  01             36418        0      300
POTOMAC ELEC PWR CO          Common Stock   737679100    2544   101020    SH    DEFINED  01,02,03       82020     2000    17000
POTOMAC ELEC PWR CO          Common Stock   737679100      28     1100    SH    OTHER                    1100        0        0
POWER-ONE INC                Common Stock   739308104     329     5430    SH    DEFINED  01              5300        0      130
POWERWAVE TECHNOLOGIES INC   Common Stock   739363109    2008    52880    SH    DEFINED  01,02,03       44800        0     8080
POWERTEL INC                 Common Stock   73936C109     167     2200    SH    DEFINED  01              2200        0        0
PRAXAIR INC                  Common Stock   74005P104    5379   143915    SH    DEFINED  01,02,03      138808      520     4587
PRAXAIR INC                  Common Stock   74005P104     655    17538    SH    OTHER                   14798     2680       60
PRE PAID LEGAL SVCS INC      Common Stock   740065107     814    25200    SH    DEFINED  01,02,03       25200        0        0
PRECISION CASTPARTS          Common Stock   740189105    1733    45156    SH    DEFINED  01,02,03       38756        0     6400
PRECISION DRILLING CORP CL A Common Stock   74022D100     346     9700    SH    DEFINED  01,02,03        9700        0        0
PRECISION DRILLING CORP CL A Common Stock   74022D100      64     1800    SH    OTHER                    1800        0        0
PRENTISS PPTYS TR            Common Stock   740706106     167     6400    SH    DEFINED  01,02              0        0     6400
PRESIDENTIAL LIFE CORP       Common Stock   740884101      33     2200    SH    DEFINED  01              2200        0        0
PRICE COMMUNICATIONS CORP    Common Stock   741437305     409    20925    SH    DEFINED  01,02          19900        0     1025
PRICE COMMUNICATIONS CORP    Common Stock   741437305      21     1050    SH    OTHER                     750        0      300
PRICE T ROWE & ASSOC INC     Common Stock   741477103    2002    42646    SH    DEFINED  01,02,03       39549        0     3097
PRICE T ROWE & ASSOC INC     Common Stock   741477103     301     6415    SH    OTHER                    6200        0      215
PRIMA ENERGY CORP            Common Stock   741901201      33      625    SH    DEFINED  01               625        0        0
PRIME HOSPITALITY CORP       Common Stock   741917108     511    50500    SH    DEFINED  01,02,03       50500        0        0
PRIMUS TELECOMMUNS GRP INC   Common Stock   741929103      27     2872    SH    DEFINED  01              2872        0        0
PRIDE INTERNATIONAL INC      Common Stock   741932107    2079    78460    SH    DEFINED  01,02,03       78460        0        0
PRIORITY HEALTHCARE CORP CL BCommon Stock   74264T102    1033    13550    SH    DEFINED  01,02,03       13550        0        0
PROBUSINESS SERVICES INC     Common Stock   742674104     201     6650    SH    DEFINED  01,04           6650        0        0
PROCTER & GAMBLE CO          Common Stock   742718109   55680   831039    SH    DEFINED  01,02,03,04   781920    21050    28069
PROCTER & GAMBLE CO          Common Stock   742718109   11466   171140    SH    OTHER                  119546    35882    15712
PROFESSIONALS GROUP INC      Common Stock   742954100     218     9789    SH    DEFINED  01              9789        0        0
PROFESSIONALS GROUP INC      Common Stock   742954100     168     7540    SH    OTHER                    7540        0        0
PROFIT RECOVERY GROUP INTL   Common Stock   743168106     549    55550    SH    DEFINED  01,02,03       55550        0        0
PROGRESS SOFTWARE CORP       Common Stock   743312100     544    39900    SH    DEFINED  01,02,03       39900        0        0
PROGRESSIVE CORP             Common Stock   743315103    1956    23892    SH    DEFINED  01,02          22468        0     1424
PROGRESSIVE CORP             Common Stock   743315103     101     1236    SH    OTHER                       0      600      636
PROJECT SOFTWARE & DEV INC   Common Stock   74339P101     381    24500    SH    DEFINED  01,02,03       24500        0        0
PROTECTIVE LIFE CORP         Common Stock   743674103    1589    53200    SH    DEFINED  01,02,03       44900        0     8300
PROTEIN DESIGN LABS INC      Common Stock   74369L103    6001    49800    SH    DEFINED  01,02,03       45000        0     4800
PROTEIN DESIGN LABS INC      Common Stock   74369L103       6       50    SH    OTHER                       0        0       50
PROVIDENT BANKSHARES CORP    Common Stock   743859100     516    30789    SH    DEFINED  01,02,03       30789        0        0
PROVIDENT FINANCIAL GROUP INCCommon Stock   743866105    1181    40200    SH    DEFINED  01,02,03       33900        0     6300
PROVIDIAN FINL CORP          Common Stock   74406A102    7120    56064    SH    DEFINED  01,02,03       49538        0     6526
PROVIDIAN FINL CORP          Common Stock   74406A102     498     3923    SH    OTHER                    2850        0     1073
PROXIM INC                   Common Stock   744284100    1268    28500    SH    DEFINED  01,02,03       28500        0        0
PSINET INC                   Common Stock   74437C101     134    13897    SH    DEFINED  01             13897        0        0
PUBLIC SVC NEW MEX           Common Stock   744499104     864    33399    SH    DEFINED  01,02,03       27599        0     5800
PUBLIC SVC ENTERPRISE GROUP ICommon Stock   744573106    3289    73598    SH    DEFINED  01,02,03       68329        0     5269
PUBLIC SVC ENTERPRISE GROUP ICommon Stock   744573106     431     9650    SH    OTHER                    5250     4400        0
PUGET SOUND ENERGY INC       Common Stock   745332106    1837    72413    SH    DEFINED  01,02,03       61413        0    11000
PUGET SOUND ENERGY INC       Common Stock   745332106       5      200    SH    OTHER                     200        0        0
PULTE CORP                   Common Stock   745867101     435    13190    SH    DEFINED  01,02          12790        0      400
PUMA TECHNOLOGY INC          Common Stock   745887109      61     3000    SH    DEFINED  01              3000        0        0
QLOGIC CORP                  Common Stock   747277101    6554    74475    SH    DEFINED  01,02,03       62800        0    11675
QLOGIC CORP                  Common Stock   747277101      11      120    SH    OTHER                     120        0        0
QAD INC                      Common Stock   74727D108      14     5400    SH    DEFINED  01              5400        0        0
QAD INC                      Common Stock   74727D108      23     9000    SH    OTHER                    9000        0        0
QUADRAMED CORP               Common Stock   74730W101       0      200    SH    OTHER                     200        0        0
QUAKER CHEMICAL CORP         Common Stock   747316107     167     9800    SH    DEFINED  01,02,03        9800        0        0
QUAKER OATS CO               Common Stock   747402105    3919    49530    SH    DEFINED  01,02,03       45793        0     3737
QUAKER OATS CO               Common Stock   747402105     388     4905    SH    OTHER                    1500     3000      405
QUALCOMM INC                 Common Stock   747525103   18330   257258    SH    DEFINED  01,02,03      242448        0    14810
QUALCOMM INC                 Common Stock   747525103     399     5605    SH    OTHER                    4420       50     1135
QUANEX CORP COM              Common Stock   747620102     390    20457    SH    DEFINED  01,02,03       20457        0        0
QUANEX CORP COM              Common Stock   747620102      83     4358    SH    OTHER                    4358        0        0
QUEENS CNTY BANCORP INC      Common Stock   748242104     671    23250    SH    DEFINED  01,02,03       23250        0        0
QUEST DIAGNOSTICS INC        Common Stock   74834L100    4567    39800    SH    DEFINED  01,02,03       31600        0     8200
QUEST DIAGNOSTICS INC        Common Stock   74834L100      34      300    SH    OTHER                     250        0       50
QUESTAR CORPORATION          Common Stock   748356102    1837    66052    SH    DEFINED  01,02,03       55752        0    10300
QUIKSILVER INC               Common Stock   74838C106     485    25200    SH    DEFINED  01,02,03       25200        0        0
QUINTILES TRANSNATIONAL CORP Common Stock   748767100     730    45778    SH    DEFINED  01,02          35178        0    10600
QUORUM HEALTH GROUP INC      Common Stock   749084109     852    65573    SH    DEFINED  01,02,03       47723        0    17850
QWEST COMMUNICATIONS INTL INCCommon Stock   749121109   27977   582081    SH    DEFINED  01,02,03      553482        0    28599
QWEST COMMUNICATIONS INTL INCCommon Stock   749121109    1435    29860    SH    OTHER                   16046     6495     7318
RLI CORP                     Common Stock   749607107     428    11100    SH    DEFINED  01,02,03       11100        0        0
RPM INC OHIO                 Common Stock   749685103     929   102482    SH    DEFINED  01,02,03,04    85489        0    16993
RPM INC OHIO                 Common Stock   749685103      23     2500    SH    OTHER                    2500        0        0
RF MICRO DEVICES INC         Common Stock   749941100     418    13050    SH    DEFINED  01             13050        0        0
RF MICRO DEVICES INC         Common Stock   749941100      10      300    SH    OTHER                     300        0        0
RADISYS CORP                 Common Stock   750459109     961    19000    SH    DEFINED  01,02,03       19000        0        0
RAINBOW TECHNOLOGIES INC     Common Stock   750862104      33      935    SH    DEFINED  01               850        0       85
RAINBOW TECHNOLOGIES INC     Common Stock   750862104      21      600    SH    OTHER                       0      600        0
RAMBUS INC                   Common Stock   750917106     734     9300    SH    DEFINED  01              9300        0        0
RALCORP HLDGS INC NEW        Common Stock   751028101     472    33400    SH    DEFINED  01,02,03       33400        0        0
RALSTON-RALSTON PURINA GROUP Common Stock   751277302    2415   101951    SH    DEFINED  01,02,03       97395        0     4556
RALSTON-RALSTON PURINA GROUP Common Stock   751277302     126     5315    SH    OTHER                    4400        0      915
RARE HOSPITALITY INTL INC    Common Stock   753820109      57     2800    SH    DEFINED  01              2800        0        0
RATIONAL SOFTWARE CORP       Common Stock   75409P202   10997   158510    SH    DEFINED  01,02,03      133618        0    24892
RAYMOND JAMES FINL INC       Common Stock   754730109    1702    51675    SH    DEFINED  01,02,03       51675        0        0
RAYONIER INC                 Common Stock   754907103     809    22507    SH    DEFINED  01,02,03       19007        0     3500
RAYOVAC CORP                 Common Stock   755081106      34     2000    SH    DEFINED  01              2000        0        0
RAYTEL MEDICAL CORP          Common Stock   755107109      62    49259    SH    DEFINED  01             49259        0        0
READ-RITE CORP               Common Stock   755246105     781    69400    SH    DEFINED  01,02,03       69400        0        0
READERS DIGEST ASSN INC CL A Common Stock   755267101    3067    86850    SH    DEFINED  01,02,03       73350        0    13500
REALNETWORKS INC             Common Stock   75605L104     441    11100    SH    DEFINED  01             11100        0        0
REDLAW INDS INC NEW          Common Stock   757636303       0      113    SH    DEFINED  01               113        0        0
REEBOK INTL LTD              Common Stock   758110100     356    18925    SH    DEFINED  01,02,03       17635        0     1290
REEBOK INTL LTD              Common Stock   758110100       3      180    SH    OTHER                       0        0      180
REGAL BELOIT CORP WISCONSIN  Common Stock   758750103     399    23500    SH    DEFINED  01,02,03       23500        0        0
REGENERON PHARMACEUTICALS INCCommon Stock   75886F107    1449    44400    SH    DEFINED  01,02,03       40700        0     3700
REGIS CORP MINN              Common Stock   758932107     684    45600    SH    DEFINED  01,02,03       45600        0        0
REGIONS FINANCIAL CORP       Common Stock   758940100    5756   253688    SH    DEFINED  01,02,03,04   248133     1300     4255
REGIONS FINANCIAL CORP       Common Stock   758940100    1681    74103    SH    OTHER                   70090     4013        0
REHABCARE GROUP INC          Common Stock   759148109      42     1000    SH    DEFINED  01              1000        0        0
RELIANCE STEEL & ALUMINUM CO Common Stock   759509102     699    33200    SH    DEFINED  01,02,03       33200        0        0
RELIANCE STEEL & ALUMINUM CO Common Stock   759509102      22     1050    SH    OTHER                    1050        0        0
REMEC INC                    Common Stock   759543101      62     2100    SH    DEFINED  01              2100        0        0
REMEDY CORP                  Common Stock   759548100     668    35370    SH    DEFINED  01,02,03       35370        0        0
REMEDY CORP                  Common Stock   759548100       2      130    SH    OTHER                     130        0        0
RENAL CARE GROUP INC         Common Stock   759930100    1016    54525    SH    DEFINED  01,02,03       51425        0     3100
RENT WAY INC                 Common Stock   76009U104     536    17650    SH    DEFINED  01,02          17650        0        0
RENT WAY INC                 Common Stock   76009U104      27      900    SH    OTHER                     900        0        0
REPUBLIC BANCORP INC         Common Stock   760282103     159    16727    SH    DEFINED  01             16727        0        0
REPUBLIC BANCORP INC         Common Stock   760282103       1       60    SH    OTHER                      60        0        0
REPUBLIC GYPSUM CO           Common Stock   760473108     243    13250    SH    DEFINED  01,02,03       13250        0        0
RESMED INC                   Common Stock   761152107    1822    58300    SH    DEFINED  01,02,03,04    56100        0     2200
RESPIRONICS INC              Common Stock   761230101     611    36618    SH    DEFINED  01,02,03       32800        0     3818
REYNOLDS & REYNOLDS CO CL A  Common Stock   761695105    1338    67332    SH    DEFINED  01,02,03       54168        0    13164
REYNOLDS & REYNOLDS CO CL A  Common Stock   761695105      14      700    SH    OTHER                       0        0      700
RIGGS NATL CORP WASH DC      Common Stock   766570105     390    31800    SH    DEFINED  01,02,03       31800        0        0
RITE AID CORP STORES         Common Stock   767754104       6     1390    SH    DEFINED  01              1390        0        0
ROADWAY EXPRESS INC          Common Stock   769742107     389    21700    SH    DEFINED  01,02,03       21700        0        0
ROBBINS & MYERS INC          Common Stock   770196103     288    12200    SH    DEFINED  01,02,03       12200        0        0
ROBERT HALF INTL INC         Common Stock   770323103    5325   153504    SH    DEFINED  01,02,03      130394        0    23110
ROBERT HALF INTL INC         Common Stock   770323103      22      630    SH    OTHER                       0        0      630
ROBOTIC VISION SYS INC       Common Stock   771074101     235    39400    SH    DEFINED  01,02,03       39400        0        0
ROBOTIC VISION SYS INC       Common Stock   771074101     298    50000    SH    OTHER                   50000        0        0
ROCKWELL INTL CORP NEW       Common Stock   773903109    2277    75276    SH    DEFINED  01,02,03       71376        0     3900
ROCKWELL INTL CORP NEW       Common Stock   773903109    1866    61679    SH    OTHER                   13850    42829     5000
ROGERS CORP                  Common Stock   775133101     224     7075    SH    DEFINED  01              1075        0     6000
ROHM & HAAS CO               Common Stock   775371107    2040    70193    SH    DEFINED  01,02,03       66817        0     3376
ROHM & HAAS CO               Common Stock   775371107      10      356    SH    OTHER                     281        0       75
ROLLINS INC                  Common Stock   775711104     367    24745    SH    DEFINED  01,02,03       20845        0     3900
ROLLINS TRUCK LEASING CORP   Common Stock   775741101     409    64712    SH    DEFINED  01,02,03       64712        0        0
ROPER INDS INC NEW           Common Stock   776696106    1132    34100    SH    DEFINED  01,02,03       34100        0        0
ROSS STORES INC              Common Stock   778296103    1013    70452    SH    DEFINED  01,02,03       59752        0    10700
ROUGE INDUSTRIES INC         Common Stock   779088103       0      101    SH    DEFINED  01               101        0        0
ROUSE CO                     Common Stock   779273101     280    11240    SH    DEFINED  01,02              0        0    11240
ROWAN COS INC                Common Stock   779382100    1068    36842    SH    DEFINED  01,02          35832        0     1010
ROWAN COS INC                Common Stock   779382100       6      205    SH    OTHER                       0        0      205
ROYAL APPLIANCE MFG CO       Common Stock   780076105     100    16900    SH    DEFINED  01,02,03       16900        0        0
RUBY TUESDAY INC             Common Stock   781182100     798    70900    SH    DEFINED  01,02,03       70900        0        0
RUBY TUESDAY INC             Common Stock   781182100      12     1100    SH    OTHER                    1100        0        0
RUDDICK CORP                 Common Stock   781258108     530    38166    SH    DEFINED  01,02,03       32266        0     5900
RURAL CELLULAR CORP          Common Stock   781904107      55      806    SH    DEFINED  01               806        0        0
RUSS BERRIE                  Common Stock   782233100     442    22400    SH    DEFINED  01,02,03       22400        0        0
RUSSELL CORP                 Common Stock   782352108     163    10298    SH    DEFINED  01              9898        0      400
RYANS FAMILY STEAK HOUSE     Common Stock   783519101     280    36460    SH    DEFINED  01,02,03       36460        0        0
RYDER SYSTEMS INC            Common Stock   783549108     407    22101    SH    DEFINED  01,02          21401        0      700
RYLAND GROUP                 Common Stock   783764103     450    14500    SH    DEFINED  01,02,03       14500        0        0
SBC COMMUNICATIONS INC       Common Stock   78387G103  114557  2291135    SH    DEFINED  01,02,03,04  2185783     9122    96230
SBC COMMUNICATIONS INC       Common Stock   78387G103   30276   605522    SH    OTHER                  484949    94446    26127
SBS TECHNOLOGIES INC         Common Stock   78387P103     358    15400    SH    DEFINED  01,02          15400        0        0
SBS TECHNOLOGIES INC         Common Stock   78387P103      26     1100    SH    OTHER                    1100        0        0
SCI SYSTEMS INC              Common Stock   783890106    5408   131900    SH    DEFINED  01,02,03      113300        0    18600
SCI SYSTEMS INC              Common Stock   783890106      12      300    SH    OTHER                     300        0        0
SCM MICROSYSTEMS INC         Common Stock   784018103      38     1000    SH    DEFINED  01              1000        0        0
SCPIE HLDGS INC              Common Stock   78402P104     209    10400    SH    DEFINED  01,02,03       10400        0        0
SDL INC                      Common Stock   784076101    1889     6106    SH    DEFINED  01,02           5987        0      119
SDL INC                      Common Stock   784076101      18       57    SH    OTHER                      42        0       15
SEI INVESTMENT COMPANY       Common Stock   784117103    3099    43800    SH    DEFINED  01,02,03       37000        0     6800
SEMCO ENERGY INC             Common Stock   78412D109     171    11132    SH    DEFINED  01             11132        0        0
SEMCO ENERGY INC             Common Stock   78412D109      97     6292    SH    OTHER                    6292        0        0
SPS TECHNOLOGIES INC         Common Stock   784626103     684    14100    SH    DEFINED  01,02,03       14100        0        0
SPSS INC                     Common Stock   78462K102     298    11100    SH    DEFINED  01,02,03       11100        0        0
SPX CORP                     Common Stock   784635104    4057    28581    SH    DEFINED  01,02,03       24272        0     4309
SPX CORP                     Common Stock   784635104     303     2132    SH    OTHER                    2032      100        0
S3 INC                       Common Stock   784849101    1067   103440    SH    DEFINED  01,02,03      103440        0        0
SABRE HOLDINGS CORP          Common Stock   785905100    1273    44002    SH    DEFINED  01,02          40905        0     3097
SABRE HOLDINGS CORP          Common Stock   785905100      32     1111    SH    OTHER                     912        0      199
SAFECO CORP                  Common Stock   786429100    1765    64786    SH    DEFINED  01             61101        0     3685
SAFECO CORP                  Common Stock   786429100     159     5835    SH    OTHER                    3185     1350     1300
SAFEGUARD SCIENTIFICS INC    Common Stock   786449108     184     9250    SH    DEFINED  01              9250        0        0
SAFEGUARD SCIENTIFICS INC    Common Stock   786449108      14      700    SH    OTHER                     700        0        0
SAFEWAY INC                  Common Stock   786514208   27646   592154    SH    DEFINED  01,02,03      571160      200    20794
SAFEWAY INC                  Common Stock   786514208    1950    41760    SH    OTHER                   36798     3915     1047
SAGA COMMUNICATIONS INC CL A Common Stock   786598102      17     1022    SH    DEFINED  01              1022        0        0
ST JOE COMPANY               Common Stock   790148100     169     6100    SH    DEFINED  01              6100        0        0
ST JUDE MED INC              Common Stock   790849103    1962    38461    SH    DEFINED  01,02,03,04    26920        0    11541
ST MARY LD & EXPL CO         Common Stock   792228108     583    25300    SH    DEFINED  01,02,03       25300        0        0
ST PAUL COS INC              Common Stock   792860108    4976   100902    SH    DEFINED  01,02,03,04    96530      732     3640
ST PAUL COS INC              Common Stock   792860108      48      970    SH    OTHER                     400        0      570
SALTON INC                   Common Stock   795757103     417    12900    SH    DEFINED  01,02,03       12700        0      200
SANDISK CORP                 Common Stock   80004C101    1105    16550    SH    DEFINED  01,02          16550        0        0
SANDISK CORP                 Common Stock   80004C101      37      560    SH    OTHER                     560        0        0
SANMINA CORP                 Common Stock   800907107   33248   355123    SH    DEFINED  01,02         345188      990     8945
SANMINA CORP                 Common Stock   800907107    5237    55941    SH    OTHER                   50611     4465      865
SANGSTAT MEDICAL CORP        Common Stock   801003104      35     2700    SH    DEFINED  01,02           1300        0     1400
SAPIENT CORP                 Common Stock   803062108    1550    38100    SH    DEFINED  01,02,03       36900        0     1200
SARA LEE CORPORATION         Common Stock   803111103   16743   824240    SH    DEFINED  01,02,03,04   790519     2425    31296
SARA LEE CORPORATION         Common Stock   803111103    5647   278017    SH    OTHER                  213405    50740    13872
SATCON TECHNOLOGY CORP       Common Stock   803893106      36     1000    SH    DEFINED  01              1000        0        0
SAWTEK INC                   Common Stock   805468105    1390    36100    SH    DEFINED  01,02,03       30600        0     5500
SCANSOURCE INC               Common Stock   806037107     299     5600    SH    DEFINED  01,02           5600        0        0
SCANSOURCE INC               Common Stock   806037107      16      300    SH    OTHER                     300        0        0
SCHEIN HENRY INC             Common Stock   806407102      58     2925    SH    DEFINED  01              2925        0        0
SCHERING PLOUGH CORP         Common Stock   806605101   56221  1209053    SH    DEFINED  01,02,03,04  1117849     4750    86454
SCHERING PLOUGH CORP         Common Stock   806605101   21285   457737    SH    OTHER                  390039    37250    30448
SCHLUMBERGER LTD             Common Stock   806857108   38248   464671    SH    DEFINED  01,02,03,04   445195      200    19276
SCHLUMBERGER LTD             Common Stock   806857108    5806    70540    SH    OTHER                   49929    15205     5406
SCHOLASTIC CORP              Common Stock   807066105    1113    13985    SH    DEFINED  01,02,03       11785        0     2200
SCHULMAN A INC               Common Stock   808194104     322    29254    SH    DEFINED  01,02,03,04    25504        0     3750
SCHWAB CHARLES CORP NEW      Common Stock   808513105   21620   609003    SH    DEFINED  01,03         561137        0    47866
SCHWAB CHARLES CORP NEW      Common Stock   808513105     456    12859    SH    OTHER                    3156      346     9357
SCHWEITZER-MAUDUIT INTL INC  Common Stock   808541106     252    18804    SH    DEFINED  01,02,03       18804        0        0
SCHWEITZER-MAUDUIT INTL INC  Common Stock   808541106      12      899    SH    OTHER                     455      280      164
SCICLONE PHARMACEUTICALS INC Common Stock   80862K104      29     2700    SH    DEFINED  01              2700        0        0
SCICLONE PHARMACEUTICALS INC Common Stock   80862K104      11     1000    SH    OTHER                       0        0     1000
SCIENTIFIC ATLANTA           Common Stock   808655104    3223    50649    SH    DEFINED  01,02,03       48754        0     1895
SCIENTIFIC ATLANTA           Common Stock   808655104      16      250    SH    OTHER                     250        0        0
SCIOS INC                    Common Stock   808905103      76     7349    SH    DEFINED  01,02           2749        0     4600
SCIOS INC                    Common Stock   808905103     124    12000    SH    OTHER                   12000        0        0
SCOTTS CO OHIO CLASS A       Common Stock   810186106    1055    31505    SH    DEFINED  01,02,03       31400        0      105
SCRIPPS CO E.W. CL A         Common Stock   811054204     310     5740    SH    DEFINED  01              5740        0        0
SEACHANGE INTL INC           Common Stock   811699107      50     1500    SH    DEFINED  01              1500        0        0
SEAGATE TECHNOLOGY INC       Common Stock   811804103    5150    74640    SH    DEFINED  01,02,03       72040        0     2600
SEAGATE TECHNOLOGY INC       Common Stock   811804103     127     1842    SH    OTHER                    1642        0      200
SEACOR SMIT INC              Common Stock   811904101     888    19050    SH    DEFINED  01,02,03       19050        0        0
SEARS ROEBUCK & CO           Common Stock   812387108    3995   123233    SH    DEFINED  01,02,03      119933        0     3300
SEARS ROEBUCK & CO           Common Stock   812387108    1394    43001    SH    OTHER                   42821      180        0
SECURE COMPUTING CORP        Common Stock   813705100      47     1800    SH    DEFINED  01              1800        0        0
SECURITY CAP GROUP INC CL B  Common Stock   81413P204      12      630    SH    DEFINED  01               630        0        0
SECURITY CAP GROUP INC CL B  Common Stock   81413P204      20     1050    SH    OTHER                       0        0     1050
SEITEL INC NEW               Common Stock   816074306     385    26800    SH    DEFINED  01,02,03       26800        0        0
SELECTIVE INSURANCE GRP INC  Common Stock   816300107     878    49100    SH    DEFINED  01,02,03       49100        0        0
SEMTECH CORP COM             Common Stock   816850101    2342    56600    SH    DEFINED  01,02          48200        0     8400
SEMITOOL INC                 Common Stock   816909105      26     2000    SH    DEFINED  01              2000        0        0
SENSORMATIC ELECTRS CORP     Common Stock   817265101     957    63818    SH    DEFINED  01,02,03       53968        0     9850
SEPRACOR INC                 Common Stock   817315104    8665    70628    SH    DEFINED  01,02,03       55970        0    14658
SEQUA CORP CL A              Common Stock   817320104     362     8529    SH    DEFINED  01,02,03        7229        0     1300
SEROLOGICALS CORP            Common Stock   817523103      16     2250    SH    DEFINED  01,02              0        0     2250
SERVICE CORP INTERNATL       Common Stock   817565104      75    30739    SH    DEFINED  01,03          23974        0     6765
SERVICE CORP INTERNATL       Common Stock   817565104      24     9795    SH    OTHER                    2510        0     7285
SHAW GROUP INC               Common Stock   820280105    1396    19800    SH    DEFINED  01,02,03       19800        0        0
SHAW INDUSTRIES INC          Common Stock   820286102    1967   106307    SH    DEFINED  01,02,03       89277        0    17030
SHAW INDUSTRIES INC          Common Stock   820286102      25     1330    SH    OTHER                     200        0     1130
SHERWIN WILLIAMS CO          Common Stock   824348106   15916   744624    SH    DEFINED  01,02,03,04   726814     1375    16435
SHERWIN WILLIAMS CO          Common Stock   824348106    5622   263000    SH    OTHER                  193711    60015     9274
SHOPKO STORES INC            Common Stock   824911101     342    33000    SH    DEFINED  01,02,03       33000        0        0
SIEBEL SYSTEMS INC           Common Stock   826170102   15698   141029    SH    DEFINED  01,02,03      133713        0     7316
SIEBEL SYSTEMS INC           Common Stock   826170102     216     1942    SH    OTHER                     340        0     1602
SIERRA HEALTH SVCS INC       Common Stock   826322109     157    33450    SH    DEFINED  01,02,03       29850        0     3600
SIGMA ALDRICH CORP           Common Stock   826552101    1407    42634    SH    DEFINED  01,02,03,04    35234        0     7400
SIGMA ALDRICH CORP           Common Stock   826552101     776    23500    SH    OTHER                   23500        0        0
SILICON GRAPHICS             Common Stock   827056102      58    14000    SH    DEFINED  01             14000        0        0
SILICON GRAPHICS             Common Stock   827056102       5     1122    SH    OTHER                       0        0     1122
SILICON STORAGE TECHNOLOGY INCommon Stock   827057100     177     6495    SH    DEFINED  01              6300        0      195
SILICON VY BANCSHARES        Common Stock   827064106    3618    62130    SH    DEFINED  01,02,03       62085        0       45
SILICON VY BANCSHARES        Common Stock   827064106      62     1070    SH    OTHER                     850        0      220
SILICON VALLEY GROUP INC     Common Stock   827066101    1008    38300    SH    DEFINED  01,02,03       38300        0        0
SILICONIX INC                Common Stock   827079203      99     2100    SH    DEFINED  01              2100        0        0
SIMPSON INDS INC             Common Stock   829060102     853    69643    SH    DEFINED  01,02,03       69643        0        0
SIMPSON MFG INC              Common Stock   829073105     608    13600    SH    DEFINED  01,02,03       13600        0        0
SIPEX CORP                   Common Stock   829909100      67     1600    SH    DEFINED  01              1600        0        0
SKYLINE CORP                 Common Stock   830830105     207     9715    SH    DEFINED  01,02,03        9715        0        0
SKYWEST INC                  Common Stock   830879102    1576    30750    SH    DEFINED  01,02,03       30750        0        0
SMART & FINAL INC            Common Stock   831683107      14     2050    SH    DEFINED  01              2050        0        0
SMITH A O CORP               Common Stock   831865209     330    26250    SH    DEFINED  01,02,03       26250        0        0
SMITH INTERNATL INC          Common Stock   832110100    4629    56752    SH    DEFINED  01,02,03       50252        0     6500
SMITH INTERNATL INC          Common Stock   832110100     314     3850    SH    OTHER                    3850        0        0
SMITHFIELD FOODS INC         Common Stock   832248108    1654    63000    SH    DEFINED  01,02,03       63000        0        0
SNAP ON INC                  Common Stock   833034101     441    18696    SH    DEFINED  01,02          18046        0      650
SOLA INTL INC                Common Stock   834092108     194    30100    SH    DEFINED  01,02,03       27000        0     3100
SOLECTRON CORP               Common Stock   834182107   17523   379896    SH    DEFINED  01,02,03      358670        0    21226
SOLECTRON CORP               Common Stock   834182107    1283    27807    SH    OTHER                   14110      100    13597
SOLUTIA INC                  Common Stock   834376105    1028    90381    SH    DEFINED  01,02,03       76681        0    13700
SOLUTIA INC                  Common Stock   834376105      15     1312    SH    OTHER                    1012        0      300
SONIC CORP                   Common Stock   835451105     619    19650    SH    DEFINED  01,02,03       19650        0        0
SONIC AUTOMOTIVE INC         Common Stock   83545G102      44     5300    SH    DEFINED  01,02           5300        0        0
SONIC AUTOMOTIVE INC         Common Stock   83545G102      12     1400    SH    OTHER                    1400        0        0
SONOCO PRODS CO              Common Stock   835495102    1507    83422    SH    DEFINED  01,02,03       70463        0    12959
SONOCO PRODS CO              Common Stock   835495102     119     6568    SH    OTHER                    6568        0        0
SOTHEBY'S HOLDINGS INC CL A  Common Stock   835898107    1214    48815    SH    DEFINED  01,02,03       41000        0     7815
SOURCE INFORMATION MGMT CO   Common Stock   836151209       9     1300    SH    DEFINED  01              1300        0        0
SOUTHDOWN INC                Common Stock   841297104    2371    33273    SH    DEFINED  01,02,03       28443        0     4830
SOUTHDOWN INC                Common Stock   841297104      50      703    SH    OTHER                     703        0        0
SOUTHERN CO                  Common Stock   842587107    8011   246956    SH    DEFINED  01,02,03,04   238286        0     8670
SOUTHERN CO                  Common Stock   842587107     494    15215    SH    OTHER                   12510     2600      105
SOUTHERN UN CO NEW           Common Stock   844030106    1100    55500    SH    DEFINED  01,02,03       55500        0        0
SOUTHTRUST CORP              Common Stock   844730101    1865    59308    SH    DEFINED  01,02,03       57608        0     1700
SOUTHWEST AIRLINES CO        Common Stock   844741108    4461   183964    SH    DEFINED  01,02,03      165509        0    18455
SOUTHWEST AIRLINES CO        Common Stock   844741108     588    24260    SH    OTHER                   21816        0     2444
SOUTHWEST BANCORP OF TEXAS   Common Stock   84476R109    1406    43000    SH    DEFINED  01,02,03       43000        0        0
SOUTHWEST BANCORP OF TEXAS   Common Stock   84476R109      18      550    SH    OTHER                     550        0        0
SOUTHWEST GAS CORP           Common Stock   844895102     791    37800    SH    DEFINED  01,02,03       37800        0        0
SOUTHWEST SECS GROUP INC     Common Stock   845224104     550    18810    SH    DEFINED  01,02,03       18810        0        0
SOUTHWEST SECS GROUP INC     Common Stock   845224104      13      430    SH    OTHER                     430        0        0
SOUTHWESTERN ENERGY CO       Common Stock   845467109     245    28000    SH    DEFINED  01,02,03       28000        0        0
SOVEREIGN BANCORP INC        Common Stock   845905108    1731   187100    SH    DEFINED  01,02,03      158100        0    29000
SPACELABS MED INC            Common Stock   846247104     116    11700    SH    DEFINED  01,02,03       10800        0      900
SPARTAN MOTORS               Common Stock   846819100      44    13950    SH    DEFINED  01,02,03       13950        0        0
SPARTECH CORP                Common Stock   847220209     140     9000    SH    DEFINED  01,02           9000        0        0
SPARTECH CORP                Common Stock   847220209      20     1300    SH    OTHER                    1300        0        0
SPARTON CORPORATION          Common Stock   847235108     119    28909    SH    DEFINED  01             28909        0        0
SPARTON CORPORATION          Common Stock   847235108       6     1400    SH    OTHER                    1400        0        0
SPECIALTY EQUIPMENT COS INC  Common Stock   847497203     541    21910    SH    DEFINED  01,02,03       21800        0      110
SPECTRALINK CORP             Common Stock   847580107      13     1400    SH    DEFINED  01              1400        0        0
SPEEDGRIP CHUCK INC COM      Common Stock   847991908       0    39348    SH    DEFINED  01,02          39348        0        0
SPRINGS INDUSTRIES INC CL A  Common Stock   851783100     164     5813    SH    DEFINED  01              5513        0      300
SPRINT CORP (FON GROUP)      Common Stock   852061100    8653   295193    SH    DEFINED  01,02,03      285920        0     9273
SPRINT CORP (FON GROUP)      Common Stock   852061100     403    13750    SH    OTHER                   11658      792     1300
STAAR SURGICAL CO            Common Stock   852312305      44     2550    SH    DEFINED  01,02           1075        0     1475
STANDARD MICROSYSTEMS CORP   Common Stock   853626109     388    17800    SH    DEFINED  01,02,03       17800        0        0
STANDARD MOTOR PRODUCTS INC  Common Stock   853666105     111    13900    SH    DEFINED  01,02,03       13900        0        0
STANDARD PAC CORP            Common Stock   85375C101     596    33100    SH    DEFINED  01,02,03       33100        0        0
STANDARD REGISTER            Common Stock   853887107     360    22493    SH    DEFINED  01,02,03       18993        0     3500
STANDEX INTL CORP            Common Stock   854231107     270    14000    SH    DEFINED  01,02,03       14000        0        0
STANLEY WORKS                Common Stock   854616109     755    32751    SH    DEFINED  01,02,03,04    31751        0     1000
STANLEY WORKS                Common Stock   854616109      58     2496    SH    OTHER                    2496        0        0
STAPLES INC                  Common Stock   855030102    3148   221850    SH    DEFINED  01,02,03,04   203090        0    18760
STAPLES INC                  Common Stock   855030102     133     9375    SH    OTHER                    8420        0      955
STARBUCKS CORP               Common Stock   855244109    2776    69302    SH    DEFINED  01,02,03       67092        0     2210
STARBUCKS CORP               Common Stock   855244109      16      400    SH    OTHER                       0        0      400
STARTEK INC                  Common Stock   85569C107     455    15700    SH    DEFINED  01,02,03       15700        0        0
STATE STREET CORP            Common Stock   857477103   18152   139631    SH    DEFINED  01,02,03,04   129396       60    10175
STATE STREET CORP            Common Stock   857477103    2728    20987    SH    OTHER                   12232      790     7965
STEEL DYNAMICS INC           Common Stock   858119100     479    52100    SH    DEFINED  01,02,03       52100        0        0
STEEL TECHNOLOGIES INC       Common Stock   858147101      75    11900    SH    DEFINED  01,02,03       11900        0        0
STEIN MART INC               Common Stock   858375108     519    48000    SH    DEFINED  01,02,03       48000        0        0
STEINWAY MUSICAL INSTRUMENTS Common Stock   858495104      11      625    SH    DEFINED  01               625        0        0
STERIS CORP                  Common Stock   859152100     785    65412    SH    DEFINED  01,02,03       46800        0    18612
STEWART & STEVENSON SVCS INC Common Stock   860342104     404    23162    SH    DEFINED  01,02,03       19562        0     3600
STEWART ENTERPRISES INC CL A Common Stock   860370105     170    87800    SH    DEFINED  01,02,03       74100        0    13700
STILLWATER MINING CO         Common Stock   86074Q102    1164    43000    SH    DEFINED  01,02,03       43000        0        0
STILLWATER MINING CO         Common Stock   86074Q102      54     2000    SH    OTHER                    2000        0        0
STONE ENERGY CORP            Common Stock   861642106    1515    27550    SH    DEFINED  01,02,03       27550        0        0
STONE ENERGY CORP            Common Stock   861642106      22      400    SH    OTHER                     400        0        0
STORAGE TECHNOLOGY CORP NEW  Common Stock   862111200    1138    83899    SH    DEFINED  01,02,03       70897        0    13002
STORAGE TECHNOLOGY CORP NEW  Common Stock   862111200       5      400    SH    OTHER                     400        0        0
STRATTEC SECURITY CORP       Common Stock   863111100      11      329    SH    DEFINED  01               329        0        0
STRAYER EDUCATION INC        Common Stock   863236105      55     2510    SH    DEFINED  01              1050        0     1460
STRAYER EDUCATION INC        Common Stock   863236105       7      315    SH    OTHER                       0        0      315
STRIDE RITE CORP             Common Stock   863314100     244    48100    SH    DEFINED  01,02,03       48100        0        0
STRUCTURAL DYNAMICS RESH CORPCommon Stock   863555108     490    29947    SH    DEFINED  01,02,03       25236        0     4711
STRYKER CORP                 Common Stock   863667101   16780   390790    SH    DEFINED  01,02,03,04   331580     3500    55710
STRYKER CORP                 Common Stock   863667101    6442   150025    SH    OTHER                  137770     8600     3655
STUDENT LN CORP              Common Stock   863902102      68     1400    SH    DEFINED  01              1400        0        0
STURM RUGER & CO INC         Common Stock   864159108     246    30000    SH    DEFINED  01,02,03       30000        0        0
SUIZA FOODS CORP             Common Stock   865077101    1166    23000    SH    DEFINED  01,02,03       19400        0     3600
SUIZA FOODS CORP             Common Stock   865077101      32      629    SH    OTHER                     629        0        0
SUMMIT BANCORP               Common Stock   866005101    1959    56778    SH    DEFINED  01,02,03       54978        0     1800
SUMMIT BANCORP               Common Stock   866005101      65     1885    SH    OTHER                     385     1500        0
SUN MICROSYSTEMS INC         Common Stock   866810104   91134   780590    SH    DEFINED  01,02,03,04   732481        0    48109
SUN MICROSYSTEMS INC         Common Stock   866810104   10914    93478    SH    OTHER                   57458     1575    34445
SUNBEAM CORPORATION          Common Stock   867071102      10     7681    SH    DEFINED  01              7681        0        0
SUNCOR INC                   Common Stock   867229106     382    17260    SH    DEFINED  01,02,03       16460        0      800
SUNCOR INC                   Common Stock   867229106       9      420    SH    OTHER                     420        0        0
SUNGARD DATA SYS             Common Stock   867363103    5569   130085    SH    DEFINED  01,02,03      112920        0    17165
SUNGARD DATA SYS             Common Stock   867363103      62     1450    SH    OTHER                     700      550      200
SUNGLASS HUT INTL INC        Common Stock   86736F106      20     3100    SH    DEFINED  01              3100        0        0
SUNRISE ASSISTED LIVING INC  Common Stock   86768K106      67     3100    SH    DEFINED  01,02           1600        0     1500
SUNRISE MED INC              Common Stock   867910101     166    27600    SH    DEFINED  01,02,03       25000        0     2600
SUNTRUST BANKS INC           Common Stock   867914103   10999   220802    SH    DEFINED  01,02,03,04   211742      970     8090
SUNTRUST BANKS INC           Common Stock   867914103    2459    49370    SH    OTHER                   46120     2440      810
SUPERIOR CONSULTANT HOLDINGS Common Stock   868146101      29    14979    SH    DEFINED  01             14979        0        0
SUPERIOR ENERGY SVCS INC     Common Stock   868157108      50     4800    SH    DEFINED  01              4800        0        0
SUPERIOR INDS INTL INC       Common Stock   868168105     639    21296    SH    DEFINED  01,02,03       17996        0     3300
SUPERTEX INC                 Common Stock   868532102      45      900    SH    DEFINED  01               900        0        0
SUPERVALU INC                Common Stock   868536103     663    44034    SH    DEFINED  01,02          41974        0     2060
SUPERVALU INC                Common Stock   868536103      31     2090    SH    OTHER                    1010        0     1080
SUSQUEHANNA BANCSHARES INC PACommon Stock   869099101     668    43793    SH    DEFINED  01,02,03       43793        0        0
SWIFT ENERGY CO              Common Stock   870738101    1058    25450    SH    DEFINED  01,02,03       25450        0        0
SWIFT TRANSN INC             Common Stock   870756103     682    52235    SH    DEFINED  01,02,03       44000        0     8235
SYBASE INC                   Common Stock   871130100    1696    73740    SH    DEFINED  01,02,03       62340        0    11400
SYBRON INTL CORP             Common Stock   87114F106    2607   108617    SH    DEFINED  01,02,03       82522        0    26095
SYBRON INTL CORP             Common Stock   87114F106      77     3200    SH    OTHER                    3200        0        0
SYKES ENTERPRISES INC        Common Stock   871237103     205    38200    SH    DEFINED  01,02,03       32900        0     5300
SYKES ENTERPRISES INC        Common Stock   871237103       8     1430    SH    OTHER                    1430        0        0
SYLVAN LEARNING SYS INC      Common Stock   871399101     683    46095    SH    DEFINED  01,02,03       41100        0     4995
SYMANTEC CORP                Common Stock   871503108    2234    50771    SH    DEFINED  01,02,03       42971        0     7800
SYMANTEC CORP                Common Stock   871503108      15      350    SH    OTHER                     350        0        0
SYMBOL TECHNOLOGIES          Common Stock   871508107    4825   134247    SH    DEFINED  01,02,03,04   115985        0    18262
SYMBOL TECHNOLOGIES          Common Stock   871508107     313     8704    SH    OTHER                    8704        0        0
SYMMETRICOM INC              Common Stock   871543104     395    25250    SH    DEFINED  01,02,03       25250        0        0
SYNCOR INTERNATIONAL CORP NEWCommon Stock   87157J106     987    26800    SH    DEFINED  01,02,03       26800        0        0
SYNOPSYS INC                 Common Stock   871607107    2485    65622    SH    DEFINED  01,02,03       56422        0     9200
SYNOPSYS INC                 Common Stock   871607107      19      500    SH    OTHER                       0      500        0
SYNOVUS FINL CORP            Common Stock   87161C105    2001    94444    SH    DEFINED  01,02,03       88980        0     5464
SYSCO                        Common Stock   871829107   30760   664169    SH    DEFINED  01,02,03,04   643577     2930    17662
SYSCO                        Common Stock   871829107    6888   148725    SH    OTHER                  112899    32001     3825
SYSTEMS & COMPUTER TECHNLGY CCommon Stock   871873105     641    36500    SH    DEFINED  01,02,03       36500        0        0
</TABLE>
<PAGE>

<TABLE>
<CAPTION>
<S>                          <C>            <C>        <C>      <C>      <C>    <C>      <C>           <C>      <C>        <C>
TBC CORP                     Common Stock   872180104     116    23850    SH    DEFINED  01,02,03       23850        0        0
TCF FINL CORP                Common Stock   872275102    2600    69096    SH    DEFINED  01,02,03       58796        0    10300
TCF FINL CORP                Common Stock   872275102    1178    31304    SH    OTHER                   31304        0        0
TECO ENERGY                  Common Stock   872375100    3374   117357    SH    DEFINED  01,02,03       97257     4000    16100
TECO ENERGY                  Common Stock   872375100     290    10100    SH    OTHER                    1500     4000     4600
TJX COMPANIES INC NEW        Common Stock   872540109    2378   105705    SH    DEFINED  01,02,03       92005        0    13700
TRW INC                      Common Stock   872649108    1875    46152    SH    DEFINED  01,02,03       44952        0     1200
TRW INC                      Common Stock   872649108     366     9000    SH    OTHER                    8600      400        0
TMP WORLDWIDE INC            Common Stock   872941109    1345    16710    SH    DEFINED  01,02          16710        0        0
TACO CABANA INC CL A         Common Stock   873425102      56    13000    SH    DEFINED  01,02,03       13000        0        0
TALBOTS INC                  Common Stock   874161102     148     2234    SH    DEFINED  01              2200        0       34
TALISMAN ENERGY INC          Common Stock   87425E103     436    12440    SH    DEFINED  01,02,03       12370        0       70
TALISMAN ENERGY INC          Common Stock   87425E103       5      141    SH    OTHER                     141        0        0
TARRANT APPAREL GROUP        Common Stock   876289109       8     1100    SH    DEFINED  01              1100        0        0
TECH DATA CORP               Common Stock   878237106    1871    43775    SH    DEFINED  01,03          36925        0     6850
TECH DATA CORP               Common Stock   878237106       9      200    SH    OTHER                     200        0        0
TECH SYM CORP                Common Stock   878308105      13      425    SH    DEFINED  01               425        0        0
TECHNE CORP                  Common Stock   878377100    2827    25245    SH    DEFINED  01,02,03       23000        0     2245
TECHNITROL INC               Common Stock   878555101    1849    18310    SH    DEFINED  01,02,03       18300        0       10
TECHNOLOGY SOLUTIONS CO      Common Stock   87872T108       8     3200    SH    DEFINED  01              3200        0        0
TECUMSEH PRODS CO CL B       Common Stock   878895101   55165  1374834    SH    DEFINED  01              7309        0  1367525
TECUMSEH PRODS CO CL B       Common Stock   878895101   50006  1246245    SH    OTHER                 1242245        0     4000
TECUMSEH PRODS CO CL A       Common Stock   878895200   20772   496042    SH    DEFINED  01,02,03       35195        0   460847
TECUMSEH PRODS CO CL A       Common Stock   878895200   27345   653009    SH    OTHER                  638009        0    15000
TEKELEC                      Common Stock   879101103     137     4160    SH    DEFINED  01              4100        0       60
TEKTRONIX INC                Common Stock   879131100    1230    16018    SH    DEFINED  01,02          15015        0     1003
TEKTRONIX INC                Common Stock   879131100     127     1650    SH    OTHER                    1650        0        0
TELCOM SEMICONDUCTOR INC     Common Stock   87921P107     303    20400    SH    DEFINED  01,02,03       20400        0        0
TELEFLEX INC                 Common Stock   879369106    1091    31740    SH    DEFINED  01,02,03       26840        0     4900
TELEFLEX INC                 Common Stock   879369106      89     2600    SH    OTHER                    2600        0        0
TELEGLOBE INC                Common Stock   87941V100     340    16200    SH    DEFINED  01,02,03       15400        0      800
TELEPHONE & DATA SYSTEMS INC Common Stock   879433100    5599    50574    SH    DEFINED  01,02,03       42444        0     8130
TELEPHONE & DATA SYSTEMS INC Common Stock   879433100     102      925    SH    OTHER                       0      900       25
TELEWEST COMMUNICATIONS PLC ACommon Stock   87956P105     483    24767    SH    DEFINED  01,02,03       23748        0     1019
TELIGENT INC CL A            Common Stock   87959Y103      54     4175    SH    DEFINED  01              4175        0        0
TELLABS INC                  Common Stock   879664100   32713   685079    SH    DEFINED  01,02,03,04   668082     1750    15247
TELLABS INC                  Common Stock   879664100    6444   134952    SH    OTHER                  125877     7480     1595
TELXON CORP                  Common Stock   879700102     352    20100    SH    DEFINED  01,02,03       20100        0        0
TEMP STIK CORP               Common Stock   879704104       0    20000    SH    DEFINED  01             20000        0        0
TEMPLE INLAND INC            Common Stock   879868107     647    17081    SH    DEFINED  01,02          16581        0      500
TEMPLE INLAND INC            Common Stock   879868107      14      360    SH    OTHER                     360        0        0
TELETECH HOLDINGS INC        Common Stock   879939106     111     4500    SH    DEFINED  01              4500        0        0
TENET HEALTHCARE CORP        Common Stock   88033G100    5803   159522    SH    DEFINED  01,02         111867        0    47655
TENET HEALTHCARE CORP        Common Stock   88033G100      62     1715    SH    OTHER                    1010        0      705
TERADYNE INC                 Common Stock   880770102    2054    58681    SH    DEFINED  01,02,03       56291        0     2390
TERADYNE INC                 Common Stock   880770102      29      840    SH    OTHER                     700        0      140
TESORO PETE CORP             Common Stock   881609101      23     2300    SH    DEFINED  01              2300        0        0
TETRA TECHNOLOGIES INC DEL   Common Stock   88162F105     229    15100    SH    DEFINED  01,02,03       15100        0        0
TETRA TECH INC NEW           Common Stock   88162G103    1627    56962    SH    DEFINED  01,02,03       56962        0        0
TETRA TECH INC NEW           Common Stock   88162G103      22      775    SH    OTHER                     775        0        0
TEXACO INC                   Common Stock   881694103   10071   191832    SH    DEFINED  01,02,03      181241        0    10591
TEXACO INC                   Common Stock   881694103     521     9920    SH    OTHER                    8390      200     1330
TEXAS BIOTECHNOLOGY CORP     Common Stock   88221T104     374    23350    SH    DEFINED  01,02          23350        0        0
TEXAS BIOTECHNOLOGY CORP     Common Stock   88221T104      18     1150    SH    OTHER                    1150        0        0
TEXAS INDS INC               Common Stock   882491103     922    28915    SH    DEFINED  01,02,03       28915        0        0
TEXAS INDS INC               Common Stock   882491103       6      200    SH    OTHER                     200        0        0
TEXAS INSTRS INC             Common Stock   882508104   29727   629977    SH    DEFINED  01,02,03      594729        0    35248
TEXAS INSTRS INC             Common Stock   882508104    1122    23776    SH    OTHER                   11970     1600    10206
TEXTRON INC                  Common Stock   883203101    8399   182083    SH    DEFINED  01,02,03,04   170255      190    11638
TEXTRON INC                  Common Stock   883203101    2380    51602    SH    OTHER                   44242     6225     1135
THERAGENICS CORP             Common Stock   883375107     229    35300    SH    DEFINED  01,02,03       33000        0     2300
THERMO ELECTRON CORP         Common Stock   883556102    1456    55992    SH    DEFINED  01,02,03       54292        0     1700
THERMO ELECTRON CORP         Common Stock   883556102      31     1200    SH    OTHER                     400      500      300
THOMAS & BETTS CORP          Common Stock   884315102     482    27646    SH    DEFINED  01,02,04       26946        0      700
THOMAS & BETTS CORP          Common Stock   884315102      14      825    SH    OTHER                     825        0        0
THOMAS IND                   Common Stock   884425109     349    17250    SH    DEFINED  01,02,03       17250        0        0
THOR IND INC                 Common Stock   885160101     312    13500    SH    DEFINED  01,02,03       13500        0        0
THREE COM CORP               Common Stock   885535104    5763   300361    SH    DEFINED  01,02,03      251236        0    49125
THREE COM CORP               Common Stock   885535104     102     5335    SH    OTHER                    4955        0      380
THREE-FIVE SYSTEMS INC       Common Stock   88554L108     699    23899    SH    DEFINED  01,02,03       23899        0        0
TIDEWATER INC                Common Stock   886423102    2153    47321    SH    DEFINED  01,02,03       39135        0     8186
TIFFANY & CO                 Common Stock   886547108    2400    62235    SH    DEFINED  01,02          60286        0     1949
TIFFANY & CO                 Common Stock   886547108      65     1689    SH    OTHER                    1000        0      689
TIMBERLAND CO CL A           Common Stock   887100105    1841    44900    SH    DEFINED  01,02,03       44900        0        0
TIME WARNER INC              Common Stock   887315109   36513   466623    SH    DEFINED  01,02,03,04   431037        0    35586
TIME WARNER INC              Common Stock   887315109    2184    27908    SH    OTHER                   23455      400     4053
TIMKEN CO                    Common Stock   887389104     306    22371    SH    DEFINED  01,02          19671        0     2700
TITAN INTERNATIONAL INC      Common Stock   88830M102     162    28100    SH    DEFINED  01,02,03       28100        0        0
TOLL BROS INC                Common Stock   889478103    1396    40600    SH    DEFINED  01,02,03       40600        0        0
TOLLGRADE COMMUNICATIONS INC Common Stock   889542106     125      900    SH    DEFINED  01               900        0        0
TOLLGRADE COMMUNICATIONS INC Common Stock   889542106       6       40    SH    OTHER                       0        0       40
TOOTSIE ROLL INDS INC        Common Stock   890516107     141     3601    SH    DEFINED  01              2393        0     1208
TOOTSIE ROLL INDS INC        Common Stock   890516107      12      305    SH    OTHER                       0        0      305
TOPPS CO (THE)               Common Stock   890786106      29     3200    SH    DEFINED  01              3200        0        0
TORCHMARK CORP               Common Stock   891027104    1879    67555    SH    DEFINED  01,02,03,04    63255        0     4300
TORCHMARK CORP               Common Stock   891027104     300    10800    SH    OTHER                   10800        0        0
TORO CO.                     Common Stock   891092108     466    14800    SH    DEFINED  01,02,03       14800        0        0
TORO CO.                     Common Stock   891092108       9      300    SH    OTHER                     300        0        0
TOSCO CORP COM NEW           Common Stock   891490302    3745   120070    SH    DEFINED  01,02,03      111800        0     8270
TOSCO CORP COM NEW           Common Stock   891490302     279     8935    SH    OTHER                    8595        0      340
TOTAL RENAL CARE HLDGS INC   Common Stock   89151A107      74     9805    SH    DEFINED  01,02           5800        0     4005
TOWER AUTOMOTIVE INC         Common Stock   891707101     590    62900    SH    DEFINED  01,02,03       62900        0        0
TOWER AUTOMOTIVE INC         Common Stock   891707101      52     5500    SH    OTHER                    5500        0        0
TOTAL SYSTEMS SERV           Common Stock   891906109     235    13950    SH    DEFINED  01             13950        0        0
TOYS R US HLDG CO            Common Stock   892335100    1275    78435    SH    DEFINED  01,02          68680        0     9755
TOYS R US HLDG CO            Common Stock   892335100     106     6530    SH    OTHER                    2440     1000     3090
TRANS WORLD ENTMT CORP       Common Stock   89336Q100      34     3450    SH    DEFINED  01              3450        0        0
TRANSACTION SYS ARCHITECTS CLCommon Stock   893416107     446    27475    SH    DEFINED  01,02,03       23175        0     4300
TRANSACTION SYS ARCHITECTS CLCommon Stock   893416107       7      440    SH    OTHER                     440        0        0
TRANSATLANTIC HLDGS INC      Common Stock   893521104     276     2980    SH    DEFINED  01              2450        0      530
TRANSATLANTIC HLDGS INC      Common Stock   893521104      28      300    SH    OTHER                       0        0      300
TRANSKARYOTIC THERAPIES INC  Common Stock   893735100     133     3100    SH    DEFINED  01,02           1600        0     1500
TRANSWITCH CORP              Common Stock   894065101    4303    67500    SH    DEFINED  01,02,03       57000        0    10500
TREDEGAR CORPORATION         Common Stock   894650100     736    42500    SH    DEFINED  01,02,03       42500        0        0
TRENWICK GROUP INC           Common Stock   895290104     347    18250    SH    DEFINED  01,02,03       18250        0        0
TRENWICK GROUP INC           Common Stock   895290104     147     7758    SH    OTHER                    7758        0        0
TRIAD GUARANTY INC           Common Stock   895925105      29      975    SH    DEFINED  01               975        0        0
TRIARC COMPANIES             Common Stock   895927101     606    24600    SH    DEFINED  01,02,03       24600        0        0
TRICON GLOBAL RESTAURANTS INCCommon Stock   895953107    6803   222125    SH    DEFINED  01,02,03,04   211915      900     9310
TRICON GLOBAL RESTAURANTS INCCommon Stock   895953107     624    20377    SH    OTHER                   18317     1055     1005
TRIBUNE COMPANY              Common Stock   896047107    4457   102155    SH    DEFINED  01,02,03       97475        0     4680
TRIBUNE COMPANY              Common Stock   896047107      80     1830    SH    OTHER                    1600        0      230
TRICO MARINE SERVICES INC    Common Stock   896106101      38     2400    SH    DEFINED  01              2400        0        0
TRICORD SYSTEMS INC          Common Stock   896121100      25     1700    SH    DEFINED  01              1700        0        0
TRIGON HEALTHCARE INC        Common Stock   89618L100    1929    36700    SH    DEFINED  01,02,03       28600        0     8100
TRIGON HEALTHCARE INC        Common Stock   89618L100      89     1700    SH    OTHER                    1200        0      500
TRIMBLE NAV LTD              Common Stock   896239100     800    35750    SH    DEFINED  01,02,03       35750        0        0
TRIMBLE NAV LTD              Common Stock   896239100      25     1100    SH    OTHER                    1100        0        0
TRIMERIS INC                 Common Stock   896263100      77     1100    SH    DEFINED  01              1100        0        0
TRINITY INDS INC             Common Stock   896522109     753    32211    SH    DEFINED  01,02,03       26901        0     5310
TRINITY INDS INC             Common Stock   896522109      16      700    SH    OTHER                     100        0      600
TRIQUINT SEMICONDUCTOR INC   Common Stock   89674K103    2360    64760    SH    DEFINED  01,02,03       54500        0    10260
TRUE NORTH COMMUNICATIONS INCCommon Stock   897844106    2015    56350    SH    DEFINED  01,02,03       56350        0        0
TRUST CO OF NEW JERSEY       Common Stock   898304100      23     1400    SH    DEFINED  01              1400        0        0
TRUSTCO BK CORP N Y          Common Stock   898349105     736    59780    SH    DEFINED  01,02,03       59780        0        0
TUPPERWARE CORP              Common Stock   899896104     334    18533    SH    DEFINED  01,02,03       17933        0      600
TWINLAB CORP                 Common Stock   901774109      20     4500    SH    DEFINED  01,02           2000        0     2500
II-VI INC                    Common Stock   902104108      18      950    SH    DEFINED  01               950        0        0
TYCO INTERNATIONAL LTD       Common Stock   902124106   55352  1067033    SH    DEFINED  01,02,03,04   995062     3054    68917
TYCO INTERNATIONAL LTD       Common Stock   902124106    4574    88175    SH    OTHER                   73513     1608    13054
TYSON FOODS INC CLASS A      Common Stock   902494103    1893   189253    SH    DEFINED  01,02,03      160293        0    28960
TYSON FOODS INC CLASS A      Common Stock   902494103      24     2450    SH    OTHER                    2450        0        0
UAL CORP NEW                 Common Stock   902549500     200     4752    SH    DEFINED  01              4752        0        0
UCAR INTERNATIONAL INC       Common Stock   90262K109     471    37100    SH    DEFINED  01,02,03       31300        0     5800
UGI CORP                     Common Stock   902681105     735    30300    SH    DEFINED  01,02,03       30300        0        0
UGI CORP                     Common Stock   902681105      11      440    SH    OTHER                     440        0        0
UICI                         Common Stock   902737105      23     3300    SH    DEFINED  01              3300        0        0
USX-MARATHON GROUP           Common Stock   902905827    3298   116227    SH    DEFINED  01,02,03,04   105197        0    11030
USX-MARATHON GROUP           Common Stock   902905827    2322    81816    SH    OTHER                   73147        0     8669
UST INC                      Common Stock   902911106    1337    58439    SH    DEFINED  01,02,03       52734        0     5705
UST INC                      Common Stock   902911106      68     2965    SH    OTHER                    1340        0     1625
US BANCORP                   Common Stock   902973106    7652   336370    SH    DEFINED  01,02,03      328283        0     8087
US BANCORP                   Common Stock   902973106     193     8463    SH    OTHER                    7963      500        0
URS CORP NEW                 Common Stock   903236107     241    18200    SH    DEFINED  01,02,03       18200        0        0
USG CORP NEW                 Common Stock   903293405    1001    39935    SH    DEFINED  01,02,03       34040        0     5895
USG CORP NEW                 Common Stock   903293405    2111    84220    SH    OTHER                   84000        0      220
USX-U S STL GROUP            Common Stock   90337T101     436    28739    SH    DEFINED  01,02,03       27799        0      940
USX-U S STL GROUP            Common Stock   90337T101       0       15    SH    OTHER                      15        0        0
UTI ENERGY CORP              Common Stock   903387108      61     1364    SH    DEFINED  01              1300        0       64
ULTRAMAR-DIAMOND SHAMROCK CORCommon Stock   904000106    1958    77149    SH    DEFINED  01,02,03       66025        0    11124
ULTRAMAR-DIAMOND SHAMROCK CORCommon Stock   904000106      14      559    SH    OTHER                     559        0        0
ULTRATECH STEPPER INC        Common Stock   904034105     381    23700    SH    DEFINED  01,02,03       23700        0        0
UNIFI INC                    Common Stock   904677101     477    46861    SH    DEFINED  01,02,03       39561        0     7300
UNIFIRST CORP MASS           Common Stock   904708104     244    24400    SH    DEFINED  01,04          24400        0        0
UNICOM CORPORATION           Common Stock   904911104    3565    63447    SH    DEFINED  01,02,03       59352        0     4095
UNICOM CORPORATION           Common Stock   904911104     217     3861    SH    OTHER                    2971        0      890
UNION CARBIDE CORP           Common Stock   905581104    1698    44970    SH    DEFINED  01,02,03       43532        0     1438
UNION CARBIDE CORP           Common Stock   905581104      65     1709    SH    OTHER                    1409        0      300
UNION PACIFIC CORP           Common Stock   907818108    3713    95520    SH    DEFINED  01,02,03       88530     4000     2990
UNION PACIFIC CORP           Common Stock   907818108     283     7274    SH    OTHER                    6824        0      450
UNION PLANTERS CORP          Common Stock   908068109    1517    45897    SH    DEFINED  01,02,03       44497        0     1400
UNIONBANCAL CORP             Common Stock   908906100     270    11600    SH    DEFINED  01             11600        0        0
UNISYS CORPORATION           Common Stock   909214108    1244   110577    SH    DEFINED  01            107577        0     3000
UNISYS CORPORATION           Common Stock   909214108     263    23420    SH    OTHER                   23420        0        0
UNIT CORP                    Common Stock   909218109      38     2600    SH    DEFINED  01              2600        0        0
UNITED AMERN HEALTHCARE CORP Common Stock   90934C105       1     1500    SH    DEFINED  01              1500        0        0
UNITED BANCORP INC MICH      Common Stock   90944L103    2897    57949    SH    DEFINED  01             14139    43810        0
UNITED BANCORP INC MICH      Common Stock   90944L103    5536   110710    SH    OTHER                  110710        0        0
UNITED BANKSHARES INC W VA   Common Stock   909907107     918    46800    SH    DEFINED  01,02,03       46800        0        0
UNITED NATURAL FOODS INC     Common Stock   911163103     679    54850    SH    DEFINED  01,02,03       54850        0        0
UNITED NATURAL FOODS INC     Common Stock   911163103      64     5200    SH    OTHER                    5200        0        0
UNITED STATES CELLULAR CORP  Common Stock   911684108     441     6300    SH    DEFINED  01              6300        0        0
US AIRWAYS GROUP INC         Common Stock   911905107     644    21161    SH    DEFINED  01,03          20016        0     1145
US AIRWAYS GROUP INC         Common Stock   911905107      18      583    SH    OTHER                       0        0      583
U S INDUSTRIES INC           Common Stock   912080108      58     5882    SH    DEFINED  01              5882        0        0
UNITED STATIONERS INC        Common Stock   913004107    1027    38200    SH    DEFINED  01,02,03       38200        0        0
UNITED TECHNOLOGIES CORP     Common Stock   913017109   25315   365563    SH    DEFINED  01,02,03,04   344773        0    20790
UNITED TECHNOLOGIES CORP     Common Stock   913017109    7134   103012    SH    OTHER                   99795      100     3117
UNITED TELEVISION INC        Common Stock   913066106     103      700    SH    DEFINED  01               700        0        0
UNITRIN INC                  Common Stock   913275103    1727    54500    SH    DEFINED  01,03          45700        0     8800
UNIVERSAL CORP               Common Stock   913456109     736    25048    SH    DEFINED  01,02,03,04    21448        0     3600
UNIVERSAL ELECTRONICS INC    Common Stock   913483103      24     1000    SH    DEFINED  01              1000        0        0
UNIVERSAL FOODS CORP         Common Stock   913538104     818    40134    SH    DEFINED  01,02,03       33834        0     6300
UNIVERSAL FOREST PRODUCTS INCCommon Stock   913543104     283    24800    SH    DEFINED  01,02,03       24800        0        0
UNIVERSAL FOREST PRODUCTS INCCommon Stock   913543104      69     6000    SH    OTHER                    6000        0        0
UNIVERSAL HEALTH SVCS INC CL Common Stock   913903100    2860    33400    SH    DEFINED  01,02,03       33400        0        0
UNIVISION COMMUNICATIONS CL ACommon Stock   914906102    6498   173864    SH    DEFINED  01,02,03      147200        0    26664
UNOCAL CORPORATION           Common Stock   915289102    3067    86537    SH    DEFINED  01,02,03       76932     2000     7605
UNOCAL CORPORATION           Common Stock   915289102      88     2480    SH    OTHER                     500        0     1980
UNOVA INC                    Common Stock   91529B106      16     4000    SH    DEFINED  01              4000        0        0
US FREIGHTWAYS CORP          Common Stock   916906100     689    30350    SH    DEFINED  01,02,03       30350        0        0
US FREIGHTWAYS CORP          Common Stock   916906100      54     2400    SH    OTHER                    2400        0        0
URBAN OUTFITTERS INC         Common Stock   917047102      12     1200    SH    DEFINED  01              1200        0        0
UTILICORP UNITED INC         Common Stock   918005109    2066    79828    SH    DEFINED  01,02,03       67928        0    11900
UTILICORP UNITED INC         Common Stock   918005109       3      100    SH    OTHER                       0      100        0
V F CORP                     Common Stock   918204108     922    37328    SH    DEFINED  01,02          36128        0     1200
V F CORP                     Common Stock   918204108      52     2100    SH    OTHER                    2100        0        0
VALASSIS COMMUNICATIONS INC  Common Stock   918866104    1189    53440    SH    DEFINED  01,02,03       37740        0    15700
VALASSIS COMMUNICATIONS INC  Common Stock   918866104      22     1000    SH    OTHER                       0        0     1000
VALENCE TECHNOLOGY INC       Common Stock   918914102    1132    65600    SH    DEFINED  01,02,03       65600        0        0
VALENCE TECHNOLOGY INC       Common Stock   918914102      17     1000    SH    OTHER                    1000        0        0
VALERO REFNG & MARKETING CO  Common Stock   91913Y100    1881    53459    SH    DEFINED  01,02,03       45559        0     7900
VALLEY NATL BANCORP          Common Stock   919794107     112     4118    SH    DEFINED  01              4118        0        0
VALLEY NATL BANCORP          Common Stock   919794107      38     1377    SH    OTHER                    1377        0        0
VALMONT INDS INC             Common Stock   920253101     517    26000    SH    DEFINED  01,02,03       26000        0        0
VALSPAR CORP                 Common Stock   920355104     821    35700    SH    DEFINED  01,02,03       30200        0     5500
VALUEVISION INTL INC CL A    Common Stock   92047K107      70     2800    SH    DEFINED  01              2800        0        0
VEECO INSTRUMENTS INC        Common Stock   922417100     183     1723    SH    DEFINED  01              1723        0        0
VERITAS SOFTWARE CO          Common Stock   923436109   24348   171463    SH    DEFINED  01,02,03      164956        0     6507
VERITAS SOFTWARE CO          Common Stock   923436109     327     2302    SH    OTHER                    1627        0      675
VERITY INC                   Common Stock   92343C106    1246    34900    SH    DEFINED  01,02,03       34900        0        0
VERITAS DGC INC              Common Stock   92343P107     784    27100    SH    DEFINED  01,03          27100        0        0
VERTEX PHARMACEUTICALS INC   Common Stock   92532F100    5624    66560    SH    DEFINED  01,02,03       59900        0     6660
VERTEX PHARMACEUTICALS INC   Common Stock   92532F100       7       85    SH    OTHER                       0        0       85
VIACOM INC CL A              Common Stock   925524100       6      100    SH    DEFINED  01               100        0        0
VIACOM INC CL A              Common Stock   925524100     152     2600    SH    OTHER                    2600        0        0
VIACOM INC CL B NON VTG      Common Stock   925524308   30463   520736    SH    DEFINED  01,02,03,04   503059        0    17677
VIACOM INC CL B NON VTG      Common Stock   925524308    1065    18212    SH    OTHER                   13576     2653     1983
VIATEL INC                   Common Stock   925529208      40     3868    SH    DEFINED  01              3868        0        0
VIAD CORP                    Common Stock   92552R109    2133    80295    SH    DEFINED  01,02,03       65795        0    14500
VIAD CORP                    Common Stock   92552R109      17      648    SH    OTHER                       0      648        0
VIASAT INC                   Common Stock   92552V100     555    24820    SH    DEFINED  01,02,03       24820        0        0
VICOR CORP                   Common Stock   925815102    3018    55640    SH    DEFINED  01,02,03       47350        0     8290
VINTAGE PETE INC             Common Stock   927460105    1597    70200    SH    DEFINED  01,02,03       70200        0        0
VISHAY INTERTECHNOLOGY       Common Stock   928298108    3829   124535    SH    DEFINED  01,02,03      102682        0    21853
VISHAY INTERTECHNOLOGY       Common Stock   928298108      49     1600    SH    OTHER                       0        0     1600
VISX INC                     Common Stock   92844S105    1535    57000    SH    DEFINED  01,02,03,04    42400        0    14600
VISX INC                     Common Stock   92844S105       5      200    SH    OTHER                     200        0        0
VITAL SIGNS INC              Common Stock   928469105     400    15100    SH    DEFINED  01,02,03       13700        0     1400
VITESSE SEMICONDUCTOR CORP   Common Stock   928497106   13889   156160    SH    DEFINED  01,02,03      132415        0    23745
VITESSE SEMICONDUCTOR CORP   Common Stock   928497106     133     1490    SH    OTHER                    1400        0       90
VOLT INFORMATION SCIENCES INCCommon Stock   928703107     363    16900    SH    DEFINED  01,02,03       16900        0        0
VORNADO RLTY TR CV PFD 6.5% SPreferred Stock929042208      42      805    PRN   DEFINED  01               155        0      650
VORNADO RLTY TR CV PFD 6.5% SPreferred Stock929042208       3       50    PRN   OTHER                       0        0       50
VULCAN MATLS CO              Common Stock   929160109    1686    41953    SH    DEFINED  01,02,03       40288        0     1665
VULCAN MATLS CO              Common Stock   929160109      74     1850    SH    OTHER                    1475        0      375
WD FORTY CO                  Common Stock   929236107     404    19025    SH    DEFINED  01,02,03       19025        0        0
WMS INDS INC                 Common Stock   929297109      50     2200    SH    DEFINED  01              2200        0        0
WPS RESOURCES CORP           Common Stock   92931B106     121     3695    SH    DEFINED  01              3695        0        0
WABASH NATL CORP             Common Stock   929566107     235    25800    SH    DEFINED  01,02,03       25800        0        0
WACHOVIA CORP NEW            Common Stock   929771103    6710   118367    SH    DEFINED  01,03,04      114767      300     3300
WACHOVIA CORP NEW            Common Stock   929771103    4254    75039    SH    OTHER                   65289     5900     3850
WAL MART STORES INC          Common Stock   931142103   91665  1904736    SH    DEFINED  01,02,03,04  1810086     1000    93650
WAL MART STORES INC          Common Stock   931142103    8234   171105    SH    OTHER                  148804    10710    11591
WALGREEN CO                  Common Stock   931422109   71938  1896207    SH    DEFINED  01,02,03,04  1796847     8040    91320
WALGREEN CO                  Common Stock   931422109   24736   652018    SH    OTHER                  549558    81670    20790
WALLACE COMPUTER SERVICES INCCommon Stock   932270101     508    33321    SH    DEFINED  01,02,03       28121        0     5200
WALLACE COMPUTER SERVICES INCCommon Stock   932270101      46     3000    SH    OTHER                    3000        0        0
WARNACO GROUP INC CL A       Common Stock   934390105     178    44439    SH    DEFINED  01,02,03       37639        0     6800
WARNACO GROUP INC CL A       Common Stock   934390105       2      605    SH    OTHER                     605        0        0
WASHINGTON FEDERAL INC       Common Stock   938824109    1379    60630    SH    DEFINED  01,02,03       58500        0     2130
WASHINGTON FEDERAL INC       Common Stock   938824109      11      475    SH    OTHER                       0        0      475
WASHINGTON GAS LIGHT         Common Stock   938837101    1070    39810    SH    DEFINED  01,02,03       33810        0     6000
WASHINGTON MUTUAL INC        Common Stock   939322103    7054   177171    SH    DEFINED  01,02,03      170858        0     6313
WASHINGTON MUTUAL INC        Common Stock   939322103      40     1002    SH    OTHER                       0        0     1002
WASHINGTON POST CO CL B      Common Stock   939640108    4149     7860    SH    DEFINED  01,02,03        6660        0     1200
WASTE INDUSTRIES INC         Common Stock   941058109       8     1000    SH    DEFINED  01              1000        0        0
WATERS CORP                  Common Stock   941848103    9752   109576    SH    DEFINED  01,02,03       92272        0    17304
WATERS CORP                  Common Stock   941848103      47      530    SH    OTHER                     392        0      138
WATSCO INC                   Common Stock   942622200     310    30150    SH    DEFINED  01,02,03       30150        0        0
WATSCO INC                   Common Stock   942622200      12     1200    SH    OTHER                    1200        0        0
WATSON PHARMACEUTICALS INC   Common Stock   942683103    4186    64522    SH    DEFINED  01,02          51104        0    13418
WATSON PHARMACEUTICALS INC   Common Stock   942683103      97     1500    SH    OTHER                    1400        0      100
WATTS IND INC CL A           Common Stock   942749102     295    29500    SH    DEFINED  01,02,03       29500        0        0
WEBSTER FINL CORP WATERBURY CCommon Stock   947890109    1198    44480    SH    DEFINED  01,02,03       37680        0     6800
WELLMAN INC                  Common Stock   949702104     397    27476    SH    DEFINED  01,02,03       23376        0     4100
WELLPOINT HLTH NETWORKS INC NCommon Stock   94973H108    1866    19435    SH    DEFINED  01,03          18835        0      600
WENDYS FING I PFD CV SER A 5%Preferred Stock950588202     784    16500    PRN   DEFINED  01             13500        0     3000
WENDYS INTERNATIONAL INC COM Common Stock   950590109    3403   169599    SH    DEFINED  01,02,03      160374        0     9225
WENDYS INTERNATIONAL INC COM Common Stock   950590109     311    15490    SH    OTHER                   15490        0        0
WERNER ENTERPRISE INC        Common Stock   950755108     620    52749    SH    DEFINED  01,02,03       52749        0        0
WESCO FINL CORP              Common Stock   950817106     132      525    SH    DEFINED  01               525        0        0
WESLEY JESSEN VISIONCARE INC Common Stock   951018100     757    19700    SH    DEFINED  01,02,03       19700        0        0
WEST TELESERVICES CORP       Common Stock   956188106     101     4600    SH    DEFINED  01              4600        0        0
WESTAMERICA BANCORPORATION   Common Stock   957090103     993    29700    SH    DEFINED  01,02,03       25100        0     4600
WESTELL TECHNOLOGIES INC CL ACommon Stock   957541105      35     2700    SH    DEFINED  01              2700        0        0
WESTERN DIGITAL CORP         Common Stock   958102105      59    10000    SH    DEFINED  01             10000        0        0
WESTERN GAS RES INC          Common Stock   958259103      58     2300    SH    DEFINED  01              2300        0        0
WESTERN RES INC              Common Stock   959425109    1257    58110    SH    DEFINED  01,02,03       49210        0     8900
WESTERN RES INC              Common Stock   959425109      23     1054    SH    OTHER                    1054        0        0
WESTERN WIRELESS CORP CL A   Common Stock   95988E204     182     5100    SH    DEFINED  01              5100        0        0
WESTPOINT STEVENS INC        Common Stock   961238102     501    40900    SH    DEFINED  01,02,03       34500        0     6400
WESTVACO CORP                Common Stock   961548104     988    37002    SH    DEFINED  01,02,03       35902        0     1100
WESTWOOD ONE INC             Common Stock   961815107    2089    97441    SH    DEFINED  01,02,03       78050        0    19391
WET SEAL INC CL A            Common Stock   961840105     243    15500    SH    DEFINED  01,02,03       15500        0        0
WEYERHAEUSER CO              Common Stock   962166104    5501   136242    SH    DEFINED  01,02,03      131892     1800     2550
WEYERHAEUSER CO              Common Stock   962166104     129     3195    SH    OTHER                    2535        0      660
WHIRLPOOL CORP               Common Stock   963320106    1338    34419    SH    DEFINED  01,02,03       28864        0     5555
WHIRLPOOL CORP               Common Stock   963320106     252     6495    SH    OTHER                    5500      800      195
WHITNEY HLDG CORP            Common Stock   966612103     927    25525    SH    DEFINED  01,02,03       25525        0        0
WHOLE FOODS MKT INC          Common Stock   966837106    1541    28700    SH    DEFINED  01,03          28700        0        0
WILD OATS MARKETS INC        Common Stock   96808B107      20     1700    SH    DEFINED  01              1700        0        0
WILEY JOHN & SONS INC CL A   Common Stock   968223206     266    11600    SH    DEFINED  01,02          11600        0        0
WILLIAMETTE INDUS            Common Stock   969133107    1026    36637    SH    DEFINED  01,02,03       35537        0     1100
WILLIAMS COS INC             Common Stock   969457100    7439   176067    SH    DEFINED  01,02,03      171067        0     5000
WILLIAMS COS INC             Common Stock   969457100     692    16377    SH    OTHER                   13387     1050     1940
WILLIAMS CLAYTON ENERGY INC  Common Stock   969490101      27      675    SH    DEFINED  01               675        0        0
WILLIAMS SONOMA INC          Common Stock   969904101    1585    45600    SH    DEFINED  01,02,03       38500        0     7100
WILMINGTON TRUST CORP NEW    Common Stock   971807102    1752    32680    SH    DEFINED  01,02,03,04    27880        0     4800
WILMINGTON TRUST CORP NEW    Common Stock   971807102     105     1950    SH    OTHER                    1950        0        0
WIND RIVER SYSTEMS INC       Common Stock   973149107    2868    59822    SH    DEFINED  01,02,03       50400        0     9422
WIND RIVER SYSTEMS INC       Common Stock   973149107     135     2825    SH    OTHER                     125        0     2700
WINN DIXIE STORES INC        Common Stock   974280109     734    51045    SH    DEFINED  01,02,03       49645        0     1400
WINNEBAGO INDS INC           Common Stock   974637100     299    23900    SH    DEFINED  01,02,03       23900        0        0
WINSTAR COMMUNICATIONS INC   Common Stock   975515107     130     8400    SH    DEFINED  01              6400        0     2000
WISCONSIN CENT TRANSN CORP   Common Stock   976592105     428    40500    SH    DEFINED  01,02,03       34200        0     6300
WISCONSIN ENERGY COMMON      Common Stock   976657106    2329   116836    SH    DEFINED  01,02,03,04   101136        0    15700
WISCONSIN ENERGY COMMON      Common Stock   976657106     429    21527    SH    OTHER                   12427     1800     7300
WOLVERINE TUBE INC           Common Stock   978093102     201    13500    SH    DEFINED  01,02,03       13500        0        0
WOLVERINE WORLD WIDE INC     Common Stock   978097103     450    48368    SH    DEFINED  01,02,03       48368        0        0
WORLDWIDE PETROMOLY INC      Common Stock   98159L106      16    65000    SH    DEFINED  01             65000        0        0
WORTHINGTON INDS INC         Common Stock   981811102     421    44870    SH    DEFINED  01,02          43895        0      975
WORTHINGTON INDS INC         Common Stock   981811102       9     1000    SH    OTHER                    1000        0        0
WRIGLEY WM JR CO             Common Stock   982526105    3573    47716    SH    DEFINED  01,02,03,04    43366        0     4350
WRIGLEY WM JR CO             Common Stock   982526105     481     6430    SH    OTHER                    5764        0      666
X-RITE CORP                  Common Stock   983857103     279    31900    SH    DEFINED  01,02,03       31900        0        0
X-RITE CORP                  Common Stock   983857103      18     2000    SH    OTHER                    2000        0        0
XILINX INC                   Common Stock   983919101   10032   117158    SH    DEFINED  01,02,03      109892        0     7266
XILINX INC                   Common Stock   983919101     542     6329    SH    OTHER                    5950        0      379
XIRCOM INC                   Common Stock   983922105     843    33400    SH    DEFINED  01,02,03       33400        0        0
XEROX CORP                   Common Stock   984121103    3615   240021    SH    DEFINED  01,02,03,04   227566        0    12455
XEROX CORP                   Common Stock   984121103    1556   103310    SH    OTHER                   90030    11200     2080
XTRA CORP                    Common Stock   984138107      39      875    SH    DEFINED  01               875        0        0
XTRA CORP                    Common Stock   984138107      44     1000    SH    OTHER                    1000        0        0
YAHOO INC                    Common Stock   984332106   15905   174776    SH    DEFINED  01,02,03      167437        0     7339
YAHOO INC                    Common Stock   984332106      86      943    SH    OTHER                     400        0      543
YELLOW CORPORATION           Common Stock   985509108     417    27600    SH    DEFINED  01,02,03       27600        0        0
YORK INTL CORP NEW           Common Stock   986670107     851    34218    SH    DEFINED  01,02,03,04    28318        0     5900
YOUNG BROADCASTING INC CL A  Common Stock   987434107      26      825    SH    DEFINED  01               825        0        0
ZALE CORP NEW                Common Stock   988858106    1714    52850    SH    DEFINED  01,02,03       44100        0     8750
ZALE CORP NEW                Common Stock   988858106      49     1500    SH    OTHER                       0        0     1500
ZEBRA TECHNOLOGIES CORP CL A Common Stock   989207105    1661    34563    SH    DEFINED  01,02,03       34073        0      490
ZEBRA TECHNOLOGIES CORP CL A Common Stock   989207105      29      600    SH    OTHER                     600        0        0
ZENITH NATIONAL INS CORP     Common Stock   989390109     420    19200    SH    DEFINED  01,02,03       19200        0        0
ZILA INC                     Common Stock   989513205      23     6300    SH    DEFINED  01,02           3100        0     3200
ZIONS BANCORP                Common Stock   989701107    4457    87158    SH    DEFINED  01,02,03       73478        0    13680
ZORAN CORP                   Common Stock   98975F101     185     3800    SH    DEFINED  01,02           3800        0        0
ACE LTD                      Common Stock   G0070K103     260     6620    SH    DEFINED  01,02           6410        0      210
ACE LTD                      Common Stock   G0070K103      79     2025    SH    OTHER                    1550        0      475
FRESH DEL MONTE PRODUCE INC  Common Stock   G36738105      25     3800    SH    DEFINED  01              3800        0        0
GLOBALSTAR TELECOMMUNICATIONSCommon Stock   G3930H104       4      500    SH    DEFINED  01                 0        0      500
LASALLE RE HLDGS LTD         Common Stock   G5383Q101      36     1900    SH    DEFINED  01,03           1900        0        0
SANTA FE INTL CORP           Common Stock   G7805C108     384     8520    SH    DEFINED  01              8520        0        0
SANTA FE INTL CORP           Common Stock   G7805C108      10      230    SH    OTHER                     230        0        0
TRITON ENERGY LTD ORD        Common Stock   G90751101      67     1725    SH    DEFINED  01              1725        0        0
TRITON ENERGY LTD ORD        Common Stock   G90751101      64     1650    SH    OTHER                    1650        0        0
STOLT OFFSHORE S A           Common Stock   L8873E103      37     2500    SH    DEFINED  01,03           2500        0        0
ORBOTECH LTD                 Common Stock   M75253100     205     3750    SH    DEFINED  01,03           3750        0        0
ASM LITHOGRAPHY HLDG N V     Other          N07059111    1522    47100    SH    DEFINED  01,03          47100        0        0
BAAN COMPANY NV              Other          N08044104      53    24800    SH    DEFINED  01,02,03       23400        0     1400
ROYAL CARIBBEAN CRUISES LTD  Common Stock   V7780T103     425    16515    SH    DEFINED  01             12865        0     3650
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