UNITED STATES
SECURITIES AND EXCHANGE COMMISSION
Washington, D.C. 20549
FORM 13F COVER PAGE
Report for the Calendar Year of Quarter Ended: June 30, 2000
Check here if Amendment [ ] ; Amendment Number:
This Amendment (Check only one.): [ ] is a restatement
[ ] adds new holdings entries.
Institutional Investment Manager Filing this Report:
Name: PITCAIRN GROUP L.P.
Address: 165 Township Line Road, Suite 3000
Jenkintown, PA 19046
13F File Number: _____________________
The institutional investment manager filing this report and the person by whom
it is signed hereby represent that the person signing the report is authorized
to submit it, that all information contained herein is true, correct and
complete, and that it is understood that all required items, statements,
schedules, lists and tables, are considered integral parts of this form.
Person Signing this Report on Behalf of Reporting Manager:
Name: Lawrence R. Bardfeld
Title: Counsel
Phone: 215-881-6116
Signature, Place and Date of Signing:
/s/ Lawrence R. Bardfeld
------------------------
Lawrence R. Bardfeld Jenkintown, Pennsylvania July 26, 2000
Report Type (Check only one):
[X] 13F HOLDINGS REPORT
[ ] 13F NOTICE
[ ] 13F COMBINATION REPORT
List of Other Managers Reporting for this Manager:
Pitcairn Company
Pitcairn Trust Company
I AM SIGNING THIS REPORT AS REQUIRED BY THE SECURITIES EXCHANGE ACT OF 1934.
<PAGE>
FORM 13F SUMMARY PAGE
---------------------
REPORT SUMMARY:
Number of Other Included Managers: 2
Form 13F Information Table Entry Total: 593
Form 13F Information Table Value Total: $ 885,058,775
List of Other Included Managers:
No. 13F File Number Name
01 _______________ PITCAIRN GROUP, L.P.
02 _______________ PITCAIRN COMPANY
03 _______________ PITCAIRN TRUST COMPANY
<PAGE>
Statement Pursuant to Form 13-F, General Instruction B
Pitcairn Group L.P. is reporting, on behalf of its wholly-owned subsidiary and
general partner, Pitcairn Company, on those securities over which Pitcairn
Company exercises investment discretion.
PITCAIRN COMPANY
/S/ Lawrence R. Bardfeld
---------------------------------
By: Lawrence R. Bardfeld
Executive Vice President
Secretary and General Counsel
<PAGE>
Statement Pursuant to Form 13-F, General Instruction B
Pitcairn Group L.P. is reporting, on behalf of Pitcairn Trust Company, a
wholly-owned subsidiary of Pitcairn Company, on those securities over which
Pitcairn Trust Company exercises investment discretion.
PITCAIRN TRUST COMPANY
/S/ Lawrence R. Bardfeld
---------------------------------
By: Lawrence R. Bardfeld
Executive Vice President
Secretary and General Counsel
<PAGE>
PITCAIRN TRUST COMPANY
FORM 13
<TABLE>
<CAPTION>
ITEM 1: ITEM 2: ITEM 3: ITEM 4: ITEM 5: ITEM 6: ITEM 7: ITEM 8:
NAME OF ISSUER TITLE OF CLASS CUSIP FAIR SHARES OR INVESTMENT MANAGERS VOTING AUTHORITY
NUMBER MARKET PRINCIPAL DISCRETION (A) (B) (C)
VALUE AMOUNT SOLE SHARED NONE
-----------------------------------------------------------------------------------------------------------------------------
<S> <C> <C> <C> <C> <C> <C> <C> <C> <C>
A D C COMMON STOCK 886101 806,000 9,612 DEFINED 1 388
DEFINED 2 9,224
357,000 4,257 OTHER 3 4,179
OTHER 3 78
AMB PROPERTY CORP COMMON STOCK 163T109 129,000 5,650 DEFINED 2 5,650
85,000 3,705 OTHER 3 3,360
OTHER 3 345
AT&T CORP COMMON STOCK 1957109 8,553,000 270,437 DEFINED 1 700
DEFINED 2 34,830
2 34,592
DEFINED 3 315
2,215,000 70,045 OTHER 3 10,640
OTHER 2 47,893
OTHER 3 11,042
10,000 330 DEF/OTH 2 330
1957208 576,000 23,760 DEFINED 2 23,440
DEFINED 3 320
1957208 146,000 6,029 OTHER 3 5,144
OTHER 2 180
OTHER 3 705
1957109 469,475 13,940 DEFINED 3 13,940
ATMI INC COMMON STOCK 207R101 1,562,000 33,600 DEFINED 2 33,600
ABBOTT LABS COMMON STOCK 2824100 676,000 15,162 DEFINED 3 27
DEFINED 1 875
DEFINED 2 13,580
2 500
DEFINED 3 180
873,000 19,598 OTHER 3 13,496
1,030
OTHER 2 3,665
OTHER 3 1,407
937,930 21,496 DEFINED 3 21,496
ABOUT.COM INC COMMON STOCK 3736105 293,241 10,090 DEFINED 3 10,090
ACCREDO HEALTH INC COMMON STOCK 437V104 944,000 27,300 DEFINED 2 27,300
ACE*COMM CORP COMMON STOCK 4404109 257,000 48,285 DEFINED 2 48,285
ACTEL CORP COMMON STOCK 4934105 1,044,000 22,893 DEFINED 2 22,893
3,000 70 OTHER 70
ACXIOM CORP COMMON STOCK 5125109 6,000 225 SOLE 3 225
225,000 8,260 DEFINED 2 8,260
229,000 8,407 OTHER 3 3,830
OTHER 3 4,577
5,000 190 DEF/OTH 2 190
5125109 490,795 16,540 DEFINED 3 16,540
ADAC LABS COM COMMON STOCK 5313200 1,114,000 46,400 DEFINED 2 46,400
ADC TELECOMMUNICATION COMMON STOCK 0886101 870,957 10,685 DEFINED 3 10,685
AEGON N V SPONSORED ADR FOREIGN STOCK 7924103 92,000 2,584 SOLE 3 2,584
311,000 8,742 OTHER 3 42
OTHER 3 8,700
ADVANCE PRADIGN INC COMMON STOCK 7491103 17,220 840 DEFINED 3 840
ADVANTA CORP COMMON STOCK 7942105 532,000 43,611 DEFINED 2 43,611
40 OTHER 3 40
227,445 19,053 DEFINED 3 19,053
ADVENT SOFTWARE INC COMMON STOCK 7974108 462,998 7,957 DEFINED 3 7,957
AFFYMETRIX INC OC-CAP COMMON STOCK 826T108 233,688 1,284 DEFINED 3 1,284
AGILENT TECHNOLOGIES INC COMMON STOCK 846U101 274,045 3,859 DEFINED 3 3,859
846U101 37,000 502 SOLE 3 458
SOLE 3 44
425,000 5,761 DEFINED 3 6
DEFINED 1 1
DEFINED 2 5,073
DEFINED 3 681
342,000 4,633 OTHER 3 1,578
OTHER 1 38
OTHER 2 538
OTHER 3 2,478
3,000 36 DEF/OTH 2 36
ALBERTO-CULVER CO COMMON STOCK 13068101 120,000 3,930 DEFINED 1 1,150
DEFINED 2 2,780
258,000 8,445 OTHER 3 7,095
13068101 665,487 22,089 DEFINED 3 22,089
ALCOA INC COMMON STOCK 13817101 5,000 168 SOLE 3 168
416,000 14,357 DEFINED 1 790
DEFINED 2 13,317
DEFINED 3 250
412,000 14,220 OTHER 9,490
930
OTHER 3 3,800
5,000 164 DEF/OTH 2 164
13817101 807,614 24,814 DEFINED 3 24,814
ALEXION PHARMACEUTICALS INC COMMON STOCK 15351109 1,409,000 19,700 DEFINED 2 19,700
ALKERMES INC COMMON STOCK 1642T108 896,000 19,010 DEFINED 2 19,010
20 OTHER 3 20
332,106 7,591 DEFINED 3 7,591
ALLAIRE CORP COMMON STOCK 16714107 463,000 12,600 DEFINED 2 12,600
ALLERGAN INC COMMON STOCK 18490102 268,000 3,599 DEFINED 1 160
DEFINED 2 3,439
104,000 1,390 OTHER 3 1,390
262,612 3,525 DEFINED 3 3,525
ALLMERICA FINL CORP COMMON STOCK 019754100 910,095 16,576 DEFINED 3 16,576
10,000 185 SOLE 3 185
394,000 7,531 DEFINED 1 190
DEFINED 2 7,341
429,000 8,198 OTHER 3 4,639
OTHER 3 3,559
7,000 135 DEF/OTH 2 135
ALLSTATE CORP COMMON STOCK 20002101 164,000 7,380 DEFINED 2 7,380
91,000 4,085 OTHER 3 3,415
OTHER 2 170
OTHER 3 500
ALLTEL CORP COMMON STOCK 20039103 553,000 8,927 DEFINED 1 480
DEFINED 2 8,322
DEFINED 3 125
486,000 7,840 OTHER 3 4,335
1,170
OTHER 2 1,990
OTHER 3 345
642,066 10,243 DEFINED 3 10,243
ALPHARMA INC CL A COMMON STOCK 020813101 1,485,507 24,737 DEFINED 3 24,737
630,000 10,122 DEFINED 1 175
DEFINED 2 9,947
294,000 4,730 OTHER 3 4,580
OTHER 3 150
ALTERA CORP COMMON STOCK 21441100 572,000 5,614 DEFINED 3 15
DEFINED 1 193
DEFINED 2 5,406
266,000 2,608 OTHER 3 2,173
OTHER 2 30
OTHER 3 405
733,313 6,956 DEFINED 3 6,956
AMBAC FINANCIAL GROUP INC COMMON STOCK 023139108 8,495 155 DEFINED 3 155
AMERADA HESS CORP COMMON STOCK 23551104 14,000 224 SOLE 3 224
1,176,000 19,048 DEFINED 1 240
DEFINED 2 18,270
DEFINED 3 538
1,034,000 16,753 OTHER 3 6,199
OTHER 2 150
OTHER 3 10,404
8,000 125 DEF/OTH 2 125
1,116,532 17,955 DEFINED 3 17,955
AMERICA ONLINE INC COMMON STOCK 02364J104 12,000 220 SOLE 3 220
1,460,000 27,707 DEFINED 3 42
DEFINED 1 555
DEFINED 2 26,770
DEFINED 3 340
1,123,000 21,317 OTHER 12,158
655
OTHER 2 2,093
OTHER 3 6,411
11,000 215 DEF/OTH 2 215
1,709,928 29,497 DEFINED 3 29,497
AMERICA WEST HOLDINGS CORP - B COMMON STOCK 23657208 488,000 28,500 DEFINED 2 28,500
AMCORE FINL INC COMMON STOCK 23912108 698,000 38,115 OTHER 3 38,115
AMER EXPRESS CO COMMON STOCK 25816109 1,272,000 24,410 DEFINED 3 18
DEFINED 2 24,332
DEFINED 3 60
289,574 5,259 DEFINED 3 5,259
211,000 4,045 OTHER 3 3,190
OTHER 2 135
OTHER 3 720
AMER HOME PRODS CORP COMMON STOCK 26609107 1,141,000 19,425 DEFINED 3 15
DEFINED 2 19,240
DEFINED 3 170
26609107 220,000 3,750 OTHER 2,930
OTHER 2 105
OTHER 3 715
AMER INTL GRP COMMON STOCK 26874107 16,000 140 SOLE 3 140
026874107 2,001,365 16,645 DEFINED 3 16,645
26874107 1,521,000 12,945 DEFINED 1 270
DEFINED 2 12,507
DEFINED 3 168
26874107 1,230,000 10,472 OTHER 6,466
OTHER 2 90
OTHER 3 3,601
26874107 15,000 125 DEF/OTH 2 125
AMERICAN PWR CONVERSI COMMON STOCK 029066107 471,444 11,161 DEFINED 3 11,161
AMERICAN STD COS INC COMMON STOCK 029712106 238,825 5,825 DEFINED 3 5,825
29712106 117,000 2,859 DEFINED 1 262
DEFINED 2 2,597
29712106 95,000 2,329 OTHER 3 2,329
AMGEN INC COMMON STOCK 31162100 6,000 85 SOLE 3 85
31162100 871,000 12,400 DEFINED 3 15
DEFINED 2 12,270
DEFINED 3 115
31162100 578,000 8,233 OTHER 3 3,930
OTHER 2 80
OTHER 3 4,223
31162100 7,000 95 DEF/OTH 2 95
031162100 650,013 9,361 DEFINED 3 9,361
ANGIOTECH PHARMACEUTICALS INC COMMON STOCK 34918102 910,000 21,800 DEFINED 2 21,800
ANHEUSER-BUSCH COS INC COMMON STOCK 35229103 8,000 110 SOLE 3 110
035229103 558,354 6,972 DEFINED 3 6,972
35229103 659,000 8,818 DEFINED 2 8,818
35229103 1,030,000 13,797 OTHER 3 2,640
OTHER 2 2,550
OTHER 3 8,607
35229103 10,000 135 DEF/OTH 2 135
ANTEC CORP COMMON STOCK 3664P105 628,000 15,114 DEFINED 2 15,114
3664P105 2,000 40 OTHER 3 40
3664P105 965,050 19,398 DEFINED 3 19,398
APACHE CORP COMMON STOCK 37411105 362,390 6,657 DEFINED 3 6,657
37411105 191,000 3,245 DEFINED 2 3,245
37411105 112,000 1,910 OTHER 3 1,910
APPLIED MATERIALS INC COMMON STOCK 38222105 424,000 4,680 SOLE 3 4,400
SOLE 3 280
38222105 3,772,399 42,970 DEFINED 3 42,970
38222105 2,151,000 23,740 DEFINED 3 16
DEFINED 1 430
DEFINED 2 23,204
DEFINED 3 90
38222105 1,545,000 17,045 OTHER 3 9,273
500
OTHER 2 65
OTHER 3 7,207
38222105 19,000 207 DEF/OTH 2 207
APTARGROUP INC COMMON STOCK 38336103 637,000 23,610 DEFINED 2 23,610
ARCHER DANIELS MIDLAND CO COMMON STOCK 39483102 10,000 1,014 DEFINED 2 1,014
39483102 134,000 13,687 OTHER 3 13,687
ARGUSS COMMUNICATIONS COMMON STOCK 40282105 6,000 335 SOLE 3 335
40282105 1,120,482 66,877 DEFINED 3 66,877
40282105 605,000 32,075 DEFINED 2 32,075
40282105 84,000 4,445 OTHER 3 890
OTHER 3 3,555
ARROW ELECTRS INC COMMON STOCK 42735100 13,950 450 DEFINED 3 450
ARVIN INDUSTRIES INC COMMON STOCK 43339100 14,073 810 DEFINED 3 810
ASPECT COMMUNICATIONS COMMON STOCK 4523Q102 389,202 17,508 DEFINED 3 17,508
4523Q102 1,056,000 26,852 DEFINED 1 165
DEFINED 2 26,687
4523Q102 183,000 4,665 OTHER 3 4,525
OTHER 3 140
ASPEN TECHNOLOGY INC COMMON STOCK 45327103 1,205,000 31,300 DEFINED 2 31,300
AT HOME CORP SER A COMMON STOCK 45919107 6,000 287 SOLE 3 287
45919107 243,000 11,713 DEFINED 2 11,713
45919107 236,000 11,396 OTHER 3 5,186
OTHER 3 6,210
45919107 6,000 289 DEF/OTH 2 289
45919107 337,466 18,351 DEFINED 3 18,351
ASSOCIATES FIRST CAPITAL COMMON STOCK 46008108 324,000 14,537 DEFINED 1 880
DEFINED 2 13,657
46008108 448,440 19,660 DEFINED 3 19,660
46008108 341,000 15,275 OTHER 3 10,625
1,040
OTHER 3 3,610
46008108 7,000 325 DEF/OTH 2 325
ATLANTIC COAST AIRLINES HLDG COMMON STOCK 48396105 946,000 29,800 DEFINED 2 29,800
ATMEL CORP COMMON STOCK 049513104 223,093 6,050 DEFINED 3 6,050
ATWOOD OCEANICS INC COMMON STOCK 50095108 465,000 10,490 DEFINED 2 10,490
ATWOOD ENTERPRISES INC COMMON STOCK 50994102 7,321,000 58,571 DEFINED 2 58,571
50994102 35,862,000 286,898 OTHER 3 2 86,898
AUTOMATIC DATA PROCESSING INC COMMON STOCK 53015103 223,000 4,167 DEFINED 2 4,062
DEFINED 3 105
53015103 169,000 3,149 OTHER 1,596
OTHER 2 90
OTHER 3 1,463
AVERY DENNISON CORP COMMON STOCK 53611109 15,000 225 SOLE 3 225
53611109 1,256,351 18,604 DEFINED 3 18,604
53611109 736,000 10,960 DEFINED 1 155
DEFINED 2 10,805
53611109 781,000 11,630 OTHER 5,285
OTHER 2 1,525
OTHER 3 4,820
53611109 14,000 205 DEF/OTH 2 205
AVALONBAY COMMUNITIES INC COMMON STOCK 53484101 217,100 5,200 DEFINED 3 5,200
AVNET INC COMMON STOCK 53807103 145,162 2,450 DEFINED 3 2,450
AZTAR CORP COMMON STOCK 54802103 822,000 53,010 DEFINED 2 53,010
BB&T CORPORATION COMMON STOCK 54937107 122,000 5,115 DEFINED 1 465
DEFINED 2 4,650
054937101 244,121 10,225 DEFINED 3 10,225
54937107 160,000 6,690 OTHER 6,455
OTHER 3 235
BP AMOCO PLC COMMON STOCK 55622104 983,000 17,386 DEFINED 2 17,272
DEFINED 3 114
55622104 217,000 3,838 OTHER 2,900
906
OTHER 3 32
BRE PROPERTIES - CLA COMMON STOCK 5.56E+109 788,000 27,290 DEFINED 2 27,290
BANCWEST CORPORATION COMMON STOCK 59790105 859,000 52,264 DEFINED 2 52,264
59790105 1,000 90 OTHER 90
059790105 748,984 43,107 DEFINED 3 43,107
BANK UTD CORP CL A COMMON STOCK 065412108 686,358 18,759 DEFINED 3 18,759
BANK OF AMERICA CORP COMMON STOCK 60505104 448,000 10,425 DEFINED 2 10,425
60505104 170,000 3,955 OTHER 2,755
OTHER 2 140
OTHER 3 1,060
BANK OF NY CO INC COMMON STOCK 64057102 131,000 2,815 DEFINED 2 2,815
64057102 92,000 1,985 OTHER 1,810
OTHER 3 175
BANC ONE CORP COMMON STOCK 06423A103 238,000 8,967 DEFINED 2 8,782
DEFINED 3 185
06423A103 998,000 37,571 OTHER 3,632
OTHER 2 155
OTHER 3 33,784
BANK UNITED CORP / CLA COMMON STOCK 65412108 906,000 25,743 DEFINED 1 70
DEFINED 2 25,673
65412108 73,000 2,065 OTHER 2,010
OTHER 3 55
BANTA CORP COMMON STOCK 66821109 147,000 7,737 DEFINED 1 160
DEFINED 2 7,577
66821109 76,000 4,025 OTHER 3,890
OTHER 3 135
066821109 21,588 1,140 DEFINED 3 1,140
BAXTER INTL INC COMMON STOCK 071813109 803,520 11,367 DEFINED 3 11,367
BEA SYSTEMS INC COMMON STOCK 073325102 212,581 4,300 DEFINED 3 4,300
73325102 89,000 1,810 DEFINED 10
DEFINED 1 200
DEFINED 2 1,550
DEFINED 3 50
73325102 123,000 2,490 OTHER 2,225
OTHER 2 30
OTHER 3 235
BEAR STEARNS COMMON STOCK 73902108 602,000 14,451 DEFINED 2 14,347
DEFINED 3 104
73902108 1,000 31 OTHER 1
OTHER 3 30
BECTON DICKINSON & CO COMMON STOCK 75887109 243,000 8,468 DEFINED 1 370
DEFINED 2 8,098
075887109 233,085 8,125 DEFINED 3 8,125
75887109 97,000 3,395 OTHER 3 3,395
BED BATH & BEYOND INC COMMON STOCK 75896100 13,000 364 SOLE 3 364
075896100 1,277,278 32,779 DEFINED 3 32,779
75896100 655,000 18,056 DEFINED 3 21
DEFINED 1 258
DEFINED 2 17,777
75896100 564,000 15,563 OTHER 8,603
OTHER 3 6,960
75896100 8,000 226 DEF/OTH 2 226
BEDMINSTER BIOCONVERSION CORP PREFERRED STOCK 76599984 4,000 44,355 DEFINED 2 44,355
BELL ATLANTIC CORP COMMON STOCK 77853109 18,000 364 SOLE 3 364
77853109 1,507,000 29,656 DEFINED 1 759
DEFINED 2 28,697
DEFINED 3 200
77853109 1,311,000 25,799 OTHER 14,397
077853109 2,341,519 45,969 DEFINED 3 45,969
OTHER 2 2,644
OTHER 3 7,860
77853109 16,000 310 DEF/OTH 2 310
BELLSOUTH CORP COMMON STOCK 79860102 405,000 9,499 DEFINED 2 9,184
DEFINED 3 315
079860102 242,412 6,004 DEFINED 3 6,004
79860102 204,000 4,775 OTHER 4,065
OTHER 2 155
OTHER 3 555
BERKSHIRE HATHAWAY INC COMMON STOCK 84670108 161,000 3 DEFINED 2 3
84670108 915,000 17 OTHER 2
OTHER 3 15
BEST BUY INC COM COMMON STOCK 086513101 213,468 3,375 DEFINED 3 3,375
BIOGEN N V COMMON STOCK 090597105 318,149 4,867 DEFINED 3 4,867
90597105 6,000 95 SOLE 3 95
90597105 327,000 5,067 DEFINED 8
DEFINED 2 5,059
90597105 306,000 4,738 OTHER 2,391
OTHER 3 2,347
90597105 7,000 101 DEF/OTH 2 101
BOEING CO COMMON STOCK 97023105 293,000 6,999 DEFINED 2 6,999
97023105 294,000 7,040 OTHER 2,471
OTHER 2 105
OTHER 3 4,464
BONAVISTA PETROLEUM LTD COMMON STOCK - 97933105 533,000 30,334 DEFINED 2 30,334
BORDERS GROUP INC COMMON STOCK 099709107 676,114 47,291 DEFINED 3 47,291
99709107 840,000 53,989 DEFINED 1 240
DEFINED 2 53,749
99709107 117,000 7,523 OTHER 7,323
OTHER 3 200
BP AMOCO PLC SPONSORE COMMON STOCK 055622104 558,288 10,200 DEFINED 3 10,200
BRADY CORP COMMON STOCK 104674106 270,000 8,303 DEFINED 1 100
DEFINED 2 7,637
DEFINED 3 566
104674106 86,000 2,642 OTHER 2,477
OTHER 2 60
OTHER 3 105
BRINKER INTL INC COMMON STOCK 109641100 11,000 365 SOLE 3 365
109641100 968,000 33,109 DEFINED 1 670
DEFINED 2 32,439
109641100 604,000 20,661 OTHER 14,200
OTHER 3 6,461
109641100 2,132,232 68,940 DEFINED 3 68,940
BRISTOL MYERS SQUIBB COMMON STOCK 110122108 13,000 225 SOLE 3 225
110122108 1,475,836 27,866 DEFINED 3 27,866
110122108 1,153,000 19,790 DEFINED 3 35
DEFINED 1 490
DEFINED 2 19,040
DEFINED 3 225
110122108 1,027,000 17,630 OTHER 3 8,792
575
OTHER 1 1,208
OTHER 2 3,205
OTHER 3 3,850
BROADCOM CORP CL COMMON STOCK 111320107 169,000 771 DEFINED 3 5
DEFINED 2 641
DEFINED 3 125
111320107 102,000 464 OTHER 3 355
OTHER 2 15
OTHER 3 94
BRUNSWICK CORP COMMON STOCK 117043109 125,000 7,534 DEFINED 1 500
117043109 178,460 10,775 DEFINED 3 10,775
117043109 58,000 3,485 OTHER 3,485
BUCKEYE TECHNOLOGIES INC COMMON STOCK 118255108 767,000 34,970 DEFINED 2 34,970
BUFFETS INC COMMON STOCK 119882108 872,000 68,720 DEFINED 2 68,720
BURLINGTON COAT FACTORY COMMON STOCK 121579106 147,000 13,580 DEFINED 1 265
121579106 20,003 1,850 DEFINED 3 1,850
121579106 72,000 6,685 OTHER 6,455
OTHER 3 230
BURR-BROWN CORP COMMON STOCK 122574106 772,000 8,900 DEFINED 2 8,900
CFM TECHNOLOGIES INC COMMON STOCK 12525K106 227,000 14,622 DEFINED 1 321
DEFINED 2 14,301
12525K106 34,100 2,200 DEFINED 3 2,200
12525K106 124,000 8,000 OTHER 7,725
OTHER 3 275
CNF TRANSPORTATION INC COMMON STOCK 12612W104 138,775 6,100 DEFINED 3 6,100
CLECO CORP COMMON STOCK 12561W105 611,000 18,250 DEFINED 2 18,250
CABOT INDUSTRIAL TRUST COMMON STOCK 127072106 571,000 29,000 DEFINED 2 29,000
CAL DIVE INTERNATIONAL INC COMMON STOCK 127914109 1,122,000 20,700 DEFINED 2 20,700
CAREER EDUCATION CORP COMMON STOCK 141665109 611,000 12,600 DEFINED 2 12,600
CARLISLE COS INC COMMON STOCK 142339100 124,000 2,763 DEFINED 22
DEFINED 2 2,741
142339100 85,000 1,887 OTHER 1,307
OTHER 3 580
CALPINE CORP COMMON STOCK 131347106 218,922 2,976 DEFINED 3 2,976
CARPENTER TECHNOLOGY COMMON STOCK 144285103 375,768 16,325 DEFINED 3 16,325
144285103 789,000 37,331 DEFINED 1 55
DEFINED 2 37,276
144285103 37,000 1,745 OTHER 1,695
OTHER 3 50
CATO CORP - CL A COMMON STOCK 149205106 527,000 45,350 DEFINED 2 45,350
CELL GENESYS INC COMMON STOCK 150921104 443,556 14,663 DEFINED 3 14,663
CELL PATHWAYS INC COMMON STOCK 15114R101 213,000 9,070 DEFINED 2 9,070
CENTURYTEL INC COMMON STOCK 156700106 339,000 11,775 DEFINED 1 418
DEFINED 2 11,202
DEFINED 3 155
156700106 264,500 9,200 DEFINED 3 9,200
156700106 107,000 3,713 OTHER 3 3,668
OTHER 3 45
CEPHALON INC COMMON STOCK 156708109 796,000 13,300 DEFINED 2 13,300
CHAMPIONSHIP AUTO RACING COMMON STOCK 158711101 1,238,000 48,534 DEFINED 1 80
DEFINED 2 48,454
158711101 694,029 25,737 DEFINED 3 25,737
158711101 64,000 2,505 OTHER 2,435
OTHER 3 70
CHASE MANHATTAN CORPO COMMON STOCK 16161A108 19,000 420 SOLE 3 420
16161A108 2,400,759 47,337 DEFINED 3 47,337
16161A108 1,257,000 27,282 DEFINED 1 927
DEFINED 2 26,152
DEFINED 3 203
16161A108 1,193,000 25,892 OTHER 13,030
1,092
OTHER 2 3,518
OTHER 3 8,252
16161A108 13,000 278 DEF/OTH 2 278
CHEVRON CORP COMMON STOCK 166751107 134,000 1,580 DEFINED 2 1,580
166751107 166,000 1,957 OTHER 1,121
756
OTHER 3 80
CHICOS FAS INC COMMON STOCK 168615102 726,230 30,025 DEFINED 3 30,025
CHUBB CORP COMMON STOCK 171232101 783,000 12,739 DEFINED 2 12,739
171232101 72,000 1,165 OTHER 3 1,070
OTHER 3 95
CIRCLE.COM INC COMMON STOCK 832914204 260,026 76,945 DEFINED 3 76,945
CITIGROUP INC COMMON STOCK 172967101 1,940,353 29,150 DEFINED 3 29,150
CITRIX SYSTEMS INC COMMON STOCK 177376100 57,759 3,050 DEFINED 3 3,050
CIRCOR INTL INC COMMON STOCK 17273K109 210,235 26,448 DEFINED 3 26,448
17273K109 362,000 44,228 DEFINED 1 85
DEFINED 2 44,143
17273K109 22,000 2,636 OTHER 2,561
OTHER 3 75
CISCO SYSTEMS INC COMMON STOCK 17275R102 574,000 9,032 SOLE 8,400
SOLE 3 632
17275R102 4,907,366 75,219 DEFINED 3 75,219
17275R102 5,541,000 87,168 DEFINED 140
DEFINED 1 1,200
DEFINED 2 84,288
2 720
DEFINED 3 820
17275R102 4,244,000 66,774 OTHER 34,705
6,085
OTHER 2 5,904
OTHER 3 20,080
17275R102 40,000 630 DEF/OTH 2 630
CITADEL COMMUNICATION COMMON STOCK 172853202 5,000 147 SOLE 3 147
172853202 1,108,590 33,590 DEFINED 3 33,590
172853202 2,053,000 58,776 DEFINED 2 58,776
172853202 191,000 5,459 OTHER 2,205
OTHER 3 3,254
172853202 6,000 180 DEF/OTH 2 180
CITIGROUP INC COMMON STOCK 172967101 22,000 365 SOLE 3 365
172967101 2,373,000 39,381 DEFINED 2 38,941
DEFINED 3 440
172967101 1,624,000 26,960 OTHER 13,863
OTHER 2 3,665
OTHER 3 9,332
3 100
172967101 23,000 376 DEF/OTH 2 376
CITIZENS COMMUNICATIO COMMON STOCK 17453B101 205,115 10,867 DEFINED 3 10,867
COCA COLA CO COMMON STOCK 191216100 1,875,000 32,650 DEFINED 45
DEFINED 2 32,425
DEFINED 3 180
191216100 452,000 7,876 OTHER 4,940
26
OTHER 1 1,000
OTHER 2 155
OTHER 3 1,755
194162103 220,000 3,680 DEFINED 10
DEFINED 2 3,670
194162103 96,000 1,605 OTHER 3 1,210
OTHER 2 60
OTHER 3 335
COLGATE PALMOLIVE CO COMMON STOCK 194162103 20,357 340 DEFINED 3 340
COMCAST CORP COMMON STOCK 200300200 352,000 8,693 DEFINED 3 25
DEFINED 2 7,203
DEFINED 3 1,465
200300200 175,000 4,310 OTHER 3 2,815
OTHER 2 230
OTHER 3 1,265
COMMERCE BANKSHARES INC COMMON STOCK 200525103 214,000 7,184 DEFINED 2 5,027
DEFINED 3 2,157
200525103 18,000 614 OTHER 295
OTHER 2 235
OTHER 3 84
COMMSCOPE INC COMMON STOCK 203372107 6,000 140 SOLE 3 140
203372107 1,268,000 30,931 DEFINED 1 55
DEFINED 2 30,876
203372107 281,000 6,850 OTHER 3,745
OTHER 3 3,105
203372107 1,032,964 26,460 DEFINED 3 26,460
COMMERCIAL FEDERAL CORP COMMON STOCK 201647104 14,551 935 DEFINED 3 935
203372107 7,000 175 DEF/OTH 2 175
COMPAQ COMPUTER COMMON STOCK 204493100 404,000 15,803 DEFINED 25
DEFINED 2 15,538
DEFINED 3 240
204493100 191,000 7,466 OTHER 5,180
OTHER 2 140
OTHER 3 2,146
COMPASS BANCSHARES IN COMMON STOCK 20449H109 74,000 4,363 SOLE 3,825
SOLE 3 538
20449H109 1,492,303 80,674 DEFINED 3 80,674
20449H109 1,618,000 94,821 DEFINED 1 326
DEFINED 2 94,495
20449H109 516,000 30,246 OTHER 18,338
OTHER 3 11,908
20449H109 8,000 480 DEF/OTH 2 480
COMPUCOM SYSTEMS INC COMMON STOCK 204780100 5,785 3,560 DEFINED 3 3,560
204780100 36,000 22,070 DEFINED 1 505
DEFINED 2 21,565
204780100 25,000 15,140 OTHER 14,705
OTHER 3 435
COMPUTER ASSOC INTL I COMMON STOCK 204912109 667,825 23,363 DEFINED 3 23,363
205363104 251,000 3,361 DEFINED 5
DEFINED 1 135
DEFINED 2 3,221
COMPUTER SCIENCES CORP COMMON STOCK 205363104 225,929 3,025 DEFINED 3 3,025
205363104 143,000 1,910 OTHER 1,705
OTHER 3 205
COMVERSE TECHNOLOGY INC COMMON STOCK 205862402 200,000 2,150 DEFINED 5
DEFINED 1 140
DEFINED 2 2,005
205862402 178,000 1,915 OTHER 1,772
OTHER 3 143
205862402 288,300 3,100 DEFINED 3 3,100
COMPUTER HORIZONS CORP COMMON STOCK 205908106 14,445 1,075 DEFINED 3 1,075
205908106 105,000 7,824 DEFINED 1 165
CONAGRA INC COMMON STOCK 205887102 228,000 11,936 DEFINED 1 1,010
DEFINED 2 10,926
205887102 281,000 14,752 OTHER 7,915
1,190
OTHER 2 4,994
OTHER 3 653
205887102 441,996 20,936 DEFINED 3 20,936
DEFINED 2 7,659
HORIZONS CORP 205908106 62,000 4,640 OTHER 3 4,500
OTHER 3 140
CONSTELLATION ENERGY GROUP COMMON STOCK 210371100 541,000 16,602 DEFINED 1 574
210371100 409,473 12,575 DEFINED 3 12,575
210371100 360,000 11,045 OTHER 8,675
OTHER 3 2,370
210371100 7,000 200 DEF/OTH 2 200
CONTINENTAL AIRLS INC COMMON STOCK 210795308 10,000 207 SOLE 3 207
210795308 1,139,992 21,955 DEFINED 3 21,955
210795308 504,000 10,713 DEFINED 1 220
DEFINED 2 10,493
210795308 482,000 10,262 OTHER 5,920
OTHER 3 4,342
210795308 9,000 197 DEF/OTH 2 197
COR THERAPEUTICS INC COMMON STOCK 217753102 1,177,000 13,800 DEFINED 2 13,800
CORNING INC COMMON STOCK 219350105 532,000 1,970 DEFINED 5
DEFINED 2 1,930
DEFINED 3 35
219350105 284,123 1,097 DEFINED 3 1,097
219350105 244,000 905 OTHER 690
OTHER 2 30
OTHER 3 185
CORPORATE EXECUTIVE BOARD CO COMMON STOCK 21988R102 1,000,000 16,700 DEFINED 2 16,700
COSTAR GROUP INC COMMON STOCK 22160N109 822,000 32,800 DEFINED 2 32,800
COVENANT TRANS INC CL COMMON STOCK 22284P105 492,000 61,542 DEFINED 1 130
DEFINED 2 61,412
22284P105 320,164 39,124 DEFINED 3 39,124
22284P105 31,000 3,925 OTHER 3,815
OTHER 3 110
CREE INC COMMON STOCK 225447101 1,322,000 9,900 DEFINED 2 9,900
CYBERONICS COMMON STOCK 23251P102 380,000 31,700 DEFINED 2 31,700
CYBEX COMPUTER PRODUCTS CORP COMMON STOCK 232522102 1,254,000 29,600 DEFINED 2 29,600
CYGNUS INC COMMON STOCK 232560102 422,000 29,590 DEFINED 2 29,590
CYSIVE INC COMMON STOCK 23281T108 487,000 20,400 DEFINED 2 20,400
DATASCOPE CORP COMMON STOCK 238113104 415,000 11,520 DEFINED 2 11,520
CARNEGIE HILL FINANCIAL INC PREFERRED STOCK 244123451 2,149,000 3,248 DEFINED 3 3,248
DEL MONTE FOODS CO COMMON STOCK 24522P103 360,000 52,850 DEFINED 2 52,850
DELL COMPUTER COMMON STOCK 247025109 7,000 140 SOLE 3 140
247025109 1,384,000 28,068 DEFINED 40
DEFINED 1 755
DEFINED 2 26,478
DEFINED 3 795
247025109 1,109,000 22,485 OTHER 3 12,895
890
OTHER 2 2,595
OTHER 3 6,105
247025109 8,000 165 DEF/OTH 2 165
247025109 1,411,613 26,676 DEFINED 3 26,676
DELPHI AUTOMOTIVE SYS COMMON STOCK 247126105 1,012,287 65,654 DEFINED 3 65,654
247126105 4,000 280 SOLE 3 280
247126105 220,000 15,086 DEFINED 1 2,125
DEFINED 2 12,595
2 139
DEFINED 3 227
247126105 367,000 25,208 OTHER 3 19,590
1,690
OTHER 2 170
OTHER 3 3,758
DEVON ENERGY CORP COMMON STOCK 25179M103 638,000 11,360 DEFINED 1 45
DEFINED 2 11,315
25179M103 17,980 320 DEFINED 3 320
25179M103 76,000 1,350 OTHER 1,310
OTHER 3 40
DIGEX INC COMMON STOCK 253756100 1,073,000 15,800 DEFINED 2 15,800
DIONEX CORP COMMON STOCK 254546104 1,036,000 38,730 DEFINED 1 155
DEFINED 2 38,575
254546104 131,000 4,914 OTHER 4,779
OTHER 3 135
254546104 1,146,463 40,290 DEFINED 3 40,290
DOLLAR GENERAL COMMON STOCK 256669102 452,000 23,168 DEFINED 2 23,168
256669102 261,000 13,359 OTHER 8,103
OTHER 3 5,256
256669102 9,000 468 DEF/OTH 2 468
DOLLAR TREE STORES INC COMMON STOCK 256747106 120,000 3,040 DEFINED 24
DEFINED 2 3,016
256747106 81,000 2,060 OTHER 1,426
OTHER 3 634
DONALDSON CO INC COMMON STOCK 257651109 900,000 45,570 DEFINED 2 45,570
DORAL FINANCIAL CORP COMMON STOCK 25811P100 684,000 59,830 DEFINED 2 59,830
DOW JONES & CO COMMON STOCK 260561105 183,000 2,503 DEFINED 2 2,035
DEFINED 3 468
260561105 200,000 2,735 OTHER 65
OTHER 2 50
OTHER 3 2,620
DRIL-QUIP COMMON STOCK 262037104 683,000 14,600 DEFINED 2 14,600
DU PONT E I DE COMMON STOCK 263534109 294,000 6,718 DEFINED 2 6,628
NEMOURS & CO DEFINED 3 90
263534109 184,000 4,213 OTHER 2,295
OTHER 2 90
OTHER 3 1,828
EGL INC COMMON STOCK 268484102 896,000 29,135 DEFINED 2 28,805
DEFINED 3 330
268484102 3,000 95 OTHER 45
OTHER 2 35
OTHER 3 15
E M C CORP MASS COMMON STOCK 268648102 1,803,614 23,236 DEFINED 3 23,236
COMMON STOCK 268648102 829,000 10,770 SOLE 10,600
SOLE 3 170
268648102 2,164,000 28,131 DEFINED 42
DEFINED 1 380
DEFINED 2 27,369
DEFINED 3 340
268648102 1,626,000 21,134 OTHER 10,790
440
OTHER 2 2,440
OTHER 3 7,464
268648102 15,000 190 DEF/OTH 2 190
EOG RESOURCES INC COMMON STOCK 26875P101 235,000 7,027 DEFINED 1 535
DEFINED 2 6,492
26875P101 391,950 11,700 DEFINED 3 11,700
26875P101 186,000 5,540 OTHER 5,395
OTHER 3 145
ECOLAB INC COMMON STOCK 278865100 13,000 335 SOLE 3 335
278865100 847,000 21,672 DEFINED 1 319
DEFINED 2 21,353
ECOLAB INC COMMON STOCK 278865100 1,167,766 30,914 DEFINED 3 30,914
278865100 634,000 16,232 OTHER 8,255
OTHER 3 7,977
278865100 12,000 300 DEF/OTH 2 300
EDWARDS (AG) INC COMMON STOCK 281760108 280,000 7,180 DEFINED 2 7,180
281760108 15,000 390 OTHER 390
281760108 262,673 5,878 DEFINED 3 5,878
ELECTROGLAS INC COMMON STOCK 285324109 665,000 30,948 DEFINED 1 200
DEFINED 2 30,748
285324109 121,000 5,630 OTHER 3 5,460
OTHER 3 170
285324109 796,955 32,063 DEFINED 3 32,063
ELECTRONIC ARTS COMMON STOCK 285512109 9,000 123 SOLE 3 123
285512109 556,686 6,963 DEFINED 3 6,963
285512109 515,000 7,064 DEFINED 3 11
DEFINED 2 7,053
285512109 441,000 6,041 OTHER 3 2,890
OTHER 3 3,151
285512109 11,000 144 DEF/OTH 2 144
ELECTRONICS FOR IMAGING COMMON STOCK 286082102 148,000 5,841 DEFINED 3 11
DEFINED 2 5,830
286082102 110,000 4,349 OTHER 3 2,722
OTHER 3 1,627
286082102 3,000 120 DEF/OTH 2 120
EMERSON ELEC CO COMMON STOCK 291011104 479,000 7,934 DEFINED 2 7,849
DEFINED 3 85
291011104 163,000 2,700 OTHER 3 1,635
OTHER 2 80
OTHER 3 985
EMMIS COMMUNICATIONS - CLA COMMON STOCK 291525103 1,336,000 32,300 DEFINED 2 32,300
EMULEX CORP COMMON STOCK 292475209 1,019,000 15,513 DEFINED 2 15,513
292475209 5 OTHER 3 5
ENERGEN CORP COMMON STOCK 29265N108 1,300,000 59,580 DEFINED 2 59,580
ENERGY EAST CORP COMMON STOCK 29266M109 185,000 9,720 DEFINED 2 9,720
29266M109 65,000 3,405 OTHER 3 2,835
OTHER 3 570
ENRON CORP COMMON STOCK 293561106 5,000 85 SOLE 3 85
293561106 561,000 8,705 DEFINED 3 10
DEFINED 2 8,605
DEFINED 3 90
293561106 425,000 6,587 OTHER 3 3,850
OTHER 2 90
OTHER 3 2,647
293561106 7,000 110 DEF/OTH 2 110
293561106 437,878 6,128 DEFINED 3 6,128
ENTRUST TECHNOLOGIES INC COMMON STOCK 293848107 1,167,000 14,100 DEFINED 2 14,100
ENZON INC COMMON STOCK 293904108 493,284 9,696 DEFINED 3 9,696
EXAR CORP COMMON STOCK 300645108 1,718,000 19,700 DEFINED 2 19,700
EXPEDITORS INT WASH INC COMMON STOCK 302130109 660,000 13,900 DEFINED 2 13,900
EXXON MOBIL CORP COMMON STOCK 30231G102 159,000 2,026 SOLE 1,716
SOLE 3 310
30231G102 3,866,000 49,252 DEFINED 1 635
DEFINED 2 46,593
2 1,664
DEFINED 3 360
30231G102 2,756,000 35,109 OTHER 18,870
6,055
OTHER 2 2,375
OTHER 3 7,809
30231G102 25,000 320 DEF/OTH 2 320
EXXON MOBIL CORP COMMON STOCK 30231G102 3,323,808 42,375 DEFINED 3 42,375
FPL GROUP INC COMMON STOCK 302571104 885,502 16,368 DEFINED 3 16,368
302571104 79,000 1,600 SOLE 1,600
302571104 395,000 7,971 DEFINED 1 760
DEFINED 2 7,211
302571104 433,000 8,748 OTHER 4,890
900
OTHER 2 2,766
OTHER 3 192
FEDERAL HOME LOAN MTG COMMON STOCK 313400301 224,000 5,520 DEFINED 20
DEFINED 2 5,375
DEFINED 3 125
313400301 155,000 3,815 OTHER 2,260
OTHER 2 90
OTHER 3 1,465
FANNIE MAE COMMON STOCK 313586109 31,000 590 SOLE 3 590
313586109 2,002,000 38,368 DEFINED 1 695
DEFINED 2 37,558
DEFINED 3 115
313586109 1,740,000 33,333 OTHER 15,485
2,035
OTHER 1 2,400
OTHER 2 2,860
OTHER 3 10,553
313586109 22,000 425 DEF/OTH 2 425
FEDERATED DEPARTMENT COMMON STOCK 31410H101 290,000 8,582 DEFINED 1 605
DEFINED 2 7,977
31410H101 360,504 12,581 DEFINED 3 12,581
31410H101 296,000 8,765 OTHER 6,235
715
OTHER 3 1,815
31410H101 5,000 155 DEF/OTH 2 155
FEDEX CORP COMMON STOCK 31428X106 160,000 4,220 DEFINED 2 4,120
DEFINED 3 100
31428X106 119,000 3,140 OTHER 1,900
OTHER 2 60
OTHER 3 1,180
FEDERAL NATL MTG ASSN COMMON STOCK 313586109 2,467,876 45,560 DEFINED 3 45,560
FIRST DATA CORP COMMON STOCK 319963104 14,000 280 SOLE 3 280
319963104 889,000 17,907 DEFINED 1 955
DEFINED 2 16,867
DEFINED 3 85
319963104 1,048,000 21,113 OTHER 11,868
1,125
OTHER 2 2,800
OTHER 3 5,320
319963104 2,196,886 45,057 DEFINED 3 45,057
319963104 9,000 177 DEF/OTH 2 177
FIRST UNION CORP (NC) COMMON STOCK 337358105 1,337,000 53,900 DEFINED 2 53,790
DEFINED 3 110
337358105 273,000 11,006 OTHER 2,650
OTHER 2 155
OTHER 3 8,201
337358105 224,306 8,545 DEFINED 3 8,545
FIRSTAR CORP COMMON STOCK 33763V109 1,549,503 71,861 DEFINED 3 71,861
FISERV INC COMMON STOCK 337738108 1,237,540 27,755 DEFINED 3 27,755
FISERV INC COMMON STOCK 337738108 12,000 286 SOLE 3 286
337738108 578,000 13,369 DEFINED 1 290
DEFINED 2 13,079
337738108 519,000 11,994 OTHER 6,842
OTHER 3 5,152
337738108 8,000 195 DEF/OTH 2 195
FLEETBOSTON FINANCIAL COMMON STOCK 339030108 61,000 1,800 SOLE 1,800
339030108 1,523,470 40,911 DEFINED 3 40,911
339030108 400,000 11,774 DEFINED 1 1,295
DEFINED 2 8,488
2 1,846
DEFINED 3 145
339030108 422,000 12,414 OTHER 10,445
1,525
OTHER 3 444
FLUOR CORP COMMON STOCK 343861100 305,971 9,675 DEFINED 3 9,675
FORD MOTOR CO COMMON STOCK 345370100 605,000 14,068 DEFINED 2 11,780
DEFINED 3 2,288
345370100 316,000 7,340 OTHER 2,705
OTHER 2 3,930
OTHER 3 705
FORWARD AIR CORPORATION COMMON STOCK 349853101 960,000 24,000 DEFINED 2 24,000
FURNITURE BRANDS INTL COMMON STOCK 360921100 915,357 58,386 DEFINED 3 58,386
360921100 5,000 335 SOLE 3 335
360921100 641,000 42,366 DEFINED 1 120
DEFINED 2 42,246
360921100 122,000 8,060 OTHER 4,375
OTHER 3 3,685
G&K SVCS INC CL A COMMON STOCK 361268105 19,047 760 DEFINED 3 760
GABLES RESIDENTIAL TR COMMON STOCK 362418105 1,147,988 44,267 DEFINED 3 44,267
GSI LUMONICS INC COMMON STOCK 36229U102 1,595,000 45,400 DEFINED 2 45,400
GTE CORP COMMON STOCK 362320103 389,000 6,256 DEFINED 2 6,256
362320103 159,000 2,550 OTHER 3 2,220
OTHER 2 80
OTHER 3 250
GABLES COMMON STOCK 362418105 255,000 9,903 DEFINED 1 145
DEFINED 2 9,758
RESIDENTIAL TRUST
362418105 116,000 4,500 OTHER 4,375
OTHER 3 125
GANNETT INC COMMON STOCK 364730101 12,000 195 SOLE 3 195
364730101 962,000 16,082 DEFINED 1 835
DEFINED 2 15,247
364730101 992,000 16,584 OTHER 3 8,700
985
OTHER 2 3,207
OTHER 3 3,692
364730101 1,495,635 26,027 DEFINED 3 26,027
364730101 8,000 130 DEF/OTH 2 130
THE GAP INC COMMON STOCK 364760108 9,000 292 SOLE 3 292
364760108 1,385,169 37,217 DEFINED 3 37,217
364760108 945,000 30,230 DEFINED 3 25
DEFINED 1 564
DEFINED 2 27,999
DEFINED 3 1,642
364760108 657,000 21,033 OTHER 3 11,372
661
OTHER 2 2,188
OTHER 3 6,812
364760108 8,000 248 DEF/OTH 2 248
GASONICS INTERNATIONAL COMMON STOCK 367278108 639,000 16,200 DEFINED 2 16,200
GATEWAY INC COMMON STOCK 367626108 131,943 2,325 DEFINED 3 2,325
GELTEX PHARMACEUTICALS COMMON STOCK 368538104 548,000 26,790 DEFINED 2 26,790
GENE LOGIC INC COMMON STOCK 368689105 1,074,000 30,100 DEFINED 2 30,100
GENERAL DYNAMICS CORP COMMON STOCK 369550108 379,000 7,248 DEFINED 2 6,750
DEFINED 3 498
369550108 265,000 5,067 OTHER 1,519
OTHER 2 2,255
OTHER 3 1,293
369550108 5,000 100 DEF/OTH 2 100
GENERAL ELEC CO COMMON STOCK 369604103 7,512,481 143,089 DEFINED 3 143,089
369604103 225,000 4,245 SOLE 3,300
SOLE 3 945
369604103 9,350,000 176,410 DEFINED 195
DEFINED 1 1,890
DEFINED 2 1 73,045
2 200
DEFINED 3 1,080
369604103 7,171,000 135,301 OTHER 56,280
10,346
OTHER 1 3,600
OTHER 2 9,735
OTHER 3 55,340
369604103 55,000 1,035 DEF/OTH 2 1,035
GENERAL MOTORS COMMON STOCK 370442832 133,000 1,520 DEFINED 2 1,436
2 53
DEFINED 3 31
370442832 69,000 786 OTHER 646
OTHER 2 45
OTHER 3 95
GENERAL SEMICONDUCTOR COMMON STOCK 370787103 972,040 65,901 DEFINED 3 65,901
370787103 585,000 39,682 DEFINED 2 39,682
370787103 2,000 135 OTHER 135
GILLETTE CO COMMON STOCK 375766102 216,000 6,185 DEFINED 20
DEFINED 2 6,165
375766102 157,000 4,490 OTHER 2,830
OTHER 2 105
OTHER 3 1,555
GEORGIA PACIFIC CORP COMMON STOCK 373298108 124,687 4,750 DEFINED 3 4,750
GLAXO PLC ADR FOREIGN STOCK 37733W105 772,000 13,356 DEFINED 2 13,356
GO2NET INC COMMON STOCK 383486107 89,304 1,775 DEFINED 3 1,775
GUIDANT CORP COMMON STOCK 401698105 148,000 2,999 DEFINED 2 2,944
DEFINED 3 55
401698105 36,382 735 DEFINED 3 735
401698105 65,000 1,310 OTHER 3 505
OTHER 3 805
HCC INSURANCE HOLDINGS INC COMMON STOCK 404132102 725,000 38,400 DEFINED 2 38,400
HALLIBURTON CORP COMMON STOCK 406216101 133,000 2,820 DEFINED 2 2,675
DEFINED 3 145
406216101 72,000 1,530 OTHER 3 1,270
OTHER 2 90
OTHER 3 170
HARTFORD FINANCIAL SVCS GRP COMMON STOCK 416515104 22,375 400 DEFINED 3 400
HARCOURT GENERAL INC COMMON STOCK 41163G101 292,000 5,370 DEFINED 2 5,370
41163G101 51,000 935 OTHER 3 780
OTHER 3 155
HEINZ (HJ) & CO COMMON STOCK 423074103 282,000 6,449 DEFINED 1 725
DEFINED 2 5,524
2 200
423074103 686,940 16,401 DEFINED 3 16,401
423074103 282,000 6,440 OTHER 5,420
855
OTHER 3 165
HELLER FINANCIAL INC COMMON STOCK 423328103 238,825 11,650 DEFINED 3 11,650
HELMERICH & PAYNE INC COMMON STOCK 423452101 876,000 23,445 DEFINED 2 23,445
HEWLETT PACKARD CO COMMON STOCK 428236103 1,875,046 13,907 DEFINED 3 13,907
428236103 164,000 1,310 SOLE 1,200
SOLE 3 110
428236103 1,790,000 14,331 DEFINED 15
DEFINED 1 185
DEFINED 2 12,756
DEFINED 3 1,375
428236103 1,667,000 13,351 OTHER 5,198
215
OTHER 1 100
OTHER 2 1,365
OTHER 3 6,473
428236103 12,000 95 DEF/OTH 2 95
HISPANIC BROADCASTING CORP COMMON STOCK 43357B104 954,000 28,790 DEFINED 1 200
DEFINED 2 28,590
43357B104 145,750 4,400 DEFINED 3 4,400
43357B104 171,000 5,170 OTHER 3,780
OTHER 3 1,390
43357B104 4,000 130 DEF/OTH 2 130
HOME DEPOT INC COMMON STOCK 437076102 279,000 5,582 SOLE 5,100
SOLE 1 150
SOLE 3 332
437076102 2,243,799 39,957 DEFINED 3 39,957
437076102 2,839,000 56,847 DEFINED 50
DEFINED 1 595
DEFINED 2 55,862
DEFINED 3 340
437076102 1,403,000 28,103 OTHER 14,844
700
OTHER 2 3,132
OTHER 3 9,427
437076102 13,000 255 DEF/OTH 2 255
HOME PROPERTIES COMMON STOCK 437306103 776,000 25,870 DEFINED 2 25,870
OF NY INC
HONEYWELL INTERNATION COMMON STOCK 438516106 476,393 13,306 DEFINED 3 13,306
438516106 217,000 6,448 DEFINED 1 470
DEFINED 2 5,810
DEFINED 3 168
438516106 195,000 5,800 OTHER 4,830
550
OTHER 2 90
OTHER 3 330
HOUSEHOLD INTL INC COMMON STOCK 441815107 237,000 5,700 DEFINED 2 5,595
DEFINED 3 105
441815107 41,000 980 OTHER 950
OTHER 3 30
HUBBELL INC COMMON STOCK 443510201 31,000 1,208 SOLE 1 1,208
443510201 3,731,000 146,304 DEFINED 2 1 45,401
2 370
DEFINED 3 533
443510201 641,000 25,141 OTHER 145
OTHER 1 204
OTHER 2 84
OTHER 3 24,708
443510201 8 DEF/OTH 2 8
IDACORP INC COMMON STOCK 451107106 568,877 16,348 DEFINED 3 16,348
COMMON STOCK 451107106 838,000 25,992 DEFINED 1 70
DEFINED 2 25,922
451107106 66,000 2,055 OTHER 2,000
OTHER 3 55
IGATE CAPITAL COMMON STOCK 45169U105 418,000 30,400 DEFINED 2 30,400
CORPORATION
ILEX ONCOLOGY INC COMMON STOCK 451923106 1,086,000 30,800 DEFINED 2 30,800
ILLINOIS TOOL COMMON STOCK 452308109 195,000 3,427 DEFINED 2 2,786
DEFINED 3 641
WORKS INC 452308109 72,000 1,260 OTHER 1,065
OTHER 2 65
OTHER 3 130
IMMUNOGEN INC COMMON STOCK 45253H101 357,000 29,600 DEFINED 2 29,600
INFINITY BROADCASTING COMMON STOCK 45662S102 13,000 370 SOLE 3 370
45662S102 994,933 28,269 DEFINED 3 28,269
45662S102 607,000 16,653 DEFINED 3 35
DEFINED 2 16,618
45662S102 543,000 14,895 OTHER 3 7,068
OTHER 2 77
OTHER 3 7,750
45662S102 9,000 260 DEF/OTH 2 260
INFOUSA INC NEW COMMON STOCK 456818301 513,000 78,987 DEFINED 1 360
DEFINED 2 78,627
COMMON STOCK 456818301 799,635 97,149 DEFINED 3 97,149
456818301 71,000 10,985 OTHER 3 10,675
OTHER 3 310
INHALE COMMON STOCK 457191104 1,776,000 17,500 DEFINED 2 17,500
THERAPEUTIC SYS
INC
INNKEEPERS USA TRUST COMMON STOCK 4576J0104 861,000 94,335 DEFINED 1 235
DEFINED 2 94,100
COMMON STOCK 4576J0104 15,147 1,660 DEFINED 3 1,660
4576J0104 54,000 5,895 OTHER 3 5,695
OTHER 3 200
T.R. PRICE INTERNATIONAL STO457759108 965,000 44,502 TTTOTHER 44,502
INTEL CORP COMMON STOCK 458140100 33,000 250 SOLE 3 250
COMMON STOCK 458140100 4,885,860 34,160 DEFINED 3 34,160
458140100 5,915,000 44,243 DEFINED 71
DEFINED 1 660
DEFINED 2 43,107
DEFINED 3 405
458140100 4,623,000 34,579 OTHER 18,489
3,450
OTHER 1 400
OTHER 2 3,115
OTHER 3 9,025
3 100
458140100 46,000 345 DEF/OTH 2 345
INTERIM SVC INC COMMON STOCK 45868P100 1,000,000 56,351 DEFINED 1 240
DEFINED 2 56,111
45868P100 237,000 13,325 OTHER 10,260
OTHER 3 3,065
45868P100 5,000 300 DEF/OTH 2 300
45868P100 736,531 38,901 DEFINED 3 38,901
INTERMEDIA COMMUNICAT COMMON STOCK 458801107 830,374 34,098 DEFINED 3 34,098
458801107 4,000 119 SOLE 3 119
458801107 520,000 17,464 DEFINED 1 80
DEFINED 2 17,384
458801107 180,000 6,067 OTHER 3,646
OTHER 3 2,421
458801107 3,000 115 DEF/OTH 2 115
INTL BUSINESS MACHINE COMMON STOCK 459200101 2,924,302 28,110 DEFINED 3 28,110
IBM CORP COMMON STOCK 459200101 21,000 195 SOLE 3 195
459200101 2,381,000 21,729 DEFINED 30
DEFINED 1 455
DEFINED 2 21,009
DEFINED 3 235
459200101 2,209,000 20,161 OTHER 12,185
535
OTHER 2 1,925
OTHER 3 5,516
459200101 21,000 190 DEF/OTH 2 190
INTERNATIONAL COMMON STOCK 459655106 680,000 32,460 DEFINED 2 32,460
HOME FOODS INC
INTL PAPER CO COMMON STOCK 460146103 100,000 3,370 DEFINED 2 3,370
460146103 159,000 5,345 OTHER 1,965
OTHER 2 90
OTHER 3 3,290
INTL RECTIFIER COMMON STOCK 460254105 1,355,000 24,200 DEFINED 2 24,200
CORP
INTERSTATE HOTELS CORP COMMON STOCK 46088R108 5 2 DEFINED 3 2
ISHARES TR RSSLL 1000 COMMON STOCK 464287622 818,230 10,270 DEFINED 3 10,270
ISHARES TR RUSSELL 20 COMMON STOCK 464287655 14,378,654 132,484 DEFINED 3 132,484
ISHARES COMMON STOCK 464287655 879,000 8,500 DEFINED 1 4
DEFINED 2 8,496
464287655 152,000 1,466 OTHER 3 1,303
OTHER 3 163
ISHARES TR DOW JONES COMMON STOCK 464287747 2,416,050 30,741 DEFINED 3 30,741
IVAX CORP COMMON STOCK 465823102 180,000 4,326 DEFINED 1 397
DEFINED 2 3,929
465823102 144,000 3,479 OTHER 3 3,479
465823102 105,825 2,550 DEFINED 3 2,550
JDA SOFTWARE GROUP IN COMMON STOCK 46612K108 962,043 57,287 DEFINED 3 57,287
JDS UNIPHASE CORP COMMON STOCK 46612J101 432,000 3,602 DEFINED 10
DEFINED 1 216
DEFINED 2 3,306
DEFINED 3 70
46612J101 1,031,324 9,142 DEFINED 3 9,142
46612J101 311,000 2,596 OTHER 3 2,186
OTHER 2 30
OTHER 3 300
3 80
JDA SOFTWARE GROUP INC COMMON STOCK 46612K108 558,000 29,100 DEFINED 1 145
DEFINED 2 28,955
46612K108 86,000 4,470 OTHER 4,345
OTHER 3 125
JLG INDUSTRIES INC COMMON STOCK 466210101 17,313 1,458 DEFINED 3 1,458
JOHNSON & JOHNSON COMMON STOCK 478160104 25,000 241 SOLE 3 241
478160104 2,473,000 24,271 DEFINED 20
DEFINED 1 545
DEFINED 2 23,546
DEFINED 3 160
478160104 3,100,038 32,535 DEFINED 3 32,535
478160104 2,086,000 20,475 OTHER 10,481
949
OTHER 1 1,000
OTHER 2 2,545
OTHER 3 5,500
478160104 18,000 180 DEF/OTH 2 180
JOHNSON CONTROLS INC COMMON STOCK 478366107 92,000 1,800 SOLE 1,800
478366107 167,000 3,253 DEFINED 2 3,253
JONES PHARMA INC COMMON STOCK 480236108 17,000 420 SOLE 3 420
480236108 1,836,184 45,906 DEFINED 3 45,906
480236108 822,000 20,573 DEFINED 1 105
DEFINED 2 20,468
480236108 609,000 15,238 OTHER 7,599
OTHER 3 7,639
480236108 13,000 328 DEF/OTH 2 328
KAMAN CORP COMMON STOCK 483548103 114,000 10,705 OTHER 3 10,705
KENNAMETAL INC COMMON STOCK 489170100 10,075 470 DEFINED 3 470
KEYCORP COMMON STOCK 493267108 581,017 30,380 DEFINED 3 30,380
KING PHARMACEUTICALS COMMON STOCK 495582108 853,972 23,356 DEFINED 3 23,356
PHILIPS ELECTRONICS NV FOREIGN STOCK 500472204 262,000 5,520 SOLE 5,520
500472204 7,000 152 OTHER 152
LSI LOGIC CORP COMMON STOCK 502161102 59,537 1,100 DEFINED 3 1,100
502161102 201,000 3,710 DEFINED 1 240
DEFINED 2 3,470
502161102 165,000 3,055 OTHER 2,975
OTHER 3 80
LAM RESEARCH CORP COMMON STOCK 512807108 979,000 26,114 DEFINED 1 315
DEFINED 2 25,799
512807108 293,866 8,027 DEFINED 3 8,027
512807108 310,000 8,260 OTHER 3 8,005
OTHER 3 255
LEHMAN BROS HLDGS INC COMMON STOCK 524908100 13,000 140 SOLE 3 140
524908100 2,549,952 22,880 DEFINED 3 22,880
524908100 1,028,000 10,866 DEFINED 1 550
DEFINED 2 10,316
524908100 1,026,000 10,847 OTHER 3 6,240
515
OTHER 2 1,135
OTHER 3 2,957
524908100 13,000 135 DEF/OTH 2 135
LEXMARK INTERNATIONAL INC COMMON STOCK 529771107 166,443 2,475 DEFINED 3 2,475
LIBBEY INC COMMON STOCK 529898108 777,000 24,188 DEFINED 1 95
DEFINED 2 24,093
529898108 93,000 2,890 OTHER 2,805
OTHER 3 85
529898108 694,144 22,108 DEFINED 3 22,108
LIBERTY PROPERTY TRUST COMMON STOCK 531172104 1,442,000 55,611 DEFINED 1 110
DEFINED 2 55,501
531172104 271,000 10,465 OTHER 6,710
OTHER 2 200
OTHER 3 3,555
531172104 9,000 335 DEF/OTH 2 335
531172104 871,706 32,241 DEFINED 3 32,241
ELI LILLY & CO COMMON STOCK 532457108 1,201,000 12,022 DEFINED 20
DEFINED 2 10,541
DEFINED 3 1,461
532457108 31,860 319 DEFINED 3 319
532457108 348,000 3,489 OTHER 2,315
274
OTHER 2 230
OTHER 3 670
LILLY INDUSTRIES INC CLA COMMON STOCK 532491107 188,000 6,255 DEFINED 1 140
DEFINED 2 6,115
532491107 107,000 3,560 OTHER 3 3,435
532491107 30,212 1,005 DEFINED 3 1,005
LINCARE HLDGS INC COMMON STOCK 532791100 967,129 35,849 DEFINED 3 35,849
535678106 292,000 4,570 DEFINED 30
DEFINED 1 270
DEFINED 2 4,270
LINEAR TECHNOLOGY CORP COMMON STOCK 535678106 383,625 6,000 DEFINED 3 6,000
535678106 348,000 5,445 OTHER 4,610
OTHER 2 60
OTHER 3 775
LIQUI BOX CORP COMMON STOCK 536314107 476,539 9,357 DEFINED 3 9,357
LIZ CLAIRBORNE COMMON STOCK 539320101 188,587 5,350 DEFINED 3 5,350
LYCOS INC COMMON STOCK 550818108 207,900 3,850 DEFINED 3 3,850
LUCENT TECHNOLOGIES I COMMON STOCK 549463107 2,098,338 35,415 DEFINED 3 35,415
549463107 17,000 280 SOLE 3 280
549463107 2,358,000 39,797 DEFINED 70
DEFINED 1 822
DEFINED 2 38,300
2 200
DEFINED 3 405
549463107 1,680,000 28,357 OTHER 16,072
670
OTHER 2 2,813
OTHER 3 8,702
3 100
549463107 18,000 305 DEF/OTH 2 305
MAF BANCORP INC COMMON STOCK 55261R108 636,000 34,990 DEFINED 2 34,990
MAIN STR TR INC COM COMMON STOCK 560362105 255,525 12,938 DEFINED 3 12,938
MALLINCKRODT INC COMMON STOCK 561232109 10,000 230 SOLE 3 230
561232109 1,106,957 25,045 DEFINED 3 25,045
561232109 649,000 14,951 DEFINED 1 475
DEFINED 2 14,476
561232109 508,000 11,695 OTHER 6,831
OTHER 3 4,864
561232109 12,000 265 DEF/OTH 2 265
MANITOWOC CO, INC COMMON STOCK 563571108 892,000 33,358 DEFINED 2 33,358
563571108 820,609 28,481 DEFINED 3 28,481
563571108 1,000 55 OTHER 3 55
MANUFACTURERS COMMON STOCK 565005105 602,000 29,300 DEFINED 2 29,300
SERVICES LTD
MARCHFIRST INC COMMON STOCK 566244109 2,000 130 SOLE 3 130
566244109 171,000 9,376 DEFINED 3 28
DEFINED 2 9,348
566244109 231,248 10,496 DEFINED 3 10,496
566244109 144,000 7,917 OTHER 4,110
OTHER 3 3,807
566244109 3,000 150 DEF/OTH 2 150
MARSH & McLENNAN COS INC COMMON STOCK 571748102 147,000 1,410 DEFINED 2 1,410
571748102 103,000 985 OTHER 810
OTHER 2 45
OTHER 3 130
MASCO CORP COMMON STOCK 574599106 137,000 7,578 DEFINED 1 680
DEFINED 2 6,898
574599106 268,679 14,875 DEFINED 3 14,875
574599106 107,000 5,945 OTHER 5,945
MASTEC INC COMMON STOCK 576323109 779,000 20,400 DEFINED 2 20,400
MC CLATCHY COMMON STOCK 579489105 1,398,000 42,218 DEFINED 2 42,218
579489105 21,920,000 661,736 OTHER 2 73,333
OTHER 3 3 88,403
MCCORMICK & CO COMMON STOCK 579780206 194,187 5,975 DEFINED 3 5,975
579780206 456,000 14,038 DEFINED 1 279
DEFINED 2 13,339
DEFINED 3 420
579780206 294,000 9,035 OTHER 6,452
OTHER 2 45
OTHER 3 2,538
579780206 7,000 209 DEF/OTH 2 209
McDONALDS CORP COMMON STOCK 580135101 234,000 7,110 DEFINED 15
DEFINED 2 6,845
DEFINED 3 250
580135101 163,000 4,955 OTHER 3,940
OTHER 2 140
OTHER 3 875
MEDIAONE GROUP INC COMMON STOCK 58440J104 808,000 9,505 DEFINED 1 200
DEFINED 2 9,125
DEFINED 3 180
58440J104 230,000 2,700 OTHER 3 1,190
OTHER 2 60
OTHER 3 1,450
MEDICIS PHARMACEUTICAL COMMON STOCK 584690309 661,822 11,649 DEFINED 3 11,649
584690309 10,000 170 SOLE 3 170
584690309 1,247,000 21,885 DEFINED 2 21,885
584690309 322,000 5,652 OTHER 3 2,235
OTHER 3 3,417
584690309 10,000 175 DEF/OTH 2 175
MEDTRONIC INC COMMON STOCK 585055106 425,000 8,538 DEFINED 3 15
DEFINED 1 88
DEFINED 2 8,210
DEFINED 3 225
585055106 233,000 4,685 OTHER 2,700
OTHER 2 105
OTHER 3 1,880
585055106 305,167 5,991 DEFINED 3 5,991
MELLON FINANCIAL CORP COMMON STOCK 58551A108 461,945 12,485 DEFINED 3 12,485
58551A108 125,000 3,440 DEFINED 2 3,440
58551A108 89,000 2,435 OTHER 3 2,260
OTHER 3 175
MERCANTILE BANKSHARES CORP COMMON STOCK 587405101 232,000 7,794 DEFINED 1 560
DEFINED 2 7,234
587405101 362,221 12,150 DEFINED 3 12,150
587405101 185,000 6,195 OTHER 3 5,980
OTHER 3 215
MERCATOR SOFTWARE INC COMMON STOCK 587587106 1,134,000 16,500 DEFINED 2 16,500
MERCK & CO INC COMMON STOCK 589331107 158,000 2,058 SOLE 1,800
SOLE 3 258
589331107 2,693,000 35,145 DEFINED 3 45
DEFINED 1 685
DEFINED 2 33,755
2 400
DEFINED 3 260
589331107 2,549,435 36,929 DEFINED 3 36,929
589331107 2,777,000 36,247 OTHER 18,052
1,228
OTHER 2 3,447
OTHER 3 13,420
3 100
589331107 20,000 265 DEF/OTH 2 265
3 3,600
MERIX CORP COMMON STOCK 590049102 855,000 18,200 DEFINED 2 18,200
MERRILL LYNCH COMMON STOCK 590188108 406,000 3,533 DEFINED 2 3,453
DEFINED 3 80
590188108 270,000 2,345 OTHER 1,050
OTHER 2 1,035
OTHER 3 260
METRIS COMPANIES INC COMMON STOCK 591598107 189,000 7,535 DEFINED 1 120
DEFINED 2 7,415
591598107 89,000 3,543 OTHER 3,445
OTHER 3 98
591598107 774,329 27,983 DEFINED 3 27,983
MICHAEL FOODS INC COMMON STOCK 594079105 13,000 530 SOLE 3 530
594079105 1,263,000 51,553 DEFINED 1 135
DEFINED 2 51,418
594079105 465,000 18,975 OTHER 3 9,470
OTHER 3 9,505
594079105 10,000 400 DEF/OTH 2 400
594079105 1,873,540 70,465 DEFINED 3 70,465
MICROSOFT CORP COMMON STOCK 594918104 4,688,441 58,651 DEFINED 3 58,651
594918104 34,000 420 SOLE 3 420
594918104 4,875,000 60,943 DEFINED 3 80
DEFINED 1 1,010
DEFINED 2 57,071
2 260
DEFINED 3 2,522
594918104 3,450,000 43,131 OTHER 3 21,451
5,181
OTHER 2 4,531
OTHER 3 11,868
3 100
594918104 32,000 405 DEF/OTH 2 405
MICRON TECHNOLOGY INC COMMON STOCK 595112103 15,000 170 SOLE 3 170
595112103 1,014,698 11,092 DEFINED 3 11,092
595112103 208,000 2,360 DEFINED 2 2,360
595112103 216,000 2,456 OTHER 3 400
OTHER 3 2,056
S & P 400 COMMON STOCK 595635103 248,000 2,792 SOLE 1 2,500
SOLE 3 292
595635103 11,271,000 126,999 DEFINED 24
DEFINED 1 692
DEFINED 2 1 26,283
595635103 4,975,000 56,051 OTHER 15,187
OTHER 2 2,976
OTHER 3 37,888
595635103 35,000 390 DEF/OTH 2 390
MIDCAP SPDR TR UNIT S COMMON STOCK 595635103 4,806,501 51,900 DEFINED 3 51,900
MILLER HERMAN INC COMMON STOCK 600544100 157,000 6,057 DEFINED 1 570
DEFINED 2 5,487
600544100 324,731 12,550 DEFINED 3 12,550
600544100 128,000 4,965 OTHER 4,965
MINN MNG & MANF CO COMMON STOCK 604059105 366,000 4,436 DEFINED 2 4,396
DEFINED 3 40
604059105 104,000 1,255 OTHER 1,010
OTHER 2 60
OTHER 3 185
MINNESOTA POWER INC COMMON STOCK 604110106 807,000 46,640 DEFINED 2 46,640
MOLEX INC COMMON STOCK 608554101 241,000 5,010 DEFINED 2 5,010
608554101 14,000 293 OTHER 3 293
MORGAN (JP) & CO COMMON STOCK 616880100 355,000 3,225 DEFINED 2 3,225
616880100 78,000 705 OTHER 260
OTHER 3 445
COMMON STOCK 617446448 643,000 7,728 DEFINED 2 7,618
DEFINED 3 110
617446448 202,000 2,425 OTHER 2,125
OTHER 2 45
OTHER 3 255
MOTOROLA INC COMMON STOCK 620076109 1,953,325 50,283 DEFINED 3 50,283
620076109 12,000 420 SOLE 3 420
620076109 1,243,000 42,757 DEFINED 27
DEFINED 1 550
DEFINED 2 41,865
DEFINED 3 315
620076109 1,592,000 54,765 OTHER 16,834
495
OTHER 1 3,000
OTHER 2 3,147
OTHER 3 31,289
620076109 12,000 405 DEF/OTH 2 405
NASDAQ 100 TR UNIT SE COMMON STOCK 631100104 3,003,210 30,708 DEFINED 3 30,708
631100104 45,000 482 SOLE 3 482
631100104 5,581,000 59,886 DEFINED 16
DEFINED 1 300
DEFINED 2 59,570
631100104 4,339,000 46,557 OTHER 34,166
378
OTHER 2 355
OTHER 3 11,658
631100104 43,000 465 DEF/OTH 2 465
NATL CITY CORP COMMON STOCK 635405103 109,000 6,414 DEFINED 2 6,169
DEFINED 3 245
635405103 107,000 6,270 OTHER 2,010
OTHER 2 3,625
OTHER 3 635
NATIONAL-OILWELL INC COMMON STOCK 637071101 917,000 27,900 DEFINED 2 27,900
NATIONWIDE FINANCIAL SERVICES 638612101 293,409 8,925 DEFINED 3 8,925
NETWORK EQUIPMENT TECH INC. COMMON STOCK 641208103 606,000 60,196 DEFINED 1 279
DEFINED 2 59,917
641208103 86,000 8,590 OTHER 8,350
OTHER 3 240
641208103 907,748 87,554 DEFINED 3 87,554
NEW JERSEY RES CORP COMMON STOCK 646025106 832,515 20,833 DEFINED 3 20,833
646025106 1,071,000 28,144 DEFINED 1 60
DEFINED 2 28,084
646025106 69,000 1,805 OTHER 1,755
OTHER 3 50
NEW YORK TIMES CO CL A COMMON STOCK 650111107 272,550 6,900 DEFINED 3 6,900
650111107 483,000 12,221 DEFINED 1 315
DEFINED 2 11,906
650111107 112,000 2,830 OTHER 2,750
OTHER 3 80
NEWFIELD EXPLORATION COMMON STOCK 651290108 505,000 12,900 DEFINED 2 12,900
NEWPARK RES INC COMMON STOCK 651718504 1,125,000 119,216 DEFINED 1 477
DEFINED 2 1 18,739
COMMON STOCK 651718504 832,453 88,207 DEFINED 3 88,207
651718504 144,000 15,285 OTHER 14,875
OTHER 3 410
NEXTEL COMMUNICATIONS COMMON STOCK 65332V103 13,000 220 SOLE 3 220
65332V103 1,608,321 23,917 DEFINED 3 23,917
65332V103 518,000 8,473 DEFINED 20
DEFINED 1 292
DEFINED 2 8,161
65332V103 532,000 8,690 OTHER 3,822
OTHER 1 600
OTHER 2 1,450
OTHER 3 2,818
NORTEL NETWORKS CORP FOREIGN STOCK 656568102 388,000 5,679 DEFINED 2 5,379
2 300
NORTH AMERICAN VACCINE INC COMMON STOCK 657201109 153,000 21,179 DEFINED 1 325
DEFINED 2 20,854
657201109 16,580 2,300 DEFINED 3 2,300
657201109 72,000 9,950 OTHER 9,675
OTHER 3 275
NORTH FORK BANCORP NY COM COMMON STOCK 659424105 218,934 14,475 DEFINED 3 14,475
659424105 259,000 17,130 DEFINED 1 660
DEFINED 2 16,470
659424105 267,000 17,665 OTHER 12,800
OTHER 3 4,865
659424105 7,000 435 DEF/OTH 2 435
NORTHEAST UTILS COMMON STOCK 664397106 17,000 785 SOLE 3 785
COMMON STOCK 664397106 1,629,440 72,456 DEFINED 3 72,456
664397106 815,000 37,455 DEFINED 1 843
DEFINED 2 36,612
664397106 751,000 34,547 OTHER 19,765
OTHER 3 14,782
664397106 12,000 555 DEF/OTH 2 555
NORTHERN TRUST CORP COMMON STOCK 665859104 2,104,000 32,339 DEFINED 2 29,983
DEFINED 3 2,356
665859104 114,000 1,745 OTHER 830
OTHER 2 255
OTHER 3 660
NOVELLUS SYSTEMS INC COMMON STOCK 670008101 246,000 4,352 DEFINED 1 141
DEFINED 2 4,211
670008101 182,414 3,225 DEFINED 3 3,225
670008101 70,000 1,232 OTHER 1,232
O M GROUP INC COMMON STOCK 670872100 756,000 17,173 DEFINED 1 70
DEFINED 2 17,103
670872100 93,000 2,120 OTHER 2,060
OTHER 3 60
670872100 573,304 13,174 DEFINED 3 13,174
OCCIDENTAL PETROLEUM CORP COMMON STOCK 674599105 110,000 5,242 DEFINED 2 5,242
674599105 126,000 5,985 OTHER 2 5,595
OTHER 3 390
OGDEN CORP COMMON STOCK 676346109 1,865,000 207,190 OTHER 2 7,190
OMNICOM GROUP COMMON STOCK 681919106 227,000 2,550 SOLE 2,550
681919106 159,000 1,785 DEFINED 2 1,670
DEFINED 3 115
681919106 63,000 705 OTHER 570
OTHER 2 45
OTHER 3 90
OMNOVA SOLUTIONS INC COMMON STOCK 682129101 616,000 98,510 DEFINED 2 98,510
ONEOK INC COMMON STOCK 682680103 15,951 615 DEFINED 3 615
682680103 162,000 6,259 DEFINED 1 87
DEFINED 2 6,172
682680103 60,000 2,325 OTHER 2,250
OTHER 3 75
OPTICAL CABLE CORP COMMON STOCK 683827109 1,089 36 DEFINED 3 36
ORACLE CORP COMMON STOCK 68389X105 1,922,000 22,859 DEFINED 3 45
DEFINED 1 600
DEFINED 2 20,100
DEFINED 3 2,114
68389X105 1,411,695 18,629 DEFINED 3 18,629
68389X105 1,456,000 17,319 OTHER 3 9,065
705
OTHER 2 3,075
OTHER 3 4,474
OSHKOSH TRUCK CORP CL COMMON STOCK 688239201 1,354,000 37,878 DEFINED 2 37,878
688239201 594,174 15,792 DEFINED 3 15,792
688239201 150,000 4,190 OTHER 1,905
OTHER 3 2,285
688239201 9,000 240 DEF/OTH 2 240
PECO ENERGY COMMON STOCK 693304107 270,093 6,700 DEFINED 3 6,700
693304107 238,000 5,915 DEFINED 1 311
DEFINED 2 5,604
693304107 140,000 3,463 OTHER 3,338
OTHER 3 125
PFF BANCORP INC COMMON STOCK 69331W104 1,005,000 55,050 DEFINED 2 55,050
PE CORP COMMON STOCK 69332S201 657,000 7,146 DEFINED 2 7,146
69332S201 15,000 159 OTHER 5
OTHER 3 154
PMC-SIERRA INC COMMON STOCK 69344F106 204,212 892 DEFINED 3 892
PNC FINANCIAL CORP COMMON STOCK 693475105 939,846 19,184 DEFINED 3 19,184
PPG INDS COMMON STOCK 693506107 590,000 13,321 DEFINED 1 300
DEFINED 2 13,021
693506107 248,000 5,589 OTHER 3,089
OTHER 3 2,500
PRI AUTOMATION INC COMMON STOCK 69357H106 621,000 9,500 DEFINED 2 9,500
PAINE WEBBER GROUP INC COMMON STOCK 695629105 14,000 310 SOLE 3 310
695629105 387,000 8,505 DEFINED 1 335
DEFINED 2 8,170
695629105 528,000 11,596 OTHER 6,305
OTHER 3 5,191
3 100
695629105 8,000 175 DEF/OTH 2 175
695629105 1,837,605 29,338 DEFINED 3 29,338
PAIRGAIN TECHNOLOGIES COMMON STOCK 695934109 47,520 1,390 DEFINED 3 1,390
PARADYNE NETWORKS INC COMMON STOCK 69911G107 684,000 21,015 DEFINED 2 21,015
69911G107 1,224,491 28,394 DEFINED 3 28,394
69911G107 2,000 55 OTHER 55
PARAMOUNT RESOURCES L FOREIGN 699320107 589,140 40,449 DEFINED 3 40,449
PARKWAY PROPERTIES INC/MD COMMON STOCK 70159Q104 381,000 12,500 DEFINED 2 12,500
PATTERSON DENTAL CO COMMON STOCK 703412106 1,029,789 21,151 DEFINED 3 21,151
PAYCHEX INC COMMON STOCK 704326107 321,300 7,650 DEFINED 3 7,650
COMMON STOCK 704326107 522,000 12,422 DEFINED 1 345
DEFINED 2 11,011
DEFINED 3 1,066
704326107 139,000 3,305 OTHER 3,145
OTHER 2 117
OTHER 3 43
PEPSICO INC COMMON STOCK 713448108 412,000 9,280 DEFINED 35
DEFINED 2 9,125
DEFINED 3 120
713448108 230,000 5,185 OTHER 3,925
OTHER 2 140
OTHER 3 1,120
PFIZER INC COMMON STOCK 717081103 1,264,460 27,410 DEFINED 3 27,410
717081103 3,219,000 67,069 DEFINED 129
DEFINED 1 875
DEFINED 2 65,375
DEFINED 3 690
717081103 1,811,000 37,725 OTHER 26,575
2,230
OTHER 2 440
OTHER 3 8,380
3 100
717081103 18,000 380 DEF/OTH 2 380
PHARMACIA CORP COMMON STOCK 71713U102 221,000 4,277 DEFINED 14
DEFINED 2 4,115
DEFINED 3 148
71713U102 194,000 3,750 OTHER 2,905
OTHER 2 185
OTHER 3 660
PHELPS DODGE CORP COMMON STOCK 717265102 358,529 9,183 DEFINED 3 9,183
717265102 5,000 130 SOLE 3 130
717265102 225,000 6,056 DEFINED 2 6,056
717265102 209,000 5,611 OTHER 2,468
OTHER 3 3,143
717265102 6,000 155 DEF/OTH 2 155
PHILADELPHIA CONS HLD COMMON STOCK 717528103 950,531 59,731 DEFINED 3 59,731
717528103 1,177,000 70,004 DEFINED 1 345
DEFINED 2 68,374
DEFINED 3 1,285
717528103 185,000 10,995 OTHER 10,510
OTHER 2 140
OTHER 3 345
PHILIP MORRIS COS COMMON STOCK 718154107 262,000 9,858 DEFINED 26
DEFINED 2 9,832
718154107 144,000 5,427 OTHER 4,291
OTHER 2 185
OTHER 3 951
PHOTRONICS INC COMMON STOCK 719405102 1,268,000 44,690 DEFINED 2 44,690
PIEDMONT NATURAL GAS CO COMMON STOCK 720186105 964,000 36,310 DEFINED 2 36,310
PINNACLE HOLDINGS INC COMMON STOCK 72346N101 815,000 15,100 DEFINED 2 15,100
PINNACLE WEST CAP CORP COMMON STOCK 723484101 453,078 13,375 DEFINED 3 13,375
723484101 335,000 9,898 DEFINED 1 605
DEFINED 2 9,293
723484101 177,000 5,225 OTHER 3 5,045
OTHER 3 180
PITNEY BOWES COMMON STOCK 724479100 345,000 8,631 DEFINED 2 8,631
724479100 232,000 5,812 OTHER 3 2,293
OTHER 2 1,577
OTHER 3 1,942
724479100 4,000 105 DEF/OTH 2 105
POLYMEDICA CORP COMMON STOCK 731738100 618,000 14,300 DEFINED 2 14,300
POPULAR INC FOREIGN STOCK 733174106 381,000 20,000 DEFINED 2 20,000
PRAXAIR INC COMMON STOCK 74005P104 993,618 25,632 DEFINED 3 25,632
74005P104 445,000 11,893 DEFINED 1 1,075
DEFINED 2 10,818
74005P104 412,000 11,005 OTHER 7,510
875
OTHER 2 1,920
OTHER 3 700
PROCTER & GAMBLE COMP COMMON STOCK 742718109 675,985 12,385 DEFINED 3 12,385
742718109 8,000 140 SOLE 3 140
742718109 783,000 13,681 DEFINED 3 29
DEFINED 2 13,507
DEFINED 3 145
742718109 557,000 9,735 OTHER 3 5,693
260
OTHER 3 3,782
742718109 7,000 115 DEF/OTH 2 115
PROFIT RECOVERY GRP I COMMON STOCK 743168106 2,036,740 121,146 DEFINED 3 121,146
743168106 7,000 409 SOLE 3 409
743168106 814,000 48,937 DEFINED 3 32
DEFINED 1 80
DEFINED 2 48,825
743168106 262,000 15,752 OTHER 3 7,477
OTHER 3 8,275
743168106 5,000 328 DEF/OTH 2 328
PROGRESS SOFTWARE COR COMMON STOCK 743312100 768,402 44,707 DEFINED 3 44,707
743312100 233,000 12,969 DEFINED 2 12,969
743312100 2,000 90 OTHER 90
PROLOGIS TRUST COMMON STOCK 743410102 1,429,000 67,060 OTHER 33,530
OTHER 1 33,530
PROTEIN DESIGN LABS I COMMON STOCK 74369L103 408,962 2,419 DEFINED 3 2,419
COMMON STOCK 74369L103 544,000 3,298 DEFINED 2 3,298
74369L103 2,000 10 OTHER 10
PROVIDENT BANKSHARES COMMON STOCK 743859100 530,351 38,571 DEFINED 3 38,571
743859100 748,000 55,414 DEFINED 2 55,414
743859100 65 OTHER 65
PROVIDIAN FINANCIAL CORP COMMON STOCK 74406A102 676,000 7,512 OTHER 3 7,512
PUBLIC SERVICE COMMON STOCK 744573106 134,000 3,882 DEFINED 2 3,882
ENTERPRISE GP 744573106 154,000 4,435 OTHER 2 4,145
OTHER 3 290
PUBLIC STORAGE INC COMMON STOCK 74460D109 18,632 795 DEFINED 3 795
PUBLIC STORAGE DEP SHS A PREFERRED 74460D729 518 25 DEFINED 3 25
QLOGIC CORP COMMON STOCK 747277101 727,000 11,000 DEFINED 2 11,000
QUALCOMM INC COMMON STOCK 747525103 463,000 7,721 DEFINED 13
DEFINED 1 6
DEFINED 2 6,538
DEFINED 3 1,164
747525103 179,000 2,984 OTHER 1,535
OTHER 2 930
OTHER 3 519
QUICKLOGIC CORP COMMON STOCK 74837P108 874,000 39,300 DEFINED 2 39,300
RADIAN GROUP INC COMMON STOCK 750236101 837,000 16,170 DEFINED 2 16,170
RALSTON PURINA CO COMMON STOCK 751277302 495,560 25,502 DEFINED 3 25,502
751277302 6,000 325 SOLE 3 325
751277302 793,000 39,769 DEFINED 49
DEFINED 1 300
DEFINED 2 38,065
DEFINED 3 1,355
751277302 513,000 25,735 OTHER 14,918
OTHER 2 150
OTHER 3 10,667
751277302 10,000 525 DEF/OTH 2 525
RATIONAL SOFTWARE COR COMMON STOCK 75409P202 498,178 4,899 DEFINED 3 4,899
RAYMOND JAMES FINL IN COMMON STOCK 754730109 603,863 23,623 DEFINED 3 23,623
754730109 654,000 29,068 DEFINED 2 29,068
754730109 1,000 50 OTHER 50
RAYONIER INC COMMON STOCK 754907103 362,093 8,690 DEFINED 3 8,690
754907103 549,000 15,301 DEFINED 2 15,301
754907103 15 OTHER 15
REALNETWORKS INC COMMON STOCK 75605L104 149,159 2,950 DEFINED 3 2,950
REGAL BELOIT CORP COMMON STOCK 758750103 17,186 1,070 DEFINED 3 1,070
COMMON STOCK 758750103 114,000 7,120 DEFINED 1 150
DEFINED 2 6,970
758750103 61,000 3,770 OTHER 3,640
OTHER 3 130
RELIANCE STEEL & COMMON STOCK 759509102 552,000 28,870 DEFINED 2 28,870
ALUMINUM
RELIASTAR COMMON STOCK 75952U103 292,000 5,565 OTHER 3 5,565
FINANCIAL CORP
REX STORE CORP COMMON STOCK 761624105 844,934 35,318 DEFINED 3 35,318
761624105 726,000 31,127 DEFINED 1 109
DEFINED 2 31,018
761624105 79,000 3,395 OTHER 3,300
OTHER 3 95
RJ REYNOLDS TOBACCO HOLDINGS COMMON STOCK 76182K105 128,000 4,585 DEFINED 2 4,015
DEFINED 3 570
76182K105 135,000 4,840 OTHER 3 4,025
OTHER 2 275
OTHER 3 540
ROCKWELL INTL CORP COMMON STOCK 773903109 526,449 15,760 DEFINED 3 15,760
773903109 4,000 140 SOLE 3 140
773903109 122,000 3,858 DEFINED 1 205
DEFINED 2 3,578
DEFINED 3 75
773903109 172,000 5,465 OTHER 4,100
OTHER 3 1,365
ROUSE CO COMMON STOCK 779273101 1,185,852 45,767 DEFINED 3 45,767
779273101 23,000 939 SOLE 1 939
779273101 4,456,000 180,047 DEFINED 1 155
DEFINED 2 79,892
779273101 256,000 10,343 OTHER 3 4,670
OTHER 3 5,673
ROYAL DUTCH PETRO-NY FOREIGN 780257804 448,751 7,319 DEFINED 3 7,319
780257804 86,000 1,400 SOLE 1,400
780257804 465,000 7,550 DEFINED 1 380
DEFINED 2 5,170
DEFINED 3 2,000
780257804 368,000 5,985 OTHER 4,190
450
OTHER 3 1,345
780257804 7,000 120 DEF/OTH 2 120
SBC COMMUNICATIONS IN COMMON STOCK 78387G103 3,453,287 75,503 DEFINED 3 75,503
78387G103 29,000 670 SOLE 3 670
78387G103 1,906,000 44,071 DEFINED 1 1,065
DEFINED 2 42,691
DEFINED 3 315
78387G103 1,653,000 38,213 OTHER 20,706
1,260
OTHER 2 3,807
78387G103 18,000 410 DEF/OTH 2 410
SCI SYSTEMS INC COMMON STOCK 783890106 215,531 5,500 DEFINED 3 5,500
783890106 188,000 4,785 DEFINED 1 250
DEFINED 2 4,535
783890106 85,000 2,180 OTHER 2,180
SDL INC COMMON STOCK 784076101 1,059,450 3,084 DEFINED 3 3,084
SPDR TR UNIT SER 1 COMMON STOCK 78462F103 10,129,734 67,743 DEFINED 3 67,743
S & P 500 DEPOSITORY RECEIPT COMMON STOCK 78462F103 517,000 3,559 SOLE 1 3,300
SOLE 3 259
78462F103 23,687,000 163,043 DEFINED 209
DEFINED 1 752
DEFINED 1 42,112
2 18,304
DEFINED 3 1,666
78462F103 16,450,000 113,231 OTHER 38,041
1,745
OTHER 1 36
OTHER 2 7,857
OTHER 3 65,552
78462F103 66,000 453 DEF/OTH 2 453
SPSS INC COMMON STOCK 78462K102 1,096,907 36,755 DEFINED 3 36,755
78462K102 329,000 11,291 DEFINED 2 11,291
78462K102 2,000 70 OTHER 70
ST PAUL COS INC COMMON STOCK 792860108 552,188 14,805 DEFINED 3 14,805
792860108 347,000 10,175 DEFINED 1 585
DEFINED 2 9,590
792860108 246,000 7,205 OTHER 4,665
690
OTHER 2 140
OTHER 3 1,710
SANMINA CORP COMMON STOCK 800907107 1,838,607 19,030 DEFINED 3 19,030
800907107 26,000 306 SOLE 3 306
800907107 1,324,000 15,485 DEFINED 3 20
DEFINED 2 15,465
800907107 1,021,000 11,936 OTHER 3 5,438
OTHER 3 6,498
800907107 23,000 273 DEF/OTH 2 273
SARA LEE CORP COMMON STOCK 803111103 848,272 42,296 DEFINED 3 42,296
803111103 428,000 22,145 DEFINED 1 1,390
DEFINED 2 20,755
803111103 484,000 25,052 OTHER 3 15,575
1,635
OTHER 2 3,790
OTHER 3 4,052
803111103 7,000 340 DEF/OTH 2 340
SCHERING PLOUGH CORP COMMON STOCK 806605101 2,303,574 51,584 DEFINED 3 51,584
806605101 173,000 3,420 SOLE 3 3,000
SOLE 3 420
806605101 1,375,000 27,225 DEFINED 3 30
DEFINED 1 745
DEFINED 2 25,540
2 700
DEFINED 3 210
806605101 1,293,000 25,613 OTHER 12,530
3,300
OTHER 2 2,698
OTHER 3 7,085
806605101 11,000 220 DEF/OTH 2 220
SCHLUMBERGER LTD FOREIGN 806857108 254,707 3,433 DEFINED 3 3,433
SCHOLASTIC CORP COMMON STOCK 807066105 569,152 8,807 DEFINED 3 8,807
807066105 964,000 15,776 DEFINED 2 15,776
807066105 1,000 20 OTHER 20
SCHWAB (CHAS) CORP COMMON STOCK 808513105 395,000 11,741 DEFINED 3 21
DEFINED 2 10,511
DEFINED 3 1,209
808513105 143,000 4,238 OTHER 3 2,995
OTHER 2 235
OTHER 3 1,008
SEAGATE TECHNOLOGY COMMON STOCK 811804103 209,000 3,800 DEFINED 3 3,800
SECTOR SPDR BASIC INDS COMMON STOCK 81369Y100 8,033 409 DEFINED 3 409
SECTOR SPDR CONSUMER STAPLES COMMON STOCK 81369Y308 284,970 11,600 DEFINED 3 11,600
SECTOR SPDR CYCLICAL/TRANS COMMON STOCK 81369Y407 12,950 506 DEFINED 3 506
SECTOR SPDR TR AMEX F COMMON STOCK 81369Y605 291,962 11,513 DEFINED 3 11,513
SECTOR SPDR TR SH BN / AMEX COMMON STOCK 81369Y803 2,240,069 40,072 DEFINED 3 40,072
81369Y803 6,000 118 SOLE 3 118
81369Y803 378,000 6,969 DEFINED 1 655
DEFINED 2 6,314
81369Y803 630,000 11,635 OTHER 9,161
775
OTHER 2 55
OTHER 3 1,644
SECTOR SPDR UTILITIES COMMON STOCK 81369Y886 4,823 177 DEFINED 3 177
SEDONA CORP PA COMMON STOCK 815677109 831,634 263,488 DEFINED 3 263,488
SEMTECH CORP COMMON STOCK 816850101 1,316,000 17,200 DEFINED 2 17,200
SENSORMATIC ELECTRS CORP COMMON STOCK 817265101 671,421 44,312 DEFINED 3 44,312
817265101 685,000 43,342 DEFINED 1 255
DEFINED 2 43,087
817265101 121,000 7,665 OTHER 7,445
OTHER 3 220
SIEBEL SYSTEMS INC COMMON STOCK 826170102 331,214 2,025 DEFINED 3 2,025
826170102 180,000 1,102 DEFINED 5
DEFINED 1 100
DEFINED 2 972
DEFINED 3 25
826170102 209,000 1,280 OTHER 1,135
OTHER 2 15
OTHER 3 130
SILICON VY GROUP INC COMMON STOCK 827066101 32,343 1,250 DEFINED 3 1,250
827066101 223,000 8,620 DEFINED 1 175
DEFINED 2 8,445
827066101 114,000 4,415 OTHER 4,265
OTHER 3 150
SIPEX CORP COMMON STOCK 829909100 928,079 32,211 DEFINED 3 32,211
829909100 724,000 26,136 DEFINED 2 26,136
829909100 2,000 65 OTHER 65
SNYDER COMMUNICATIONS INC COMMON STOCK 832914204 71,000 19,274 DEFINED 1 155
DEFINED 2 16,839
DEFINED 3 2,280
832914204 20,000 5,375 OTHER 4,905
OTHER 2 250
OTHER 3 220
SOLECTRON CORP COMMON STOCK 834182107 158,000 3,765 DEFINED 2 3,765
834182107 118,000 2,820 OTHER 860
OTHER 3 1,960
SOVEREIGN BANCORP INC COMMON STOCK 845905108 164,000 23,261 DEFINED 1 1,930
DEFINED 2 21,331
COMMON STOCK 845905108 372,339 52,638 DEFINED 3 52,638
845905108 119,000 16,930 OTHER 3 16,305
OTHER 3 625
SPARTECH CORP COMMON STOCK 847220209 437,284 15,758 DEFINED 3 15,758
SPRINT CORP COMMON STOCK 852061100 153,000 3,000 SOLE 3 3,000
852061100 498,000 9,760 DEFINED 1 140
DEFINED 2 9,505
DEFINED 3 115
852061100 107,000 2,105 OTHER 3 1,630
165
OTHER 2 60
OTHER 3 250
852061100 209,070 4,355 DEFINED 3 4,355
852061506 89,000 1,500 SOLE 3 1,500
852061506 991,000 16,654 DEFINED 2 16,544
DEFINED 3 110
852061506 599,000 10,070 OTHER 3 6,840
OTHER 2 30
OTHER 3 3,200
852061506 16,000 270 DEF/OTH 2 270
STANCORP FINANCIAL GROUP COMMON STOCK 852891100 1,057,000 32,910 DEFINED 2 32,910
STANFORD MICRODIVICES INC COMMON STOCK 854399102 1,190,000 27,400 DEFINED 2 27,400
STARWOOD HOTELS & RES COMMON STOCK 85590A203 723,349 22,418 DEFINED 3 22,418
85590A203 5,000 168 SOLE 3 168
85590A203 573,000 17,582 DEFINED 1 480
DEFINED 2 17,102
85590A203 393,000 12,072 OTHER 3 8,125
OTHER 3 3,947
85590A203 6,000 176 DEF/OTH 2 176
STATEN ISLAND COMMON STOCK 857550107 146,000 8,280 DEFINED 1 190
DEFINED 2 8,090
857550107 22,471 1,275 DEFINED 3 1,275
857550107 84,000 4,750 OTHER 3 4,590
OTHER 3 160
STRUCTURAL DYNAMICS R COMMON STOCK 863555108 941,994 62,539 DEFINED 3 62,539
863555108 431,000 28,621 DEFINED 2 28,621
863555108 2,000 125 OTHER 3 125
STRYKER CORP COMMON STOCK 863667101 199,000 4,550 DEFINED 2 3,328
DEFINED 3 1,222
863667101 16,000 355 OTHER 3 170
OTHER 2 135
OTHER 3 50
SUN MICROSYSTEM INC COMMON STOCK 866810104 2,209,774 23,528 DEFINED 3 23,528
866810104 18,000 195 SOLE 3 195
866810104 2,056,000 22,613 DEFINED 3 30
DEFINED 1 370
DEFINED 2 22,043
DEFINED 3 170
866810104 1,611,000 17,715 OTHER 3 10,100
440
OTHER 2 1,935
OTHER 3 5,140
3 100
866810104 15,000 165 DEF/OTH 2 165
SWIFT ENERGY CO COMMON STOCK 870738101 1,044,079 42,185 DEFINED 3 42,185
870738101 678,000 23,899 DEFINED 2 23,899
870738101 2,000 85 OTHER 85
SYMANTEC CORP COMMON STOCK 871503108 447,819 8,615 DEFINED 3 8,615
871503108 808,000 14,980 DEFINED 1 340
DEFINED 2 14,640
871503108 369,000 6,840 OTHER 6,650
OTHER 3 190
SYMYX TECHNOLOGIES INC COMMON STOCK 87155S108 1,052,000 24,700 DEFINED 2 24,700
SYSCO CORPORATION COMMON STOCK 871829107 2,291,650 56,948 DEFINED 3 56,948
871829107 25,000 590 SOLE 3 590
871829107 1,549,000 36,774 DEFINED 25
DEFINED 1 460
DEFINED 2 36,099
DEFINED 3 190
871829107 1,140,000 27,052 OTHER 12,492
OTHER 2 3,280
OTHER 3 11,280
871829107 14,000 340 DEF/OTH 2 340
TIS MORTGAGE INVESTMENT CO COMMON STOCK 872527106 7,000 19,000 DEFINED 2 19,000
TARGET CORP COMMON STOCK 87612E106 232,410 3,741 DEFINED 3 3,741
8.76E+110 291,000 5,025 DEFINED 15
DEFINED 2 4,855
DEFINED 3 155
8.76E+110 139,000 2,405 OTHER 1,795
OTHER 2 60
OTHER 3 550
TECHNE CORP COMMON STOCK 878377100 220,800 1,600 DEFINED 3 1,600
TECHNITROL INC COMMON STOCK 878555101 20,394,000 210,518 DEFINED 2 2 10,518
TEKTRONIX INC COMMON STOCK 879131100 299,700 4,050 DEFINED 3 4,050
879131100 234,000 3,164 DEFINED 1 185
DEFINED 2 2,979
879131100 118,000 1,600 OTHER 1,600
TELEFLEX INC COMMON STOCK 879369106 981,708 25,580 DEFINED 3 25,580
879369106 1,247,000 34,872 DEFINED 1 161
DEFINED 2 34,711
879369106 165,000 4,604 OTHER 4,469
OTHER 3 135
TELEPHONE & DATA SYS COMMON STOCK 879433100 279,279 2,387 DEFINED 3 2,387
879433100 235,000 2,340 DEFINED 2 2,340
TELLABS INC COMMON STOCK 879664100 930,017 12,647 DEFINED 3 12,647
879664100 10,000 146 SOLE 3 146
879664100 820,000 11,976 DEFINED 20
DEFINED 2 11,686
2 200
DEFINED 3 70
879664100 674,000 9,854 OTHER 4,791
OTHER 2 46
OTHER 3 5,017
879664100 10,000 150 DEF/OTH 2 150
TENET HEALTH CORP COMMON STOCK 88033G100 388,000 14,374 DEFINED 2 14,374
88033G100 212,000 7,865 OTHER 4,785
OTHER 3 3,080
88033G100 7,000 275 DEF/OTH 2 275
TEXACO INC COMMON STOCK 881694103 687,749 13,143 DEFINED 3 13,143
881694103 48,000 900 SOLE 900
881694103 284,000 5,332 DEFINED 1 645
DEFINED 2 4,687
881694103 441,000 8,285 OTHER 4,685
755
OTHER 2 2,660
OTHER 3 185
TEXAS INSTRUMENTS INC COMMON STOCK 882508104 1,456,916 20,742 DEFINED 3 20,742
882508104 12,000 170 SOLE 3 170
882508104 2,168,000 31,560 DEFINED 32
DEFINED 1 440
DEFINED 2 30,798
DEFINED 3 290
882508104 1,243,000 18,103 OTHER 9,708
520
OTHER 2 2,475
OTHER 3 5,400
882508104 12,000 180 DEF/OTH 2 180
TEXAS REGIONAL BANCSHARES - A COMMON STOCK 882673106 798,000 31,430 DEFINED 2 31,430
THERMA-WAVE INC COMMON STOCK 88343A108 402,000 18,000 DEFINED 2 18,000
3COM CORP COMMON STOCK 885535104 351,000 6,099 DEFINED 2 6,029
DEFINED 3 70
885535104 471,000 8,165 OTHER 3 115
OTHER 2 685
OTHER 3 7,365
TIME WARNER INC COMMON STOCK 887315109 960,456 11,350 DEFINED 3 11,350
887315109 11,000 140 SOLE 3 140
887315109 1,591,000 20,929 DEFINED 3 30
DEFINED 1 310
DEFINED 2 20,464
DEFINED 3 125
887315109 997,000 13,117 OTHER 3 7,155
370
OTHER 2 1,530
OTHER 3 4,062
887315109 7,000 95 DEF/OTH 2 95
TIME WARNER TELECOM INC CL A COMMON STOCK 887319101 82,078 1,275 DEFINED 3 1,275
TORCHMARK CORP COMMON STOCK 891027104 428,563 16,489 DEFINED 3 16,489
891027104 7,000 280 SOLE 3 280
891027104 295,000 11,960 DEFINED 2 11,960
891027104 372,000 15,070 OTHER 5,420
OTHER 3 9,650
891027104 8,000 310 DEF/OTH 2 310
TRIBUNE CO COMMON STOCK 896047107 642,402 18,783 DEFINED 3 18,783
896047107 7,000 213 SOLE 3 213
896047107 516,000 14,755 DEFINED 1 172
DEFINED 2 14,463
DEFINED 3 120
896047107 288,000 8,219 OTHER 4,206
OTHER 3 4,013
896047107 5,000 155 DEF/OTH 2 155
TRITON PCS HLDGS INC COMMON STOCK 89677M106 630,710 11,163 DEFINED 3 11,163
USX MARATHON GROUP COMMON STOCK 902905827 338,268 13,497 DEFINED 3 13,497
902905827 318,000 12,706 DEFINED 1 595
DEFINED 2 11,931
DEFINED 3 180
902905827 251,000 10,010 OTHER 4,802
OTHER 2 4,685
OTHER 3 523
UNITED RENTALS INC COMMON STOCK 911363109 818,866 42,375 DEFINED 3 42,375
911363109 825,000 48,153 DEFINED 1 134
DEFINED 2 48,019
911363109 70,000 4,113 OTHER 3,998
OTHER 3 115
UNITED TECHNOLOGIES C COMMON STOCK 913017109 1,543,700 25,520 DEFINED 3 25,520
913017109 8,000 140 SOLE 3 140
913017109 859,000 14,592 DEFINED 10
DEFINED 1 745
DEFINED 2 13,747
DEFINED 3 90
913017109 998,000 16,950 OTHER 8,375
875
OTHER 2 1,935
OTHER 3 5,765
913017109 7,000 115 DEF/OTH 2 115
UNITED THERAPEUTICS CORP COMMON STOCK 91307C102 802,000 7,400 DEFINED 2 7,400
UNITEDHEALTH GROUP INC COMMON STOCK 91324P102 188,000 2,190 DEFINED 2 2,110
DEFINED 3 80
91324P102 120,000 1,400 OTHER 1,155
OTHER 2 45
OTHER 3 200
UNIVERSAL COMPRESSION HLDGS COMMON STOCK 913431102 720,000 21,500 DEFINED 2 21,500
UNUMPROVIDENT CORP COMMON STOCK 91529Y106 4,000 213 DEFINED 2 213
SECTOR SPDR CONSUMER SERVICES COMMON STOCK 91369Y209 6,296 213 DEFINED 3 213
VANGUARD INTERNATIONAL 921943809 351,000 30,605 DEFINED 2 30,605
VECTREN CORPORATION COMMON STOCK 92240G101 6,658 386 DEFINED 3 386
VEECO INSTRUMENTS INC COMMON STOCK 922417100 1,260,000 17,200 DEFINED 2 17,200
VENTIV HEALTH INC COMMON STOCK 922793104 55 5 DEFINED 3 5
VERITAS SOFTWARE CORP COMMON STOCK 923436109 376,907 3,335 DEFINED 3 3,335
923436109 348,000 3,082 DEFINED 7
DEFINED 1 150
DEFINED 2 2,873
DEFINED 3 52
923436109 259,000 2,288 OTHER 2,014
OTHER 2 30
OTHER 3 244
VERISIGN NC COMMON STOCK 92343E102 232,428 1,317 DEFINED 3 1,317
9.23E+106 161,000 915 DEFINED 1 61
DEFINED 2 854
9.23E+106 104,000 588 OTHER 526
OTHER 3 62
VERTEX PHARMACEUTICALS INC COMMON STOCK 92532F100 595,000 5,650 DEFINED 2 5,650
VIACOM INC COMMON STOCK 925524308 483,000 7,079 DEFINED 2 6,901
DEFINED 3 178
925524308 288,000 4,218 OTHER 2,052
OTHER 2 1,589
OTHER 3 577
VICAL INC COMMON STOCK 925602104 662,000 34,400 DEFINED 2 34,400
VISHAY INTERTECHNOLOG COMMON STOCK 928298108 3,729,250 91,174 DEFINED 3 91,174
928298108 14,000 364 SOLE 3 364
928298108 2,286,000 60,267 DEFINED 1 528
DEFINED 2 58,615
DEFINED 3 1,124
928298108 947,000 24,963 OTHER 3 17,186
OTHER 2 123
OTHER 3 7,654
928298108 12,000 326 DEF/OTH 2 326
VISUAL NETWORKS INC COMMON STOCK 928444108 376,000 13,200 DEFINED 2 13,200
WAL MART STORES INC COMMON STOCK 931142103 2,150,573 35,781 DEFINED 3 35,781
931142103 16,000 280 SOLE 3 280
931142103 2,390,000 41,472 DEFINED 3 55
DEFINED 1 790
DEFINED 2 37,951
DEFINED 3 2,676
931142103 1,755,000 30,459 OTHER 16,944
930
OTHER 2 4,150
OTHER 3 8,435
931142103 16,000 275 DEF/OTH 2 275
WALGREEN CO COMMON STOCK 931422109 186,000 5,785 DEFINED 2 5,625
DEFINED 3 160
931422109 64,000 1,980 OTHER 1,650
OTHER 2 125
OTHER 3 205
WATERS CORP COMMON STOCK 941848103 333,873 2,675 DEFINED 3 2,675
941848103 153,000 1,227 DEFINED 7
DEFINED 1 125
DEFINED 2 1,095
941848103 209,000 1,671 OTHER 1,487
OTHER 3 184
WEBSTER FINL CORP WAT COMMON STOCK 947890109 530,580 23,783 DEFINED 3 23,783
947890109 725,000 32,660 DEFINED 1 95
DEFINED 2 32,565
947890109 63,000 2,850 OTHER 2,770
OTHER 3 80
WELLS FARGO COMMON STOCK 949746101 1,923,650 44,991 DEFINED 3 44,991
949746101 20,000 505 SOLE 3 505
949746101 1,349,000 34,807 DEFINED 2 34,667
DEFINED 3 140
949746101 914,000 23,592 OTHER 3 11,368
OTHER 2 170
OTHER 3 12,054
949746101 18,000 460 DEF/OTH 2 460
WENDY'S INTL INC COMMON STOCK 950590109 203,507 11,425 DEFINED 3 11,425
950590109 108,000 6,081 DEFINED 1 520
DEFINED 2 5,561
950590109 82,000 4,595 OTHER 3 4,595
WERNER ENTERPRISES IN COMMON STOCK 950755108 514,126 39,836 DEFINED 3 39,836
950755108 579,000 50,115 DEFINED 1 130
DEFINED 2 49,194
DEFINED 3 791
950755108 48,000 4,155 OTHER 3 3,930
OTHER 2 85
OTHER 3 140
WESLEY JESSEN VISIONC COMMON STOCK 951018100 1,863,084 50,176 DEFINED 3 50,176
951018100 11,000 280 SOLE 3 280
951018100 1,062,000 28,262 DEFINED 1 80
DEFINED 2 28,182
951018100 468,000 12,461 OTHER 6,300
OTHER 3 6,161
951018100 12,000 315 DEF/OTH 2 315
WESTWOOD ONE INC COMMON STOCK 961815107 1,348,000 39,500 DEFINED 2 39,500
WORLDCOM INC COMMON STOCK 98157D106 1,894,420 39,550 DEFINED 3 39,550
98157D106 16,000 347 SOLE 3 347
98157D106 1,590,000 34,667 DEFINED 49
DEFINED 1 757
DEFINED 2 33,475
DEFINED 3 386
98157D106 1,452,000 31,651 OTHER 15,831
892
OTHER 2 3,054
OTHER 3 11,874
98157D106 11,000 250 DEF/OTH 2 250
WORTHINGTON INDS INC COMMON STOCK 981811102 331,628 30,148 DEFINED 3 30,148
COMMON STOCK 981811102 660,000 62,872 DEFINED 2 61,522
DEFINED 3 1,350
981811102 5,000 455 OTHER 250
OTHER 2 150
OTHER 3 55
WRIGLEY (WM) JR CO COMMON STOCK 982526105 943,000 11,755 DEFINED 2 11,755
982526105 5,212,000 65,000 OTHER 3 65,000
982526204 1,141,000 14,400 DEFINED 2 14,400
XILINX INC COMMON STOCK 983919101 194,000 2,355 DEFINED 2 2,300
DEFINED 3 55
983919101 43,000 520 OTHER 3 505
OTHER 3 15
YAHOO! INC COMMON STOCK 984332106 460,000 3,714 DEFINED 3 3
DEFINED 1 150
DEFINED 2 3,386
DEFINED 3 175
984332106 309,000 2,496 OTHER 3 1,540
175
OTHER 2 590
OTHER 3 191
YOUNG & RUBICAM INC COMMON STOCK 987425105 204,445 3,575 3 3,575
ZARGON OIL & GAS LTD COMMON STOCK - 988905105 95,000 32,000 DEFINED 2 32,000
CANADA
TELECOM ITALIA COMMON STOCK - E48767466 264,000 25,000 DEFINED 2 25,000
MOB EURO
TRANSOCEAN SEDCO FOREX INC FOREIGN G90078109 1,430,492 27,321 DEFINED 3 27,321
COMMON STOCK G90078109 24,000 451 SOLE 3 193
SOLE 3 258
G90078109 616,000 11,521 DEFINED 1 295
DEFINED 2 11,226
G90078109 675,000 12,629 OTHER 6,059
OTHER 2 1,820
OTHER 3 4,750
G90078109 9,000 175 DEF/OTH 2 175
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