MERRILL LYNCH & CO INC
13F-HR, 1999-08-11
SECURITY BROKERS, DEALERS & FLOTATION COMPANIES
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                                  UNITED STATES
                       SECURITIES AND EXCHANGE COMMISSION
                             Washington, D.C. 20549

                                    FORM 13F

                              FORM 13F Cover Page

Report for the Calendar Year or Quarter Ended: June 30, 1999

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

Institutional Investment Manager Filing this Report:

Name:          Merrill Lynch and Co., Inc.
Address:       250 Vesey Street
               World Financial Center-North Tower
               New York, New York 10281


13F File Number: 28-3554

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, and tables, are considered integral parts of this form.

Person Signing this Report on Behalf of Reporting Manager:

Name:      Andrea L. Dulberg
Title:     Corporate Secretary
Phone:     (212) 602-8444
Signature, Place, and Date of Signing:








/S/ Andrea L. Dulberg
Signature

New York, New York
City, State

August 11, 1999
Date


<PAGE>

Merrill Lynch & Co., Inc.  ("ML&Co.") is the parent holding  company of a number
of operating subsidiaries some of which are or may be "institutional  investment
managers" for purposes of the reporting  requirements under Section 13(f) of the
Securities   Exchange  Act  of  1934  (the  "Act")  and  the  rules  promulgated
thereunder.  ML&Co. itself does not in fact exercise,  and therefore  disclaims,
investment  discretion  with respect to any Section 13(f)  securities  positions
over which its operating subsidiaries in fact exercise investment discretion. To
the extent,  however,  that ML&Co.'s  ownership interest in such operating units
may nevertheless  give rise to a Form 13F filing obligation on behalf of ML&Co.,
the information  required by Form 13F is reported herein on behalf of certain of
ML&Co.'s operating units which are themselves  institutional investment managers
subject  to  Section  13(f)  of the  Act.  In that  regard,  the  Section  13(f)
securities  positions of Merrill  Lynch,  Pierce,  Fenner & Smith  Incorporated,
Merrill  Lynch  International,  Merrill Lynch Bank Suisse,  S.A.,  Merrill Lynch
Trust  Company,  a Florida Trust  Company,  Merrill Lynch Trust  Company,  a New
Jersey Trust  Company,  Merrill Lynch Company of  California,  and Merrill Lynch
Trust Company of America (Illinois),  all of which are operating subsidiaries of
ML&Co., are also included in this Form 13F report.  The securities  positions of
the following  entities are not reported herein:  (i) Fund Asset Management L.P.
doing  business as Fund Asset  Management  ("FAM"),  an operating unit of ML&Co.
which is an  institutional  investment  manager  subject to Section 13(f) of the
Act, (ii) Merrill Lynch Asset  Management  L.P.  doing business as Merrill Lynch
Asset Management ("MLAM"), an operating unit of ML&Co. which is an institutional
investment  manager subject to Section 13(f) of the Act, (iii) Hotchkiss & Wiley
("H&W"), a division of MLAM which is an institutional investment manager subject
to Section 13(f) of the Act, (iv) Mercury Asset Management  Group,  Ltd. ("MAM")
and  its  affiliates,   which  are  direct   subsidiaries  of  ML&Co.   and  are
institutional  investment managers subject to Section 13(f) of the Act, (v) I.G.
Investment Management,  Ltd. ("IG"), a Canadian entity unaffiliated with ML&Co.,
which manages  portfolios,  some of which are advised by MLAM,  (vi) Atlas Asset
Management,  Inc. ("Atlas"), a Canadian mutual fund company which is an indirect
wholly-owned  subsidiary  of ML&Co.  and (vii) EQ  Financial  Consultants,  Inc.
("EQF"), an entity  unaffiliated with ML&Co. which manages  portfolios,  some of
which are advised by MLAM. The securities  positions managed by FAM and MLAM are
reported on Form 13Fs filed by FAM. The securities  positions managed by H&W are
reported on Form 13Fs filed by H&W. The securities  positions managed by MAM and
its affiliates are reported on Form 13Fs filed by MAM. The securities  positions
managed by IG are  reported on Form 13Fs filed by IG. The  securities  positions
managed  by Atlas are  reported  on Forms 13Fs  filed by Atlas.  The  securities
positions managed by EQF are reported on Form 13Fs filed by FAM.
Report Type (Check only one.):

[X ]      13F HOLDINGS REPORT.

[  ]      13F NOTICE.

[  ]      13F COMBINATION REPORT.

<PAGE>

                             FORM 13F SUMMARY PAGE


Report Summary:

Number of Other Included Managers:
     Seven

Form 13F Information Table Entry Total:
     9475

Form 13F Information Table Value Total:
$    40,373,322   (thousands)

List of Other Included Managers:

No.  13F File Number     Name
2    28-962              Merrill Lynch, Pierce, Fenner & Smith Incorporated
4    28-4086             Merrill Lynch Bank Suisse, S.A.
5    28-04264            Merrill Lynch Trust Company, a Florida Trust Company
6    28-04094            Merrill Lynch Trust Company, a New Jersey Trust Company
9    28-7178             Merrill Lynch International
10   28-7300             Merrill Lynch Trust Company of California
11   28-7298             Merrill Lynch Trust Company of America (Illinois)

<PAGE>
<TABLE>


                                                   Form 13F Information Table
<CAPTION>
- ---------------------------------------------------------------------------------------------------------------------------------
            Column 1                 Column 2       Column 3  Column 4       Column 5     Column 6 Col 7          Column 8
- ---------------------------------------------------------------------------------------------------------------------------------
                                                                                  SH/PRN
                                                               Value     Shrs or   Put/    Invest  Other    Voting Authority
Name of Issuer                   Title of class      CUSIP    (x$1000)   prn amt   Call     Disc   Mgrs   Sole    Shared   None
<S>                                                <C>        <C>       <C>                          <C> <C>       <C>     <C>
- ------------------------------------------------------------------------------------------------------- ---------------------------
AAR CORP                         COM               000361105        27       1,200 SH      DEFINED    5       1,200       0       0
AAR CORP                         COM               000361105        18         775 SH      DEFINED   11         775       0       0
ABC-NACO INC                     COM               000752105       119       5,795 SH      OTHER      2       5,795       0       0
A D C TELECOMMUNICATIONS         COM               000886101     8,459     185,670 SH      DEFINED    1     146,985  38,685       0
A D C TELECOMMUNICATIONS         COM               000886101    24,321     533,806 SH      OTHER      2     529,366       0   4,440
A D C TELECOMMUNICATIONS         COM               000886101       180       3,950 SH      OTHER      4           0       0   3,950
A D C TELECOMMUNICATIONS         COM               000886101     3,018      66,235 SH      DEFINED    5      59,705   6,530       0
A D C TELECOMMUNICATIONS         COM               000886101     1,444      31,685 SH      DEFINED    6      27,085   4,600       0
A D C TELECOMMUNICATIONS         COM               000886101       485      10,647 SH      OTHER      9      10,647       0       0
A D C TELECOMMUNICATIONS         COM               000886101       378       8,300 SH      DEFINED   10       8,100     200       0
A D C TELECOMMUNICATIONS         COM               000886101     2,597      56,990 SH      DEFINED   11      47,595   9,395       0
ACM GOVT INCOME FD INC           COM               000912105        19       2,258 SH      DEFINED   11           0   2,258       0
ACM GOVT SECS FD INC             COM               000914101         4         500 SH      DEFINED    5           0     500       0
ACM MANAGED INCOME FD INC        COM               000919100         8       1,000 SH      DEFINED    6       1,000       0       0
ABN AMRO HLDG NV                 SPON ADR          000937102        41       1,895 SH      DEFINED    1       1,895       0       0
ABN AMRO HLDG NV                 SPON ADR          000937102     2,292     104,755 SH      OTHER      2     104,755       0       0
ABN AMRO HLDG NV                 SPON ADR          000937102       119       5,445 SH      DEFINED   10       5,445       0       0
ABN AMRO HLDG NV                 SPON ADR          000937102        23       1,040 SH      DEFINED   11       1,040       0       0
ACM MUN SECS INCOME FD INC       COM               000942102       184      13,600 SH      DEFINED    1      13,600       0       0
ACM MUN SECS INCOME FD INC       COM               000942102        27       2,000 SH      DEFINED    6           0   2,000       0
ADT OPERATIONS                   LYON ZERO CPN 10  000945AC9     1,175     500,000 PRN     OTHER      2     500,000       0       0
ACM MANAGED DLR INCOME FD        COM               000949107         1          98 SH      DEFINED   10          98       0       0
ACT NETWORKS INC                 COM               000975102       136       8,000 SH      OTHER      9       8,000       0       0
AFLAC INC                        COM               001055102     1,814      37,895 SH      DEFINED    1      29,655   8,240       0
AFLAC INC                        COM               001055102     2,331      48,689 SH      OTHER      2      39,469       0   9,220
AFLAC INC                        COM               001055102     3,644      76,119 SH      DEFINED    5      65,067  11,052       0
AFLAC INC                        COM               001055102       960      20,050 SH      DEFINED    6      10,050  10,000       0
AFLAC INC                        COM               001055102       794      16,590 SH      OTHER      9      16,590       0       0
AFLAC INC                        COM               001055102        80       1,675 SH      DEFINED   10       1,475     200       0
AFLAC INC                        COM               001055102       571      11,930 SH      DEFINED   11      11,930       0       0
AGCO CORP                        COM               001084102       171      15,133 SH      OTHER      2      14,733       0     400
AGCO CORP                        COM               001084102         2         200 SH      DEFINED    5         200       0       0
AGL RES INC                      COM               001204106       134       7,244 SH      DEFINED    1         572   6,672       0
AGL RES INC                      COM               001204106       357      19,380 SH      OTHER      2      14,055       0   5,325
AGL RES INC                      COM               001204106        40       2,167 SH      DEFINED    5       1,200     967       0
AGL RES INC                      COM               001204106        28       1,500 SH      OTHER      9       1,500       0       0
AGL RES INC                      COM               001204106        41       2,200 SH      DEFINED   11       2,200       0       0
AES CORP                         COM               00130H105        17         300 SH      DEFINED    1           0     300       0
AES CORP                         COM               00130H105       181       3,110 SH      OTHER      1       3,110       0       0
AES CORP                         COM               00130H105     5,774      99,344 SH      OTHER      2      98,044       0   1,300
AES CORP                         COM               00130H105        37         631 SH      DEFINED    5           0     631       0
AES CORP                         COM               00130H105       646      11,110 SH      OTHER      9      11,110       0       0
AES CORP                         JR SBDB CV4.5%05  00130HAN5        12      10,000 PRN     DEFINED    5      10,000       0       0
AES CORP                         JR SBDB CV4.5%05  00130HAN5         6       5,000 PRN     DEFINED    6       5,000       0       0
AIM EASTERN EUROPE FD            SH BEN INT        00141J108       236      30,402 SH      OTHER      2           0       0  30,402
AK STL HLDG CORP                 COM               001547108        12         550 SH      DEFINED    1         550       0       0
AK STL HLDG CORP                 COM               001547108       327      14,529 SH      OTHER      2      14,529       0       0
AK STL HLDG CORP                 COM               001547108         3         150 SH      DEFINED    5         150       0       0
AK STL HLDG CORP                 COM               001547108       108       4,800 SH      OTHER      9       4,800       0       0
AK STL HLDG CORP                 COM               001547108         9         384 SH      DEFINED   10         384       0       0
AK STL HLDG CORP                 COM               001547108        28       1,255 SH      DEFINED   11         800     455       0
AMB PROPERTY CORP                COM               00163T109     1,677      71,380 SH      OTHER      2      71,380       0       0
AMC ENTMT INC                    COM               001669100         0           1 SH      OTHER      2           1       0       0
AMLI RESIDENTIAL PPTYS TR        SH BEN INT        001735109        15         650 SH      OTHER      2           0       0     650
AMLI RESIDENTIAL PPTYS TR        SH BEN INT        001735109        22       1,000 SH      OTHER      9       1,000       0       0
AMLI RESIDENTIAL PPTYS TR        SH BEN INT        001735109        34       1,500 SH      DEFINED   10       1,500       0       0
AMR CORP                         OPTION            001765106       232          34 CALL    OTHER      2          34       0       0
AMR CORP                         COM               001765106     1,399      20,505 SH      DEFINED    1      15,630   4,875       0
AMR CORP                         COM               001765106    27,462     402,370 SH      OTHER      2     379,370       0  23,000
AMR CORP                         COM               001765106        55         800 SH      OTHER      4           0       0     800
AMR CORP                         COM               001765106     5,513      80,771 SH      DEFINED    5      64,351  16,420       0
AMR CORP                         COM               001765106     1,390      20,365 SH      DEFINED    6      18,720   1,645       0
AMR CORP                         COM               001765106       655       9,591 SH      OTHER      9       9,591       0       0
AMR CORP                         COM               001765106     1,526      22,355 SH      DEFINED   10      20,455   1,900       0
AMR CORP                         COM               001765106       956      14,010 SH      DEFINED   11      11,445   2,565       0
APAC TELESERVICES INC            COM               00185E106        78      23,973 SH      OTHER      2       8,973       0  15,000
ATI TECHNOLOGIES INC             COM               001941103       331      20,300 SH      OTHER      2      20,300       0       0
ARM FINL GROUP INC               CL A              001944107        15       1,800 SH      OTHER      9       1,800       0       0
AT&T CORP                        OPTION            001957109    19,975       3,579 CALL    OTHER      2       3,579       0       0
AT&T CORP                        OPTION            001957109     1,312         235 PUT     OTHER      2         235       0       0
AT&T CORP                        COM               001957109     7,369     132,027 SH      DEFINED    1     105,458  26,569       0
AT&T CORP                        COM               001957109       170       3,042 SH      OTHER      1       1,521       0       0
AT&T CORP                        COM               001957109 1,035,424  18,551,995 SH      OTHER      2  18,268,397       0 283,598
AT&T CORP                        COM               001957109       117       2,100 SH      OTHER      4           0       0   2,100
AT&T CORP                        COM               001957109    11,467     205,456 SH      DEFINED    5     139,849  65,607       0
AT&T CORP                        COM               001957109     5,086      91,124 SH      DEFINED    6      64,578  26,546       0
AT&T CORP                        COM               001957109       135       2,415 SH      OTHER      9       2,415       0       0
AT&T CORP                        COM               001957109     3,451      61,833 SH      DEFINED   10      57,179   4,654       0
AT&T CORP                        COM               001957109     5,779     103,537 SH      DEFINED   11      82,728  20,809       0
AT&T CORP                        OPTION            001957208    27,794       7,563 CALL    OTHER      2       7,563       0       0
AT&T CORP                        COM LIB GRP A     001957208         3          80 SH      DEFINED    1          80       0       0
AT&T CORP                        COM LIB GRP A     001957208     2,823      76,808 SH      OTHER      2          10       0  76,798
AT&T CORP                        COM LIB GRP A     001957208         4         120 SH      DEFINED    6         120       0       0
AT&T CORP                        COM LIB GRP A     001957208        43       1,165 SH      DEFINED   10       1,165       0       0
AT&T CORP                        COM LIB GRP A     001957208       379      10,304 SH      DEFINED   11      10,304       0       0
APP FIN VI MAURITIUS LTD         LYONS NT ZERO 12  00202NAA3     2,099  10,497,000 PRN     OTHER      2  10,497,000       0       0
APP FIN VI MAURITIUS LTD         LYONS NT ZERO 12  00202NAA3       200   1,000,000 PRN     OTHER      9   1,000,000       0       0
APT SATELLITE HOLDINGS LTD       SPON ADR          00203R105         4       1,000 SH      OTHER      2       1,000       0       0
ASA LTD                          COM               002050102         0           1 SH      OTHER      2           1       0       0
AT & T CDA INC                   DEPS RCPT CL B    00207Q202       115       1,800 SH      DEFINED    1       1,800       0       0
ATS MED INC                      COM               002083103         6         705 SH      DEFINED    1           0     705       0
ATS MED INC                      COM               002083103        79      10,000 SH      OTHER      2           0       0  10,000
AVX CORP NEW                     COM               002444107     2,403      98,600 SH      OTHER      2           0       0  98,600
AARON RENTS INC                  CL A              002535300        90       5,000 SH      OTHER      2           0       0   5,000
ABACUS DIRECT CORP               COM               002553105       110       1,207 SH      OTHER      2       1,207       0       0
ABBOTT LABS                      OPTION            002824100     1,842         406 CALL    OTHER      2         406       0       0
ABBOTT LABS                      OPTION            002824100     1,180         260 PUT     OTHER      2         260       0       0
ABBOTT LABS                      COM               002824100    11,063     243,804 SH      DEFINED    1     197,535  46,269       0
ABBOTT LABS                      COM               002824100    72,251   1,592,301 SH      OTHER      2   1,390,393       0 201,908
ABBOTT LABS                      COM               002824100     1,860      41,000 SH      OTHER      4           0       0  41,000
ABBOTT LABS                      COM               002824100    24,877     548,247 SH      DEFINED    5     502,017  46,230       0
ABBOTT LABS                      COM               002824100     6,984     153,911 SH      DEFINED    6     114,216  39,695       0
ABBOTT LABS                      COM               002824100     6,480     142,802 SH      OTHER      9     142,802       0       0
ABBOTT LABS                      COM               002824100     4,575     100,837 SH      DEFINED   10      93,302   7,535       0
ABBOTT LABS                      COM               002824100     4,323      95,263 SH      DEFINED   11      60,587  34,676       0
ABERCROMBIE & FITCH CO           CL A              002896207        25         515 SH      DEFINED    1         376     139       0
ABERCROMBIE & FITCH CO           CL A              002896207     2,331      48,554 SH      OTHER      2      25,368       0  23,186
ABERCROMBIE & FITCH CO           CL A              002896207         8         162 SH      DEFINED    5         162       0       0
ABERCROMBIE & FITCH CO           CL A              002896207         1          26 SH      DEFINED    6          16      10       0
ABERCROMBIE & FITCH CO           CL A              002896207       230       4,800 SH      OTHER      9       4,800       0       0
ABERCROMBIE & FITCH CO           CL A              002896207         8         166 SH      DEFINED   10         166       0       0
ABERCROMBIE & FITCH CO           CL A              002896207        55       1,140 SH      DEFINED   11         700     440       0
ABBEY NATL PLC                   SPON ADR A PRF    002920205       207       8,100 SH      DEFINED    5         500   7,600       0
ABBEY NATL PLC                   SPON ADR A PRF    002920205        48       1,888 SH      DEFINED   10       1,888       0       0
ABLE TELCOM HLDG CORP            COM NEW           003712304        24       3,300 SH      OTHER      9       3,300       0       0
ABOVENET COMMUNICATIONS INC      OPTION            003743101       121          30 CALL    OTHER      2          30       0       0
ABITIBI-CONSOLIDATED INC         COM               003924107        77       6,800 SH      OTHER      1       6,800       0       0
ACKERLEY GROUP INC               COM               004527107        18       1,000 SH      OTHER      2       1,000       0       0
ACME ELEC CORP                   COM               004644100         2         321 SH      DEFINED    5         321       0       0
ACNIELSEN CORP                   OPTION            004833109        15           5 CALL    OTHER      2           5       0       0
ACNIELSEN CORP                   COM               004833109       419      13,866 SH      DEFINED    1      11,691   2,175       0
ACNIELSEN CORP                   COM               004833109     1,771      58,550 SH      OTHER      2      57,952       0     598
ACNIELSEN CORP                   COM               004833109        25         833 SH      DEFINED    5         833       0       0
ACNIELSEN CORP                   COM               004833109       838      27,710 SH      DEFINED    6      27,410     300       0
ACNIELSEN CORP                   COM               004833109         9         300 SH      OTHER      9         300       0       0
ACNIELSEN CORP                   COM               004833109        91       3,000 SH      DEFINED   10       3,000       0       0
ACNIELSEN CORP                   COM               004833109       518      17,125 SH      DEFINED   11      17,125       0       0
ACTIVISION INC NEW               COM NEW           004930202         7         460 SH      DEFINED    1         460       0       0
ACTIVISION INC NEW               COM NEW           004930202         7         508 SH      DEFINED   10         508       0       0
ACTRADE INTL LTD                 COM               004931101        13       1,000 SH      OTHER      2       1,000       0       0
ACTION PERFORMANCE COS INC       COM               004933107         8         255 SH      DEFINED    1          56     199       0
ACTION PERFORMANCE COS INC       COM               004933107         4         107 SH      DEFINED   10         107       0       0
ACTION PERFORMANCE COS INC       COM               004933107         3          99 SH      DEFINED   11          99       0       0
ACTEL CORP                       COM               004934105        66       4,500 SH      OTHER      9       4,500       0       0
ACUSON CORP                      COM               005113105       115       6,715 SH      OTHER      2       6,715       0       0
ACXIOM CORP                      COM               005125109       185       7,400 SH      OTHER      2       7,400       0       0
ADAC LABS                        COM NEW           005313200        21       2,900 SH      OTHER      2       2,900       0       0
ADAC LABS                        COM NEW           005313200        73      10,100 SH      OTHER      9      10,100       0       0
ADAMS EXPRESS CO                 COM               006212104        54       1,869 SH      DEFINED    5       1,444     425       0
ADAMS EXPRESS CO                 COM               006212104       233       8,000 SH      DEFINED   10       8,000       0       0
ADAPTEC INC                      OPTION            00651F108     1,766         500 PUT     OTHER      2         500       0       0
ADAPTEC INC                      COM               00651F108     5,578     157,965 SH      OTHER      2     157,465       0     500
ADAPTEC INC                      COM               00651F108       430      12,180 SH      OTHER      9      12,180       0       0
ADELPHIA COMMUNICATIONS CORP     CL A              006848105         8         121 SH      DEFINED    1          28      93       0
ADELPHIA COMMUNICATIONS CORP     CL A              006848105        13         200 SH      OTHER      2           0       0     200
ADELPHIA COMMUNICATIONS CORP     CL A              006848105         3          55 SH      DEFINED    5          55       0       0
ADELPHIA COMMUNICATIONS CORP     CL A              006848105         3          50 SH      DEFINED   10          50       0       0
ADELPHIA COMMUNICATIONS CORP     CL A              006848105         3          48 SH      DEFINED   11          48       0       0
ADELPHIA COMMUNICATIONS CORP     PFD CV SER D      006848402       436       2,170 SH      OTHER      2       2,170       0       0
ADELPHIA COMMUNICATIONS CORP     PFD CV SER D      006848402        13          65 SH      DEFINED    5          65       0       0
ADELPHIA COMMUNICATIONS CORP     PFD CV SER D      006848402         4          20 SH      DEFINED    6          20       0       0
ADEPT TECHNOLOGY INC             COM               006854103        15       1,500 SH      OTHER      2           0       0   1,500
ADMINISTRADORA FONDOS PENSIONE   SPON ADR          00709P108        40       1,800 SH      OTHER      9       1,800       0       0
ADOBE SYS INC                    OPTION            00724F101        82          10 CALL    OTHER      2          10       0       0
ADOBE SYS INC                    OPTION            00724F101       181          22 PUT     OTHER      2          22       0       0
ADOBE SYS INC                    COM               00724F101     4,868      59,253 SH      OTHER      2      59,253       0       0
ADOBE SYS INC                    COM               00724F101       977      11,886 SH      OTHER      9      11,886       0       0
ADTRAN INC                       OPTION            00738A106        11           3 CALL    OTHER      2           3       0       0
ADTRAN INC                       COM               00738A106         0          11 SH      OTHER      2          11       0       0
ADVANCED DIGITAL INFORMATION     COM               007525108        10         255 SH      DEFINED    1           0     255       0
ADVANCED LTG TECHNOLOGIES        COM               00753C102        36       4,000 SH      OTHER      2       4,000       0       0
ADVANCED FIBRE COMMUNICATIONS    OPTION            00754A105        16          10 CALL    OTHER      2          10       0       0
ADVANCED FIBRE COMMUNICATIONS    COM               00754A105       316      20,214 SH      OTHER      2      20,214       0       0
ADVANCED FIBRE COMMUNICATIONS    COM               00754A105       547      35,000 SH      OTHER      9      35,000       0       0
ADVANCED RADIO TELECOM CORP      COM               00754U101       101       7,000 SH      OTHER      2       7,000       0       0
ADVANCED TISSUE SCIENCES INC     COM               00755F103        76      23,400 SH      OTHER      2      23,400       0       0
ADVEST GROUP INC                 COM               007566102         0          12 SH      OTHER      2          12       0       0
ADVANTICA RESTAURANT GROUP INC   COM               00758B109         1         200 SH      OTHER      2         200       0       0
AERIAL COMMUNICATIONS INC        COM               007655103         8         600 SH      OTHER      2           0       0     600
AEROCENTURY CORP                 COM               007737109         3         364 SH      DEFINED   11           0     364       0
ADVANCED MICRO DEVICES INC       OPTION            007903107       182         101 CALL    OTHER      2         101       0       0
ADVANCED MICRO DEVICES INC       COM               007903107     1,594      88,245 SH      OTHER      2      87,539       0     706
ADVANCED MICRO DEVICES INC       COM               007903107       304      16,844 SH      OTHER      9      16,844       0       0
AEGON N V                        ORD AMER REG      007924103       464       6,281 SH      DEFINED    1       2,981   3,300       0
AEGON N V                        ORD AMER REG      007924103     3,302      44,666 SH      OTHER      2      38,700       0   5,966
AEGON N V                        ORD AMER REG      007924103       193       2,604 SH      DEFINED    5       2,604       0       0
AEGON N V                        ORD AMER REG      007924103       624       8,442 SH      DEFINED    6       8,242     200       0
AEGON N V                        ORD AMER REG      007924103     4,763      64,425 SH      DEFINED   10      59,984   4,441       0
AEGON N V                        ORD AMER REG      007924103        70         941 SH      DEFINED   11         941       0       0
AETNA INC                        COM               008117103       429       4,801 SH      DEFINED    1       3,693   1,108       0
AETNA INC                        COM               008117103     3,235      36,172 SH      OTHER      2      35,923       0     249
AETNA INC                        COM               008117103       356       3,980 SH      DEFINED    5       3,782     198       0
AETNA INC                        COM               008117103       493       5,511 SH      DEFINED    6       5,336     175       0
AETNA INC                        COM               008117103       909      10,168 SH      OTHER      9      10,168       0       0
AETNA INC                        COM               008117103       249       2,784 SH      DEFINED   10       2,027     757       0
AETNA INC                        COM               008117103       257       2,877 SH      DEFINED   11         275   2,602       0
AFFILIATED COMPUTER SERVICES     CL A              008190100         8         150 SH      DEFINED    1         150       0       0
AFFILIATED COMPUTER SERVICES     CL A              008190100       614      12,129 SH      OTHER      2      12,129       0       0
AFFILIATED COMPUTER SERVICES     CL A              008190100        11         219 SH      DEFINED   10         219       0       0
AFFILIATED COMPUTER SERVICES     SB NT CV    4%05  008190AD2        20      15,000 PRN     DEFINED    5      15,000       0       0
AFFILIATED COMPUTER SERVICES     SB NT CV    4%05  008190AD2         5       4,000 PRN     DEFINED    6       4,000       0       0
AFFILIATED MANAGERS GROUP        COM               008252108     3,444     114,095 SH      OTHER      2      62,745       0  51,350
AFFILIATED MANAGERS GROUP        COM               008252108       106       3,500 SH      OTHER      9       3,500       0       0
AFFYMETRIX INC                   COM               00826T108       777      15,730 SH      OTHER      2      15,730       0       0
AGNICO EAGLE MINES LTD           COM               008474108        12       2,000 SH      OTHER      2           0       0   2,000
AGNICO EAGLE MINES LTD           SRNT CONV 3.5%04  008474AA6       328     534,000 PRN     OTHER      2     534,000       0       0
AGRIBIOTECH INC NEV              COM               008494106         4         700 SH      OTHER      2         700       0       0
AGRIBRANDS INTL INC              COM               00849R105         6         150 SH      DEFINED   10           0     150       0
AGRIBRANDS INTL INC              COM               00849R105         3          64 SH      DEFINED   11          64       0       0
AIR EXPRESS INTL CORP            OPTION            009104100        76          30 CALL    OTHER      2          30       0       0
AIR EXPRESS INTL CORP            COM               009104100       198       7,801 SH      OTHER      2       7,801       0       0
AIR EXPRESS INTL CORP            COM               009104100        13         500 SH      DEFINED   10         500       0       0
AIR PRODS & CHEMS INC            COM               009158106       869      21,580 SH      DEFINED    1      16,590   4,990       0
AIR PRODS & CHEMS INC            COM               009158106   319,538   7,938,836 SH      OTHER      2   7,938,071       0     765
AIR PRODS & CHEMS INC            COM               009158106       206       5,120 SH      DEFINED    5       3,670   1,450       0
AIR PRODS & CHEMS INC            COM               009158106       451      11,205 SH      DEFINED    6       6,855   4,350       0
AIR PRODS & CHEMS INC            COM               009158106       600      14,916 SH      OTHER      9      14,916       0       0
AIR PRODS & CHEMS INC            COM               009158106       442      10,989 SH      DEFINED   10       7,825   3,164       0
AIR PRODS & CHEMS INC            COM               009158106     1,527      37,950 SH      DEFINED   11      32,600   5,350       0
AIRBORNE FGHT CORP               COM               009266107       584      21,090 SH      OTHER      2      18,390       0   2,700
AIRGAS INC                       COM               009363102       215      17,564 SH      OTHER      2      17,564       0       0
AIRNET SYS INC                   COM               009417106       857      63,461 SH      OTHER      2      63,461       0       0
AIRNET SYS INC                   COM               009417106         6         445 SH      DEFINED   11         445       0       0
AIRTRAN HLDGS INC                COM               00949P108         0          20 SH      OTHER      2          20       0       0
AIRTRAN HLDGS INC                COM               00949P108         6       1,000 SH      DEFINED    5       1,000       0       0
AIRTOUCH COMMUNICATIONS INC      COM               00949T100         4          41 SH      DEFINED    1          41       0       0
AIRTOUCH COMMUNICATIONS INC      COM               00949T100   275,941   2,563,170 SH      OTHER      2   2,563,170       0       0
AIRTOUCH COMMUNICATIONS INC      COM               00949T100        11         100 SH      DEFINED    6           0     100       0
AIRTOUCH COMMUNICATIONS INC      COM               00949T100     3,857      35,827 SH      OTHER      9      35,827       0       0
AIRTOUCH COMMUNICATIONS INC      PFD C CV 4.25%    00949T308        74         500 SH      DEFINED    1           0     500       0
AIRTOUCH COMMUNICATIONS INC      PFD C CV 4.25%    00949T308     7,590      51,395 SH      OTHER      2      51,395       0       0
AIRTOUCH COMMUNICATIONS INC      PFD C CV 4.25%    00949T308        37         250 SH      DEFINED    5         250       0       0
AKTIEBOLAGETT ELECTROLUX         SPON ADR          010198208        34         800 SH      DEFINED    1         800       0       0
AKTIEBOLAGETT ELECTROLUX         SPON ADR          010198208       165       3,922 SH      OTHER      2       3,922       0       0
AKTIEBOLAGETT ELECTROLUX         SPON ADR          010198208        11         250 SH      DEFINED    5         250       0       0
AKTIEBOLAGETT ELECTROLUX         SPON ADR          010198208         4          84 SH      DEFINED    6          84       0       0
AKTIEBOLAGETT ELECTROLUX         SPON ADR          010198208       129       3,081 SH      DEFINED   10       2,951     130       0
AKTIEBOLAGETT ELECTROLUX         SPON ADR          010198208         7         173 SH      DEFINED   11         173       0       0
AKZO NOBEL NV                    SPON ADR          010199305       138       3,255 SH      DEFINED    1       2,875     380       0
AKZO NOBEL NV                    SPON ADR          010199305       465      10,963 SH      OTHER      2      10,913       0      50
AKZO NOBEL NV                    SPON ADR          010199305        10         235 SH      DEFINED    5          35     200       0
AKZO NOBEL NV                    SPON ADR          010199305        49       1,150 SH      DEFINED    6       1,150       0       0
AKZO NOBEL NV                    SPON ADR          010199305        48       1,140 SH      DEFINED   10         905     235       0
AKZO NOBEL NV                    SPON ADR          010199305       193       4,565 SH      DEFINED   11       3,230   1,335       0
ALARIS MED INC                   COM               011637105        49      14,600 SH      OTHER      2      14,600       0       0
ALASKA AIR GROUP INC             OPTION            011659109        25           6 CALL    OTHER      2           6       0       0
ALASKA AIR GROUP INC             COM               011659109         6         150 SH      DEFINED    1         150       0       0
ALASKA AIR GROUP INC             COM               011659109       705      16,878 SH      OTHER      2       6,464       0  10,414
ALASKA AIR GROUP INC             COM               011659109        79       1,900 SH      OTHER      9       1,900       0       0
ALASKA AIR GROUP INC             COM               011659109         5         123 SH      DEFINED   10         123       0       0
ALBANY INTL CORP                 CL A              012348108       155       7,369 SH      OTHER      2       7,369       0       0
ALBANY INTL CORP                 CL A              012348108         9         412 SH      DEFINED    5           0     412       0
ALBANY INTL CORP                 CL A              012348108         8         360 SH      DEFINED   10         360       0       0
ALBEMARLE CORP                   COM               012653101        19         800 SH      DEFINED    1         800       0       0
ALBEMARLE CORP                   COM               012653101       268      11,578 SH      OTHER      2      11,578       0       0
ALBEMARLE CORP                   COM               012653101         2         100 SH      DEFINED    5         100       0       0
ALBERTO CULVER CO                CL B CONV         013068101     3,640     136,695 SH      OTHER      2     132,495       0   4,200
ALBERTO CULVER CO                CL B CONV         013068101       120       4,506 SH      OTHER      9       4,506       0       0
ALBERTSONS INC                   OPTION            013104104        15           3 CALL    OTHER      2           3       0       0
ALBERTSONS INC                   COM               013104104       244       4,735 SH      DEFINED    1       4,135     600       0
ALBERTSONS INC                   COM               013104104    25,712     498,666 SH      OTHER      2     467,835       0  30,831
ALBERTSONS INC                   COM               013104104       119       2,300 SH      OTHER      4           0       0   2,300
ALBERTSONS INC                   COM               013104104        75       1,455 SH      DEFINED    5       1,105     350       0
ALBERTSONS INC                   COM               013104104       164       3,176 SH      DEFINED    6         816   2,360       0
ALBERTSONS INC                   COM               013104104       254       4,923 SH      OTHER      9       4,923       0       0
ALBERTSONS INC                   COM               013104104       840      16,286 SH      DEFINED   10      15,786     500       0
ALBERTSONS INC                   COM               013104104        52       1,015 SH      DEFINED   11         515     500       0
ALCAN ALUMINIUM LTD NEW          COM               013716105        54       1,700 SH      OTHER      1       1,700       0       0
ALCAN ALUMINIUM LTD NEW          COM               013716105         4         125 SH      DEFINED    1           0     125       0
ALCAN ALUMINIUM LTD NEW          COM               013716105     7,088     221,937 SH      OTHER      2     221,727       0     210
ALCAN ALUMINIUM LTD NEW          COM               013716105         5         144 SH      DEFINED    5         144       0       0
ALCAN ALUMINIUM LTD NEW          COM               013716105       470      14,701 SH      OTHER      9      14,701       0       0
ALCAN ALUMINIUM LTD NEW          COM               013716105        16         513 SH      DEFINED   10         513       0       0
ALCAN ALUMINIUM LTD NEW          COM               013716105        25         787 SH      DEFINED   11           0     787       0
ALCOA INC                        OPTION            013817101        25           4 CALL    OTHER      2           4       0       0
ALCOA INC                        OPTION            013817101     3,094         500 CALL    OTHER      9         500       0       0
ALCOA INC                        COM               013817101    13,097     211,666 SH      DEFINED    1     179,448  32,218       0
ALCOA INC                        COM               013817101     3,984      64,390 SH      OTHER      2      55,415       0   8,975
ALCOA INC                        COM               013817101       105       1,700 SH      OTHER      4           0       0   1,700
ALCOA INC                        COM               013817101     8,881     143,529 SH      DEFINED    5     116,416  27,113       0
ALCOA INC                        COM               013817101     7,678     124,091 SH      DEFINED    6     109,591  14,500       0
ALCOA INC                        COM               013817101        27         432 SH      OTHER      9         432       0       0
ALCOA INC                        COM               013817101     6,761     109,272 SH      DEFINED   10     100,120   9,152       0
ALCOA INC                        COM               013817101     6,255     101,094 SH      DEFINED   11      80,467  20,627       0
ALCATEL                          OPTION            013904305        28          10 PUT     OTHER      2          10       0       0
ALCATEL                          SPON ADR          013904305       969      34,153 SH      DEFINED    1      33,753     400       0
ALCATEL                          SPON ADR          013904305     6,511     229,451 SH      OTHER      2     229,451       0       0
ALCATEL                          SPON ADR          013904305       338      11,925 SH      DEFINED    5       5,125   6,800       0
ALCATEL                          SPON ADR          013904305       678      23,887 SH      DEFINED    6      18,180   5,707       0
ALCATEL                          SPON ADR          013904305       129       4,539 SH      OTHER      9       4,539       0       0
ALCATEL                          SPON ADR          013904305       588      20,710 SH      DEFINED   10      20,710       0       0
ALCATEL                          SPON ADR          013904305     1,171      41,285 SH      DEFINED   11      39,910   1,375       0
ALDILA INC                       COM               014384101        30      16,233 SH      OTHER      2      16,233       0       0
ALEXANDER & BALDWIN INC          COM               014482103       255      11,468 SH      OTHER      2      10,968       0     500
ALFA CORP                        COM               015385107        21       1,034 SH      OTHER      2       1,034       0       0
ALFA CORP                        COM               015385107        90       4,500 SH      DEFINED   11       4,000     500       0
ALIANT COMMUNICATIONS INC        COM               016090102     6,693     144,912 SH      OTHER      2     141,187       0   3,725
ALIANT COMMUNICATIONS INC        COM               016090102        41         892 SH      DEFINED   11         892       0       0
ALKERMES INC                     COM               01642T108       442      19,130 SH      OTHER      2      19,130       0       0
ALL AMERN TERM TR INC            COM               016440109         9         734 SH      DEFINED    1         734       0       0
ALLEGHANY CORP DEL               COM               017175100        91         494 SH      DEFINED    1         494       0       0
ALLEGHENY ENERGY INC             COM               017361106       286       8,925 SH      DEFINED    1       7,375   1,550       0
ALLEGHENY ENERGY INC             COM               017361106    40,052   1,249,212 SH      OTHER      2   1,248,844       0     368
ALLEGHENY ENERGY INC             COM               017361106     1,393      43,437 SH      DEFINED    5      35,125   8,312       0
ALLEGHENY ENERGY INC             COM               017361106       582      18,166 SH      DEFINED    6      16,180   1,986       0
ALLEGHENY ENERGY INC             COM               017361106     1,135      35,409 SH      DEFINED   10      27,185   8,224       0
ALLEGHENY ENERGY INC             COM               017361106       349      10,900 SH      DEFINED   11       8,400   2,500       0
ALLEGHENY TELEDYNE INC           COM               017415100       690      30,515 SH      OTHER      2      28,515       0   2,000
ALLEGHENY TELEDYNE INC           COM               017415100       284      12,536 SH      OTHER      9      12,536       0       0
ALLEGHENY TELEDYNE INC           COM               017415100         6         250 SH      DEFINED   10         250       0       0
ALLEGHENY TELEDYNE INC           COM               017415100        60       2,646 SH      DEFINED   11       2,646       0       0
ALLEGIANCE TELECOM INC           OPTION            01747T102        82          15 CALL    OTHER      2          15       0       0
ALLEN TELECOM INC                COM               018091108         3         268 SH      DEFINED   11         268       0       0
ALLERGAN INC                     OPTION            018490102       111          10 CALL    OTHER      2          10       0       0
ALLERGAN INC                     COM               018490102        44         400 SH      DEFINED    1         400       0       0
ALLERGAN INC                     COM               018490102    10,113      91,106 SH      OTHER      2      90,356       0     750
ALLERGAN INC                     COM               018490102        68         610 SH      DEFINED    5         110     500       0
ALLERGAN INC                     COM               018490102       587       5,290 SH      OTHER      9       5,290       0       0
ALLERGAN INC                     COM               018490102       151       1,356 SH      DEFINED   10         524     832       0
ALLERGAN INC                     COM               018490102        94         850 SH      DEFINED   11         500     350       0
ALLIANCE ALL MARKET ADVANTAGE    COM               01852M108        51       1,147 SH      OTHER      2           0       0   1,147
ALLIANCE CAP MGMT L P            UNIT LTD PARTN    018548107       808      25,000 SH      OTHER      2           0       0  25,000
ALLIANCE PHARMACEUTICAL CORP     COM               018773101         3       1,000 SH      DEFINED   10       1,000       0       0
ALLIANCE WORLD DLR GV FD II      COM               01879R106        31       3,122 SH      OTHER      2           0       0   3,122
ALLIANT CORP                     COM               018802108        16         570 SH      DEFINED    1         570       0       0
ALLIANT CORP                     COM               018802108    37,903   1,335,792 SH      OTHER      2   1,335,459       0     333
ALLIANT CORP                     COM               018802108        51       1,805 SH      DEFINED    5       1,577     228       0
ALLIANT CORP                     COM               018802108         8         277 SH      DEFINED    6         277       0       0
ALLIANT CORP                     COM               018802108         4         126 SH      DEFINED   11           0     126       0
ALLIED CAP CORP NEW              OPTION            01903Q108         5           2 CALL    OTHER      2           2       0       0
ALLIED HLDGS INC                 COM               019223106         8       1,000 SH      DEFINED    5       1,000       0       0
ALLIED IRISH BKS P L C           SPONSD ADR ORD    019228402       740      27,150 SH      DEFINED    1      27,150       0       0
ALLIED IRISH BKS P L C           SPONSD ADR ORD    019228402     1,200      44,025 SH      DEFINED    5      41,925   2,100       0
ALLIED IRISH BKS P L C           SPONSD ADR ORD    019228402       209       7,671 SH      DEFINED    6       7,671       0       0
ALLIED IRISH BKS P L C           SPONSD ADR ORD    019228402       645      23,666 SH      DEFINED   10      22,956     710       0
ALLIED IRISH BKS P L C           SPONSD ADR ORD    019228402       722      26,483 SH      DEFINED   11      24,293   2,190       0
ALLIEDSIGNAL INC                 COM               019512102     4,880      77,458 SH      DEFINED    1      70,751   6,707       0
ALLIEDSIGNAL INC                 COM               019512102     5,590      88,727 SH      OTHER      2      88,131       0     596
ALLIEDSIGNAL INC                 COM               019512102     6,991     110,974 SH      DEFINED    5      90,573  20,401       0
ALLIEDSIGNAL INC                 COM               019512102     2,147      34,080 SH      DEFINED    6      27,998   6,082       0
ALLIEDSIGNAL INC                 COM               019512102     1,121      17,790 SH      DEFINED   10      16,990     800       0
ALLIEDSIGNAL INC                 COM               019512102     1,888      29,968 SH      DEFINED   11      26,635   3,333       0
ALLIED WASTE INDS INC            OPTION            019589308     4,740       2,400 CALL    OTHER      2       2,400       0       0
ALLIED WASTE INDS INC            COM PAR$.01NEW    019589308     2,600     131,628 SH      OTHER      2     122,228       0   9,400
ALLMERICA FINL CORP              COM               019754100        12         200 SH      DEFINED    1         200       0       0
ALLMERICA FINL CORP              COM               019754100       948      15,594 SH      OTHER      2      13,989       0   1,605
ALLMERICA FINL CORP              COM               019754100        21         349 SH      DEFINED    5           0     349       0
ALLMERICA FINL CORP              COM               019754100        18         300 SH      OTHER      9         300       0       0
ALLMERICA FINL CORP              COM               019754100        16         264 SH      DEFINED   11         264       0       0
ALLSTATE CORP                    OPTION            020002101        68          19 CALL    OTHER      2          19       0       0
ALLSTATE CORP                    COM               020002101     1,390      38,732 SH      DEFINED    1      36,044   2,688       0
ALLSTATE CORP                    COM               020002101     9,816     273,607 SH      OTHER      2     220,834       0  52,773
ALLSTATE CORP                    COM               020002101     5,690     158,600 SH      OTHER      4           0       0 158,600
ALLSTATE CORP                    COM               020002101       716      19,957 SH      DEFINED    5      15,555   4,402       0
ALLSTATE CORP                    COM               020002101       723      20,149 SH      DEFINED    6      16,203   3,946       0
ALLSTATE CORP                    COM               020002101     1,894      52,805 SH      OTHER      9      52,805       0       0
ALLSTATE CORP                    COM               020002101       885      24,681 SH      DEFINED   10      21,678   3,003       0
ALLSTATE CORP                    COM               020002101     1,091      30,410 SH      DEFINED   11      22,202   8,208       0
ALLTEL CORP                      OPTION            020039103        21           3 CALL    OTHER      2           3       0       0
ALLTEL CORP                      COM               020039103       397       5,552 SH      DEFINED    1       4,907     645       0
ALLTEL CORP                      COM               020039103   398,691   5,576,103 SH      OTHER      2   5,535,918       0  40,185
ALLTEL CORP                      COM               020039103       379       5,302 SH      DEFINED    5       3,258   2,044       0
ALLTEL CORP                      COM               020039103       754      10,550 SH      DEFINED    6       1,300   9,250       0
ALLTEL CORP                      COM               020039103     1,171      16,379 SH      OTHER      9      16,379       0       0
ALLTEL CORP                      COM               020039103       614       8,591 SH      DEFINED   10       8,591       0       0
ALLTEL CORP                      COM               020039103       112       1,564 SH      DEFINED   11         994     570       0
ALPHA INDS INC                   COM               020753109         3          70 SH      DEFINED    1          70       0       0
ALPHA INDS INC                   COM               020753109        57       1,200 SH      OTHER      2       1,200       0       0
ALPHA INDS INC                   COM               020753109         4          77 SH      DEFINED   10          77       0       0
ALPHARMA INC                     CL A              020813101     5,718     160,800 SH      OTHER      2     160,800       0       0
ALTA GOLD CO                     COM               021271101         0       1,041 SH      OTHER      2           0       0   1,041
ALTERA CORP                      COM               021441100        60       1,628 SH      DEFINED    1       1,329     299       0
ALTERA CORP                      COM               021441100     6,089     165,405 SH      OTHER      2     157,405       0   8,000
ALTERA CORP                      COM               021441100        23         629 SH      DEFINED    5         229     400       0
ALTERA CORP                      COM               021441100         3          70 SH      DEFINED    6           0      70       0
ALTERA CORP                      COM               021441100       703      19,091 SH      OTHER      9      19,091       0       0
ALTERA CORP                      COM               021441100        19         504 SH      DEFINED   10         254     250       0
ALTERA CORP                      COM               021441100        63       1,704 SH      DEFINED   11         912     792       0
ALTERNATIVE RESOURCES CORP       COM               02145R102        15       2,200 SH      OTHER      2       2,200       0       0
ALTERRA HEALTHCARE CORP          COM               02146C104        21       1,500 SH      DEFINED    6           0   1,500       0
ALTOS HORNOS DE MEXICO SA        SR NT CV  5.5%01  022069AA6       870   1,000,000 PRN     OTHER      9   1,000,000       0       0
ALZA CORP DEL                    OPTION            022615108       102          20 PUT     OTHER      2          20       0       0
ALZA CORP DEL                    COM               022615108     4,987      98,024 SH      OTHER      2      94,624       0   3,400
ALZA CORP DEL                    COM               022615108       188       3,700 SH      DEFINED    5       3,700       0       0
ALZA CORP DEL                    COM               022615108        46         900 SH      DEFINED    6           0     900       0
ALZA CORP DEL                    COM               022615108       188       3,700 SH      OTHER      9       3,700       0       0
ALZA CORP DEL                    COM               022615108        17         335 SH      DEFINED   10         335       0       0
ALZA CORP DEL                    COM               022615108         2          47 SH      DEFINED   11           0      47       0
ALZA CORP DEL                    WT EXP  123199    022615157        59     475,312 SH      OTHER      2     475,312       0       0
ALZA CORP DEL                    SUB LYON ZERO 14  022615AC2     7,220  11,065,000 PRN     OTHER      2  11,065,000       0       0
ALZA CORP DEL                    SUB DB CONV 5%06  022615AD0    16,829  12,217,000 PRN     OTHER      2  12,192,000       0  25,000
AMAZON COM INC                   OPTION            023135106     2,540         203 CALL    OTHER      2         203       0       0
AMAZON COM INC                   OPTION            023135106       676          54 PUT     OTHER      2          54       0       0
AMAZON COM INC                   COM               023135106        38         300 SH      DEFINED    1           0     300       0
AMAZON COM INC                   COM               023135106     6,618      52,889 SH      OTHER      2      48,493       0   4,396
AMAZON COM INC                   COM               023135106       292       2,334 SH      OTHER      9       2,334       0       0
AMAZON COM INC                   COM               023135106         3          20 SH      DEFINED   11           0      20       0
AMBAC FINL GROUP INC             COM               023139108         8         133 SH      DEFINED    1         133       0       0
AMBAC FINL GROUP INC             COM               023139108     1,054      18,458 SH      OTHER      2      17,158       0   1,300
AMBAC FINL GROUP INC             COM               023139108        44         770 SH      DEFINED    5         770       0       0
AMBAC FINL GROUP INC             COM               023139108        19         324 SH      DEFINED    6         324       0       0
AMBAC FINL GROUP INC             COM               023139108        29         500 SH      OTHER      9         500       0       0
AMBAC FINL GROUP INC             COM               023139108        72       1,252 SH      DEFINED   10         535     717       0
AMBAC FINL GROUP INC             COM               023139108         3          55 SH      DEFINED   11           0      55       0
AMBASSADORS INTL INC             COM               023178106        71       4,789 SH      OTHER      2       4,789       0       0
AMCOR LTD                        ADR NEW           02341R302        31       1,357 SH      OTHER      2       1,357       0       0
AMERADA HESS CORP                OPTION            023551104     1,743         293 CALL    OTHER      2         293       0       0
AMERADA HESS CORP                COM               023551104        26         434 SH      DEFINED    1           0     434       0
AMERADA HESS CORP                COM               023551104       791      13,298 SH      OTHER      2      13,288       0      10
AMERADA HESS CORP                COM               023551104     1,002      16,837 SH      OTHER      9      16,837       0       0
AMERADA HESS CORP                COM               023551104        79       1,320 SH      DEFINED   10           0   1,320       0
AMERADA HESS CORP                COM               023551104       119       2,000 SH      DEFINED   11           0   2,000       0
AMEREN CORP                      COM               023608102        43       1,115 SH      DEFINED    1         857     258       0
AMEREN CORP                      COM               023608102    53,604   1,396,854 SH      OTHER      2   1,396,454       0     400
AMEREN CORP                      COM               023608102        48       1,250 SH      DEFINED    5       1,250       0       0
AMEREN CORP                      COM               023608102        54       1,400 SH      DEFINED    6         600     800       0
AMEREN CORP                      COM               023608102       337       8,788 SH      OTHER      9       8,788       0       0
AMEREN CORP                      COM               023608102       137       3,563 SH      DEFINED   11         679   2,884       0
AMERICA ONLINE INC DEL           OPTION            02364J104    17,677       1,607 CALL    OTHER      2       1,577       0      30
AMERICA ONLINE INC DEL           OPTION            02364J104     8,954         814 PUT     OTHER      2         814       0       0
AMERICA ONLINE INC DEL           OPTION            02364J104     4,400         400 PUT     OTHER      9         400       0       0
AMERICA ONLINE INC DEL           COM               02364J104     1,030       9,362 SH      DEFINED    1       7,762   1,600       0
AMERICA ONLINE INC DEL           COM               02364J104    42,749     388,626 SH      OTHER      2     279,363       0 109,263
AMERICA ONLINE INC DEL           COM               02364J104       140       1,277 SH      DEFINED    5         127   1,150       0
AMERICA ONLINE INC DEL           COM               02364J104       582       5,289 SH      DEFINED    6       5,097     192       0
AMERICA ONLINE INC DEL           COM               02364J104        44         401 SH      OTHER      9         401       0       0
AMERICA ONLINE INC DEL           COM               02364J104       232       2,113 SH      DEFINED   10       1,587     526       0
AMERICA ONLINE INC DEL           COM               02364J104       598       5,435 SH      DEFINED   11       2,315   3,120       0
AMERICA ONLINE INC DEL           SUB NT CONV 4%02  02364JAB0     6,162     729,000 PRN     OTHER      2     729,000       0       0
AMERICA WEST HLDG CORP           CL B              023657208         9         499 SH      DEFINED    1         133     366       0
AMERICA WEST HLDG CORP           CL B              023657208       167       8,855 SH      OTHER      2       3,605       0   5,250
AMERICA WEST HLDG CORP           CL B              023657208        98       5,200 SH      OTHER      9       5,200       0       0
AMERICA WEST HLDG CORP           CL B              023657208         4         198 SH      DEFINED   10         198       0       0
AMERICA WEST HLDG CORP           CL B              023657208         4         189 SH      DEFINED   11         189       0       0
AMERICAN ANNUITY GROUP INC       COM               023840101       227       9,347 SH      DEFINED    6           0   9,347       0
AMCORE FINL INC                  COM               023912108       100       4,330 SH      DEFINED    5       4,330       0       0
AMERICAN AXLE & MFG HLDGS INC    COM               024061103       378      27,000 SH      OTHER      2      25,000       0   2,000
AMERICAN AXLE & MFG HLDGS INC    COM               024061103         7         495 SH      DEFINED   11         495       0       0
AMERICAN BANKERS INS GROUP INC   COM               024456105         5         100 SH      DEFINED    1         100       0       0
AMERICAN BANKERS INS GROUP INC   COM               024456105       103       1,900 SH      OTHER      9       1,900       0       0
AMERICAN BANKERS INS GROUP INC   COM               024456105         5          85 SH      DEFINED   11           0      85       0
AMERICAN BUSINESS PRODS GA       COM               024763104         0           2 SH      OTHER      2           2       0       0
AMERICAN BUSINESS PRODS GA       COM               024763104       346      22,674 SH      DEFINED    6      22,674       0       0
AMERICAN ECOLOGY CORP            COM               025533100         0          79 SH      DEFINED   11          79       0       0
AMERICAN ELEC PWR INC            COM               025537101       124       3,296 SH      DEFINED    1       3,296       0       0
AMERICAN ELEC PWR INC            COM               025537101    25,702     684,265 SH      OTHER      2     683,465       0     800
AMERICAN ELEC PWR INC            COM               025537101       591      15,738 SH      DEFINED    5       9,913   5,825       0
AMERICAN ELEC PWR INC            COM               025537101       114       3,035 SH      DEFINED    6       3,035       0       0
AMERICAN ELEC PWR INC            COM               025537101       429      11,420 SH      OTHER      9      11,420       0       0
AMERICAN ELEC PWR INC            COM               025537101       132       3,518 SH      DEFINED   10       3,518       0       0
AMERICAN ELEC PWR INC            COM               025537101        19         500 SH      DEFINED   11           0     500       0
AMERICAN EAGLE OUTFITTERS NEW    COM               02553E106        18         400 SH      DEFINED    1         400       0       0
AMERICAN EAGLE OUTFITTERS NEW    COM               02553E106     7,350     161,540 SH      OTHER      2     161,540       0       0
AMERICAN EAGLE OUTFITTERS NEW    COM               02553E106         4          98 SH      DEFINED    5          98       0       0
AMERICAN EAGLE OUTFITTERS NEW    COM               02553E106         5         108 SH      DEFINED   10         108       0       0
AMERICAN EAGLE OUTFITTERS NEW    COM               02553E106        36         800 SH      DEFINED   11         500     300       0
AMERICAN EXPRESS CO              OPTION            025816109    53,052       4,077 CALL    OTHER      2       4,077       0       0
AMERICAN EXPRESS CO              COM               025816109       847       6,506 SH      DEFINED    1       4,306   2,200       0
AMERICAN EXPRESS CO              COM               025816109       465       3,570 SH      OTHER      1       3,570       0       0
AMERICAN EXPRESS CO              COM               025816109    13,349     102,589 SH      OTHER      2      72,672       0  29,917
AMERICAN EXPRESS CO              COM               025816109    14,898     114,490 SH      OTHER      4           0       0 114,490
AMERICAN EXPRESS CO              COM               025816109       705       5,419 SH      DEFINED    5       3,400   2,019       0
AMERICAN EXPRESS CO              COM               025816109       412       3,163 SH      DEFINED    6       2,827     336       0
AMERICAN EXPRESS CO              COM               025816109       874       6,720 SH      DEFINED   10       4,222   2,498       0
AMERICAN EXPRESS CO              COM               025816109       539       4,139 SH      DEFINED   11       2,482   1,657       0
AMERICAN FINL GROUP INC OHIO     COM               025932104       514      15,087 SH      OTHER      2      15,087       0       0
AMERICAN FINL GROUP INC OHIO     COM               025932104     1,576      46,276 SH      DEFINED    6           0  46,276       0
AMERICAN FREIGHTWAYS CORP        COM               02629V108       119       6,100 SH      OTHER      9       6,100       0       0
AMERICAN GENERAL CORP            COM               026351106       520       6,895 SH      DEFINED    1       3,411   3,484       0
AMERICAN GENERAL CORP            COM               026351106    11,241     149,131 SH      OTHER      2     115,266       0  33,865
AMERICAN GENERAL CORP            COM               026351106       229       3,035 SH      DEFINED    5       3,035       0       0
AMERICAN GENERAL CORP            COM               026351106       150       1,991 SH      DEFINED    6         353   1,638       0
AMERICAN GENERAL CORP            COM               026351106     1,174      15,578 SH      OTHER      9      15,578       0       0
AMERICAN GENERAL CORP            COM               026351106       161       2,135 SH      DEFINED   10       1,535     600       0
AMERICAN GENERAL CORP            COM               026351106       380       5,035 SH      DEFINED   11       4,735     300       0
AMERICAN GENERAL CORP            PFD CONV 7%       026351809       111       1,795 SH      DEFINED    5       1,795       0       0
AMERICAN GREETINGS CORP          CL A              026375105       329      10,913 SH      OTHER      2      10,313       0     600
AMERICAN GREETINGS CORP          CL A              026375105       143       4,761 SH      OTHER      9       4,761       0       0
AMERICAN GEN DEL L L C           MIPS SER A        02637G200        84         900 SH      OTHER      2           0       0     900
AMERICAN HERITAGE LIFE INVT      COM               026522102        37       1,500 SH      DEFINED    5       1,500       0       0
AMERICAN HERITAGE LIFE INVT      COM               026522102       270      11,000 SH      DEFINED   11           0  11,000       0
AMERICAN HOME PRODS CORP         OPTION            026609107     4,051         706 CALL    OTHER      2         706       0       0
AMERICAN HOME PRODS CORP         OPTION            026609107       109          19 PUT     OTHER      2          19       0       0
AMERICAN HOME PRODS CORP         COM               026609107       108       1,890 SH      OTHER      1       1,890       0       0
AMERICAN HOME PRODS CORP         COM               026609107    13,595     236,943 SH      DEFINED    1     213,420  23,523       0
AMERICAN HOME PRODS CORP         COM               026609107   211,387   3,684,297 SH      OTHER      2   3,656,140       0  28,157
AMERICAN HOME PRODS CORP         COM               026609107       109       1,900 SH      OTHER      4           0       0   1,900
AMERICAN HOME PRODS CORP         COM               026609107     8,926     155,576 SH      DEFINED    5     109,176  46,400       0
AMERICAN HOME PRODS CORP         COM               026609107    10,617     185,051 SH      DEFINED    6     117,368  67,683       0
AMERICAN HOME PRODS CORP         COM               026609107     4,422      77,080 SH      OTHER      9      77,080       0       0
AMERICAN HOME PRODS CORP         COM               026609107     2,843      49,552 SH      DEFINED   10      34,415  15,137       0
AMERICAN HOME PRODS CORP         COM               026609107     3,568      62,179 SH      DEFINED   11      33,740  28,439       0
AMERICAN HOMESTAR CORP           COM               026651109        41       6,000 SH      OTHER      2           0       0   6,000
AMERICAN INDL PPTYS REIT         COM NEW           026791202         0           1 SH      OTHER      2           1       0       0
AMERICAN INTL GROUP INC          OPTION            026874107    49,491       4,221 CALL    OTHER      2       4,221       0       0
AMERICAN INTL GROUP INC          COM               026874107       344       2,936 SH      OTHER      1       2,936       0       0
AMERICAN INTL GROUP INC          COM               026874107    18,426     157,151 SH      DEFINED    1     130,437  26,714       0
AMERICAN INTL GROUP INC          COM               026874107    74,251     633,274 SH      OTHER      2     509,371       0 123,903
AMERICAN INTL GROUP INC          COM               026874107    16,726     142,656 SH      OTHER      4           0       0 142,656
AMERICAN INTL GROUP INC          COM               026874107    14,862     126,756 SH      DEFINED    5     105,842  20,914       0
AMERICAN INTL GROUP INC          COM               026874107     9,959      84,938 SH      DEFINED    6      62,458  22,480       0
AMERICAN INTL GROUP INC          COM               026874107     6,111      52,119 SH      OTHER      9      52,119       0       0
AMERICAN INTL GROUP INC          COM               026874107    13,037     111,187 SH      DEFINED   10      95,922  15,265       0
AMERICAN INTL GROUP INC          COM               026874107    12,780     109,000 SH      DEFINED   11      81,653  27,347       0
AMERICAN ISRAELI PAPER MLS LTD   ORD IS 10         027069509         3          59 SH      OTHER      2          59       0       0
AMERICAN MGMT SYS INC            COM               027352103       451      14,070 SH      OTHER      2      14,070       0       0
AMERICAN MED SEC GROUP INC       COM               02744P101        22       2,500 SH      OTHER      2       2,500       0       0
AMERICAN MED SEC GROUP INC       COM               02744P101         6         715 SH      DEFINED   10         715       0       0
AMERICAN MOBILE SATELLITE CORP   COM               02755R103        46       2,800 SH      OTHER      2       2,800       0       0
AMERICAN NATL INS CO             COM               028591105         0           1 SH      DEFINED    1           0       1       0
AMERICAN NATL INS CO             COM               028591105        14         200 SH      OTHER      2         200       0       0
AMERICAN PWR CONVERSION CORP     COM               029066107        48       2,403 SH      DEFINED    1       2,177     226       0
AMERICAN PWR CONVERSION CORP     COM               029066107     6,822     339,004 SH      OTHER      2     339,004       0       0
AMERICAN PWR CONVERSION CORP     COM               029066107         8         403 SH      DEFINED    5         403       0       0
AMERICAN PWR CONVERSION CORP     COM               029066107       225      11,177 SH      OTHER      9      11,177       0       0
AMERICAN PWR CONVERSION CORP     COM               029066107        12         583 SH      DEFINED   10         583       0       0
AMERICAN PWR CONVERSION CORP     COM               029066107       153       7,618 SH      DEFINED   11       2,318   5,300       0
AMERICAN PRECISION IND DEL       COM               029069101         0           1 SH      OTHER      2           1       0       0
AMERICAN PRECISION IND DEL       COM               029069101         1         102 SH      DEFINED   11         102       0       0
AMERICAN SELECT PORTFOLIO INC    COM               029570108        86       7,300 SH      OTHER      2           0       0   7,300
AMERICAN SKIING CO               COM               029654308        18       4,400 SH      OTHER      2       4,400       0       0
AMERICAN STD COS INC DEL         COM               029712106       834      17,368 SH      OTHER      2      17,368       0       0
AMERICAN STD COS INC DEL         COM               029712106         5         100 SH      OTHER      9         100       0       0
AMERICAN STS WTR CO              COM               029899101        11         400 SH      DEFINED    5         400       0       0
AMERICAN TOWER CORP              CL A              029912201       784      32,685 SH      OTHER      2      17,100       0  15,585
AMERICAN TOWER CORP              CL A              029912201         2          71 SH      DEFINED   11           0      71       0
AMERICAN STRATEGIC INCM PTFL     COM               030098107       122      10,415 SH      OTHER      2           0       0  10,415
AMERN STRATEGIC INCOME PTFL II   COM               030099105        90       7,644 SH      OTHER      2           0       0   7,644
AMERICAN WTR WKS INC             OPTION            030411102     3,075       1,000 CALL    OTHER      2       1,000       0       0
AMERICAN WTR WKS INC             COM               030411102       643      20,910 SH      OTHER      2      20,210       0     700
AMERICAN WTR WKS INC             COM               030411102        13         407 SH      DEFINED    5           0     407       0
AMERICAN WTR WKS INC             COM               030411102        62       2,000 SH      DEFINED    6       2,000       0       0
AMERICAN XTAL TECHNOLOGY INC     COM               030514103        12         515 SH      DEFINED    1         300     215       0
AMERICAN XTAL TECHNOLOGY INC     COM               030514103         7         298 SH      DEFINED   10         298       0       0
AMERICREDIT CORP                 COM               03060R101        15         908 SH      OTHER      2           0       0     908
AMERICREDIT CORP                 COM               03060R101       104       6,500 SH      OTHER      9       6,500       0       0
AMERIPATH INC                    OPTION            03071D109       173         200 CALL    OTHER      2         200       0       0
AMERISOURCE HEALTH CORP          CL A              03071P102         8         304 SH      DEFINED    1          68     236       0
AMERISOURCE HEALTH CORP          CL A              03071P102         3         129 SH      DEFINED   10         129       0       0
AMERISOURCE HEALTH CORP          CL A              03071P102         3         120 SH      DEFINED   11         120       0       0
AMERITRADE HLDG CORP             OPTION            03072H109       307          29 CALL    OTHER      2          29       0       0
AMERITRADE HLDG CORP             OPTION            03072H109       233          22 PUT     OTHER      2          22       0       0
AMERITRADE HLDG CORP             CL A              03072H109       325       3,069 SH      OTHER      2       3,069       0       0
AMES DEPT STORES INC             COM NEW           030789507        21         461 SH      DEFINED    1          43     418       0
AMES DEPT STORES INC             COM NEW           030789507         4          81 SH      DEFINED   10          81       0       0
AMES DEPT STORES INC             COM NEW           030789507         4          77 SH      DEFINED   11          77       0       0
AMERITECH CORP NEW               OPTION            030954101       287          39 CALL    OTHER      2          39       0       0
AMERITECH CORP NEW               COM               030954101     2,170      29,527 SH      DEFINED    1      21,761   7,766       0
AMERITECH CORP NEW               COM               030954101   428,224   5,826,173 SH      OTHER      2   5,807,246       0  18,927
AMERITECH CORP NEW               COM               030954101     5,390      73,339 SH      DEFINED    5      44,035  29,304       0
AMERITECH CORP NEW               COM               030954101     2,571      34,984 SH      DEFINED    6      22,068  12,916       0
AMERITECH CORP NEW               COM               030954101     9,170     124,768 SH      OTHER      9     124,768       0       0
AMERITECH CORP NEW               COM               030954101     1,519      20,667 SH      DEFINED   10      20,667       0       0
AMERITECH CORP NEW               COM               030954101     2,927      39,826 SH      DEFINED   11      22,602  17,224       0
AMERIGAS PARTNERS L P            UNIT L P INT      030975106        24       1,200 SH      DEFINED    5           0   1,200       0
AMETEK INC NEW                   COM               031100100       181       7,869 SH      OTHER      2       7,869       0       0
AMETEK INC NEW                   COM               031100100        18         800 SH      DEFINED    6         800       0       0
AMETEK INC NEW                   COM               031100100        15         668 SH      DEFINED   11         668       0       0
AMGEN INC                        OPTION            031162100    10,343       1,699 CALL    OTHER      2       1,699       0       0
AMGEN INC                        OPTION            031162100     8,979       1,475 PUT     OTHER      2       1,475       0       0
AMGEN INC                        COM               031162100     5,100      83,785 SH      DEFINED    1      71,220  12,565       0
AMGEN INC                        COM               031162100    22,730     373,395 SH      OTHER      2     244,419       0 128,976
AMGEN INC                        COM               031162100     4,373      71,840 SH      DEFINED    5      63,915   7,925       0
AMGEN INC                        COM               031162100       941      15,450 SH      DEFINED    6      12,435   3,015       0
AMGEN INC                        COM               031162100     3,111      51,110 SH      OTHER      9      51,110       0       0
AMGEN INC                        COM               031162100     2,085      34,245 SH      DEFINED   10      31,835   2,410       0
AMGEN INC                        COM               031162100     3,485      57,255 SH      DEFINED   11      53,820   3,435       0
AMKOR TECHNOLOGY INC             COM               031652100       543      53,000 SH      OTHER      2      53,000       0       0
AMKOR TECHNOLOGY INC             COM               031652100       123      12,000 SH      OTHER      9      12,000       0       0
AMRESCO INC                      COM               031909104       515      80,000 SH      OTHER      2           0       0  80,000
AMPCO-PITTSBURGH CORP            COM               032037103        11         892 SH      DEFINED   11         892       0       0
AMPEX CORP DEL                   CL A              032092108        11       2,195 SH      DEFINED    1           0   2,195       0
AMSOUTH BANCORPORATION           COM               032165102       629      27,119 SH      OTHER      2      26,276       0     843
AMSOUTH BANCORPORATION           COM               032165102       177       7,651 SH      DEFINED    5       6,975     676       0
AMSOUTH BANCORPORATION           COM               032165102       265      11,443 SH      OTHER      9      11,443       0       0
AMWAY JAPAN LTD                  SPON ADR          03234J100         1         127 SH      OTHER      1         127       0       0
AMWAY JAPAN LTD                  SPON ADR          03234J100       362      72,410 SH      OTHER      2      72,035       0     375
AMWAY JAPAN LTD                  SPON ADR          03234J100         6       1,250 SH      DEFINED    5           0   1,250       0
AMVESCAP PLC                     SPON ADR          03235E100        37         800 SH      OTHER      2           0       0     800
AMVESCAP PLC                     SPON ADR          03235E100         1          30 SH      DEFINED    6          30       0       0
AMVESCAP PLC                     SPON ADR          03235E100         6         125 SH      DEFINED   10          79      46       0
AMVESCAP PLC                     SPON ADR          03235E100         1          13 SH      DEFINED   11          13       0       0
ANADARKO PETE CORP               COM               032511107     2,085      56,628 SH      OTHER      2      53,228       0   3,400
ANADARKO PETE CORP               COM               032511107       635      17,254 SH      OTHER      9      17,254       0       0
ANADARKO PETE CORP               COM               032511107         2          61 SH      DEFINED   11           0      61       0
ANADIGICS INC                    OPTION            032515108        37          10 CALL    OTHER      2          10       0       0
ANADIGICS INC                    COM               032515108        25         665 SH      DEFINED   11         665       0       0
ANALOG DEVICES INC               OPTION            032654105     6,012       1,198 CALL    OTHER      2       1,198       0       0
ANALOG DEVICES INC               COM               032654105     3,199      63,735 SH      OTHER      2      54,735       0   9,000
ANALOG DEVICES INC               COM               032654105        48         961 SH      DEFINED    5           0     961       0
ANALOG DEVICES INC               COM               032654105       649      12,939 SH      OTHER      9      12,939       0       0
ANALOGIC CORP                    COM PAR $0.05     032657207         3         110 SH      DEFINED    1           0     110       0
ANALYSTS INTL CORP               COM               032681108         3         200 SH      OTHER      2         200       0       0
ANALYSTS INTL CORP               COM               032681108        15       1,050 SH      DEFINED   11       1,050       0       0
ANCHOR GAMING                    OPTION            033037102     4,878       1,015 CALL    OTHER      2       1,015       0       0
ANCHOR GAMING                    COM               033037102     1,056      21,980 SH      OTHER      2      21,980       0       0
ANDREW CORP                      COM               034425108     3,263     172,334 SH      OTHER      2     172,334       0       0
ANDREW CORP                      COM               034425108        97       5,144 SH      OTHER      9       5,144       0       0
ANESTA CORP                      OPTION            034603100        41          20 PUT     OTHER      2          20       0       0
ANGLO AMERN PLC                  ADR               03485P102        23         485 SH      OTHER      2         485       0       0
ANGLO AMERN PLC                  ADR               03485P102         2          35 SH      DEFINED    6          35       0       0
ANGLO AMERN PLC                  ADR               03485P102        19         400 SH      OTHER      9         400       0       0
ANGLO AMERN PLC                  ADR               03485P102         7         147 SH      DEFINED   10          92      55       0
ANGLO AMERN PLC                  ADR               03485P102         1          27 SH      DEFINED   11          27       0       0
ANGLOGOLD LTD                    OPTION            035128206        65          30 CALL    OTHER      2          30       0       0
ANGLOGOLD LTD                    SPON ADR          035128206        11         521 SH      OTHER      2           0       0     521
ANHEUSER BUSCH COS INC           OPTION            035229103        71          10 CALL    OTHER      2          10       0       0
ANHEUSER BUSCH COS INC           COM               035229103       684       9,644 SH      DEFINED    1       8,711     933       0
ANHEUSER BUSCH COS INC           COM               035229103   221,990   3,129,393 SH      OTHER      2   3,111,924       0  17,469
ANHEUSER BUSCH COS INC           COM               035229103     2,401      33,842 SH      DEFINED    5      28,742   5,100       0
ANHEUSER BUSCH COS INC           COM               035229103       510       7,194 SH      DEFINED    6       6,594     600       0
ANHEUSER BUSCH COS INC           COM               035229103     2,661      37,519 SH      OTHER      9      37,519       0       0
ANHEUSER BUSCH COS INC           COM               035229103       700       9,867 SH      DEFINED   10       6,771   3,096       0
ANHEUSER BUSCH COS INC           COM               035229103     1,901      26,797 SH      DEFINED   11       9,219  17,578       0
ANICOM INC                       OPTION            035250109        21          20 CALL    OTHER      2          20       0       0
ANICOM INC                       COM               035250109        13       1,225 SH      DEFINED   11       1,225       0       0
ANNALY MTG MGMT INC              COM               035710409        45       4,000 SH      OTHER      2           0       0   4,000
ANNTAYLOR STORES CORP            COM               036115103        72       1,600 SH      OTHER      9       1,600       0       0
ANTEC CORP                       COM               03664P105        10         316 SH      OTHER      2           0       0     316
ANTEC CORP                       COM               03664P105        87       2,700 SH      OTHER      9       2,700       0       0
ANTEC CORP                       COM               03664P105         1          33 SH      DEFINED   11           0      33       0
ANTHRACITE CAP INC               COM               037023108        43       6,500 SH      OTHER      2       6,500       0       0
AO TATNEFT                       SPONS ADR RG S    03737P306       386     103,000 SH      OTHER      2     103,000       0       0
AON CORP                         OPTION            037389103       619         150 CALL    OTHER      2         150       0       0
AON CORP                         OPTION            037389103     1,526         370 PUT     OTHER      2         370       0       0
AON CORP                         COM               037389103       290       7,020 SH      DEFINED    1       7,020       0       0
AON CORP                         COM               037389103    10,644     258,033 SH      OTHER      2     257,321       0     712
AON CORP                         COM               037389103        19         460 SH      DEFINED    5         123     337       0
AON CORP                         COM               037389103       618      14,991 SH      OTHER      9      14,991       0       0
AON CORP                         COM               037389103        15         360 SH      DEFINED   10         360       0       0
AON CORP                         COM               037389103        43       1,050 SH      DEFINED   11       1,050       0       0
APACHE CORP                      COM               037411105        21         550 SH      DEFINED    1         550       0       0
APACHE CORP                      COM               037411105     1,486      38,091 SH      OTHER      2      16,491       0  21,600
APACHE CORP                      COM               037411105         8         215 SH      DEFINED    5         215       0       0
APACHE CORP                      COM               037411105       715      18,321 SH      OTHER      9      18,321       0       0
APACHE CORP                      COM               037411105         7         171 SH      DEFINED   10         171       0       0
APACHE CORP                      COM               037411105        62       1,600 SH      DEFINED   11       1,100     500       0
APARTMENT INVT & MGMT CO         CL A              03748R101     4,287     100,291 SH      OTHER      2      99,470       0     821
APEX MORTGAGE CAPITAL            COM               037564101        13       1,000 SH      DEFINED   10       1,000       0       0
APEX MUN FD INC                  COM               037580107        48       4,709 SH      DEFINED    5       4,709       0       0
APEX MUN FD INC                  COM               037580107        21       2,015 SH      DEFINED    6       2,015       0       0
APEX MUN FD INC                  COM               037580107        17       1,666 SH      DEFINED   11       1,666       0       0
APOLLO GROUP INC                 CL A              037604105       972      36,606 SH      OTHER      2      35,606       0   1,000
APOLLO GROUP INC                 CL A              037604105       258       9,700 SH      OTHER      9       9,700       0       0
APOLLO GROUP INC                 CL A              037604105        27       1,000 SH      DEFINED   10       1,000       0       0
APOLLO GROUP INC                 CL A              037604105         2          75 SH      DEFINED   11           0      75       0
APPLE COMPUTER INC               OPTION            037833100       338          73 CALL    OTHER      2          73       0       0
APPLE COMPUTER INC               OPTION            037833100        46          10 PUT     OTHER      2          10       0       0
APPLE COMPUTER INC               COM               037833100        12         255 SH      DEFINED    1         154     101       0
APPLE COMPUTER INC               COM               037833100     3,753      81,030 SH      OTHER      2      80,280       0     750
APPLE COMPUTER INC               COM               037833100       167       3,600 SH      OTHER      9       3,600       0       0
APPLE COMPUTER INC               COM               037833100        20         426 SH      DEFINED   10         426       0       0
APPLE COMPUTER INC               COM               037833100        72       1,555 SH      DEFINED   11       1,555       0       0
APPLEBEES INTL INC               COM               037899101        65       2,147 SH      OTHER      2       2,147       0       0
APPLEBEES INTL INC               COM               037899101        27         900 SH      OTHER      9         900       0       0
APPLIED INNOVATION INC           COM               037916103         4         800 SH      DEFINED    6         800       0       0
APRIA HEALTHCARE GROUP INC       COM               037933108       216      12,699 SH      OTHER      2      12,699       0       0
APPLIED GRAPHICS TECHNOLOGIES    COM               037937109        78       6,140 SH      OTHER      2       6,140       0       0
APEX PC SOLUTIONS INC            COM               037945102        18         900 SH      OTHER      2         900       0       0
APPLIED EXTRUSION TECHNOLOGIES   COM               038196101        36       4,738 SH      OTHER      2       4,738       0       0
APPLIED MATLS INC                OPTION            038222105    33,909       4,590 CALL    OTHER      2       4,590       0       0
APPLIED MATLS INC                OPTION            038222105     1,655         224 PUT     OTHER      2         224       0       0
APPLIED MATLS INC                COM               038222105         7         100 SH      DEFINED    1         100       0       0
APPLIED MATLS INC                COM               038222105     8,840     119,656 SH      OTHER      2      96,553       0  23,103
APPLIED MATLS INC                COM               038222105       148       2,000 SH      DEFINED    6           0   2,000       0
APPLIED MATLS INC                COM               038222105     2,580      34,926 SH      OTHER      9      34,926       0       0
APPLIED MATLS INC                COM               038222105       222       3,000 SH      DEFINED   10       3,000       0       0
APPLIED PWR INC                  CL A              038225108         0           3 SH      OTHER      2           3       0       0
APTARGROUP INC                   COM               038336103        36       1,200 SH      DEFINED    1       1,200       0       0
AQUA ALLIANCE INC                CL A              038367108        78      50,000 SH      OTHER      2      50,000       0       0
ARACRUZ CELULOSE S A             SPNSR ADR CL B    038496204       114       5,200 SH      OTHER      9       5,200       0       0
ARCH CHEMICALS INC               COM               03937R102        22         925 SH      OTHER      2           0       0     925
ARCHER DANIELS MIDLAND CO        COM               039483102     1,591     103,062 SH      DEFINED    1      89,148  13,914       0
ARCHER DANIELS MIDLAND CO        COM               039483102     2,571     166,554 SH      OTHER      2      91,403       0  75,151
ARCHER DANIELS MIDLAND CO        COM               039483102       154       9,949 SH      DEFINED    5       9,129     820       0
ARCHER DANIELS MIDLAND CO        COM               039483102       688      44,578 SH      DEFINED    6      22,193  22,385       0
ARCHER DANIELS MIDLAND CO        COM               039483102       715      46,317 SH      OTHER      9      46,317       0       0
ARCHER DANIELS MIDLAND CO        COM               039483102       390      25,294 SH      DEFINED   10      17,146   8,148       0
ARCHER DANIELS MIDLAND CO        COM               039483102     1,326      85,888 SH      DEFINED   11      80,867   5,021       0
ARCHSTONE CMNTYS TR              SH BEN INT        039581103    38,958   1,775,912 SH      OTHER      2   1,745,059       0  30,853
ARCHSTONE CMNTYS TR              SH BEN INT        039581103        35       1,616 SH      DEFINED    5           0   1,616       0
ARCHSTONE CMNTYS TR              SH BEN INT        039581103       103       4,700 SH      OTHER      9       4,700       0       0
ARCHSTONE CMNTYS TR              SH BEN INT        039581103        48       2,200 SH      DEFINED   11           0   2,200       0
ARDEN RLTY GROUP INC             COM               039793104         6         240 SH      DEFINED    1         240       0       0
ARDEN RLTY GROUP INC             COM               039793104    22,614     918,347 SH      OTHER      2     918,347       0       0
ARDEN RLTY GROUP INC             COM               039793104         2         100 SH      DEFINED    6           0     100       0
ARDEN RLTY GROUP INC             COM               039793104        76       3,100 SH      OTHER      9       3,100       0       0
ARDEN RLTY GROUP INC             COM               039793104         6         250 SH      DEFINED   10         250       0       0
ARGENTARIA CAJA POSTAL Y BANCO   SPON ADR          04011W108     2,128      46,270 SH      OTHER      2      46,270       0       0
ARGONAUT GROUP INC               COM               040157109        20         825 SH      DEFINED   11         825       0       0
ARIS CORP                        COM               04040A101        13       1,600 SH      OTHER      2       1,600       0       0
ARIZONA LD INCOME CORP           CL A              040515108        53       9,500 SH      OTHER      2           0       0   9,500
ARK RESTAURANTS CORP             COM               040712101        33       3,000 SH      OTHER      2           0       0   3,000
ARMCO INC                        COM               042170100         1         190 SH      DEFINED    1         190       0       0
ARMCO INC                        COM               042170100        33       5,000 SH      DEFINED    5           0   5,000       0
ARMCO INC                        PFD CV $2.10      042170209         4         100 SH      DEFINED    5           0     100       0
ARMCO INC                        PFD CV $4.50      042170308        50       1,000 SH      DEFINED    5       1,000       0       0
ARMCO INC                        PFD CV $4.50      042170308        37         750 SH      DEFINED   11         750       0       0
ARMOR HOLDINGS INC               COM               042260109        11       1,060 SH      DEFINED    1           0   1,060       0
ARMOR HOLDINGS INC               COM               042260109        21       2,000 SH      DEFINED    5       2,000       0       0
ARMSTRONG WORLD INDS INC         COM               042476101     3,861      66,785 SH      OTHER      2      61,985       0   4,800
ARMSTRONG WORLD INDS INC         COM               042476101        40         700 SH      DEFINED    6           0     700       0
ARMSTRONG WORLD INDS INC         COM               042476101       140       2,428 SH      OTHER      9       2,428       0       0
ARMSTRONG WORLD INDS INC         COM               042476101        29         500 SH      DEFINED   10         500       0       0
ARMSTRONG WORLD INDS INC         COM               042476101         6         100 SH      DEFINED   11         100       0       0
ARNOLD INDS INC                  COM               042595108        98       6,319 SH      OTHER      2       6,319       0       0
ARROW ELECTRS INC                COM               042735100       447      23,524 SH      OTHER      2      23,524       0       0
ARROW ELECTRS INC                COM               042735100        44       2,300 SH      OTHER      9       2,300       0       0
ARROW INTL INC                   COM               042764100         5         190 SH      DEFINED    1           0     190       0
ARROW INTL INC                   COM               042764100        31       1,190 SH      DEFINED   11       1,190       0       0
ARTESYN TECHNOLOGIES INC         COM               043127109         7         295 SH      DEFINED    1           0     295       0
ARTESYN TECHNOLOGIES INC         COM               043127109         3         150 SH      OTHER      2         150       0       0
ARVIN INDS INC                   COM               043339100       240       6,333 SH      OTHER      2       6,333       0       0
ARVIN INDS INC                   COM               043339100        98       2,600 SH      OTHER      9       2,600       0       0
ASARCO INC                       COM               043413103        17         900 SH      DEFINED    1         900       0       0
ASARCO INC                       COM               043413103       107       5,694 SH      OTHER      2       5,694       0       0
ASARCO INC                       COM               043413103        65       3,450 SH      DEFINED    5         450   3,000       0
ASARCO INC                       COM               043413103        65       3,450 SH      DEFINED    6       2,750     700       0
ASARCO INC                       COM               043413103        54       2,885 SH      OTHER      9       2,885       0       0
ASARCO INC                       COM               043413103         7         350 SH      DEFINED   10         350       0       0
ASARCO INC                       COM               043413103       159       8,450 SH      DEFINED   11       7,050   1,400       0
ASCEND COMMUNICATIONS INC        COM               043491109         0          32 SH      OTHER      2          32       0       0
ASCEND COMMUNICATIONS INC        COM               043491109         0       3,871 SH      OTHER      9       3,871       0       0
ASHANTI GOLDFIELDS LTD           GLOB DEP RCPT     043743202        90      12,955 SH      OTHER      2       6,550       0   6,405
ASHLAND INC                      COM               044204105       230       5,730 SH      DEFINED    1       5,730       0       0
ASHLAND INC                      COM               044204105       445      11,093 SH      OTHER      2      11,093       0       0
ASHLAND INC                      COM               044204105        96       2,400 SH      DEFINED    5           0   2,400       0
ASHLAND INC                      COM               044204105       455      11,333 SH      OTHER      9      11,333       0       0
ASHLAND INC                      COM               044204105        72       1,800 SH      DEFINED   10           0   1,800       0
ASHLAND INC                      COM               044204105        18         450 SH      DEFINED   11           0     450       0
ASIA PAC FD INC                  COM               044901106        10       1,000 SH      OTHER      2           0       0   1,000
ASIA PAC FD INC                  COM               044901106         7         714 SH      DEFINED    6           0     714       0
ASIA TIGERS FD INC               COM               04516T105       575      60,500 SH      OTHER      2           0       0  60,500
ASIA PULP & PAPER LTD            SPON ADR          04516V100       156      16,228 SH      OTHER      2      16,228       0       0
ASIA PULP & PAPER LTD            SPON ADR          04516V100        18       1,900 SH      OTHER      9       1,900       0       0
ASIA PULP & PAPER LTD            WT EXP  072700    04516V209       151      57,654 SH      OTHER      2      49,474       0   8,180
ASIA PULP & PAPER LTD            WT EXP  072700    04516V209       138      52,700 SH      OTHER      9      52,700       0       0
ASIA SATELLITE TELECOMMUNCNT     SPON ADR          04516X106       346      15,000 SH      OTHER      2           0       0  15,000
ASPEC TECHNOLOGY INC             COM               045233103         5       6,000 SH      OTHER      2       6,000       0       0
ASSOCIATED BANC CORP             COM               045487105       653      15,730 SH      OTHER      2      15,730       0       0
ASSOCIATED BANC CORP             COM               045487105        32         765 SH      DEFINED   11         765       0       0
ASSOCIATED ESTATES RLTY CORP     COM               045604105     2,032     172,000 SH      OTHER      2     162,000       0  10,000
ASSOCIATED GROUP INC             CL A              045651106       195       3,000 SH      OTHER      2       3,000       0       0
ASSOCIATED GROUP INC             CL B              045651205         1          15 SH      OTHER      2          15       0       0
AT HOME CORP                     OPTION            045919107     1,009         187 CALL    OTHER      2         187       0       0
AT HOME CORP                     OPTION            045919107       173          32 PUT     OTHER      2          32       0       0
AT HOME CORP                     COM SER A         045919107        54       1,000 SH      DEFINED    1       1,000       0       0
AT HOME CORP                     COM SER A         045919107     9,282     172,098 SH      OTHER      2     138,264       0  33,834
AT HOME CORP                     COM SER A         045919107       110       2,041 SH      DEFINED    6       2,041       0       0
AT HOME CORP                     COM SER A         045919107     1,208      22,400 SH      OTHER      9      22,400       0       0
AT HOME CORP                     SB DB CV 144A 18  045919AA5     4,194   5,292,000 PRN     OTHER      2   5,292,000       0       0
ASSOCIATES FIRST CAP CORP        OPTION            046008108    26,850       6,085 CALL    OTHER      2       6,085       0       0
ASSOCIATES FIRST CAP CORP        CL A              046008108       751      17,013 SH      DEFINED    1      13,915   3,098       0
ASSOCIATES FIRST CAP CORP        CL A              046008108     8,401     190,394 SH      OTHER      2     179,994       0  10,400
ASSOCIATES FIRST CAP CORP        CL A              046008108    18,693     423,638 SH      OTHER      4           0       0 423,638
ASSOCIATES FIRST CAP CORP        CL A              046008108       483      10,945 SH      DEFINED    5       6,142   4,803       0
ASSOCIATES FIRST CAP CORP        CL A              046008108       113       2,572 SH      DEFINED    6       1,724     848       0
ASSOCIATES FIRST CAP CORP        CL A              046008108     1,995      45,207 SH      OTHER      9      45,207       0       0
ASSOCIATES FIRST CAP CORP        CL A              046008108     1,125      25,503 SH      DEFINED   10      15,477  10,026       0
ASSOCIATES FIRST CAP CORP        CL A              046008108       579      13,129 SH      DEFINED   11       9,537   3,592       0
ASTORIA FINL CORP                COM               046265104       727      16,541 SH      OTHER      2      13,561       0   2,980
ASTRAZENECA PLC                  SPON ADR          046353108       235       6,002 SH      DEFINED    1       2,843   3,159       0
ASTRAZENECA PLC                  SPON ADR          046353108     8,745     223,153 SH      OTHER      2     223,153       0       0
ASTRAZENECA PLC                  SPON ADR          046353108         3          70 SH      DEFINED    5          70       0       0
ASTRAZENECA PLC                  SPON ADR          046353108        26         670 SH      DEFINED    6         670       0       0
ASTRAZENECA PLC                  SPON ADR          046353108       137       3,489 SH      DEFINED   10       3,102     387       0
ASTRAZENECA PLC                  SPON ADR          046353108       144       3,675 SH      DEFINED   11       2,074   1,601       0
ATLANTIC COAST AIRLINES HLDGS    COM               048396105        13         675 SH      OTHER      2         675       0       0
ATLANTIC RICHFIELD CO            OPTION            048825103       100          12 CALL    OTHER      2          12       0       0
ATLANTIC RICHFIELD CO            COM               048825103     1,037      12,410 SH      DEFINED    1       8,842   3,568       0
ATLANTIC RICHFIELD CO            COM               048825103     4,426      52,961 SH      OTHER      2      50,181       0   2,780
ATLANTIC RICHFIELD CO            COM               048825103       889      10,633 SH      DEFINED    5       6,658   3,975       0
ATLANTIC RICHFIELD CO            COM               048825103     1,768      21,152 SH      DEFINED    6       4,536  16,616       0
ATLANTIC RICHFIELD CO            COM               048825103     5,436      65,057 SH      OTHER      9      65,057       0       0
ATLANTIC RICHFIELD CO            COM               048825103       873      10,452 SH      DEFINED   10       4,709   5,743       0
ATLANTIC RICHFIELD CO            COM               048825103       533       6,373 SH      DEFINED   11       3,949   2,424       0
ATLANTIC RICHFIELD CO            PREF CV $2.80     048825400        17          68 SH      DEFINED    1           0      68       0
ATLANTIC RICHFIELD CO            PREF CV $2.80     048825400        20          80 SH      DEFINED    5          80       0       0
ATLAS AIR INC                    OPTION            049164106       693         215 CALL    OTHER      2         215       0       0
ATLAS AIR INC                    COM               049164106        30         940 SH      OTHER      9         940       0       0
ATMEL CORP                       OPTION            049513104        34          13 CALL    OTHER      2          13       0       0
ATMEL CORP                       COM               049513104     1,535      58,606 SH      OTHER      2      57,606       0   1,000
ATMEL CORP                       COM               049513104        63       2,400 SH      OTHER      9       2,400       0       0
ATMOS ENERGY CORP                COM               049560105        55       2,200 SH      OTHER      2           0       0   2,200
ATMOS ENERGY CORP                COM               049560105        20         793 SH      DEFINED    5           0     793       0
ATMOS ENERGY CORP                COM               049560105         8         325 SH      DEFINED   11           0     325       0
ATRIX LABS INC                   COM               04962L101        10       1,000 SH      DEFINED    5           0   1,000       0
ATWOOD OCEANICS INC              COM               050095108         6         200 SH      DEFINED    1         200       0       0
ATWOOD OCEANICS INC              COM               050095108        81       2,600 SH      OTHER      9       2,600       0       0
ATWOOD OCEANICS INC              COM               050095108         7         211 SH      DEFINED   10         211       0       0
AUSPEX SYS INC                   COM               052116100        11       1,000 SH      OTHER      2           0       0   1,000
AUSTRALIA&NEW ZEALAND BKG GRP    SPON ADR          052528304       186       5,000 SH      OTHER      2       5,000       0       0
AUSTRALIA&NEW ZEALAND BKG GRP    SPON ADR          052528304        15         400 SH      DEFINED    6           0     400       0
AUTODESK INC                     COM               052769106     5,124     173,333 SH      OTHER      2     173,133       0     200
AUTODESK INC                     COM               052769106       271       9,166 SH      OTHER      9       9,166       0       0
AUTOLIV INC                      COM               052800109         5         153 SH      DEFINED    1         153       0       0
AUTOLIV INC                      COM               052800109        70       2,303 SH      OTHER      2       2,303       0       0
AUTOLIV INC                      COM               052800109        34       1,139 SH      DEFINED    5           0   1,139       0
AUTOLIV INC                      COM               052800109        19         640 SH      OTHER      9         640       0       0
AUTOLIV INC                      COM               052800109         5         153 SH      DEFINED   10         153       0       0
AUTOMATIC DATA PROCESSING INC    OPTION            053015103        35           8 CALL    OTHER      2           8       0       0
AUTOMATIC DATA PROCESSING INC    COM               053015103     1,484      33,734 SH      DEFINED    1      25,984   7,750       0
AUTOMATIC DATA PROCESSING INC    COM               053015103    23,997     545,391 SH      OTHER      2     439,648       0 105,743
AUTOMATIC DATA PROCESSING INC    COM               053015103     1,502      34,129 SH      DEFINED    5      21,649  12,480       0
AUTOMATIC DATA PROCESSING INC    COM               053015103     1,590      36,125 SH      DEFINED    6      21,535  14,590       0
AUTOMATIC DATA PROCESSING INC    COM               053015103     1,961      44,557 SH      OTHER      9      44,557       0       0
AUTOMATIC DATA PROCESSING INC    COM               053015103     2,908      66,095 SH      DEFINED   10      52,175  13,920       0
AUTOMATIC DATA PROCESSING INC    COM               053015103     1,824      41,452 SH      DEFINED   11      22,282  19,170       0
AUTOMATIC DATA PROCESSING INC    LYON SUB ZERO 12  053015AC7        72      67,000 PRN     OTHER      2           0       0  67,000
AUTONATION INC                   OPTION            05329W102    20,226      11,355 CALL    OTHER      2      11,355       0       0
AUTONATION INC                   COM               05329W102        23       1,293 SH      DEFINED    1         328     965       0
AUTONATION INC                   COM               05329W102        74       4,148 SH      OTHER      2           9       0   4,139
AUTONATION INC                   COM               05329W102        39       2,200 SH      DEFINED    5         500   1,700       0
AUTONATION INC                   COM               05329W102        17         968 SH      DEFINED    6         968       0       0
AUTONATION INC                   COM               05329W102        36       2,000 SH      OTHER      9       2,000       0       0
AUTONATION INC                   COM               05329W102        14         760 SH      DEFINED   10         760       0       0
AUTONATION INC                   COM               05329W102        20       1,133 SH      DEFINED   11         618     515       0
AUTOWEB COM INC                  COM               053331104        26       1,759 SH      OTHER      2       1,759       0       0
AUTOZONE INC                     COM               053332102     3,463     114,969 SH      OTHER      2      49,624       0  65,345
AUTOZONE INC                     COM               053332102         1          30 SH      DEFINED    6          30       0       0
AUTOZONE INC                     COM               053332102       273       9,073 SH      OTHER      9       9,073       0       0
AUTOZONE INC                     COM               053332102        52       1,740 SH      DEFINED   10         220   1,520       0
AVADO BRANDS INC                 COM               05336P108        15       1,800 SH      OTHER      2       1,800       0       0
AVADO BRANDS INC                 COM               05336P108    20,938   2,500,000 SH      OTHER      9   2,500,000       0       0
AVALONBAY CMNTYS INC             COM               053484101    35,955     971,770 SH      OTHER      2     966,456       0   5,314
AVALONBAY CMNTYS INC             COM               053484101        22         595 SH      DEFINED    5         595       0       0
AVANT CORP                       OPTION            053487104        13          10 PUT     OTHER      2          10       0       0
AVATAR HLDGS INC                 COM               053494100        30       1,600 SH      OTHER      2       1,600       0       0
AVERY DENNISON CORP              COM               053611109     3,873      64,143 SH      DEFINED    1      52,518  11,625       0
AVERY DENNISON CORP              COM               053611109   171,512   2,840,778 SH      OTHER      2   2,839,948       0     830
AVERY DENNISON CORP              COM               053611109     1,637      27,120 SH      DEFINED    5      23,700   3,420       0
AVERY DENNISON CORP              COM               053611109     3,818      63,230 SH      DEFINED    6      58,520   4,710       0
AVERY DENNISON CORP              COM               053611109       447       7,397 SH      OTHER      9       7,397       0       0
AVERY DENNISON CORP              COM               053611109     1,868      30,947 SH      DEFINED   10      26,457   4,490       0
AVERY DENNISON CORP              COM               053611109     1,919      31,791 SH      DEFINED   11      23,925   7,866       0
AVIALL INC NEW                   OPTION            05366B102        94          50 CALL    OTHER      2          50       0       0
AVIALL INC NEW                   COM               05366B102       124       6,600 SH      OTHER      9       6,600       0       0
AVIATION SALES CO                COM               053672101        99       2,500 SH      OTHER      9       2,500       0       0
AVIS RENT A CAR INC              COM               053790101        11         368 SH      DEFINED    1          82     286       0
AVIS RENT A CAR INC              COM               053790101       657      22,562 SH      OTHER      2           0       0  22,562
AVIS RENT A CAR INC              COM               053790101        96       3,300 SH      OTHER      9       3,300       0       0
AVIS RENT A CAR INC              COM               053790101         5         155 SH      DEFINED   10         155       0       0
AVIS RENT A CAR INC              COM               053790101         4         148 SH      DEFINED   11         148       0       0
AVISTA CORP                      COM               05379B107     1,116      68,650 SH      OTHER      2      68,300       0     350
AVISTA CORP                      COM               05379B107        49       3,000 SH      DEFINED    5       3,000       0       0
AVISTA CORP                      COM               05379B107        29       1,800 SH      DEFINED    6       1,800       0       0
AVISTA CORP                      COM               05379B107         2         100 SH      DEFINED   11         100       0       0
AVISTA CORP                      RECONS L 1/10S    05379B503        25       1,488 SH      OTHER      2           0       0   1,488
AVISTA CORP                      RECONS L 1/10S    05379B503         7         400 SH      DEFINED    5         400       0       0
AVISTA CORP                      RECONS L 1/10S    05379B503        94       5,500 SH      DEFINED   11           0   5,500       0
AVNET INC                        COM               053807103     2,760      59,346 SH      OTHER      2      59,346       0       0
AVNET INC                        COM               053807103        23         500 SH      DEFINED    5         500       0       0
AVNET INC                        COM               053807103         9         184 SH      DEFINED   11         184       0       0
AVON PRODS INC                   OPTION            054303102         6           1 CALL    OTHER      2           1       0       0
AVON PRODS INC                   COM               054303102       145       2,621 SH      DEFINED    1       2,541      80       0
AVON PRODS INC                   COM               054303102    11,622     209,414 SH      OTHER      2     141,954       0  67,460
AVON PRODS INC                   COM               054303102       198       3,560 SH      DEFINED    5       1,560   2,000       0
AVON PRODS INC                   COM               054303102       105       1,885 SH      DEFINED    6       1,170     715       0
AVON PRODS INC                   COM               054303102     2,804      50,528 SH      OTHER      9      50,528       0       0
AVON PRODS INC                   COM               054303102       327       5,895 SH      DEFINED   10       5,895       0       0
AVON PRODS INC                   COM               054303102       352       6,339 SH      DEFINED   11       5,979     360       0
AVONDALE INDS INC                COM               054350103       113       2,900 SH      OTHER      9       2,900       0       0
AXA SA                           SPON ADR          054536107        36         570 SH      DEFINED    1         570       0       0
AXA SA                           SPON ADR          054536107       130       2,080 SH      OTHER      1       2,080       0       0
AXA SA                           SPON ADR          054536107     1,146      18,396 SH      OTHER      2      18,396       0       0
AXA SA                           SPON ADR          054536107         2          32 SH      DEFINED    5           0      32       0
AXA SA                           SPON ADR          054536107         5          73 SH      DEFINED    6          73       0       0
AXA SA                           SPON ADR          054536107       144       2,317 SH      DEFINED   10       2,203     114       0
AXA SA                           SPON ADR          054536107         8         125 SH      DEFINED   11         125       0       0
AWARE INC MASS                   OPTION            05453N100         5           1 CALL    OTHER      2           1       0       0
AXENT TECHNOLOGIES INC           COM               05459C108       458      41,157 SH      OTHER      2      13,917       0  27,240
AXYS PHARMACEUTICALS INC         COM               054635107        37      11,000 SH      OTHER      2      11,000       0       0
AZTAR CORP                       COM               054802103         8         892 SH      DEFINED   11         892       0       0
AZTEC TECHNOLOGY PARTNERS INC    COM               05480L101         1         460 SH      DEFINED    6         460       0       0
BB&T CORP                        COM               054937107       245       6,689 SH      DEFINED    1       4,478   2,211       0
BB&T CORP                        COM               054937107     1,768      48,189 SH      OTHER      2      46,419       0   1,770
BB&T CORP                        COM               054937107       716      19,520 SH      OTHER      9      19,520       0       0
AZURIX CORP                      COM               05501M104     4,087     204,333 SH      OTHER      2     179,320       0  25,013
BCE INC                          COM               05534B109       875      17,750 SH      DEFINED    1      15,125   2,625       0
BCE INC                          COM               05534B109       289       5,870 SH      OTHER      1       3,235       0       0
BCE INC                          COM               05534B109       302       6,130 SH      OTHER      2       5,930       0     200
BCE INC                          COM               05534B109        10         200 SH      DEFINED    5         200       0       0
BCE INC                          COM               05534B109        91       1,850 SH      DEFINED    6       1,850       0       0
BCE INC                          COM               05534B109       104       2,100 SH      OTHER      9       2,100       0       0
BCE INC                          COM               05534B109        94       1,900 SH      DEFINED   10       1,900       0       0
BCE INC                          COM               05534B109       127       2,575 SH      DEFINED   11       2,575       0       0
BEC ENERGY                       COM               05538M101        71       1,730 SH      DEFINED    1         930     800       0
BEC ENERGY                       COM               05538M101     6,295     152,600 SH      OTHER      2     152,600       0       0
BEC ENERGY                       COM               05538M101       103       2,500 SH      DEFINED    5       2,100     400       0
BEC ENERGY                       COM               05538M101        50       1,200 SH      DEFINED    6           0   1,200       0
BEC ENERGY                       COM               05538M101        16         390 SH      DEFINED   10         390       0       0
BEC ENERGY                       COM               05538M101        41       1,000 SH      DEFINED   11       1,000       0       0
BEI TECHNOLOGIES INC             COM               05538P104         8         825 SH      DEFINED   11         825       0       0
BHC COMMUNICATIONS INC           CL A              055448104        29         224 SH      DEFINED   11         224       0       0
BISYS GROUP INC                  COM               055472104       264       4,505 SH      OTHER      2       4,505       0       0
BJ SVCS CO                       OPTION            055482103       103          35 CALL    OTHER      2          35       0       0
BJ SVCS CO                       COM               055482103         4         148 SH      DEFINED    1         148       0       0
BJ SVCS CO                       COM               055482103       707      24,015 SH      OTHER      2      17,465       0   6,550
BJ SVCS CO                       COM               055482103        29       1,000 SH      DEFINED    6       1,000       0       0
BJ SVCS CO                       WT EXP  041300    055482111        46       1,500 SH      OTHER      2           0       0   1,500
BJS WHOLESALE CLUB INC           COM               05548J106       550      18,304 SH      OTHER      2      18,304       0       0
BMC INDS INC MINN                COM               055607105        10       1,000 SH      OTHER      2           0       0   1,000
BMC INDS INC MINN                COM               055607105        11       1,085 SH      DEFINED   10       1,085       0       0
BP AMOCO P L C                   SPON ADR          055622104     8,502      78,362 SH      DEFINED    1      44,710  33,652       0
BP AMOCO P L C                   SPON ADR          055622104     1,187      10,942 SH      OTHER      2       1,855       0   9,087
BP AMOCO P L C                   SPON ADR          055622104     1,683      15,516 SH      OTHER      4           0       0  15,516
BP AMOCO P L C                   SPON ADR          055622104     5,834      53,772 SH      DEFINED    5      29,208  24,564       0
BP AMOCO P L C                   SPON ADR          055622104     7,215      66,502 SH      DEFINED    6      44,562  21,940       0
BP AMOCO P L C                   SPON ADR          055622104       499       4,595 SH      OTHER      9       4,595       0       0
BP AMOCO P L C                   SPON ADR          055622104     3,165      29,168 SH      DEFINED   10      24,316   4,852       0
BP AMOCO P L C                   SPON ADR          055622104    21,802     200,937 SH      DEFINED   11      27,119 173,818       0
BP PRUDHOE BAY RTY TR            UNIT BEN INT      055630107       985     133,500 SH      OTHER      2           0       0 133,500
BP PRUDHOE BAY RTY TR            UNIT BEN INT      055630107        21       2,900 SH      DEFINED    5           0   2,900       0
BP PRUDHOE BAY RTY TR            UNIT BEN INT      055630107         2         300 SH      DEFINED    6         300       0       0
BRE PROPERTIES INC               CL A              05564E106        58       2,217 SH      OTHER      2           0       0   2,217
BRE PROPERTIES INC               CL A              05564E106        20         750 SH      DEFINED   10           0     750       0
BMC SOFTWARE INC                 OPTION            055921100       799         148 CALL    OTHER      2         148       0       0
BMC SOFTWARE INC                 COM               055921100       225       4,175 SH      DEFINED    1       4,015     160       0
BMC SOFTWARE INC                 COM               055921100     9,959     184,422 SH      OTHER      2     134,313       0  50,109
BMC SOFTWARE INC                 COM               055921100     3,353      62,100 SH      OTHER      4           0       0  62,100
BMC SOFTWARE INC                 COM               055921100        12         225 SH      DEFINED    5         225       0       0
BMC SOFTWARE INC                 COM               055921100       172       3,190 SH      DEFINED    6       1,590   1,600       0
BMC SOFTWARE INC                 COM               055921100        13         246 SH      OTHER      9         246       0       0
BMC SOFTWARE INC                 COM               055921100        68       1,256 SH      DEFINED   10         956     300       0
BMC SOFTWARE INC                 COM               055921100       385       7,125 SH      DEFINED   11       5,885   1,240       0
BWAY CORP                        COM               056039100        10         720 SH      DEFINED   11         720       0       0
BAKER MICHAEL CORP               COM               057149106         9       1,175 SH      DEFINED   11       1,175       0       0
BAKER FENTRESS & CO              COM               057213100        76       4,000 SH      DEFINED    1       4,000       0       0
BAKER FENTRESS & CO              COM               057213100       428      22,514 SH      DEFINED    5      22,514       0       0
BAKER FENTRESS & CO              COM               057213100        33       1,763 SH      DEFINED   11           0   1,763       0
BAKER HUGHES INC                 COM               057224107        98       2,931 SH      DEFINED    1       1,431   1,500       0
BAKER HUGHES INC                 COM               057224107     7,469     222,947 SH      OTHER      2     219,147       0   3,800
BAKER HUGHES INC                 COM               057224107         2          69 SH      DEFINED    5          69       0       0
BAKER HUGHES INC                 COM               057224107         4         130 SH      DEFINED    6         130       0       0
BAKER HUGHES INC                 COM               057224107     1,356      40,482 SH      OTHER      9      40,482       0       0
BAKER HUGHES INC                 COM               057224107        66       1,960 SH      DEFINED   10       1,960       0       0
BAKER HUGHES INC                 COM               057224107        19         580 SH      DEFINED   11         580       0       0
BAKER HUGHES INC                 SR LYON ZERO  08  057224AH0     4,876   6,534,000 PRN     OTHER      2   6,534,000       0       0
BAKER J INC                      COM               057232100         3         336 SH      OTHER      2         336       0       0
BALDOR ELEC CO                   COM               057741100     1,460      73,481 SH      DEFINED    6      73,481       0       0
BALDOR ELEC CO                   COM               057741100         9         440 SH      DEFINED   10         440       0       0
BALL CORP                        COM               058498106     1,126      26,646 SH      OTHER      2      26,646       0       0
BALL CORP                        COM               058498106        84       1,993 SH      OTHER      9       1,993       0       0
BALL CORP                        COM               058498106       427      10,100 SH      DEFINED   11      10,100       0       0
BALLARD MED PRODS                COM               058566100     1,352      57,990 SH      OTHER      2      57,990       0       0
BALLARD PWR SYS INC              COM               05858H104         1          25 SH      OTHER      1          25       0       0
BALLARD PWR SYS INC              COM               05858H104       182       5,700 SH      OTHER      2       5,700       0       0
BALLY TOTAL FITNESS HLDG CORP    COM               05873K108       821      28,938 SH      OTHER      2      27,603       0   1,335
BALLY TOTAL FITNESS HLDG CORP    COM               05873K108        10         347 SH      DEFINED    5         347       0       0
BALLY TOTAL FITNESS HLDG CORP    COM               05873K108         4         145 SH      DEFINED   11           0     145       0
BANCO BILBAO VIZCAYA INTL GIBR   SPON ADR          059456103       107       4,000 SH      OTHER      2           0       0   4,000
BANCO BILBAO VIZCAYA INTL GIBR   SPON ADR          059456103        11         400 SH      DEFINED    5         400       0       0
BANCO BILBAO VIZCAYA INTL GIBR   SPON ADR          059456103        12         458 SH      DEFINED   10         458       0       0
BANCO BILBAO VIZCAYA INTL GIBR   SPON ADR          059456103        27       1,000 SH      DEFINED   11       1,000       0       0
BANCO BILBAO VIZCAYA INTL GIBR   SPON ADR PRF B    059456202        13         500 SH      OTHER      2           0       0     500
BANCO BILBAO VIZCAYA INTL GIBR   SPON ADR PRF B    059456202        54       2,000 SH      DEFINED   11       2,000       0       0
BANCO BILBAO VIZCAYA INTL GIBR   SP ADR PREF C     059456301       296      12,000 SH      OTHER      4           0       0  12,000
BANCO DE GALICIA Y BUENOS AIRE   SPNS ADR B NEW    059538207       161       7,927 SH      DEFINED    6           0   7,927       0
BANCO DE GALICIA Y BUENOS AIRE   SPNS ADR B NEW    059538207        23       1,152 SH      OTHER      9       1,152       0       0
BANCO FRANCES DEL RIO DE LA PL   SPON ADR          059591107       138       7,272 SH      DEFINED    1       2,380   4,892       0
BANCO FRANCES DEL RIO DE LA PL   SPON ADR          059591107        94       4,961 SH      DEFINED    5       4,697     264       0
BANCO FRANCES DEL RIO DE LA PL   SPON ADR          059591107        21       1,100 SH      DEFINED    6       1,100       0       0
BANCO FRANCES DEL RIO DE LA PL   SPON ADR          059591107         1          57 SH      OTHER      9          57       0       0
BANCO FRANCES DEL RIO DE LA PL   SPON ADR          059591107        23       1,200 SH      DEFINED   10       1,200       0       0
BANCO FRANCES DEL RIO DE LA PL   SPON ADR          059591107        95       5,000 SH      DEFINED   11       5,000       0       0
BANCO RIO DE LA PLATA SA         SPONS ADR CL B    059644104        48       5,000 SH      OTHER      2       5,000       0       0
BANCO RIO DE LA PLATA SA         SPONS ADR CL B    059644104       218      22,900 SH      OTHER      9      22,900       0       0
BANCO SANTANDER CENT HISPANO     ADR               05964H105        10         983 SH      OTHER      2         983       0       0
BANCO SANTANDER CENT HISPANO     ADR               05964H105         4         338 SH      DEFINED    6         338       0       0
BANCO SANTANDER CENT HISPANO     ADR               05964H105        15       1,399 SH      DEFINED   10         875     524       0
BANCO SANTANDER CENT HISPANO     ADR               05964H105        53       5,030 SH      DEFINED   11         134   4,896       0
BANCORPSOUTH INC                 COM               059692103         5         300 SH      DEFINED   11         300       0       0
BANCROFT CONV FD INC             COM               059695106        11         471 SH      DEFINED    1           0     471       0
BANCROFT CONV FD INC             COM               059695106        11         492 SH      DEFINED   11           0     492       0
BANCTEC INC                      COM               059784108         0           2 SH      OTHER      2           2       0       0
BANCTEC INC                      COM               059784108         5         295 SH      DEFINED   10         295       0       0
BANDAG INC                       COM               059815100       250       7,211 SH      OTHER      2       7,211       0       0
BANDAG INC                       COM               059815100        10         300 SH      OTHER      9         300       0       0
BANK OF AMERICA CORPORATION      OPTION            060505104    10,923       1,490 CALL    OTHER      2       1,490       0       0
BANK OF AMERICA CORPORATION      OPTION            060505104    10,997       1,500 CALL    OTHER      9       1,500       0       0
BANK OF AMERICA CORPORATION      OPTION            060505104     1,833         250 PUT     OTHER      2         250       0       0
BANK OF AMERICA CORPORATION      COM               060505104     8,075     110,148 SH      DEFINED    1      96,359  13,789       0
BANK OF AMERICA CORPORATION      COM               060505104    31,355     427,696 SH      OTHER      2     391,095       0  36,601
BANK OF AMERICA CORPORATION      COM               060505104     2,423      33,053 SH      OTHER      4           0       0  33,053
BANK OF AMERICA CORPORATION      COM               060505104    12,395     169,078 SH      DEFINED    5     120,591  48,487       0
BANK OF AMERICA CORPORATION      COM               060505104     5,081      69,310 SH      DEFINED    6      58,380  10,930       0
BANK OF AMERICA CORPORATION      COM               060505104   134,801   1,838,725 SH      OTHER      9   1,838,725       0       0
BANK OF AMERICA CORPORATION      COM               060505104     9,616     131,172 SH      DEFINED   10     119,855  11,317       0
BANK OF AMERICA CORPORATION      COM               060505104     4,714      64,302 SH      DEFINED   11      41,735  22,567       0
BANK MONTREAL QUE                COM               063671101     1,814      49,610 SH      OTHER      1      49,305       0       0
BANK MONTREAL QUE                COM               063671101     3,643      99,626 SH      OTHER      2      99,626       0       0
BANK NEW YORK INC                OPTION            064057102       708         193 CALL    OTHER      2         193       0       0
BANK NEW YORK INC                COM               064057102    13,761     375,103 SH      DEFINED    1     310,259  64,844       0
BANK NEW YORK INC                COM               064057102       147       4,020 SH      OTHER      1       4,020       0       0
BANK NEW YORK INC                COM               064057102     9,977     271,937 SH      OTHER      2     214,959       0  56,978
BANK NEW YORK INC                COM               064057102    13,284     362,096 SH      OTHER      4           0       0 362,096
BANK NEW YORK INC                COM               064057102    11,872     323,611 SH      DEFINED    5     271,660  51,951       0
BANK NEW YORK INC                COM               064057102     9,332     254,359 SH      DEFINED    6     199,761  54,598       0
BANK NEW YORK INC                COM               064057102    27,745     756,267 SH      OTHER      9     756,267       0       0
BANK NEW YORK INC                COM               064057102     4,346     118,449 SH      DEFINED   10     105,449  13,000       0
BANK NEW YORK INC                COM               064057102     9,439     257,273 SH      DEFINED   11     206,621  50,652       0
BANK ONE CORP                    OPTION            06423A103    42,885       7,200 CALL    OTHER      2       7,200       0       0
BANK ONE CORP                    OPTION            06423A103        12           2 PUT     OTHER      2           2       0       0
BANK ONE CORP                    COM               06423A103     3,396      57,017 SH      DEFINED    1      49,266   7,751       0
BANK ONE CORP                    COM               06423A103    13,624     228,744 SH      OTHER      2     212,553       0  16,191
BANK ONE CORP                    COM               06423A103     7,515     126,177 SH      DEFINED    5      26,236  99,941       0
BANK ONE CORP                    COM               06423A103     6,635     111,392 SH      DEFINED    6     103,230   8,162       0
BANK ONE CORP                    COM               06423A103     4,367      73,325 SH      OTHER      9      73,325       0       0
BANK ONE CORP                    COM               06423A103     3,265      54,814 SH      DEFINED   10      51,278   3,536       0
BANK ONE CORP                    COM               06423A103     3,134      52,620 SH      DEFINED   11      45,401   7,219       0
BANK TOKYO-MITSUBISHI LTD        SPON ADR          065379109       376      25,800 SH      DEFINED    1       6,350  19,450       0
BANK TOKYO-MITSUBISHI LTD        SPON ADR          065379109     3,595     246,864 SH      OTHER      2     183,894       0  62,970
BANK TOKYO-MITSUBISHI LTD        SPON ADR          065379109       254      17,450 SH      DEFINED    5      13,450   4,000       0
BANK TOKYO-MITSUBISHI LTD        SPON ADR          065379109        55       3,799 SH      DEFINED    6       3,799       0       0
BANK TOKYO-MITSUBISHI LTD        SPON ADR          065379109       124       8,519 SH      DEFINED   10       8,040     479       0
BANK TOKYO-MITSUBISHI LTD        SPON ADR          065379109       129       8,886 SH      DEFINED   11       7,856   1,030       0
BANK UTD CORP                    CL A              065412108        11         280 SH      DEFINED    1         280       0       0
BANK UTD CORP                    CL A              065412108     4,074     101,374 SH      OTHER      2           0       0 101,374
BANK UTD CORP                    CL A              065412108        84       2,100 SH      OTHER      9       2,100       0       0
BANK UTD CORP                    CL A              065412108        12         302 SH      DEFINED   10         302       0       0
BANKATLANTIC BANCORP             SB DB CV5.625%07  065908AC9         2       2,000 PRN     DEFINED    5       2,000       0       0
BANKATLANTIC BANCORP             SB DB CV5.625%07  065908AC9         4       5,000 PRN     DEFINED    6       5,000       0       0
BANKBOSTON CORP                  OPTION            06605R106       205          40 PUT     OTHER      2          40       0       0
BANKBOSTON CORP                  COM               06605R106        33         640 SH      DEFINED    1         440     200       0
BANKBOSTON CORP                  COM               06605R106     4,794      93,779 SH      OTHER      2      89,672       0   4,107
BANKBOSTON CORP                  COM               06605R106       266       5,200 SH      DEFINED    5       3,800   1,400       0
BANKBOSTON CORP                  COM               06605R106       942      18,427 SH      OTHER      9      18,427       0       0
BANKBOSTON CORP                  COM               06605R106        20         400 SH      DEFINED   11         400       0       0
BANTA CORP                       COM               066821109       151       7,172 SH      OTHER      2       7,172       0       0
BANTA CORP                       COM               066821109        25       1,200 SH      OTHER      9       1,200       0       0
BANYAN SYS INC                   COM               066908104        51       4,700 SH      OTHER      2           0       0   4,700
BARD C R INC                     COM               067383109        45         932 SH      DEFINED    1         829     103       0
BARD C R INC                     COM               067383109       364       7,608 SH      OTHER      2       7,608       0       0
BARD C R INC                     COM               067383109       270       5,641 SH      OTHER      9       5,641       0       0
BARD C R INC                     COM               067383109         3          56 SH      DEFINED   10          56       0       0
BARD C R INC                     COM               067383109         3          54 SH      DEFINED   11          54       0       0
BARCLAYS BK PLC                  SPN ADR UNIT C    06738C505        34       1,300 SH      DEFINED    5       1,300       0       0
BARCLAYS BK PLC                  SPN ADR UNIT C    06738C505       105       4,000 SH      DEFINED   11           0   4,000       0
BARCLAYS BK PLC                  ADR UNIT SERD2    06738C802         3         100 SH      DEFINED    1           0     100       0
BARCLAYS BK PLC                  ADR UNIT SERD2    06738C802       234       8,675 SH      DEFINED    5           0   8,675       0
BARCLAYS BK PLC                  ADR UNIT SERD2    06738C802        13         482 SH      DEFINED   10         482       0       0
BARCLAYS BK PLC                  ADR UNIT SERD2    06738C802       189       7,000 SH      DEFINED   11       2,000   5,000       0
BARCLAYS BK PLC                  AM DEP NT RCPT    06738C836        13         500 SH      DEFINED    5           0     500       0
BARCLAYS BK PLC                  AM DEP NT RCPT    06738C836        30       1,190 SH      DEFINED    6         900     290       0
BARCLAYS PLC                     ADR               06738E204        48         400 SH      OTHER      2         400       0       0
BARCLAYS PLC                     ADR               06738E204         4          37 SH      DEFINED    6          37       0       0
BARCLAYS PLC                     ADR               06738E204        19         157 SH      DEFINED   10          99      58       0
BARCLAYS PLC                     ADR               06738E204         2          14 SH      DEFINED   11          14       0       0
BARNES & NOBLE INC               OPTION            067774109        96          35 CALL    OTHER      2          35       0       0
BARNES & NOBLE INC               COM               067774109     2,960     108,131 SH      OTHER      2      64,161       0  43,970
BARNES GROUP INC                 COM               067806109         0           1 SH      OTHER      2           1       0       0
BARNESANDNOBLE COM INC           OPTION            067846105        18          10 CALL    OTHER      2          10       0       0
BARNESANDNOBLE COM INC           OPTION            067846105        18          10 PUT     OTHER      2          10       0       0
BARRICK GOLD CORP                OPTION            067901108        19          10 CALL    OTHER      2          10       0       0
BARRICK GOLD CORP                COM               067901108         1          41 SH      OTHER      1          41       0       0
BARRICK GOLD CORP                COM               067901108     2,332     120,373 SH      OTHER      2     113,228       0   7,145
BARRICK GOLD CORP                COM               067901108        39       2,000 SH      DEFINED    5       2,000       0       0
BARRICK GOLD CORP                COM               067901108        14         700 SH      DEFINED    6         700       0       0
BARRICK GOLD CORP                COM               067901108       745      38,467 SH      OTHER      9      38,467       0       0
BARRICK GOLD CORP                COM               067901108        19       1,000 SH      DEFINED   11           0   1,000       0
BARNETT INC                      COM               068062108         4         500 SH      OTHER      2         500       0       0
BARR LABS INC                    COM               068306109     1,402      35,150 SH      OTHER      2      35,150       0       0
BARRETT RES CORP                 COM PAR $0.01     068480201        21         555 SH      DEFINED    1         342     213       0
BARRETT RES CORP                 COM PAR $0.01     068480201        14         373 SH      DEFINED   10         373       0       0
BARRETT RES CORP                 COM PAR $0.01     068480201         4         110 SH      DEFINED   11         110       0       0
BARRISTER INFORMATION SYS CORP   COM NEW           068659200         3       1,000 SH      OTHER      2           0       0   1,000
BASIN EXPL INC                   COM               070107107        16         785 SH      DEFINED   11         785       0       0
BASSETT FURNITURE INDS INC       COM               070203104        25       1,100 SH      OTHER      2       1,100       0       0
BATTLE MTN GOLD CO               COM               071593107         1         486 SH      DEFINED    1         486       0       0
BATTLE MTN GOLD CO               COM               071593107       108      44,463 SH      OTHER      2      34,225       0  10,238
BATTLE MTN GOLD CO               COM               071593107        36      14,952 SH      OTHER      9      14,952       0       0
BATTLE MTN GOLD CO               CDT-CV SB DB6%05  071593AA5        19      25,000 PRN     OTHER      2      25,000       0       0
BAUSCH & LOMB INC                COM               071707103        27         350 SH      DEFINED    1         350       0       0
BAUSCH & LOMB INC                COM               071707103     1,041      13,610 SH      OTHER      2       8,485       0   5,125
BAUSCH & LOMB INC                COM               071707103       348       4,550 SH      OTHER      9       4,550       0       0
BAUSCH & LOMB INC                COM               071707103        11         140 SH      DEFINED   10         140       0       0
BAUSCH & LOMB INC                COM               071707103        31         400 SH      DEFINED   11         400       0       0
BAXTER INTL INC                  OPTION            071813109        42           7 PUT     OTHER      2           7       0       0
BAXTER INTL INC                  COM               071813109       258       4,258 SH      DEFINED    1       4,018     240       0
BAXTER INTL INC                  COM               071813109     6,249     103,071 SH      OTHER      2      95,804       0   7,267
BAXTER INTL INC                  COM               071813109        49         800 SH      OTHER      4           0       0     800
BAXTER INTL INC                  COM               071813109       564       9,308 SH      DEFINED    5       6,166   3,142       0
BAXTER INTL INC                  COM               071813109        91       1,500 SH      DEFINED    6         200   1,300       0
BAXTER INTL INC                  COM               071813109     1,672      27,573 SH      OTHER      9      27,573       0       0
BAXTER INTL INC                  COM               071813109       431       7,108 SH      DEFINED   10       6,308     800       0
BAXTER INTL INC                  COM               071813109       567       9,360 SH      DEFINED   11          60   9,300       0
BAY VIEW CAP CORP DEL            COM               07262L101       139       6,800 SH      OTHER      2       6,800       0       0
BAY VIEW CAP CORP DEL            COM               07262L101       113       5,500 SH      OTHER      9       5,500       0       0
BE AEROSPACE INC                 COM               073302101         2         100 SH      DEFINED    1         100       0       0
BEA SYS INC                      OPTION            073325102       828         290 CALL    OTHER      2         290       0       0
BEA SYS INC                      COM               073325102        29       1,000 SH      DEFINED    5       1,000       0       0
BEAR STEARNS COS INC             OPTION            073902108     2,104         450 CALL    OTHER      2         450       0       0
BEAR STEARNS COS INC             COM               073902108         4          76 SH      DEFINED    1          76       0       0
BEAR STEARNS COS INC             COM               073902108       795      17,014 SH      OTHER      2      17,014       0       0
BEAR STEARNS COS INC             COM               073902108        10         220 SH      DEFINED    5         220       0       0
BEAR STEARNS COS INC             COM               073902108         3          67 SH      DEFINED    6          67       0       0
BEAR STEARNS COS INC             COM               073902108       488      10,429 SH      OTHER      9      10,429       0       0
BEAR STEARNS COS INC             COM               073902108        46         985 SH      DEFINED   10         125     860       0
BEBE STORES INC                  COM               075571109         7         200 SH      OTHER      2         200       0       0
BECKMAN COULTER INC              COM               075811109     6,321     129,998 SH      DEFINED    1     105,126  24,872       0
BECKMAN COULTER INC              COM               075811109       338       6,961 SH      OTHER      2       6,961       0       0
BECKMAN COULTER INC              COM               075811109     2,349      48,300 SH      DEFINED    5      36,100  12,200       0
BECKMAN COULTER INC              COM               075811109     1,827      37,580 SH      DEFINED    6      33,380   4,200       0
BECKMAN COULTER INC              COM               075811109        19         400 SH      OTHER      9         400       0       0
BECKMAN COULTER INC              COM               075811109     1,148      23,619 SH      DEFINED   10      22,119   1,500       0
BECKMAN COULTER INC              COM               075811109     1,598      32,854 SH      DEFINED   11      25,867   6,987       0
BECTON DICKINSON & CO            COM               075887109        19         630 SH      DEFINED    1         250     380       0
BECTON DICKINSON & CO            COM               075887109     1,287      42,888 SH      OTHER      2      41,538       0   1,350
BECTON DICKINSON & CO            COM               075887109       588      19,615 SH      DEFINED    5       3,615  16,000       0
BECTON DICKINSON & CO            COM               075887109       245       8,176 SH      DEFINED    6         476   7,700       0
BECTON DICKINSON & CO            COM               075887109       598      19,923 SH      OTHER      9      19,923       0       0
BECTON DICKINSON & CO            COM               075887109        83       2,753 SH      DEFINED   10         690   2,063       0
BECTON DICKINSON & CO            COM               075887109       120       4,000 SH      DEFINED   11           0   4,000       0
BED BATH & BEYOND INC            COM               075896100        29         747 SH      DEFINED    1         617     130       0
BED BATH & BEYOND INC            COM               075896100     2,123      55,149 SH      OTHER      2      55,085       0      64
BED BATH & BEYOND INC            COM               075896100         6         151 SH      DEFINED    5         151       0       0
BED BATH & BEYOND INC            COM               075896100         7         180 SH      DEFINED    6         180       0       0
BED BATH & BEYOND INC            COM               075896100        91       2,372 SH      DEFINED   10       2,372       0       0
BED BATH & BEYOND INC            COM               075896100        40       1,038 SH      DEFINED   11         707     331       0
BEDFORD PPTY INVS INC            COM PAR $0.02     076446301         4         200 SH      DEFINED    5         200       0       0
BEDFORD PPTY INVS INC            COM PAR $0.02     076446301        19       1,072 SH      DEFINED   11           0   1,072       0
BEIJING YANHUA PETROCHEMICAL     SPNS ADR H SHS    07725N108        18       1,605 SH      OTHER      2       1,605       0       0
BEL FUSE INC                     CL A              077347201        81       2,900 SH      OTHER      9       2,900       0       0
BELDEN INC                       COM               077459105         8         325 SH      DEFINED    1         325       0       0
BELDEN INC                       COM               077459105        77       3,200 SH      OTHER      2           0       0   3,200
BELDEN INC                       COM               077459105        24       1,000 SH      DEFINED    6           0   1,000       0
BELL ATLANTIC CORP               OPTION            077853109       497          76 CALL    OTHER      2          76       0       0
BELL ATLANTIC CORP               OPTION            077853109        13           2 PUT     OTHER      2           2       0       0
BELL ATLANTIC CORP               COM               077853109    11,798     180,461 SH      DEFINED    1     143,678  36,783       0
BELL ATLANTIC CORP               COM               077853109   451,908   6,912,556 SH      OTHER      2   6,876,089       0  36,467
BELL ATLANTIC CORP               COM               077853109    11,409     174,513 SH      OTHER      4           0       0 174,513
BELL ATLANTIC CORP               COM               077853109    16,402     250,890 SH      DEFINED    5     175,336  75,554       0
BELL ATLANTIC CORP               COM               077853109    13,964     213,592 SH      DEFINED    6     137,478  76,114       0
BELL ATLANTIC CORP               COM               077853109        78       1,200 SH      OTHER      9       1,200       0       0
BELL ATLANTIC CORP               COM               077853109     5,999      91,759 SH      DEFINED   10      77,293  14,466       0
BELL ATLANTIC CORP               COM               077853109     9,531     145,790 SH      DEFINED   11      95,825  49,965       0
BELL CDA INTL INC                COM               077914109       124       9,814 SH      OTHER      2       9,814       0       0
BELLSOUTH CORP                   OPTION            079860102     2,546         552 CALL    OTHER      2         552       0       0
BELLSOUTH CORP                   COM               079860102     4,449      96,452 SH      DEFINED    1      70,222  26,230       0
BELLSOUTH CORP                   COM               079860102   413,637   8,967,734 SH      OTHER      2   8,942,964       0  24,770
BELLSOUTH CORP                   COM               079860102     8,645     187,420 SH      DEFINED    5     103,823  83,597       0
BELLSOUTH CORP                   COM               079860102     2,049      44,412 SH      DEFINED    6      31,210  13,202       0
BELLSOUTH CORP                   COM               079860102     9,128     197,901 SH      OTHER      9     197,901       0       0
BELLSOUTH CORP                   COM               079860102     1,459      31,627 SH      DEFINED   10      31,327     300       0
BELLSOUTH CORP                   COM               079860102     2,635      57,129 SH      DEFINED   11      35,172  21,957       0
BELO A H CORP DEL                COM SER A         080555105       155       7,895 SH      OTHER      1       7,895       0       0
BELO A H CORP DEL                COM SER A         080555105       684      34,769 SH      OTHER      2      34,769       0       0
BEMIS INC                        COM               081437105       135       3,400 SH      DEFINED    1       3,000     400       0
BEMIS INC                        COM               081437105       306       7,694 SH      OTHER      2       7,694       0       0
BEMIS INC                        COM               081437105       135       3,403 SH      OTHER      9       3,403       0       0
BENCHMARK ELECTRS INC            COM               08160H101        72       2,000 SH      DEFINED    1       2,000       0       0
BENETTON GROUP SPA               ADR NEW           081795403        33         827 SH      DEFINED    1         552     275       0
BENETTON GROUP SPA               ADR NEW           081795403         4         100 SH      OTHER      2           0       0     100
BENETTON GROUP SPA               ADR NEW           081795403         1          25 SH      DEFINED    5          25       0       0
BENETTON GROUP SPA               ADR NEW           081795403         4         102 SH      OTHER      9         102       0       0
BENETTON GROUP SPA               ADR NEW           081795403        26         661 SH      DEFINED   11         141     520       0
BENTON OIL & GAS CO              COM               083288100        13       6,600 SH      OTHER      2       6,600       0       0
BERGEN BRUNSWIG CORP             CL A              083739102         5         264 SH      DEFINED    1          59     205       0
BERGEN BRUNSWIG CORP             CL A              083739102     4,007     232,276 SH      OTHER      2      32,958       0 199,318
BERGEN BRUNSWIG CORP             CL A              083739102        38       2,211 SH      OTHER      9       2,211       0       0
BERGEN BRUNSWIG CORP             CL A              083739102        16         917 SH      DEFINED   10         917       0       0
BERGEN BRUNSWIG CORP             CL A              083739102         2         119 SH      DEFINED   11         119       0       0
BERINGER WINE ESTATES HOLDINGS   CL B              084102102         6         150 SH      OTHER      2           0       0     150
BERKLEY W R CORP                 COM               084423102     1,622      64,888 SH      OTHER      2      51,788       0  13,100
BERKSHIRE HATHAWAY INC DEL       CL A              084670108         0           2 SH      DEFINED    1           2       0       0
BERKSHIRE HATHAWAY INC DEL       CL A              084670108         0         450 SH      OTHER      2         269       0     181
BERKSHIRE HATHAWAY INC DEL       CL A              084670108         0           2 SH      DEFINED    6           2       0       0
BERKSHIRE HATHAWAY INC DEL       CL B              084670207       356         159 SH      DEFINED    1         136      23       0
BERKSHIRE HATHAWAY INC DEL       CL B              084670207    68,255      30,471 SH      OTHER      2      29,472       0     999
BERKSHIRE HATHAWAY INC DEL       CL B              084670207       408         182 SH      DEFINED    5         182       0       0
BERKSHIRE HATHAWAY INC DEL       CL B              084670207       430         192 SH      DEFINED    6          26     166       0
BERKSHIRE HATHAWAY INC DEL       CL B              084670207       249         111 SH      DEFINED   10          10     101       0
BERKSHIRE HATHAWAY INC DEL       CL B              084670207       103          46 SH      DEFINED   11          15      31       0
BERKSHIRE RLTY INC               COM               084710102        17       1,500 SH      OTHER      2           0       0   1,500
BEST BUY INC                     OPTION            086516101        41           6 CALL    OTHER      2           6       0       0
BEST BUY INC                     COM               086516101        20         300 SH      DEFINED    1         300       0       0
BEST BUY INC                     COM               086516101    17,736     262,762 SH      OTHER      2     175,857       0  86,905
BEST BUY INC                     COM               086516101        19         285 SH      DEFINED    5          85     200       0
BEST BUY INC                     COM               086516101       878      13,000 SH      OTHER      9      13,000       0       0
BEST BUY INC                     COM               086516101         6          92 SH      DEFINED   10          92       0       0
BEST BUY INC                     COM               086516101       171       2,533 SH      DEFINED   11         464   2,069       0
BEST SOFTWARE INC                COM               086579109         3         165 SH      DEFINED    1           0     165       0
BESTFOODS                        COM               08658U101       724      14,620 SH      DEFINED    1      11,330   3,290       0
BESTFOODS                        COM               08658U101   275,026   5,556,079 SH      OTHER      2   5,555,098       0     981
BESTFOODS                        COM               08658U101       930      18,780 SH      DEFINED    5      11,680   7,100       0
BESTFOODS                        COM               08658U101     1,511      30,522 SH      DEFINED    6      28,822   1,700       0
BESTFOODS                        COM               08658U101     1,110      22,425 SH      OTHER      9      22,425       0       0
BESTFOODS                        COM               08658U101     1,045      21,109 SH      DEFINED   10      20,899     210       0
BESTFOODS                        COM               08658U101       534      10,790 SH      DEFINED   11       7,240   3,550       0
BETHLEHEM STL CORP               OPTION            087509105        12          16 CALL    OTHER      2          16       0       0
BETHLEHEM STL CORP               COM               087509105     1,241     161,420 SH      OTHER      2     133,420       0  28,000
BETHLEHEM STL CORP               COM               087509105         0          35 SH      DEFINED    6           0      35       0
BETHLEHEM STL CORP               COM               087509105        65       8,488 SH      OTHER      9       8,488       0       0
BETHLEHEM STL CORP               PFD CV $2.50      087509402        27       1,000 SH      DEFINED    1       1,000       0       0
BETHLEHEM STL CORP               PFD CV $2.50      087509402        53       2,000 SH      OTHER      2           0       0   2,000
BEVERLY ENTERPRISES INC          COM NEW           087851309       220      27,269 SH      OTHER      2      25,269       0   2,000
BEYOND COM CORP                  COM               08860E101         5         160 SH      OTHER      2         160       0       0
BEYOND COM CORP                  COM               08860E101       115       4,000 SH      DEFINED    6       4,000       0       0
BIACORE INTL AB                  SPON ADR          088658109         7         740 SH      OTHER      2         740       0       0
BID COM INTERNATIONAL INC        COM               088788104        25       3,235 SH      OTHER      2       3,235       0       0
BIG DOG HLDGS INC                COM               089128102         3         500 SH      DEFINED   10         500       0       0
BIG FLOWER HLDGS INC             COM               089159107        80       2,500 SH      OTHER      9       2,500       0       0
BILLING CONCEPTS CORP            COM               090063108        20       1,800 SH      OTHER      2           0       0   1,800
BIO RAD LABS INC                 CL A              090572207         2          68 SH      OTHER      2          68       0       0
BIO TECHNOLOGY GEN CORP          COM               090578105       673     103,577 SH      OTHER      2      42,577       0  61,000
BIOCHEM PHARMA INC               COM               09058T108         9         505 SH      DEFINED    1         133     372       0
BIOCHEM PHARMA INC               COM               09058T108     3,859     205,803 SH      OTHER      2     205,803       0       0
BIOCHEM PHARMA INC               COM               09058T108         9         484 SH      DEFINED    6         484       0       0
BIOCHEM PHARMA INC               COM               09058T108         6         325 SH      DEFINED   10         325       0       0
BIOCHEM PHARMA INC               COM               09058T108         6         338 SH      DEFINED   11         258      80       0
BIOGEN INC                       OPTION            090597105       682         106 CALL    OTHER      2         106       0       0
BIOGEN INC                       OPTION            090597105        64          10 PUT     OTHER      2          10       0       0
BIOGEN INC                       OPTION            090597105     4,373         680 PUT     OTHER      9         680       0       0
BIOGEN INC                       COM               090597105        74       1,158 SH      DEFINED    1       1,100      58       0
BIOGEN INC                       COM               090597105    24,982     388,452 SH      OTHER      2     366,300       0  22,152
BIOGEN INC                       COM               090597105        12         185 SH      DEFINED    5         185       0       0
BIOGEN INC                       COM               090597105       388       6,036 SH      OTHER      9       6,036       0       0
BIOGEN INC                       COM               090597105        12         192 SH      DEFINED   10         192       0       0
BIOGEN INC                       COM               090597105       154       2,400 SH      DEFINED   11       1,800     600       0
BIOMATRIX INC                    COM               09060P102       174       8,056 SH      OTHER      2       7,256       0     800
BIOMET INC                       OPTION            090613100        80          20 CALL    OTHER      2          20       0       0
BIOMET INC                       COM               090613100        25         640 SH      DEFINED    1         520     120       0
BIOMET INC                       COM               090613100     3,172      79,801 SH      OTHER      2      78,201       0   1,600
BIOMET INC                       COM               090613100         2          55 SH      DEFINED    5          55       0       0
BIOMET INC                       COM               090613100         2          50 SH      DEFINED    6           0      50       0
BIOMET INC                       COM               090613100       356       8,967 SH      OTHER      9       8,967       0       0
BIOMET INC                       COM               090613100         7         180 SH      DEFINED   10           0     180       0
BIOMET INC                       COM               090613100        80       2,015 SH      DEFINED   11       2,000      15       0
BIOTIME INC                      OPTION            09066L105        12          10 CALL    OTHER      2          10       0       0
BIOVAIL CORP INTL NEW            COM               09067K106     8,083     158,300 SH      OTHER      2     158,300       0       0
BIRMINGHAM STL CORP              COM               091250100       483     113,750 SH      OTHER      2           0       0 113,750
BIRMINGHAM STL CORP              COM               091250100         9       2,000 SH      DEFINED    5           0   2,000       0
BIOMIRA INC                      COM               09161R106         2         596 SH      OTHER      1         596       0       0
BIOMIRA INC                      COM               09161R106        12       3,311 SH      OTHER      2       3,311       0       0
BLACK & DECKER CORP              COM               091797100       420       6,654 SH      DEFINED    1       5,784     870       0
BLACK & DECKER CORP              COM               091797100       804      12,742 SH      OTHER      2      12,742       0       0
BLACK & DECKER CORP              COM               091797100        22         341 SH      DEFINED    5         341       0       0
BLACK & DECKER CORP              COM               091797100       108       1,707 SH      DEFINED    6       1,707       0       0
BLACK & DECKER CORP              COM               091797100       333       5,275 SH      OTHER      9       5,275       0       0
BLACK & DECKER CORP              COM               091797100       129       2,044 SH      DEFINED   10       1,744     300       0
BLACK & DECKER CORP              COM               091797100        90       1,423 SH      DEFINED   11           0   1,423       0
BLACK HILLS CORP                 COM               092113109    11,152     482,254 SH      OTHER      2     482,254       0       0
BLACKROCK INSD MUN TERM TR INC   COM               092474105        18       1,700 SH      DEFINED    1           0   1,700       0
BLACKROCK INSD MUN TERM TR INC   COM               092474105        39       3,600 SH      DEFINED    5       3,600       0       0
BLACKROCK NORTH AMERN GV INCM    COM               092475102        90       9,000 SH      DEFINED    1           0   9,000       0
BLACKROCK NORTH AMERN GV INCM    COM               092475102       526      52,600 SH      OTHER      2           0       0  52,600
BLACKROCK NORTH AMERN GV INCM    COM               092475102        50       5,020 SH      DEFINED    5       5,020       0       0
BLACKROCK TARGET TERM TR INC     COM               092476100       127      13,200 SH      OTHER      2           0       0  13,200
BLACKROCK TARGET TERM TR INC     COM               092476100         4         430 SH      DEFINED    5         430       0       0
BLACKROCK TARGET TERM TR INC     COM               092476100         4         400 SH      DEFINED   10         400       0       0
BLACKROCK 2001 TERM TR INC       COM               092477108       136      15,145 SH      OTHER      2           0       0  15,145
BLACKROCK INVT QUALITY MUN TR    COM               09247D105        57       3,913 SH      DEFINED    5       3,895      18       0
BLACKROCK INCOME TR INC          COM               09247F100         9       1,400 SH      OTHER      2           0       0   1,400
BLACKROCK INCOME TR INC          COM               09247F100        27       4,112 SH      DEFINED    5       4,112       0       0
BLACKROCK CA INSD MUN 2008 TRM   COM               09247G108        47       3,050 SH      DEFINED   10       1,500   1,550       0
BLACKROCK FL INSD MUN 2008 TRM   COM               09247H106       183      11,638 SH      DEFINED    5       6,433   5,205       0
BLACKROCK FL INSD MUN 2008 TRM   COM               09247H106       125       8,000 SH      DEFINED   11           0   8,000       0
BLACKROCK INSD MUN 2008 TRM TR   COM               09247K109        59       3,849 SH      DEFINED    1       3,849       0       0
BLACKROCK INSD MUN 2008 TRM TR   COM               09247K109        67       4,375 SH      OTHER      2           0       0   4,375
BLACKROCK INSD MUN 2008 TRM TR   COM               09247K109        31       2,000 SH      DEFINED    6           0   2,000       0
BLACKROCK INSD MUN 2008 TRM TR   COM               09247K109        25       1,600 SH      DEFINED   11       1,600       0       0
BLACKROCK NY INSD MUN 2008 TRM   COM               09247L107        80       5,152 SH      DEFINED    1           0   5,152       0
BLACKROCK MUN TARGET TERM TR     COM               09247M105        35       3,300 SH      DEFINED    1           0   3,300       0
BLACKROCK MUN TARGET TERM TR     COM               09247M105        15       1,400 SH      OTHER      2           0       0   1,400
BLACKROCK MUN TARGET TERM TR     COM               09247M105        18       1,750 SH      DEFINED   11           0   1,750       0
BLACKROCK STRATEGIC TERM TR      COM               09247P108         0          36 SH      DEFINED    6          36       0       0
BLACKROCK HIGH YIELD TR          SH BEN INT        09248N102        15       1,033 SH      OTHER      2           0       0   1,033
BLAIR CORP                       COM               092828102        38       1,400 SH      OTHER      2       1,400       0       0
BLAIR CORP                       COM               092828102        54       2,000 SH      DEFINED   11       2,000       0       0
BLANCH E W HLDGS INC             COM               093210102         5          75 SH      DEFINED   10          75       0       0
BLOCK H & R INC                  COM               093671105     5,540     110,791 SH      DEFINED    1      89,000  21,791       0
BLOCK H & R INC                  COM               093671105       773      15,466 SH      OTHER      2      14,286       0   1,180
BLOCK H & R INC                  COM               093671105       588      11,750 SH      DEFINED    5      10,050   1,700       0
BLOCK H & R INC                  COM               093671105       749      14,975 SH      DEFINED    6      13,975   1,000       0
BLOCK H & R INC                  COM               093671105       343       6,866 SH      OTHER      9       6,866       0       0
BLOCK H & R INC                  COM               093671105       218       4,355 SH      DEFINED   10       4,355       0       0
BLOCK H & R INC                  COM               093671105     1,699      33,980 SH      DEFINED   11      28,955   5,025       0
BLUE RHINO CORP                  COM               095811105         1         100 SH      OTHER      2         100       0       0
BLUE SQUARE - ISRAEL LTD         SPON ADR          096055108        16       1,000 SH      OTHER      2           0       0   1,000
BLUEGREEN CORP                   COM               096231105        57      10,500 SH      OTHER      2           0       0  10,500
BLYTH INDS INC                   OPTION            09643P108       680         200 CALL    OTHER      2         200       0       0
BLYTH INDS INC                   COM               09643P108       150       4,400 SH      DEFINED    1           0   4,400       0
BLYTH INDS INC                   COM               09643P108       388      11,420 SH      OTHER      2      11,420       0       0
BOB EVANS FARMS INC              COM               096761101       214      10,764 SH      OTHER      2      10,764       0       0
BOB EVANS FARMS INC              COM               096761101       109       5,500 SH      OTHER      9       5,500       0       0
BOEING CO                        OPTION            097023105    33,035       7,508 CALL    OTHER      2       7,508       0       0
BOEING CO                        OPTION            097023105    30,140       6,850 PUT     OTHER      2       6,850       0       0
BOEING CO                        COM               097023105     4,348      98,815 SH      DEFINED    1      86,855  11,960       0
BOEING CO                        COM               097023105    12,642     287,307 SH      OTHER      2     243,985       0  43,322
BOEING CO                        COM               097023105       431       9,800 SH      OTHER      4           0       0   9,800
BOEING CO                        COM               097023105     3,230      73,410 SH      DEFINED    5      47,240  26,170       0
BOEING CO                        COM               097023105     5,050     114,763 SH      DEFINED    6      81,388  33,375       0
BOEING CO                        COM               097023105        60       1,359 SH      OTHER      9       1,359       0       0
BOEING CO                        COM               097023105     4,032      91,632 SH      DEFINED   10      56,465  35,167       0
BOEING CO                        COM               097023105     2,667      60,607 SH      DEFINED   11      52,982   7,625       0
BOISE CASCADE CORP               COM               097383103        39         904 SH      DEFINED    1         745     159       0
BOISE CASCADE CORP               COM               097383103       360       8,390 SH      OTHER      2       8,390       0       0
BOISE CASCADE CORP               COM               097383103         8         193 SH      DEFINED    5         193       0       0
BOISE CASCADE CORP               COM               097383103        39         900 SH      DEFINED    6         900       0       0
BOISE CASCADE CORP               COM               097383103       231       5,377 SH      OTHER      9       5,377       0       0
BOISE CASCADE CORP               COM               097383103        13         311 SH      DEFINED   10         311       0       0
BOISE CASCADE CORP               COM               097383103        76       1,769 SH      DEFINED   11       1,141     628       0
BON-TON STORES INC               COM               09776J101        13       2,000 SH      OTHER      2           0       0   2,000
BOMBAY CO INC                    COM               097924104         0           1 SH      OTHER      2           1       0       0
BOOKS-A-MILLION INC              COM               098570104        11       1,485 SH      OTHER      2       1,485       0       0
BORDERS GROUP INC                OPTION            099709107        74          47 CALL    OTHER      2          47       0       0
BORDERS GROUP INC                COM               099709107        24       1,500 SH      DEFINED    1       1,500       0       0
BORDERS GROUP INC                COM               099709107       388      24,528 SH      OTHER      2      18,918       0   5,610
BORDERS GROUP INC                COM               099709107        17       1,100 SH      OTHER      9       1,100       0       0
BORDERS GROUP INC                COM               099709107        16       1,000 SH      DEFINED   11       1,000       0       0
BORG-WARNER AUTOMOTIVE INC       COM               099724106        29         520 SH      DEFINED    1         299     221       0
BORG-WARNER AUTOMOTIVE INC       COM               099724106       515       9,359 SH      OTHER      2       9,359       0       0
BORG-WARNER AUTOMOTIVE INC       COM               099724106        10         179 SH      DEFINED    6         179       0       0
BORG-WARNER AUTOMOTIVE INC       COM               099724106        99       1,800 SH      OTHER      9       1,800       0       0
BORG-WARNER AUTOMOTIVE INC       COM               099724106         7         134 SH      DEFINED   10         134       0       0
BORG-WARNER AUTOMOTIVE INC       COM               099724106        12         221 SH      DEFINED   11         169      52       0
BORG WARNER SEC CORP             COM               099733107   102,801   5,061,108 SH      OTHER      1   5,061,108       0       0
BORON LEPORE & ASSOCS INC        COM               10001P102        77       9,200 SH      OTHER      2       9,200       0       0
BOSTON BEER INC                  CL A              100557107        39       4,776 SH      OTHER      2       4,776       0       0
BOSTON CELTICS LTD PARTNERSHIP   UNIT LTD PTNR     100577105         0           1 SH      OTHER      2           1       0       0
BOSTON PROPERTIES INC            COM               101121101         5         146 SH      DEFINED    1          33     113       0
BOSTON PROPERTIES INC            COM               101121101     2,486      69,300 SH      OTHER      2      68,300       0   1,000
BOSTON PROPERTIES INC            COM               101121101        22         600 SH      OTHER      9         600       0       0
BOSTON PROPERTIES INC            COM               101121101         2          62 SH      DEFINED   10          62       0       0
BOSTON PROPERTIES INC            COM               101121101        38       1,057 SH      DEFINED   11          57   1,000       0
BOSTON SCIENTIFIC CORP           OPTION            101137107       127          29 CALL    OTHER      2          29       0       0
BOSTON SCIENTIFIC CORP           COM               101137107         7         150 SH      DEFINED    1         100      50       0
BOSTON SCIENTIFIC CORP           COM               101137107    35,068     798,147 SH      OTHER      2     795,347       0   2,800
BOSTON SCIENTIFIC CORP           COM               101137107     1,438      32,735 SH      OTHER      9      32,735       0       0
BOWATER INC                      COM               102183100       627      13,231 SH      OTHER      2      13,231       0       0
BOYD GAMING CORP                 COM               103304101         0           4 SH      OTHER      2           4       0       0
BRANDYWINE RLTY TR               SH BEN INT NEW    105368203     3,887     196,190 SH      OTHER      2     196,190       0       0
BRANDYWINE RLTY TR               SH BEN INT NEW    105368203        22       1,116 SH      DEFINED    6       1,116       0       0
BRANDYWINE RLTY TR               SH BEN INT NEW    105368203        26       1,300 SH      OTHER      9       1,300       0       0
BRAZIL FD INC                    COM               105759104         0           4 SH      OTHER      2           4       0       0
BRIGGS & STRATTON CORP           COM               109043109       202       3,497 SH      OTHER      2       3,097       0     400
BRIGGS & STRATTON CORP           COM               109043109        97       1,679 SH      OTHER      9       1,679       0       0
BRIGHTPOINT INC                  COM               109473108        12       2,000 SH      OTHER      2           0       0   2,000
BRIGHTPOINT INC                  COM               109473108         1         168 SH      DEFINED   11           0     168       0
BRIGHTPOINT INC                  SBLYON ZRO144A18  109473AA6       124     500,000 PRN     OTHER      2     500,000       0       0
BRIGHTPOINT INC                  SB LYON ZERO  18  109473AC2       683   2,745,000 PRN     OTHER      2   2,745,000       0       0
BRIGHTSTAR INFO TECH GROUP INC   COM               10947N104         1         310 SH      DEFINED    1           0     310       0
BRILLIANT DIGITAL ENTERTAINMNT   COM               109502104         3         500 SH      OTHER      2           0       0     500
BRINKER INTL INC                 COM               109641100     1,199      43,588 SH      OTHER      2      16,268       0  27,320
BRINKER INTL INC                 COM               109641100        99       3,600 SH      OTHER      9       3,600       0       0
BRINKER INTL INC                 COM               109641100        33       1,200 SH      DEFINED   11           0   1,200       0
BRISTOL MYERS SQUIBB CO          OPTION            110122108     1,409         200 CALL    OTHER      2         200       0       0
BRISTOL MYERS SQUIBB CO          OPTION            110122108        49           7 PUT     OTHER      2           7       0       0
BRISTOL MYERS SQUIBB CO          COM               110122108    15,505     220,129 SH      DEFINED    1     188,283  31,846       0
BRISTOL MYERS SQUIBB CO          COM               110122108    55,957     794,426 SH      OTHER      2     691,279       0 103,147
BRISTOL MYERS SQUIBB CO          COM               110122108    26,131     370,987 SH      OTHER      4           0       0 370,987
BRISTOL MYERS SQUIBB CO          COM               110122108    14,694     208,611 SH      DEFINED    5     135,956  72,655       0
BRISTOL MYERS SQUIBB CO          COM               110122108    13,413     190,432 SH      DEFINED    6     130,737  59,695       0
BRISTOL MYERS SQUIBB CO          COM               110122108    14,749     209,390 SH      OTHER      9     209,390       0       0
BRISTOL MYERS SQUIBB CO          COM               110122108     6,267      88,971 SH      DEFINED   10      76,734  12,237       0
BRISTOL MYERS SQUIBB CO          COM               110122108     9,009     127,907 SH      DEFINED   11      93,374  34,533       0
BRISTOL MYERS SQUIBB CO          PFD CV $2         110122207        16          20 SH      DEFINED    6          20       0       0
BRITISH AWYS PLC                 ADR 2ND INSTAL    110419306       134       1,880 SH      DEFINED    1       1,590     290       0
BRITISH AWYS PLC                 ADR 2ND INSTAL    110419306         1          20 SH      DEFINED    5          20       0       0
BRITISH AWYS PLC                 ADR 2ND INSTAL    110419306        71       1,000 SH      OTHER      9       1,000       0       0
BRITISH AWYS PLC                 ADR 2ND INSTAL    110419306        52         725 SH      DEFINED   11         170     555       0
BRITISH AMERN TOB PLC            SPON ADR          110448107        25       1,288 SH      DEFINED    1       1,288       0       0
BRITISH AMERN TOB PLC            SPON ADR          110448107         9         492 SH      OTHER      2           0       0     492
BRITISH AMERN TOB PLC            SPON ADR          110448107        78       4,034 SH      DEFINED   10       4,034       0       0
BRITISH AMERN TOB PLC            SPON ADR          110448107         4         230 SH      DEFINED   11         230       0       0
BRITISH BIO-TECHNOLOGY GRP PLC   SPON ADR          110515103        11       3,000 SH      OTHER      2       3,000       0       0
BRITISH SKY BROADCASTING GROUP   SPON ADR          111013108     2,074      36,950 SH      OTHER      9      36,950       0       0
BRITISH STL PLC                  ADR FINAL INST    111015301        12         450 SH      DEFINED    1           0     450       0
BRITISH STL PLC                  ADR FINAL INST    111015301         1          40 SH      OTHER      9          40       0       0
BRITISH TELECOMMUNICATIONS PLC   ADR FINAL INST    111021408       174       1,015 SH      DEFINED    1         440     575       0
BRITISH TELECOMMUNICATIONS PLC   ADR FINAL INST    111021408     6,472      37,795 SH      OTHER      2      36,450       0   1,345
BRITISH TELECOMMUNICATIONS PLC   ADR FINAL INST    111021408         3          15 SH      DEFINED    5          15       0       0
BRITISH TELECOMMUNICATIONS PLC   ADR FINAL INST    111021408        41         242 SH      DEFINED    6         242       0       0
BRITISH TELECOMMUNICATIONS PLC   ADR FINAL INST    111021408        63         367 SH      DEFINED   10         171     196       0
BRITISH TELECOMMUNICATIONS PLC   ADR FINAL INST    111021408       125         731 SH      DEFINED   11         391     340       0
BROADCAST COM INC                OPTION            111310108       267          20 CALL    OTHER      2          20       0       0
BROADCAST COM INC                OPTION            111310108       134          10 PUT     OTHER      2          10       0       0
BROADCOM CORP                    OPTION            111320107       925          64 CALL    OTHER      2          64       0       0
BROADCOM CORP                    OPTION            111320107       867          60 PUT     OTHER      2          60       0       0
BROADCOM CORP                    CL A              111320107     8,301      57,423 SH      OTHER      2      35,693       0  21,730
BROADCOM CORP                    CL A              111320107       624       4,314 SH      OTHER      9       4,314       0       0
BROADVISION INC                  OPTION            111412102        15           2 CALL    OTHER      2           2       0       0
BROADVISION INC                  COM               111412102         4          60 SH      DEFINED    1          60       0       0
BROADVISION INC                  COM               111412102       113       1,532 SH      OTHER      2          32       0   1,500
BROADVISION INC                  COM               111412102       664       9,000 SH      OTHER      9       9,000       0       0
BROADVISION INC                  COM               111412102         4          49 SH      DEFINED   10          49       0       0
BROADWAY STORES INC              WT EXP  100899    111572111         0          15 SH      OTHER      2          15       0       0
BROKEN HILL PROPRIETARY LTD      SPON ADR          112169602       169       7,100 SH      OTHER      2       7,100       0       0
BROKEN HILL PROPRIETARY LTD      SPON ADR          112169602         5         214 SH      DEFINED    6         214       0       0
BROKEN HILL PROPRIETARY LTD      SPON ADR          112169602        11         479 SH      DEFINED   10         296     183       0
BROKEN HILL PROPRIETARY LTD      SPON ADR          112169602        48       2,000 SH      DEFINED   11       2,000       0       0
BROOKDALE LIVING CMNTYS INC      COM               112462106        19       1,300 SH      OTHER      2       1,300       0       0
BROOKS AUTOMATION INC            COM               11434A100        15         540 SH      OTHER      2           0       0     540
BROWN FORMAN CORP                CL B              115637209       293       4,500 SH      DEFINED    1       4,500       0       0
BROWN FORMAN CORP                CL B              115637209     3,737      57,326 SH      OTHER      2      57,326       0       0
BROWN FORMAN CORP                CL B              115637209       357       5,469 SH      OTHER      9       5,469       0       0
BROWN TOM INC                    COM NEW           115660201         1          38 SH      OTHER      2          38       0       0
BROWNING FERRIS INDS             COM               115885105        80       1,855 SH      DEFINED    1       1,790      65       0
BROWNING FERRIS INDS             COM               115885105     1,027      23,880 SH      OTHER      2      23,180       0     700
BROWNING FERRIS INDS             COM               115885105       447      10,391 SH      OTHER      9      10,391       0       0
BROWNING FERRIS INDS             COM               115885105        49       1,150 SH      DEFINED   10         600     550       0
BRUNSWICK CORP                   COM               117043109         4         160 SH      DEFINED    1         160       0       0
BRUNSWICK CORP                   COM               117043109     1,502      53,883 SH      OTHER      2      53,883       0       0
BRUNSWICK CORP                   COM               117043109       284      10,174 SH      OTHER      9      10,174       0       0
BRUSH WELLMAN INC                COM               117421107        18       1,000 SH      DEFINED    1       1,000       0       0
BUCKEYE PARTNERS L P             UNIT LTD PARTN    118230101        33       1,200 SH      DEFINED    1           0   1,200       0
BUCKEYE PARTNERS L P             UNIT LTD PARTN    118230101       206       7,503 SH      OTHER      2           3       0   7,500
BUCKEYE PARTNERS L P             UNIT LTD PARTN    118230101        55       2,000 SH      DEFINED    5           0   2,000       0
BUCKEYE TECHNOLOGIES INC         COM               118255108         5         300 SH      DEFINED   11         300       0       0
BUCKLE INC                       OPTION            118440106        43          15 CALL    OTHER      2          15       0       0
BUFFETS INC                      COM               119882108       128      11,157 SH      OTHER      2      11,157       0       0
BUILDING ONE SVCS CORP           COM               120114103       462      33,294 SH      OTHER      2      33,294       0       0
BUILDING ONE SVCS CORP           COM               120114103        24       1,700 SH      OTHER      9       1,700       0       0
BURLINGTON INDS INC              COM               121693105       131      14,179 SH      OTHER      2      14,179       0       0
BURLINGTON NORTHN SANTA FE CP    COM               12189T104       278       8,969 SH      DEFINED    1       7,379   1,590       0
BURLINGTON NORTHN SANTA FE CP    COM               12189T104     2,179      70,284 SH      OTHER      2      69,494       0     790
BURLINGTON NORTHN SANTA FE CP    COM               12189T104       509      16,426 SH      DEFINED    5      13,646   2,780       0
BURLINGTON NORTHN SANTA FE CP    COM               12189T104       235       7,586 SH      DEFINED    6       1,523   6,063       0
BURLINGTON NORTHN SANTA FE CP    COM               12189T104       908      29,290 SH      OTHER      9      29,290       0       0
BURLINGTON NORTHN SANTA FE CP    COM               12189T104       329      10,614 SH      DEFINED   10       4,411   6,203       0
BURLINGTON NORTHN SANTA FE CP    COM               12189T104       162       5,211 SH      DEFINED   11         900   4,311       0
BURLINGTON RES INC               OPTION            122014103        22           5 CALL    OTHER      2           5       0       0
BURLINGTON RES INC               COM               122014103       234       5,410 SH      DEFINED    1       4,308   1,102       0
BURLINGTON RES INC               COM               122014103    28,705     663,697 SH      OTHER      2     663,397       0     300
BURLINGTON RES INC               COM               122014103       259       5,994 SH      DEFINED    5       5,994       0       0
BURLINGTON RES INC               COM               122014103       162       3,737 SH      DEFINED    6         687   3,050       0
BURLINGTON RES INC               COM               122014103     1,014      23,453 SH      OTHER      9      23,453       0       0
BURLINGTON RES INC               COM               122014103       148       3,433 SH      DEFINED   10       2,683     750       0
BURLINGTON RES INC               COM               122014103        66       1,532 SH      DEFINED   11         513   1,019       0
BURNHAM PAC PPTYS INC            COM               12232C108        50       4,080 SH      OTHER      2           0       0   4,080
BUTLER INTL INC NEW              COM               123649105         9         667 SH      DEFINED    1           0     667       0
CBL & ASSOC PPTYS INC            COM               124830100     4,612     174,850 SH      OTHER      2     167,250       0   7,600
CBL & ASSOC PPTYS INC            COM               124830100       108       4,100 SH      OTHER      9       4,100       0       0
CBT GROUP PUB LTD                SPNSRD ADR NEW    124853300       263      15,968 SH      OTHER      2      15,968       0       0
CCB FINL CORP                    COM               124875105       212       4,000 SH      DEFINED    1       4,000       0       0
CCB FINL CORP                    COM               124875105       554      10,485 SH      OTHER      2      10,085       0     400
CCB FINL CORP                    COM               124875105        48         900 SH      DEFINED    5         900       0       0
CCB FINL CORP                    COM               124875105        16         300 SH      OTHER      9         300       0       0
CCC INFORMATION SVCS GROUP INC   COM               12487Q109         6         500 SH      OTHER      2           0       0     500
CB RICHARD ELLIS SVCS INC        COM               12489L108        99       3,974 SH      OTHER      2       3,974       0       0
CBRL GROUP INC                   COM               12489V106         5         274 SH      DEFINED    1         274       0       0
CBRL GROUP INC                   COM               12489V106       347      20,068 SH      OTHER      2      18,868       0   1,200
CBRL GROUP INC                   COM               12489V106         8         437 SH      DEFINED    5         100     337       0
CBRL GROUP INC                   COM               12489V106        87       5,020 SH      DEFINED   11       3,820   1,200       0
CBS CORP                         OPTION            12490K107     8,965       2,058 CALL    OTHER      2       2,058       0       0
CBS CORP                         OPTION            12490K107     2,396         550 PUT     OTHER      2         550       0       0
CBS CORP                         COM               12490K107       137       3,145 SH      DEFINED    1       2,490     655       0
CBS CORP                         COM               12490K107    15,457     354,825 SH      OTHER      2     173,835       0 180,990
CBS CORP                         COM               12490K107       373       8,557 SH      DEFINED    5       8,557       0       0
CBS CORP                         COM               12490K107       261       6,000 SH      DEFINED    6       6,000       0       0
CBS CORP                         COM               12490K107     2,191      50,291 SH      OTHER      9      50,291       0       0
CBS CORP                         COM               12490K107        44       1,020 SH      DEFINED   10         130     890       0
CBS CORP                         COM               12490K107        80       1,842 SH      DEFINED   11       1,088     754       0
C-CUBE MICROSYSTEMS INC          COM               125015107     1,584      50,000 SH      OTHER      2      50,000       0       0
C D I CORP                       COM               125071100         0           1 SH      OTHER      2           1       0       0
CD RADIO INC                     COM               125127100        88       2,900 SH      OTHER      2           0       0   2,900
CDW COMPUTER CTRS INC            COM               125129106     4,253      96,650 SH      OTHER      2      96,650       0       0
C H ROBINSON WORLDWIDE INC       COM               12541W100         6         170 SH      DEFINED    1         170       0       0
C H ROBINSON WORLDWIDE INC       COM               12541W100         7         179 SH      DEFINED   10         179       0       0
CHS ELECTRONICS INC              OPTION            12542A206         4          10 CALL    OTHER      2          10       0       0
CIGNA CORP                       COM               125509109        20         228 SH      DEFINED    1         228       0       0
CIGNA CORP                       COM               125509109     2,721      30,577 SH      OTHER      2      30,077       0     500
CIGNA CORP                       COM               125509109       420       4,717 SH      DEFINED    5       1,356   3,361       0
CIGNA CORP                       COM               125509109        64         714 SH      DEFINED    6         314     400       0
CIGNA CORP                       COM               125509109     1,149      12,913 SH      OTHER      9      12,913       0       0
CIGNA CORP                       COM               125509109       779       8,749 SH      DEFINED   10       5,149   3,600       0
CIGNA CORP                       COM               125509109        44         499 SH      DEFINED   11         499       0       0
CIGNA HIGH INCOME SHS            SH BEN INT        12551D109       119      16,082 SH      DEFINED    1       3,323  12,759       0
CIGNA HIGH INCOME SHS            SH BEN INT        12551D109     1,502     203,702 SH      OTHER      2           2       0 203,700
CIGNA HIGH INCOME SHS            SH BEN INT        12551D109        17       2,258 SH      DEFINED    5           0   2,258       0
CIGNA HIGH INCOME SHS            SH BEN INT        12551D109         7       1,000 SH      DEFINED    6       1,000       0       0
CIT GROUP INC                    CL A              125577106        62       2,162 SH      DEFINED    1       1,695     467       0
CIT GROUP INC                    CL A              125577106        44       1,540 SH      DEFINED    5       1,540       0       0
CIT GROUP INC                    CL A              125577106        27         946 SH      DEFINED    6         756     190       0
CIT GROUP INC                    CL A              125577106        42       1,440 SH      DEFINED   10         180   1,260       0
CIT GROUP INC                    CL A              125577106        36       1,248 SH      DEFINED   11         994     254       0
CKE RESTAURANTS INC              OPTION            12561E105        16          10 CALL    OTHER      2          10       0       0
CKE RESTAURANTS INC              COM               12561E105     2,871     176,671 SH      OTHER      2     176,671       0       0
CLECO CORP                       COM               12561M107        30       1,000 SH      DEFINED    1       1,000       0       0
CLECO CORP                       COM               12561M107    23,087     760,069 SH      OTHER      2     760,069       0       0
CLECO CORP                       COM               12561M107        15         500 SH      DEFINED    5           0     500       0
CLECO CORP                       COM               12561M107        12         400 SH      DEFINED   10         400       0       0
CMGI INC                         OPTION            125750109     2,087         183 CALL    OTHER      2         183       0       0
CMGI INC                         OPTION            125750109     1,528         134 PUT     OTHER      2         134       0       0
CMGI INC                         COM               125750109        23         200 SH      DEFINED    1         200       0       0
CMGI INC                         COM               125750109     4,023      35,273 SH      OTHER      2      33,723       0   1,550
CMGI INC                         COM               125750109         7          58 SH      DEFINED    5          58       0       0
CMGI INC                         COM               125750109         7          63 SH      DEFINED   10          63       0       0
CMGI INC                         COM               125750109        52         460 SH      DEFINED   11         290     170       0
CMI CORP                         CL A              125761304         2         250 SH      DEFINED   11         250       0       0
CMP GROUP INC                    COM               125887109       208       7,949 SH      OTHER      2       7,949       0       0
CMP GROUP INC                    COM               125887109       139       5,300 SH      OTHER      9       5,300       0       0
CMS ENERGY CORP                  COM               125896100        68       1,617 SH      DEFINED    1       1,617       0       0
CMS ENERGY CORP                  COM               125896100       788      18,821 SH      OTHER      2      17,421       0   1,400
CMS ENERGY CORP                  COM               125896100       188       4,501 SH      DEFINED    5         500   4,001       0
CMS ENERGY CORP                  COM               125896100       290       6,930 SH      OTHER      9       6,930       0       0
CMS ENERGY CORP                  COM               125896100        19         459 SH      DEFINED   10         459       0       0
CMS ENERGY CORP                  COM CL G          125896209        42       1,800 SH      OTHER      2           0       0   1,800
CPI CORP                         COM               125902106        10         313 SH      OTHER      2           0       0     313
CNET INC                         OPTION            125945105       104          18 CALL    OTHER      2          18       0       0
CNET INC                         COM               125945105     6,386     110,828 SH      OTHER      2     110,828       0       0
CNET INC                         COM               125945105     2,023      35,100 SH      OTHER      9      35,100       0       0
CTG RES INC                      COM               125957100       109       3,000 SH      OTHER      9       3,000       0       0
CSK AUTO CORP                    COM               125965103        86       3,188 SH      OTHER      2       3,188       0       0
CNA FINL CORP                    COM               126117100         0           6 SH      OTHER      2           0       0       6
CNB BANCSHARES INC               COM               126126101       200       3,500 SH      OTHER      2       3,500       0       0
CNA SURETY CORP                  COM               12612L108         5         320 SH      DEFINED   10         320       0       0
CNF TRANSN INC                   OPTION            12612W104        19           5 CALL    OTHER      2           5       0       0
CNF TRANSN INC                   COM               12612W104         4         113 SH      DEFINED    1          25      88       0
CNF TRANSN INC                   COM               12612W104       456      11,842 SH      OTHER      2      11,842       0       0
CNF TRANSN INC                   COM               12612W104        46       1,200 SH      OTHER      9       1,200       0       0
CNF TRANSN INC                   COM               12612W104         2          48 SH      DEFINED   10          48       0       0
CNF TRANSN INC                   COM               12612W104         5         138 SH      DEFINED   11          46      92       0
CSG SYS INTL INC                 COM               126349109       102       3,900 SH      OTHER      2       3,900       0       0
CSK CORP                         SPON ADR          126375302        19         869 SH      OTHER      2         869       0       0
CSX CORP                         COM               126408103       252       5,556 SH      DEFINED    1       4,852     704       0
CSX CORP                         COM               126408103     1,528      33,674 SH      OTHER      2      32,151       0   1,523
CSX CORP                         COM               126408103       416       9,165 SH      DEFINED    5       5,432   3,733       0
CSX CORP                         COM               126408103       925      20,396 SH      DEFINED    6       4,200  16,196       0
CSX CORP                         COM               126408103       625      13,782 SH      OTHER      9      13,782       0       0
CSX CORP                         COM               126408103       272       6,000 SH      DEFINED   10           0   6,000       0
CSX CORP                         COM               126408103        82       1,800 SH      DEFINED   11       1,800       0       0
CTC COMMUNICATIONS CORP          COM               126418102         6         300 SH      OTHER      2           0       0     300
CTS CORP                         COM               126501105         0           1 SH      OTHER      2           1       0       0
CTS CORP                         COM               126501105        28         400 SH      OTHER      9         400       0       0
CTS CORP                         COM               126501105         5          65 SH      DEFINED   10          65       0       0
CUNO INC                         COM               126583103         7         370 SH      DEFINED    1         370       0       0
CUNO INC                         COM               126583103         7         386 SH      DEFINED   10         386       0       0
CUNO INC                         COM               126583103         5         270 SH      DEFINED   11         270       0       0
CV REIT INC                      COM               126640101         0           1 SH      OTHER      2           1       0       0
CVS CORP                         OPTION            126650100     4,263         840 CALL    OTHER      2         840       0       0
CVS CORP                         COM               126650100       235       4,628 SH      DEFINED    1       4,628       0       0
CVS CORP                         COM               126650100     3,289      64,815 SH      OTHER      2      58,175       0   6,640
CVS CORP                         COM               126650100    20,780     409,460 SH      OTHER      4           0       0 409,460
CVS CORP                         COM               126650100       373       7,340 SH      DEFINED    5       5,660   1,680       0
CVS CORP                         COM               126650100       121       2,380 SH      DEFINED    6       2,215     165       0
CVS CORP                         COM               126650100     1,562      30,776 SH      OTHER      9      30,776       0       0
CVS CORP                         COM               126650100       184       3,625 SH      DEFINED   10       2,425   1,200       0
CVS CORP                         COM               126650100       315       6,213 SH      DEFINED   11       5,419     794       0
CABLE & WIRELESS COMMUNICATION   SPON ADR          12682P104         2          41 SH      DEFINED    6          41       0       0
CABLE & WIRELESS COMMUNICATION   SPON ADR          12682P104         8         173 SH      DEFINED   10         109      64       0
CABLE & WIRELESS COMMUNICATION   SPON ADR          12682P104         1          17 SH      DEFINED   11          17       0       0
CABLE & WIRELESS PUB LTD CO      SPON ADR          126830207     6,252     157,791 SH      OTHER      2     154,191       0   3,600
CABLE & WIRELESS PUB LTD CO      SPON ADR          126830207         4         100 SH      DEFINED    5           0     100       0
CABLE & WIRELESS PUB LTD CO      SPON ADR          126830207         5         116 SH      DEFINED    6         116       0       0
CABLE & WIRELESS PUB LTD CO      SPON ADR          126830207        19         481 SH      DEFINED   10         301     180       0
CABLE & WIRELESS PUB LTD CO      SPON ADR          126830207         2          47 SH      DEFINED   11          47       0       0
CABLEVISION SYS CORP             CL A              12686C109       163       2,325 SH      OTHER      2           0       0   2,325
CABLEVISION SYS CORP             CL A              12686C109       420       6,000 SH      DEFINED   10           0   6,000       0
CABLEVISION SYS CORP             CL A              12686C109       125       1,792 SH      DEFINED   11       1,792       0       0
CABLETRON SYS INC                OPTION            126920107       436         335 CALL    OTHER      2         335       0       0
CABLETRON SYS INC                COM               126920107         4         340 SH      DEFINED    1         340       0       0
CABLETRON SYS INC                COM               126920107       692      53,257 SH      OTHER      2      52,257       0   1,000
CABLETRON SYS INC                COM               126920107       139      10,687 SH      OTHER      9      10,687       0       0
CABLE DESIGN TECHNOLOGIES CORP   COM               126924109        21       1,352 SH      OTHER      2       1,352       0       0
CADILLAC FAIRVIEW CORP           COM               126929207        30       1,600 SH      OTHER      1       1,600       0       0
CABOT CORP                       COM               127055101       399      16,484 SH      OTHER      2      16,484       0       0
CABOT INDUSTRIAL TRUST           COM               127072106     2,879     135,500 SH      OTHER      2     135,500       0       0
CABOT OIL & GAS CORP             CL A              127097103        37       2,000 SH      OTHER      2           0       0   2,000
CABOT OIL & GAS CORP             CL A              127097103        10         555 SH      DEFINED   10         555       0       0
CADBURY SCHWEPPES PLC            ADR               127209302        64       2,420 SH      DEFINED    1       2,420       0       0
CADBURY SCHWEPPES PLC            ADR               127209302       169       6,340 SH      OTHER      2         900       0   5,440
CADBURY SCHWEPPES PLC            ADR               127209302        29       1,100 SH      DEFINED    6       1,100       0       0
CADBURY SCHWEPPES PLC            ADR               127209302       155       5,820 SH      DEFINED   10       5,820       0       0
CADBURY SCHWEPPES PLC            ADR               127209302        26         970 SH      DEFINED   11         970       0       0
CADENCE DESIGN SYSTEM INC        COM               127387108        21       1,645 SH      DEFINED    1       1,645       0       0
CADENCE DESIGN SYSTEM INC        COM               127387108     1,482     117,368 SH      OTHER      2     117,318       0      50
CADENCE DESIGN SYSTEM INC        COM               127387108        11         860 SH      DEFINED    5         860       0       0
CADENCE DESIGN SYSTEM INC        COM               127387108         7         525 SH      DEFINED    6         525       0       0
CADENCE DESIGN SYSTEM INC        COM               127387108       107       8,453 SH      OTHER      9       8,453       0       0
CADENCE DESIGN SYSTEM INC        COM               127387108        15       1,165 SH      DEFINED   10       1,165       0       0
CAERE CORP                       COM               127646107         7         500 SH      DEFINED    1           0     500       0
CALIFORNIA COASTAL CMNTYS INC    COM               129915104         0           1 SH      DEFINED   10           1       0       0
CALLAWAY GOLF CO                 OPTION            131193104       293         200 CALL    OTHER      2         200       0       0
CALLAWAY GOLF CO                 COM               131193104     2,716     185,738 SH      OTHER      2      24,838       0 160,900
CALLAWAY GOLF CO                 COM               131193104         1         100 SH      DEFINED    5         100       0       0
CALLAWAY GOLF CO                 COM               131193104       748      51,157 SH      DEFINED   10      51,157       0       0
CALLON PETE CO DEL               COM               13123X102         1          60 SH      DEFINED   11          60       0       0
CALPINE CORP                     COM               131347106        12         221 SH      DEFINED    1          49     172       0
CALPINE CORP                     COM               131347106       238       4,400 SH      OTHER      2       4,400       0       0
CALPINE CORP                     COM               131347106       124       2,300 SH      OTHER      9       2,300       0       0
CALPINE CORP                     COM               131347106         5          94 SH      DEFINED   10          94       0       0
CALPINE CORP                     COM               131347106         5          92 SH      DEFINED   11          92       0       0
CAMBREX CORP                     COM               132011107        11         410 SH      DEFINED   10         410       0       0
CAMBRIDGE TECH PARTNERS MASS     COM               132524109         8         460 SH      DEFINED    1           0     460       0
CAMBRIDGE TECH PARTNERS MASS     COM               132524109     6,382     363,376 SH      OTHER      2     363,376       0       0
CAMBRIDGE TECH PARTNERS MASS     COM               132524109         5         300 SH      OTHER      9         300       0       0
CAMDEN PPTY TR                   SH BEN INT        133131102     7,997     288,170 SH      OTHER      2     271,370       0  16,800
CAMDEN PPTY TR                   SH BEN INT        133131102         5         180 SH      DEFINED    6           0     180       0
CAMDEN PPTY TR                   SH BEN INT        133131102        28       1,000 SH      DEFINED   10       1,000       0       0
CAMPBELL RES INC NEW             COM               134422104         0       1,517 SH      OTHER      1       1,517       0       0
CAMPBELL SOUP CO                 OPTION            134429109        37           8 CALL    OTHER      2           8       0       0
CAMPBELL SOUP CO                 COM               134429109       545      11,760 SH      DEFINED    1       9,400   2,360       0
CAMPBELL SOUP CO                 COM               134429109     4,352      93,848 SH      OTHER      2      81,574       0  12,274
CAMPBELL SOUP CO                 COM               134429109       314       6,776 SH      DEFINED    5       3,728   3,048       0
CAMPBELL SOUP CO                 COM               134429109        97       2,100 SH      DEFINED    6           0   2,100       0
CAMPBELL SOUP CO                 COM               134429109     1,603      34,576 SH      OTHER      9      34,576       0       0
CAMPBELL SOUP CO                 COM               134429109       134       2,900 SH      DEFINED   10       2,900       0       0
CAMPBELL SOUP CO                 COM               134429109       453       9,775 SH      DEFINED   11       8,525   1,250       0
CANADIAN PAC LTD NEW             COM               135923100        63       2,635 SH      DEFINED    1       2,385     250       0
CANADIAN PAC LTD NEW             COM               135923100       782      32,838 SH      OTHER      2      26,300       0   6,538
CANADIAN PAC LTD NEW             COM               135923100         6         270 SH      DEFINED    5           0     270       0
CANADIAN PAC LTD NEW             COM               135923100        36       1,500 SH      DEFINED    6       1,500       0       0
CANADIAN PAC LTD NEW             COM               135923100        53       2,205 SH      DEFINED   10         705   1,500       0
CANADIAN PAC LTD NEW             COM               135923100        29       1,200 SH      DEFINED   11       1,200       0       0
CDN IMPERIAL BK OF COMMERCE      COM               136069101        10         400 SH      OTHER      1         400       0       0
CDN IMPERIAL BK OF COMMERCE      COM               136069101         0           3 SH      OTHER      2           3       0       0
CANADIAN NATL RY CO              COM               136375102       201       2,993 SH      DEFINED    1         493   2,500       0
CANADIAN NATL RY CO              COM               136375102     4,685      69,932 SH      OTHER      2      68,800       0   1,132
CANADIAN NATL RY CO              COM               136375102        32         474 SH      DEFINED    6         474       0       0
CANADIAN NATL RY CO              COM               136375102        45         677 SH      DEFINED   10         168     509       0
CANADIAN NATL RY CO              COM               136375102         7         100 SH      DEFINED   11         100       0       0
CANANDAIGUA BRANDS INC           CL A              137219200       611      11,661 SH      OTHER      2         100       0  11,561
CANISCO RES INC                  COM               137587101         1         388 SH      OTHER      2         388       0       0
CANON INC                        ADR               138006309     1,283      44,055 SH      DEFINED    1      40,630   3,425       0
CANON INC                        ADR               138006309     1,795      61,630 SH      OTHER      2      61,230       0     400
CANON INC                        ADR               138006309         2          80 SH      DEFINED    5          80       0       0
CANON INC                        ADR               138006309       135       4,639 SH      DEFINED    6       4,139     500       0
CANON INC                        ADR               138006309       267       9,176 SH      DEFINED   10       7,992   1,184       0
CANON INC                        ADR               138006309       246       8,449 SH      DEFINED   11       6,719   1,730       0
CAPITAL AUTOMOTIVE REIT          COM SH BEN INT    139733109        98       7,391 SH      OTHER      2       7,391       0       0
CAPITAL ONE FINL CORP            OPTION            14040H105        50           9 CALL    OTHER      2           9       0       0
CAPITAL ONE FINL CORP            COM               14040H105       290       5,205 SH      DEFINED    1       5,205       0       0
CAPITAL ONE FINL CORP            COM               14040H105     9,144     164,212 SH      OTHER      2      95,589       0  68,623
CAPITAL ONE FINL CORP            COM               14040H105         9         164 SH      DEFINED    5         164       0       0
CAPITAL ONE FINL CORP            COM               14040H105       683      12,263 SH      OTHER      9      12,263       0       0
CAPITAL ONE FINL CORP            COM               14040H105        11         192 SH      DEFINED   10         192       0       0
CAPITAL ONE FINL CORP            COM               14040H105        78       1,400 SH      DEFINED   11         800     600       0
CAPITAL RE CORP                  COM               140432105        15         958 SH      OTHER      2         958       0       0
CAPITAL SOUTHWEST CORP           COM               140501107        82       1,021 SH      OTHER      2           0       0   1,021
CAPITOL TRANSAMERICA CORP        COM               140640103        38       2,900 SH      OTHER      2       2,900       0       0
CAPSTEAD MTG CORP                COM               14067E100     1,093     200,942 SH      OTHER      2     200,942       0       0
CAPSTEAD MTG CORP                COM               14067E100         4         812 SH      DEFINED    5         812       0       0
CAPSTEAD MTG CORP                COM               14067E100         5         900 SH      DEFINED    6           0     900       0
CAPSTEAD MTG CORP                PFD B CV $1.26    14067E308        24       2,011 SH      DEFINED    5       1,511     500       0
CAPSTEAD MTG CORP                PFD B CV $1.26    14067E308     5,215     441,500 SH      OTHER      9     441,500       0       0
CARBIDE/GRAPHITE GROUP INC       COM               140777103        19       1,300 SH      OTHER      2       1,300       0       0
CARAUSTAR INDS INC               COM               140909102     2,740     111,000 SH      DEFINED    1     111,000       0       0
CARDINAL HEALTH INC              OPTION            14149Y108        38           6 CALL    OTHER      2           6       0       0
CARDINAL HEALTH INC              COM               14149Y108        61         959 SH      DEFINED    1         775     184       0
CARDINAL HEALTH INC              COM               14149Y108     9,105     141,987 SH      OTHER      2     117,878       0  24,109
CARDINAL HEALTH INC              COM               14149Y108       115       1,799 SH      DEFINED    5       1,103     696       0
CARDINAL HEALTH INC              COM               14149Y108        47         733 SH      DEFINED    6         335     398       0
CARDINAL HEALTH INC              COM               14149Y108     1,369      21,346 SH      OTHER      9      21,346       0       0
CARDINAL HEALTH INC              COM               14149Y108        18         280 SH      DEFINED   10         265      15       0
CARDINAL HEALTH INC              COM               14149Y108       733      11,433 SH      DEFINED   11       1,400  10,033       0
CAREMATRIX CORP                  COM               141706101         8         635 SH      DEFINED    1           0     635       0
CAREINSITE INC                   COM               14170M106       216       4,580 SH      OTHER      2       4,580       0       0
CAREY DIVERSIFIED LLC            COM               14174P105        36       2,071 SH      DEFINED    6       2,071       0       0
CARIBINER INTL INC               COM               141888107         5         770 SH      DEFINED    1           0     770       0
CARIBINER INTL INC               COM               141888107       197      31,854 SH      OTHER      2      31,854       0       0
CARLISLE COS INC                 COM               142339100       358       7,432 SH      OTHER      2       7,432       0       0
CARLISLE COS INC                 COM               142339100       173       3,600 SH      DEFINED    5           0   3,600       0
CARLISLE COS INC                 COM               142339100        48       1,000 SH      DEFINED    6       1,000       0       0
CARLISLE COS INC                 COM               142339100         7         140 SH      DEFINED   10         140       0       0
CARLISLE COS INC                 COM               142339100        96       2,000 SH      DEFINED   11           0   2,000       0
CARLTON COMMUNICATIONS PLC       ADR               142872209        66       1,540 SH      DEFINED    1       1,065     475       0
CARLTON COMMUNICATIONS PLC       ADR               142872209         0          10 SH      OTHER      2          10       0       0
CARLTON COMMUNICATIONS PLC       ADR               142872209         2          40 SH      DEFINED    5          40       0       0
CARLTON COMMUNICATIONS PLC       ADR               142872209        36         845 SH      DEFINED   11         275     570       0
CARNIVAL CORP                    OPTION            143658102        29           6 CALL    OTHER      2           6       0       0
CARNIVAL CORP                    COM               143658102       375       7,723 SH      DEFINED    1       3,923   3,800       0
CARNIVAL CORP                    COM               143658102     8,690     179,181 SH      OTHER      2     108,982       0  70,199
CARNIVAL CORP                    COM               143658102       564      11,625 SH      DEFINED    5      10,225   1,400       0
CARNIVAL CORP                    COM               143658102       191       3,934 SH      DEFINED    6       3,474     460       0
CARNIVAL CORP                    COM               143658102     2,101      43,317 SH      OTHER      9      43,317       0       0
CARNIVAL CORP                    COM               143658102        75       1,552 SH      DEFINED   10         432   1,120       0
CARNIVAL CORP                    COM               143658102       438       9,030 SH      DEFINED   11       6,850   2,180       0
CAROLINA FIRST CORP              COM               143877108         2         100 SH      OTHER      2         100       0       0
CAROLINA PWR & LT CO             COM               144141108     2,159      50,436 SH      DEFINED    1      33,646  16,790       0
CAROLINA PWR & LT CO             COM               144141108    19,491     455,275 SH      OTHER      2     448,876       0   6,399
CAROLINA PWR & LT CO             COM               144141108     1,887      44,071 SH      DEFINED    5      38,020   6,051       0
CAROLINA PWR & LT CO             COM               144141108     2,852      66,625 SH      DEFINED    6      47,750  18,875       0
CAROLINA PWR & LT CO             COM               144141108       377       8,811 SH      OTHER      9       8,811       0       0
CAROLINA PWR & LT CO             COM               144141108       472      11,025 SH      DEFINED   10      11,025       0       0
CAROLINA PWR & LT CO             COM               144141108     1,531      35,765 SH      DEFINED   11      28,640   7,125       0
CARPENTER TECHNOLOGY CORP        COM               144285103       157       5,492 SH      OTHER      2       5,492       0       0
CARPENTER TECHNOLOGY CORP        COM               144285103       114       4,000 SH      DEFINED    5           0   4,000       0
CARPENTER TECHNOLOGY CORP        COM               144285103        29       1,000 SH      DEFINED   11           0   1,000       0
CARRAMERICA RLTY CORP            COM               144418100        13         500 SH      DEFINED    1           0     500       0
CARRAMERICA RLTY CORP            COM               144418100    25,809   1,032,347 SH      OTHER      2   1,032,347       0       0
CARRIZO OIL & CO INC             COM               144577103       194     100,000 SH      OTHER      2           0       0 100,000
CARSON INC                       CL A              145845103         0           4 SH      OTHER      2           4       0       0
CARTER WALLACE INC               COM               146285101       202      11,102 SH      OTHER      2      11,102       0       0
CASCADE NAT GAS CORP             COM               147339105         6         300 SH      DEFINED   11         300       0       0
CASE CORP                        OPTION            14743R103     3,369         700 CALL    OTHER      2         700       0       0
CASE CORP                        COM               14743R103        12         240 SH      DEFINED    1         240       0       0
CASE CORP                        COM               14743R103     1,410      29,290 SH      OTHER      2      29,180       0     110
CASE CORP                        COM               14743R103       144       3,000 SH      OTHER      9       3,000       0       0
CASELLA WASTE SYS INC            OPTION            147448104       770         296 CALL    OTHER      2         296       0       0
CASELLA WASTE SYS INC            CL A              147448104         8         290 SH      DEFINED    1         290       0       0
CASELLA WASTE SYS INC            CL A              147448104         8         306 SH      DEFINED   10         306       0       0
CASTLE A M & CO                  COM               148411101        10         606 SH      OTHER      2         606       0       0
CASTLE & COOKE INC NEW           COM               148433105         1          50 SH      OTHER      2           0       0      50
CASTLE & COOKE INC NEW           COM               148433105         1          61 SH      DEFINED    5          61       0       0
CATALINA MARKETING CORP          COM               148867104       331       3,600 SH      OTHER      2       3,600       0       0
CATALYTICA INC                   COM               148885106         6         455 SH      DEFINED    1         455       0       0
CATALYTICA INC                   COM               148885106       142      10,161 SH      OTHER      2       9,161       0   1,000
CATALYTICA INC                   COM               148885106         7         475 SH      DEFINED   10         475       0       0
CATELLUS DEV CORP                COM               149111106        32       2,075 SH      DEFINED   10          75   2,000       0
CATELLUS DEV CORP                COM               149111106         5         351 SH      DEFINED   11         351       0       0
CATERPILLAR INC DEL              OPTION            149123101        12           2 CALL    OTHER      2           2       0       0
CATERPILLAR INC DEL              OPTION            149123101     1,680         280 CALL    OTHER      9         280       0       0
CATERPILLAR INC DEL              OPTION            149123101       600         100 PUT     OTHER      2         100       0       0
CATERPILLAR INC DEL              COM               149123101       192       3,198 SH      DEFINED    1       2,828     370       0
CATERPILLAR INC DEL              COM               149123101       135       2,250 SH      OTHER      1       1,125       0       0
CATERPILLAR INC DEL              COM               149123101 1,461,282  24,354,704 SH      OTHER      2  24,342,935       0  11,769
CATERPILLAR INC DEL              COM               149123101        18         300 SH      OTHER      4           0       0     300
CATERPILLAR INC DEL              COM               149123101       545       9,083 SH      DEFINED    5       7,440   1,643       0
CATERPILLAR INC DEL              COM               149123101     1,084      18,060 SH      DEFINED    6       7,460  10,600       0
CATERPILLAR INC DEL              COM               149123101     2,933      48,876 SH      OTHER      9      48,876       0       0
CATERPILLAR INC DEL              COM               149123101       310       5,165 SH      DEFINED   10       4,465     700       0
CATERPILLAR INC DEL              COM               149123101       372       6,195 SH      DEFINED   11       4,495   1,700       0
CAVALIER HOMES INC               COM               149507105        36       4,400 SH      OTHER      2       4,400       0       0
CEDAR FAIR L P                   DEPOSITRY UNIT    150185106       175       7,000 SH      DEFINED    1           0   7,000       0
CELL GENESYS INC                 COM               150921104        33       7,700 SH      OTHER      2       7,700       0       0
CELLSTAR CORP                    COM               150925105        12       1,535 SH      DEFINED    1           0   1,535       0
CELLSTAR CORP                    COM               150925105       177      22,525 SH      OTHER      2      21,925       0     600
CELESTICA INC                    SUB VTG SHS       15101Q108     4,340     100,200 SH      OTHER      2     100,200       0       0
CELL PATHWAYS INC NEW            COM               15114R101         8         726 SH      DEFINED   11         726       0       0
CELLULAR COMMUNICATIONS P R      COM               15116N108       153       5,361 SH      OTHER      2       5,361       0       0
CENDANT CORP                     OPTION            151313103     2,122       1,035 CALL    OTHER      2       1,035       0       0
CENDANT CORP                     COM               151313103       155       7,553 SH      DEFINED    1         853   6,700       0
CENDANT CORP                     COM               151313103    10,886     531,035 SH      OTHER      2     510,289       0  20,746
CENDANT CORP                     COM               151313103       116       5,680 SH      DEFINED    6       1,280   4,400       0
CENDANT CORP                     COM               151313103        28       1,347 SH      OTHER      9       1,347       0       0
CENDANT CORP                     COM               151313103       106       5,170 SH      DEFINED   10       2,010   3,160       0
CENDANT CORP                     COM               151313103        80       3,895 SH      DEFINED   11       3,435     460       0
CENTENNIAL CELLULAR CORP         CL A NEW          15133V208       150       4,200 SH      OTHER      2       4,200       0       0
CENTER BANCORP INC               COM               151408101         5         315 SH      DEFINED    5           0     315       0
CENTERPOINT PPTYS TR             SH BEN INT        151895109     2,600      71,000 SH      OTHER      2      71,000       0       0
CENTERTRUST RETAIL PPTYS INC     COM               152038105        14       1,200 SH      OTHER      2       1,200       0       0
CENTEX CORP                      COM               152312104     1,434      38,165 SH      OTHER      2      38,145       0      20
CENTEX CORP                      COM               152312104       428      11,387 SH      OTHER      9      11,387       0       0
CENTEX CONSTRUCTION PRODUCTS     COM               15231R109        89       2,600 SH      OTHER      2           0       0   2,600
CENTEX CONSTRUCTION PRODUCTS     COM               15231R109        96       2,800 SH      OTHER      9       2,800       0       0
CENTOCOR INC                     OPTION            152342101       173          37 CALL    OTHER      2          37       0       0
CENTOCOR INC                     OPTION            152342101        56          12 PUT     OTHER      2          12       0       0
CENTOCOR INC                     OPTION            152342101     6,201       1,330 PUT     OTHER      9       1,330       0       0
CENTOCOR INC                     COM               152342101        23         500 SH      DEFINED    1           0     500       0
CENTOCOR INC                     COM               152342101     5,371     115,185 SH      OTHER      2      95,680       0  19,505
CENTOCOR INC                     COM               152342101        14         310 SH      DEFINED    6         310       0       0
CENTOCOR INC                     COM               152342101        43         915 SH      DEFINED   10         226     689       0
CENTOCOR INC                     COM               152342101         7         149 SH      DEFINED   11           0     149       0
CENTOCOR INC                     SB DB CV 144A 05  152342AC5     2,698   2,450,000 PRN     OTHER      2   2,450,000       0       0
CENTOCOR INC                     SB DB CV 4.75%05  152342AE1        44      40,000 PRN     OTHER      2           0       0  40,000
CENTRAL & SOUTH WEST CORP        COM               152357109       142       6,070 SH      DEFINED    1         940   5,130       0
CENTRAL & SOUTH WEST CORP        COM               152357109     4,914     210,221 SH      OTHER      2     207,378       0   2,843
CENTRAL & SOUTH WEST CORP        COM               152357109       225       9,637 SH      DEFINED    5       5,165   4,472       0
CENTRAL & SOUTH WEST CORP        COM               152357109       315      13,478 SH      OTHER      9      13,478       0       0
CENTRAL & SOUTH WEST CORP        COM               152357109        81       3,444 SH      DEFINED   10         200   3,244       0
CENTRAL & SOUTH WEST CORP        COM               152357109        26       1,100 SH      DEFINED   11         600     500       0
CENTRAL GARDEN & PET CO          COM               153527106        17       1,705 SH      OTHER      2       1,705       0       0
CENTRAL HUDSON GAS & ELEC CORP   COM               153609102        46       1,101 SH      DEFINED    1       1,101       0       0
CENTRAL HUDSON GAS & ELEC CORP   COM               153609102     3,931      93,587 SH      OTHER      2      93,587       0       0
CENTRAL HUDSON GAS & ELEC CORP   COM               153609102        25         600 SH      DEFINED    5         600       0       0
CENTRAL HUDSON GAS & ELEC CORP   COM               153609102        28         664 SH      DEFINED    6         664       0       0
CENTRAL NEWSPAPERS INC           CL A              154647101       320       8,525 SH      OTHER      2       6,700       0   1,825
CENTRAL SECS CORP                COM               155123102        31       1,143 SH      DEFINED    1       1,143       0       0
CENTRAL SECS CORP                COM               155123102        44       1,620 SH      DEFINED    5           0   1,620       0
CENTRAL SECS CORP                COM               155123102         0          10 SH      DEFINED    6          10       0       0
CENTRAL VT PUB SVC CORP          COM               155771108         3         250 SH      OTHER      2           0       0     250
CENTRAL VA BANKSHARES INC        COM               155792104         8         600 SH      DEFINED    6           0     600       0
CENTURA BKS INC                  COM               15640T100     1,660      29,450 SH      DEFINED    1           0  29,450       0
CENTURY BUSINESS SVCS INC        OPTION            156490104        15          10 CALL    OTHER      2          10       0       0
CENTURY BUSINESS SVCS INC        COM               156490104       266      18,339 SH      OTHER      2      10,699       0   7,640
CENTURYTEL INC                   COM               156700106        57       1,439 SH      DEFINED    1       1,237     202       0
CENTURYTEL INC                   COM               156700106    20,867     524,953 SH      OTHER      2     502,245       0  22,708
CENTURYTEL INC                   COM               156700106         4          90 SH      DEFINED    5          90       0       0
CENTURYTEL INC                   COM               156700106         4          90 SH      DEFINED    6           0      90       0
CENTURYTEL INC                   COM               156700106       111       2,800 SH      OTHER      9       2,800       0       0
CENTURYTEL INC                   COM               156700106        12         310 SH      DEFINED   10           0     310       0
CENTURYTEL INC                   COM               156700106         6         150 SH      DEFINED   11           0     150       0
CERIDIAN CORP                    COM               15677T106        46       1,395 SH      DEFINED    1       1,145     250       0
CERIDIAN CORP                    COM               15677T106     4,029     123,251 SH      OTHER      2     121,651       0   1,600
CERIDIAN CORP                    COM               15677T106       201       6,138 SH      DEFINED    5         138   6,000       0
CERIDIAN CORP                    COM               15677T106        33       1,004 SH      DEFINED    6         899     105       0
CERIDIAN CORP                    COM               15677T106       528      16,145 SH      OTHER      9      16,145       0       0
CERIDIAN CORP                    COM               15677T106        60       1,826 SH      DEFINED   10         664   1,162       0
CERIDIAN CORP                    COM               15677T106         6         180 SH      DEFINED   11           0     180       0
CERNER CORP                      COM               156782104         4         170 SH      DEFINED    1         170       0       0
CERUS CORP                       COM               157085101         1          50 SH      OTHER      2          50       0       0
CHALONE WINE GROUP LTD           COM               157639105         1         100 SH      DEFINED   10         100       0       0
CHAMPION ENTERPRISES INC         COM               158496109         5         262 SH      DEFINED    1          59     203       0
CHAMPION ENTERPRISES INC         COM               158496109         2         110 SH      DEFINED   10         110       0       0
CHAMPION ENTERPRISES INC         COM               158496109         2         105 SH      DEFINED   11         105       0       0
CHAMPION INTL CORP               COM               158525105       659      13,775 SH      DEFINED    1      11,925   1,850       0
CHAMPION INTL CORP               COM               158525105       769      16,066 SH      OTHER      2      16,066       0       0
CHAMPION INTL CORP               COM               158525105       153       3,200 SH      DEFINED    5       1,700   1,500       0
CHAMPION INTL CORP               COM               158525105       246       5,133 SH      DEFINED    6       4,233     900       0
CHAMPION INTL CORP               COM               158525105       447       9,328 SH      OTHER      9       9,328       0       0
CHAMPION INTL CORP               COM               158525105     1,897      39,633 SH      DEFINED   10      33,363   6,270       0
CHAMPION INTL CORP               COM               158525105       308       6,425 SH      DEFINED   11       4,150   2,275       0
CHANCELLOR MEDIA CORP            COM               158915108       189       3,429 SH      DEFINED    1       2,850     579       0
CHANCELLOR MEDIA CORP            COM               158915108     5,200      94,337 SH      OTHER      2      89,837       0   4,500
CHANCELLOR MEDIA CORP            COM               158915108        19         351 SH      DEFINED    5         351       0       0
CHANCELLOR MEDIA CORP            COM               158915108        26         466 SH      DEFINED    6         466       0       0
CHANCELLOR MEDIA CORP            COM               158915108        77       1,400 SH      OTHER      9       1,400       0       0
CHANCELLOR MEDIA CORP            COM               158915108        68       1,229 SH      DEFINED   10       1,229       0       0
CHANCELLOR MEDIA CORP            COM               158915108       123       2,239 SH      DEFINED   11         726   1,513       0
CHARTER ONE FINL INC             COM               160903100        29       1,052 SH      DEFINED    1         855     197       0
CHARTER ONE FINL INC             COM               160903100     1,159      41,686 SH      OTHER      2      41,266       0     420
CHARTER ONE FINL INC             COM               160903100         2          77 SH      DEFINED    5          77       0       0
CHARTER ONE FINL INC             COM               160903100         2          75 SH      DEFINED    6           0      75       0
CHARTER ONE FINL INC             COM               160903100        53       1,900 SH      OTHER      9       1,900       0       0
CHARTER ONE FINL INC             COM               160903100         7         269 SH      DEFINED   10           5     264       0
CHARTER ONE FINL INC             COM               160903100         3         109 SH      DEFINED   11           0     109       0
CHARTER MUN MTG ACCEP CO         SH BEN INT        160908109        12         917 SH      DEFINED    5         917       0       0
CHARTWELL DIVD & INCOME FD INC   COM               16139P104        24       1,817 SH      DEFINED    1       1,817       0       0
CHARTWELL DIVD & INCOME FD INC   COM               16139P104        99       7,475 SH      OTHER      2           0       0   7,475
CHARTWELL DIVD & INCOME FD INC   COM               16139P104        21       1,600 SH      DEFINED    5           0   1,600       0
CHARTWELL DIVD & INCOME FD INC   COM               16139P104        67       5,038 SH      DEFINED    6       5,038       0       0
CHARTWELL DIVD & INCOME FD INC   COM               16139P104        15       1,132 SH      DEFINED   10       1,132       0       0
CHARTWELL RE CORP                COM               16139W109       401      21,529 SH      OTHER      2      21,529       0       0
CHARTWELL RE CORP                COM               16139W109         9         470 SH      DEFINED   10         470       0       0
CHARTWELL RE CORP                COM               16139W109         6         305 SH      DEFINED   11         305       0       0
CHASE INDS INC                   COM               161568100        19       2,200 SH      OTHER      2       2,200       0       0
CHASE MANHATTAN CORP NEW         OPTION            16161A108       173          20 CALL    OTHER      2          20       0       0
CHASE MANHATTAN CORP NEW         COM               16161A108     1,376      15,902 SH      DEFINED    1      12,016   3,886       0
CHASE MANHATTAN CORP NEW         COM               16161A108    19,310     223,238 SH      OTHER      2     159,591       0  63,647
CHASE MANHATTAN CORP NEW         COM               16161A108     3,317      38,344 SH      DEFINED    5      20,995  17,349       0
CHASE MANHATTAN CORP NEW         COM               16161A108     2,200      25,428 SH      DEFINED    6      20,804   4,624       0
CHASE MANHATTAN CORP NEW         COM               16161A108     9,765     112,893 SH      OTHER      9     112,893       0       0
CHASE MANHATTAN CORP NEW         COM               16161A108     1,846      21,345 SH      DEFINED   10      11,366   9,979       0
CHASE MANHATTAN CORP NEW         COM               16161A108     1,215      14,044 SH      DEFINED   11       9,944   4,100       0
CHATEAU CMNTYS INC               COM               161726104        10         320 SH      DEFINED    1           0     320       0
CHATEAU CMNTYS INC               COM               161726104     2,170      72,490 SH      OTHER      2      71,551       0     939
CHATEAU CMNTYS INC               COM               161726104        14         469 SH      DEFINED   11         469       0       0
CHECKFREE HLDGS CORP             OPTION            162816102        55          20 CALL    OTHER      2          20       0       0
CHECKFREE HLDGS CORP             COM               162816102    12,343     447,823 SH      OTHER      2     447,823       0       0
CHECKPOINT SYS INC               COM               162825103         0           9 SH      OTHER      2           9       0       0
CHEESECAKE FACTORY INC           COM               163072101        15         500 SH      OTHER      2           0       0     500
CHEESECAKE FACTORY INC           COM               163072101        58       1,900 SH      DEFINED    6           0   1,900       0
CHELSEA GCA RLTY INC             COM               163262108        10         280 SH      DEFINED    1         280       0       0
CHELSEA GCA RLTY INC             COM               163262108     2,958      79,690 SH      OTHER      2      77,550       0   2,140
CHELSEA GCA RLTY INC             COM               163262108        30         800 SH      DEFINED    5           0     800       0
CHELSEA GCA RLTY INC             COM               163262108        26         700 SH      OTHER      9         700       0       0
CHELSEA GCA RLTY INC             COM               163262108        52       1,400 SH      DEFINED   11           0   1,400       0
CHESAPEAKE CORP                  COM               165159104       196       5,244 SH      OTHER      2       5,244       0       0
CHESAPEAKE CORP                  COM               165159104        30         800 SH      OTHER      9         800       0       0
CHEVRON CORPORATION              OPTION            166751107       238          25 CALL    OTHER      2          25       0       0
CHEVRON CORPORATION              COM               166751107     5,114      53,793 SH      DEFINED    1      46,112   7,681       0
CHEVRON CORPORATION              COM               166751107 1,571,990  16,536,474 SH      OTHER      2  16,508,661       0  27,813
CHEVRON CORPORATION              COM               166751107        57         600 SH      OTHER      4           0       0     600
CHEVRON CORPORATION              COM               166751107     9,087      95,587 SH      DEFINED    5      69,462  26,125       0
CHEVRON CORPORATION              COM               166751107     6,991      73,543 SH      DEFINED    6      51,261  22,282       0
CHEVRON CORPORATION              COM               166751107     9,207      96,854 SH      DEFINED   10      82,325  14,529       0
CHEVRON CORPORATION              COM               166751107     4,810      50,594 SH      DEFINED   11      37,256  13,338       0
CHICAGO TITLE CORP               COM               168228104        52       1,458 SH      DEFINED    1       1,458       0       0
CHIEF CONS MNG CO                COM               168628105         0           1 SH      DEFINED    6           1       0       0
CHILDRENS PL RETAIL STORES INC   COM               168905107       223       5,514 SH      OTHER      2       5,514       0       0
CHINA FD INC                     COM               169373107        49       4,002 SH      OTHER      2           2       0   4,000
CHINA EASTN AIRLS LTD            SPONS ADR CL H    16937R104        18       1,400 SH      OTHER      2       1,400       0       0
CHINA TELECOM HONG KONG LTD      OPTION            169428109       285          50 PUT     OTHER      2          50       0       0
CHINA TELECOM HONG KONG LTD      SPON ADR          169428109     3,386      59,401 SH      OTHER      2      59,201       0     200
CHINA TELECOM HONG KONG LTD      SPON ADR          169428109     7,889     138,400 SH      OTHER      9     138,400       0       0
CHIQUITA BRANDS INTL INC         COM               170032106         2         255 SH      DEFINED    1           0     255       0
CHIQUITA BRANDS INTL INC         COM               170032106         0          12 SH      OTHER      2          12       0       0
CHIREX INC                       COM               170038103        10         300 SH      DEFINED    1         300       0       0
CHIRON CORP                      OPTION            170040109    13,073       6,300 CALL    OTHER      2       6,300       0       0
CHIRON CORP                      COM               170040109    10,844     522,579 SH      OTHER      2     521,979       0     600
CHIRON CORP                      COM               170040109       252      12,164 SH      OTHER      9      12,164       0       0
CHIRON CORP                      COM               170040109         2         120 SH      DEFINED   11         120       0       0
CHIRON CORP                      SB CV ADJ 144A00  170040AB5        56      57,000 PRN     OTHER      2      57,000       0       0
CHITTENDEN CORP                  COM               170228100       100       3,200 SH      OTHER      2       3,200       0       0
CHOICEPOINT INC                  COM               170388102         5          70 SH      DEFINED    1           0      70       0
CHOICEPOINT INC                  COM               170388102         5          80 SH      DEFINED    6           0      80       0
CHOICEPOINT INC                  COM               170388102        44         660 SH      DEFINED   10           0     660       0
CHRIS CRAFT INDS INC             COM               170520100       389       8,248 SH      OTHER      2       8,248       0       0
CHRIS CRAFT INDS INC             COM               170520100        33         700 SH      OTHER      9         700       0       0
CHRIS CRAFT INDS INC             COM               170520100        67       1,431 SH      DEFINED   10           0   1,431       0
CHRIS CRAFT INDS INC             COM               170520100        29         611 SH      DEFINED   11         611       0       0
CHUBB CORP                       COM               171232101     1,171      16,842 SH      DEFINED    1      16,592     250       0
CHUBB CORP                       COM               171232101    13,666     196,637 SH      OTHER      2     173,814       0  22,823
CHUBB CORP                       COM               171232101       824      11,850 SH      OTHER      4           0       0  11,850
CHUBB CORP                       COM               171232101       738      10,625 SH      DEFINED    5       3,125   7,500       0
CHUBB CORP                       COM               171232101     1,906      27,425 SH      DEFINED    6      25,910   1,515       0
CHUBB CORP                       COM               171232101     6,178      88,891 SH      OTHER      9      88,891       0       0
CHUBB CORP                       COM               171232101     1,472      21,187 SH      DEFINED   10      16,437   4,750       0
CHUBB CORP                       COM               171232101       390       5,610 SH      DEFINED   11       4,940     670       0
CHURCH & DWIGHT INC              COM               171340102        22         500 SH      DEFINED    1         500       0       0
CHURCH & DWIGHT INC              COM               171340102       207       4,762 SH      OTHER      2       4,762       0       0
CHURCH & DWIGHT INC              COM               171340102        29         668 SH      DEFINED   11         668       0       0
CIBER INC                        OPTION            17163B102       235         123 CALL    OTHER      2         123       0       0
CIBER INC                        OPTION            17163B102        10           5 PUT     OTHER      2           5       0       0
CIBER INC                        COM               17163B102         7         358 SH      DEFINED    1          81     277       0
CIBER INC                        COM               17163B102        80       4,190 SH      OTHER      2           0       0   4,190
CIBER INC                        COM               17163B102         3         150 SH      DEFINED   10         150       0       0
CIBER INC                        COM               17163B102         3         144 SH      DEFINED   11         144       0       0
CIENA CORP                       OPTION            171779101        12           4 CALL    OTHER      2           4       0       0
CIENA CORP                       COM               171779101       277       9,174 SH      OTHER      2       8,674       0     500
CIENA CORP                       COM               171779101        60       2,000 SH      DEFINED    6       2,000       0       0
CILCORP INC                      COM               171794100     3,044      48,707 SH      OTHER      2      48,707       0       0
CILCORP INC                      COM               171794100        25         400 SH      DEFINED    5         300     100       0
CINCINNATI BELL INC              COM               171870108        50       2,000 SH      DEFINED    1           0   2,000       0
CINCINNATI BELL INC              COM               171870108    12,591     504,906 SH      OTHER      2     495,746       0   9,160
CINCINNATI BELL INC              COM               171870108       598      24,000 SH      DEFINED    5      24,000       0       0
CINCINNATI BELL INC              COM               171870108        60       2,400 SH      DEFINED    6       2,400       0       0
CINAR CORP                       SUB VTG SHS B     171905300        44       1,805 SH      OTHER      2       1,805       0       0
CINCINNATI FINL CORP             COM               172062101       974      25,943 SH      OTHER      2      24,588       0   1,355
CINCINNATI FINL CORP             COM               172062101        38       1,010 SH      DEFINED    5       1,010       0       0
CINCINNATI FINL CORP             COM               172062101       385      10,252 SH      OTHER      9      10,252       0       0
CINCINNATI FINL CORP             SR CV DB  5.5%02  172062AB7        38      15,000 PRN     OTHER      2      15,000       0       0
CINERGY CORP                     COM               172474108        14         452 SH      DEFINED    1           0     452       0
CINERGY CORP                     COM               172474108    19,301     603,166 SH      OTHER      2     602,566       0     600
CINERGY CORP                     COM               172474108       154       4,802 SH      DEFINED    5       4,274     528       0
CINERGY CORP                     COM               172474108       237       7,415 SH      DEFINED    6       2,000   5,415       0
CINERGY CORP                     COM               172474108       296       9,249 SH      OTHER      9       9,249       0       0
CINERGY CORP                     COM               172474108        49       1,523 SH      DEFINED   10       1,523       0       0
CIRCLE INTL GROUP INC            COM               172574105       133       6,100 SH      OTHER      2       6,100       0       0
CIRCUIT CITY STORE INC           OPTION            172737108        65           7 CALL    OTHER      2           7       0       0
CIRCUIT CITY STORE INC           OPTION            172737108        19           2 PUT     OTHER      2           2       0       0
CIRCUIT CITY STORE INC           CIRCT CITY GRP    172737108     2,223      23,900 SH      DEFINED    1      23,900       0       0
CIRCUIT CITY STORE INC           CIRCT CITY GRP    172737108     3,699      39,771 SH      OTHER      2      14,685       0  25,086
CIRCUIT CITY STORE INC           CIRCT CITY GRP    172737108       566       6,091 SH      OTHER      9       6,091       0       0
CIRCUIT CITY STORE INC           CIRCT CITY GRP    172737108        33         350 SH      DEFINED   11         350       0       0
CIRRUS LOGIC CORP                COM               172755100       136      15,369 SH      OTHER      2      15,069       0     300
CISCO SYS INC                    OPTION            17275R102    60,590       9,403 CALL    OTHER      2       9,403       0       0
CISCO SYS INC                    OPTION            17275R102     1,959         304 PUT     OTHER      2         304       0       0
CISCO SYS INC                    COM               17275R102       787      12,213 SH      OTHER      1      12,213       0       0
CISCO SYS INC                    COM               17275R102    22,836     354,396 SH      DEFINED    1     295,334  59,062       0
CISCO SYS INC                    COM               17275R102   126,622   1,965,051 SH      OTHER      2   1,569,168       0 395,883
CISCO SYS INC                    COM               17275R102    29,628     459,800 SH      OTHER      4           0       0 459,800
CISCO SYS INC                    COM               17275R102    20,809     322,942 SH      DEFINED    5     269,228  53,714       0
CISCO SYS INC                    COM               17275R102    11,403     176,956 SH      DEFINED    6     142,222  34,734       0
CISCO SYS INC                    COM               17275R102     5,298      82,213 SH      OTHER      9      82,213       0       0
CISCO SYS INC                    COM               17275R102    16,364     253,961 SH      DEFINED   10     234,923  19,038       0
CISCO SYS INC                    COM               17275R102    15,072     233,900 SH      DEFINED   11     193,079  40,821       0
CINTAS CORP                      COM               172908105     6,624      98,586 SH      OTHER      2      98,586       0       0
CINTAS CORP                      COM               172908105        20         300 SH      OTHER      9         300       0       0
CITIGROUP INC                    OPTION            172967101     8,721       1,836 CALL    OTHER      2       1,836       0       0
CITIGROUP INC                    OPTION            172967101    31,901       6,716 PUT     OTHER      2       6,716       0       0
CITIGROUP INC                    COM               172967101     4,696      98,862 SH      DEFINED    1      86,819  12,043       0
CITIGROUP INC                    COM               172967101       403       8,482 SH      OTHER      1       8,482       0       0
CITIGROUP INC                    COM               172967101    51,122   1,076,260 SH      OTHER      2     746,536       0 329,724
CITIGROUP INC                    COM               172967101     1,093      23,013 SH      OTHER      4           0       0  23,013
CITIGROUP INC                    COM               172967101     4,088      86,063 SH      DEFINED    5      49,551  36,512       0
CITIGROUP INC                    COM               172967101     1,692      35,616 SH      DEFINED    6      19,566  16,050       0
CITIGROUP INC                    COM               172967101     6,852     144,255 SH      OTHER      9     144,255       0       0
CITIGROUP INC                    COM               172967101     1,478      31,114 SH      DEFINED   10      25,111   6,003       0
CITIGROUP INC                    COM               172967101     1,728      36,373 SH      DEFINED   11      26,184  10,189       0
CITIZENS UTILS CO DEL            CL B              177342201       445      40,000 SH      DEFINED    1           0  40,000       0
CITIZENS UTILS CO DEL            CL B              177342201         9         779 SH      OTHER      2           3       0     776
CITIZENS UTILS CO DEL            CL B              177342201        28       2,505 SH      DEFINED    5           0   2,505       0
CITIZENS UTILS CO DEL            CL B              177342201         0           8 SH      DEFINED   10           8       0       0
CITIZENS UTILS TR                PFD EPPICS CV     177351202         7         150 SH      DEFINED    6           0     150       0
CITRIX SYS INC                   OPTION            177376100        90          16 CALL    OTHER      2          16       0       0
CITRIX SYS INC                   COM               177376100        31         540 SH      DEFINED    1         540       0       0
CITRIX SYS INC                   COM               177376100     4,663      82,527 SH      OTHER      2      82,527       0       0
CITRIX SYS INC                   COM               177376100         6         108 SH      DEFINED    5         108       0       0
CITRIX SYS INC                   COM               177376100       647      11,448 SH      OTHER      9      11,448       0       0
CITRIX SYS INC                   COM               177376100        15         264 SH      DEFINED   10         264       0       0
CITRIX SYS INC                   COM               177376100        55         978 SH      DEFINED   11         628     350       0
CITY HLDG CO                     COM               177835105        10         333 SH      DEFINED    1         333       0       0
CITY INVESTING CO LIQ TR         UNIT BEN INT      177900107         3       2,000 SH      DEFINED   10       2,000       0       0
CITY NATL CORP                   COM               178566105        10         267 SH      DEFINED    1          61     206       0
CITY NATL CORP                   COM               178566105       424      11,337 SH      OTHER      2      11,337       0       0
CITY NATL CORP                   COM               178566105         4         113 SH      DEFINED   10         113       0       0
CITY NATL CORP                   COM               178566105         4         107 SH      DEFINED   11         107       0       0
CLAIRE'S STORES INC              COM               179584107        25         990 SH      DEFINED    1         990       0       0
CLAIRE'S STORES INC              COM               179584107       492      19,122 SH      OTHER      2      19,122       0       0
CLAIRE'S STORES INC              COM               179584107        45       1,729 SH      DEFINED    5       1,729       0       0
CLAIRE'S STORES INC              COM               179584107        70       2,700 SH      OTHER      9       2,700       0       0
CLAIRE'S STORES INC              COM               179584107        13         488 SH      DEFINED   10         488       0       0
CLAIRE'S STORES INC              COM               179584107        48       1,850 SH      DEFINED   11       1,200     650       0
CLARCOR INC                      COM               179895107        11         595 SH      DEFINED   11         595       0       0
CLAYTON HOMES INC                COM               184190106        21       1,840 SH      DEFINED    1       1,515     325       0
CLAYTON HOMES INC                COM               184190106       407      35,604 SH      OTHER      2      35,604       0       0
CLAYTON HOMES INC                COM               184190106         4         338 SH      DEFINED    5         338       0       0
CLAYTON HOMES INC                COM               184190106         2         160 SH      DEFINED    6           0     160       0
CLAYTON HOMES INC                COM               184190106        25       2,200 SH      OTHER      9       2,200       0       0
CLAYTON HOMES INC                COM               184190106        24       2,093 SH      DEFINED   10       1,525     568       0
CLAYTON HOMES INC                COM               184190106         2         218 SH      DEFINED   11           0     218       0
CLEAR CHANNEL COMMUNICATIONS     OPTION            184502102       352          51 CALL    OTHER      2          51       0       0
CLEAR CHANNEL COMMUNICATIONS     COM               184502102       164       2,385 SH      OTHER      1       2,385       0       0
CLEAR CHANNEL COMMUNICATIONS     COM               184502102         7          97 SH      DEFINED    1          97       0       0
CLEAR CHANNEL COMMUNICATIONS     COM               184502102     5,222      75,745 SH      OTHER      2      47,970       0  27,775
CLEAR CHANNEL COMMUNICATIONS     COM               184502102        11         161 SH      DEFINED    5         161       0       0
CLEAR CHANNEL COMMUNICATIONS     COM               184502102       105       1,523 SH      DEFINED    6       1,523       0       0
CLEAR CHANNEL COMMUNICATIONS     COM               184502102       240       3,483 SH      OTHER      9       3,483       0       0
CLEAR CHANNEL COMMUNICATIONS     COM               184502102        81       1,177 SH      DEFINED   10         838     339       0
CLEAR CHANNEL COMMUNICATIONS     COM               184502102        44         641 SH      DEFINED   11         527     114       0
CLEARLY CDN BEVERAGE CORP        COM NEW           184901205         0          70 SH      OTHER      1          70       0       0
CLEARLY CDN BEVERAGE CORP        COM NEW           184901205         0          23 SH      OTHER      2           0       0      23
CLEARNET COMMUNICATIONS INC      CL A NON-VTG      184902104         3         210 SH      DEFINED    1         210       0       0
CLEARNET COMMUNICATIONS INC      CL A NON-VTG      184902104         1          59 SH      OTHER      1          59       0       0
CLEARNET COMMUNICATIONS INC      CL A NON-VTG      184902104     9,497     681,442 SH      OTHER      2     679,442       0   2,000
CLEARNET COMMUNICATIONS INC      CL A NON-VTG      184902104         3         222 SH      DEFINED   10         222       0       0
CLEVELAND CLIFFS INC             COM               185896107        90       2,784 SH      OTHER      2       2,784       0       0
CLEVELAND CLIFFS INC             COM               185896107        89       2,760 SH      OTHER      9       2,760       0       0
CLEVELAND CLIFFS INC             COM               185896107        11         350 SH      DEFINED   11         230     120       0
CLINICHEM DEV INC                CL A              186906103         1         144 SH      OTHER      2         144       0       0
CLINICHEM DEV INC                CL A              186906103       793     122,000 SH      OTHER      9     122,000       0       0
CLOROX CO DEL                    OPTION            189054109        21           2 CALL    OTHER      2           2       0       0
CLOROX CO DEL                    COM               189054109     1,012       9,472 SH      DEFINED    1       8,142   1,330       0
CLOROX CO DEL                    COM               189054109    26,532     248,399 SH      OTHER      2     240,610       0   7,789
CLOROX CO DEL                    COM               189054109     1,117      10,455 SH      DEFINED    5       6,694   3,761       0
CLOROX CO DEL                    COM               189054109       227       2,128 SH      DEFINED    6       1,923     205       0
CLOROX CO DEL                    COM               189054109     1,004       9,402 SH      OTHER      9       9,402       0       0
CLOROX CO DEL                    COM               189054109       222       2,076 SH      DEFINED   10       1,526     550       0
CLOROX CO DEL                    COM               189054109       523       4,892 SH      DEFINED   11       4,212     680       0
CLOSURE MED CORP                 COM               189093107        51       1,715 SH      OTHER      2          15       0   1,700
COACHMEN INDS INC                COM               189873102       114       4,910 SH      OTHER      9       4,910       0       0
COASTAL CORP                     OPTION            190441105     8,010       1,990 CALL    OTHER      2       1,990       0       0
COASTAL CORP                     COM               190441105        53       1,326 SH      DEFINED    1       1,326       0       0
COASTAL CORP                     COM               190441105     7,770     193,048 SH      OTHER      2     169,348       0  23,700
COASTAL CORP                     COM               190441105        57       1,418 SH      DEFINED    5         418   1,000       0
COASTAL CORP                     COM               190441105       334       8,305 SH      DEFINED    6         205   8,100       0
COASTAL CORP                     COM               190441105     1,171      29,096 SH      OTHER      9      29,096       0       0
COASTAL CORP                     COM               190441105        40         996 SH      DEFINED   10         996       0       0
COASTAL CORP                     COM               190441105       102       2,531 SH      DEFINED   11       1,981     550       0
COCA COLA CO                     OPTION            191216100     8,023       1,294 CALL    OTHER      2       1,294       0       0
COCA COLA CO                     OPTION            191216100     6,758       1,090 CALL    OTHER      9       1,090       0       0
COCA COLA CO                     OPTION            191216100     1,178         190 PUT     OTHER      2         190       0       0
COCA COLA CO                     COM               191216100       143       2,310 SH      OTHER      1       2,310       0       0
COCA COLA CO                     COM               191216100    13,104     211,359 SH      DEFINED    1     160,291  51,068       0
COCA COLA CO                     COM               191216100    41,864     675,220 SH      OTHER      2     490,746       0 184,474
COCA COLA CO                     COM               191216100     8,710     140,483 SH      DEFINED    5      77,107  63,376       0
COCA COLA CO                     COM               191216100     2,044      32,966 SH      DEFINED    6      22,393  10,573       0
COCA COLA CO                     COM               191216100       318       5,134 SH      OTHER      9       5,134       0       0
COCA COLA CO                     COM               191216100     1,962      31,641 SH      DEFINED   10      27,660   3,981       0
COCA COLA CO                     COM               191216100     1,417      22,856 SH      DEFINED   11      10,842  12,014       0
COCA COLA ENTERPRISES INC        COM               191219104        86       2,890 SH      OTHER      1       2,890       0       0
COCA COLA ENTERPRISES INC        COM               191219104     2,107      70,815 SH      OTHER      2      70,815       0       0
COCA COLA ENTERPRISES INC        COM               191219104         3          93 SH      DEFINED    6          93       0       0
COCA COLA ENTERPRISES INC        COM               191219104        13         440 SH      DEFINED   10          55     385       0
COCA-COLA FEMSA S A DE C V       SPON ADR REP L    191241108       563      29,050 SH      DEFINED    1      22,100   6,950       0
COCA-COLA FEMSA S A DE C V       SPON ADR REP L    191241108         0           1 SH      OTHER      2           1       0       0
COCA-COLA FEMSA S A DE C V       SPON ADR REP L    191241108        64       3,300 SH      DEFINED    6       2,400     900       0
COEUR D ALENE MINES CORP IDAHO   COM               192108108         0          17 SH      OTHER      2           5       0      12
COEUR D ALENE MINES CORP IDAHO   SD CONV 6.375%04  192108AE8        31      50,000 PRN     OTHER      2           0       0  50,000
COFLEXIP                         SPON ADR          192384105        18         408 SH      OTHER      2         408       0       0
COGNEX CORP                      COM               192422103     1,018      32,260 SH      OTHER      2      32,260       0       0
COGNOS INC                       COM               19244C109     2,161      99,377 SH      OTHER      2      99,377       0       0
COHERENT INC                     COM               192479103         7         380 SH      DEFINED    1         380       0       0
COHERENT INC                     COM               192479103        48       2,591 SH      OTHER      2       2,591       0       0
COHERENT INC                     COM               192479103         8         432 SH      DEFINED   10         432       0       0
COHEN & STEERS TOTAL RETURN FD   COM               19247R103        46       3,508 SH      DEFINED    1       1,808   1,700       0
COHEN & STEERS TOTAL RETURN FD   COM               19247R103        62       4,705 SH      OTHER      2           0       0   4,705
COINMACH LAUNDRY CORP            COM               19259L101       146      11,516 SH      OTHER      2      11,516       0       0
COINSTAR INC                     COM               19259P300        14         500 SH      OTHER      2           0       0     500
COLDWATER CREEK INC              COM               193068103         2         125 SH      DEFINED   11         125       0       0
COLE NATIONAL CORP NEW           CL A              193290103        33       4,200 SH      OTHER      2       4,200       0       0
COLE KENNETH PRODTNS INC         CL A              193294105        10         365 SH      DEFINED    1           0     365       0
COLE KENNETH PRODTNS INC         CL A              193294105        97       3,474 SH      OTHER      2       3,474       0       0
COLEMAN INC NEW                  COM               193559101         0           3 SH      OTHER      2           3       0       0
COLES MYER LTD                   SPNSRD ADR NEW    193870409       235       5,000 SH      OTHER      2       5,000       0       0
COLGATE PALMOLIVE CO             OPTION            194162103        49           5 CALL    OTHER      2           5       0       0
COLGATE PALMOLIVE CO             COM               194162103     8,398      85,259 SH      DEFINED    1      69,474  15,785       0
COLGATE PALMOLIVE CO             COM               194162103    18,589     188,719 SH      OTHER      2     183,506       0   5,213
COLGATE PALMOLIVE CO             COM               194162103        49         500 SH      OTHER      4           0       0     500
COLGATE PALMOLIVE CO             COM               194162103     9,920     100,711 SH      DEFINED    5      78,311  22,400       0
COLGATE PALMOLIVE CO             COM               194162103     5,600      56,851 SH      DEFINED    6      38,378  18,473       0
COLGATE PALMOLIVE CO             COM               194162103     2,269      23,033 SH      OTHER      9      23,033       0       0
COLGATE PALMOLIVE CO             COM               194162103     3,503      35,567 SH      DEFINED   10      29,462   6,105       0
COLGATE PALMOLIVE CO             COM               194162103     4,424      44,910 SH      DEFINED   11      36,355   8,555       0
COLONIAL BANCGROUP INC           COM               195493309         7         474 SH      OTHER      2           0       0     474
COLONIAL HIGH INCOME MUN TR      SH BEN INT        195743109        48       6,000 SH      DEFINED   10       6,000       0       0
COLONIAL INTERMARKET INCM TR 1   SH BEN INT        195762109        16       1,700 SH      DEFINED    5       1,700       0       0
COLONIAL INTER HIGH INCOME FD    SH BEN INT        195763107         4         600 SH      DEFINED    5         600       0       0
COLONIAL INVT GRADE MUN TR       SH BEN INT        195768106         3         300 SH      DEFINED    5         300       0       0
COLONIAL MUN INCOME TR           SH BEN INT        195799101        41       6,000 SH      DEFINED    5       1,000   5,000       0
COLONIAL PPTYS TR                COM SH BEN INT    195872106     6,183     218,860 SH      OTHER      2     112,450       0 106,410
COLONIAL PPTYS TR                COM SH BEN INT    195872106         9         328 SH      DEFINED    5         328       0       0
COLONIAL PPTYS TR                COM SH BEN INT    195872106        82       2,900 SH      OTHER      9       2,900       0       0
COLT TELECOM GROUP PLC           SPON ADR          196877104         1          16 SH      DEFINED    6          16       0       0
COLT TELECOM GROUP PLC           SPON ADR          196877104         6          70 SH      DEFINED   10          44      26       0
COLT TELECOM GROUP PLC           SPON ADR          196877104         1           8 SH      DEFINED   11           8       0       0
COLTEC INDS INC                  COM               196879100        19         892 SH      DEFINED   11         892       0       0
COLUMBIA BKG SYS INC             COM               197236102       104       6,747 SH      OTHER      2       6,747       0       0
COLUMBIA ENERGY GROUP            COM               197648108        20         326 SH      DEFINED    1         176     150       0
COLUMBIA ENERGY GROUP            COM               197648108       992      15,827 SH      OTHER      2      12,177       0   3,650
COLUMBIA ENERGY GROUP            COM               197648108       257       4,098 SH      DEFINED    5       3,798     300       0
COLUMBIA ENERGY GROUP            COM               197648108        48         760 SH      DEFINED    6         760       0       0
COLUMBIA ENERGY GROUP            COM               197648108       866      13,819 SH      OTHER      9      13,819       0       0
COLUMBIA ENERGY GROUP            COM               197648108       101       1,612 SH      DEFINED   10         918     694       0
COLUMBIA ENERGY GROUP            COM               197648108        32         518 SH      DEFINED   11         518       0       0
COLUMBIA/HCA HEALTHCARE CORP     COM               197677107        11         500 SH      DEFINED    1         500       0       0
COLUMBIA/HCA HEALTHCARE CORP     COM               197677107     4,014     175,957 SH      OTHER      2     122,759       0  53,198
COLUMBIA/HCA HEALTHCARE CORP     COM               197677107     1,043      45,707 SH      OTHER      9      45,707       0       0
COLUMBIA/HCA HEALTHCARE CORP     COM               197677107       199       8,726 SH      DEFINED   11       8,726       0       0
COLUMBIA LABS INC                COM               197779101         3         360 SH      DEFINED    1           0     360       0
COLUMBUS MCKINNON CORP N Y       COM               199333105         7         300 SH      OTHER      2           0       0     300
COMAIR HOLDINGS INC              COM               199789108        21       1,000 SH      DEFINED    1       1,000       0       0
COMAIR HOLDINGS INC              COM               199789108     2,943     141,385 SH      OTHER      2     127,276       0  14,109
COMAIR HOLDINGS INC              COM               199789108       226      10,840 SH      DEFINED    5           0  10,840       0
COMFORT SYS USA INC              COM               199908104        94       5,200 SH      OTHER      2       5,200       0       0
COMCAST CORP                     CL A              200300101        18         500 SH      OTHER      2           0       0     500
COMCAST CORP                     OPTION            200300200       192          50 CALL    OTHER      2          50       0       0
COMCAST CORP                     CL A SPL          200300200       190       4,952 SH      DEFINED    1       4,952       0       0
COMCAST CORP                     CL A SPL          200300200    44,150   1,148,621 SH      OTHER      2     997,204       0 151,417
COMCAST CORP                     CL A SPL          200300200       123       3,200 SH      DEFINED    5       1,000   2,200       0
COMCAST CORP                     CL A SPL          200300200         0           4 SH      OTHER      9           4       0       0
COMCAST CORP                     CL A SPL          200300200        14         360 SH      DEFINED   10         360       0       0
COMDISCO INC                     OPTION            200336105     1,281         500 CALL    OTHER      2         500       0       0
COMDISCO INC                     OPTION            200336105     1,281         500 PUT     OTHER      2         500       0       0
COMDISCO INC                     COM               200336105     1,051      41,006 SH      OTHER      2      41,006       0       0
COMDISCO INC                     COM               200336105       973      37,982 SH      OTHER      9      37,982       0       0
COMERICA INC                     COM               200340107       262       4,414 SH      DEFINED    1         120   4,294       0
COMERICA INC                     COM               200340107     4,900      82,447 SH      OTHER      2      82,447       0       0
COMERICA INC                     COM               200340107     1,062      17,865 SH      DEFINED    5      13,665   4,200       0
COMERICA INC                     COM               200340107       577       9,701 SH      OTHER      9       9,701       0       0
COMERICA INC                     COM               200340107        45         754 SH      DEFINED   10         754       0       0
COMERICA INC                     COM               200340107         5          80 SH      DEFINED   11          80       0       0
COMINCO LTD                      COM               200435105        29       1,670 SH      OTHER      2       1,670       0       0
COMMERCE BANCORP INC NJ          COM               200519106         5         119 SH      DEFINED    6           0     119       0
COMMERCE BANCSHARES INC          COM               200525103        33         826 SH      DEFINED    1         826       0       0
COMMERCE BANCSHARES INC          COM               200525103         3          85 SH      OTHER      2          85       0       0
COMMERCIAL FEDERAL CORPORATION   COM               201647104       165       7,100 SH      OTHER      2       7,100       0       0
COMMONWEALTH ENERGY SYS          COM SH BEN INT    202800108        29         686 SH      DEFINED    5           0     686       0
COMMONWEALTH ENERGY SYS          COM SH BEN INT    202800108        61       1,464 SH      DEFINED    6       1,464       0       0
COMMONWEALTH ENERGY SYS          COM SH BEN INT    202800108        29         700 SH      OTHER      9         700       0       0
COMMONWEALTH INDS INC DEL        COM               203004106        65       5,227 SH      OTHER      2       5,227       0       0
COMMONWEALTH TEL ENTERPRISES     COM               203349105         5         136 SH      OTHER      2         136       0       0
COMMONWEALTH TEL ENTERPRISES     CL B              203349204        18         445 SH      DEFINED   11         445       0       0
COMMSCOPE INC                    COM               203372107       169       5,492 SH      OTHER      2           0       0   5,492
COMMSCOPE INC                    COM               203372107        29         950 SH      DEFINED   11         950       0       0
COMMUNITY BK SYS INC             COM               203607106        36       1,400 SH      OTHER      2       1,400       0       0
COMMUNITY FIRST BANKSHARES INC   COM               203902101        12         490 SH      DEFINED   11         490       0       0
COMPANHIA CERVEJARIA BRAHMA      SPONSD ADR PFD    20440X103        34       3,000 SH      OTHER      2       3,000       0       0
COMPANHIA PARANAENSE ENERG COP   SPONS ADR PFD     20441B407       474      56,600 SH      OTHER      2      56,600       0       0
COMPANHIA PARANAENSE ENERG COP   SPONS ADR PFD     20441B407     6,154     734,800 SH      OTHER      9     734,800       0       0
COMPANIA ANONIMA NACIONL TEL     SPN ADR 7D SHS    204421101     4,118     151,127 SH      OTHER      9     151,127       0       0
COMPANIA CERVECERIAS UNIDAS SA   SPON ADR          204429104        41       1,420 SH      DEFINED    1       1,045     375       0
COMPANIA CERVECERIAS UNIDAS SA   SPON ADR          204429104         2          60 SH      OTHER      2           0       0      60
COMPANIA CERVECERIAS UNIDAS SA   SPON ADR          204429104         1          50 SH      DEFINED    5          50       0       0
COMPANIA CERVECERIAS UNIDAS SA   SPON ADR          204429104       155       5,400 SH      OTHER      9       5,400       0       0
COMPANIA CERVECERIAS UNIDAS SA   SPON ADR          204429104        39       1,355 SH      DEFINED   11         290   1,065       0
COMPANIA DE TELECOMUNICS CHILE   OPTION            204449300     1,361         550 CALL    OTHER      9         550       0       0
COMPANIA DE TELECOMUNICS CHILE   SPNSRD ADR NEW    204449300         0           1 SH      OTHER      2           1       0       0
COMPANIA DE TELECOMUNICS CHILE   SPNSRD ADR NEW    204449300        50       2,027 SH      OTHER      9       2,027       0       0
COMPAQ COMPUTER CORP             OPTION            204493100     1,760         743 CALL    OTHER      2         743       0       0
COMPAQ COMPUTER CORP             OPTION            204493100        36          15 PUT     OTHER      2          15       0       0
COMPAQ COMPUTER CORP             COM               204493100     6,221     262,624 SH      DEFINED    1     190,257  72,367       0
COMPAQ COMPUTER CORP             COM               204493100     8,679     366,383 SH      OTHER      2     263,744       0 102,639
COMPAQ COMPUTER CORP             COM               204493100       307      12,950 SH      OTHER      4           0       0  12,950
COMPAQ COMPUTER CORP             COM               204493100     9,743     411,337 SH      DEFINED    5     279,579 131,758       0
COMPAQ COMPUTER CORP             COM               204493100     3,013     127,208 SH      DEFINED    6     101,958  25,250       0
COMPAQ COMPUTER CORP             COM               204493100     6,211     262,220 SH      OTHER      9     262,220       0       0
COMPAQ COMPUTER CORP             COM               204493100     3,365     142,059 SH      DEFINED   10     128,209  13,850       0
COMPAQ COMPUTER CORP             COM               204493100     2,714     114,584 SH      DEFINED   11      88,920  25,664       0
COMPASS BANCSHARES INC           COM               20449H109        92       3,362 SH      OTHER      2       2,800       0     562
COMPLETE BUSINESS SOLUTIONS      COM               20452F107         7         380 SH      DEFINED    1         380       0       0
COMPLETE BUSINESS SOLUTIONS      COM               20452F107         7         398 SH      DEFINED   10         398       0       0
COMPUTALOG LTD                   COM NEW           204908305         1          94 SH      OTHER      1          94       0       0
COMPUTER ASSOC INTL INC          OPTION            204912109     7,619     133,020 PUT     OTHER      2     133,020       0       0
COMPUTER ASSOC INTL INC          OPTION            204912109     7,633     139,421 PUT     OTHER      9     139,421       0       0
COMPUTER ASSOC INTL INC          COM               204912109        48         872 SH      DEFINED    1         815      57       0
COMPUTER ASSOC INTL INC          COM               204912109     7,779     142,088 SH      OTHER      2     127,442       0  14,646
COMPUTER ASSOC INTL INC          COM               204912109       257       4,698 SH      DEFINED    5       1,676   3,022       0
COMPUTER ASSOC INTL INC          COM               204912109        26         470 SH      DEFINED    6         470       0       0
COMPUTER ASSOC INTL INC          COM               204912109     2,976      54,349 SH      OTHER      9      54,349       0       0
COMPUTER ASSOC INTL INC          COM               204912109       443       8,097 SH      DEFINED   10       8,097       0       0
COMPUTER ASSOC INTL INC          COM               204912109       243       4,437 SH      DEFINED   11       4,437       0       0
COMPUTER NETWORK TECH CP         OPTION            204925101        43          20 CALL    OTHER      2          20       0       0
COMPUSA INC                      OPTION            204932107         7          10 PUT     OTHER      2          10       0       0
COMPUSA INC                      COM               204932107       186      25,022 SH      OTHER      2      25,022       0       0
COMPUTER LEARNING CTRS INC       COM               205199102        22       4,500 SH      OTHER      2       4,500       0       0
COMPUTER MOTION INC              COM               205253107        44       4,368 SH      OTHER      2           0       0   4,368
COMPUTER SCIENCES CORP           OPTION            205363104       830         120 CALL    OTHER      2         120       0       0
COMPUTER SCIENCES CORP           OPTION            205363104        35           5 PUT     OTHER      2           5       0       0
COMPUTER SCIENCES CORP           COM               205363104     4,164      60,183 SH      DEFINED    1      52,188   7,995       0
COMPUTER SCIENCES CORP           COM               205363104    36,760     531,310 SH      OTHER      2     340,983       0 190,327
COMPUTER SCIENCES CORP           COM               205363104     2,089      30,200 SH      OTHER      4           0       0  30,200
COMPUTER SCIENCES CORP           COM               205363104     3,633      52,508 SH      DEFINED    5      42,500  10,008       0
COMPUTER SCIENCES CORP           COM               205363104     3,743      54,100 SH      DEFINED    6      53,000   1,100       0
COMPUTER SCIENCES CORP           COM               205363104     2,059      29,757 SH      OTHER      9      29,757       0       0
COMPUTER SCIENCES CORP           COM               205363104     4,533      65,525 SH      DEFINED   10      57,925   7,600       0
COMPUTER SCIENCES CORP           COM               205363104     1,171      16,920 SH      DEFINED   11      14,445   2,475       0
COMPUWARE CORP                   OPTION            205638109        32          10 CALL    OTHER      2          10       0       0
COMPUWARE CORP                   COM               205638109        23         735 SH      DEFINED    1         595     140       0
COMPUWARE CORP                   COM               205638109     5,351     168,205 SH      OTHER      2     167,465       0     740
COMPUWARE CORP                   COM               205638109         2          60 SH      DEFINED    5          60       0       0
COMPUWARE CORP                   COM               205638109         2          60 SH      DEFINED    6           0      60       0
COMPUWARE CORP                   COM               205638109         3         107 SH      OTHER      9         107       0       0
COMPUWARE CORP                   COM               205638109         7         230 SH      DEFINED   10           0     230       0
COMPUWARE CORP                   COM               205638109         7         235 SH      DEFINED   11           0     235       0
COMSAT CORP                      OPTION            20564D107     3,413       1,050 CALL    OTHER      2       1,050       0       0
COMSAT CORP                      COM SER 1         20564D107       423      13,029 SH      OTHER      2      13,029       0       0
COMSAT CORP                      COM SER 1         20564D107         4         113 SH      DEFINED   10         113       0       0
COMSTOCK RES INC                 COM NEW           205768203        27       8,100 SH      OTHER      2       8,100       0       0
COMVERSE TECH INC                OPTION            205862402       211          28 CALL    OTHER      2          28       0       0
COMVERSE TECH INC                COM PAR $0.10     205862402        38         500 SH      DEFINED    1         500       0       0
COMVERSE TECH INC                COM PAR $0.10     205862402     2,669      35,355 SH      OTHER      2      33,199       0   2,156
COMVERSE TECH INC                COM PAR $0.10     205862402        10         133 SH      DEFINED    5         133       0       0
COMVERSE TECH INC                COM PAR $0.10     205862402       352       4,657 SH      DEFINED   10       4,657       0       0
COMVERSE TECH INC                COM PAR $0.10     205862402        96       1,276 SH      DEFINED   11         826     450       0
COMVERSE TECH INC                SUB NT CV 144A05  205862AF2     1,864   1,000,000 PRN     OTHER      2   1,000,000       0       0
CONAGRA INC                      OPTION            205887102     3,994       1,500 CALL    OTHER      2       1,500       0       0
CONAGRA INC                      OPTION            205887102    13,046       4,900 PUT     OTHER      2       4,900       0       0
CONAGRA INC                      COM               205887102     2,789     104,750 SH      DEFINED    1      92,740  12,010       0
CONAGRA INC                      COM               205887102   296,100  11,121,114 SH      OTHER      2  11,112,462       0   8,652
CONAGRA INC                      COM               205887102     2,657      99,786 SH      DEFINED    5      75,076  24,710       0
CONAGRA INC                      COM               205887102     1,076      40,395 SH      DEFINED    6      33,745   6,650       0
CONAGRA INC                      COM               205887102     1,038      39,003 SH      OTHER      9      39,003       0       0
CONAGRA INC                      COM               205887102       358      13,430 SH      DEFINED   10      12,830     600       0
CONAGRA INC                      COM               205887102     1,051      39,460 SH      DEFINED   11      37,960   1,500       0
CONCENTRA MANAGED CARE INC       COM               20589T103       170      11,488 SH      OTHER      2      11,488       0       0
COMPUTER HORIZONS CORP           COM               205908106       138      10,000 SH      OTHER      2           0       0  10,000
COMPUTER HORIZONS CORP           COM               205908106       172      12,457 SH      OTHER      9      12,457       0       0
COMSHARE INC                     COM               205912108         1         200 SH      OTHER      2           0       0     200
CONCORD EFS INC                  OPTION            206197105        21           5 CALL    OTHER      2           5       0       0
CONCORD EFS INC                  COM               206197105     1,964      46,407 SH      OTHER      2      46,407       0       0
CONE MLS CORP N C                COM               206814105        32       5,300 SH      OTHER      2       5,300       0       0
CONECTIV INC                     COM               206829103         7         300 SH      DEFINED    1         300       0       0
CONECTIV INC                     COM               206829103       739      30,251 SH      OTHER      2      25,116       0   5,135
CONECTIV INC                     COM               206829103       108       4,425 SH      DEFINED    5       1,350   3,075       0
CONECTIV INC                     COM               206829103       115       4,700 SH      OTHER      9       4,700       0       0
CONECTIV INC                     COM               206829103        16         650 SH      DEFINED   11         650       0       0
CONECTIV INC                     CL A              206829202         2          50 SH      DEFINED    1          50       0       0
CONECTIV INC                     CL A              206829202        25         600 SH      OTHER      2         600       0       0
CONECTIV INC                     CL A              206829202        22         512 SH      DEFINED    5           0     512       0
CONECTIV INC                     CL A              206829202         8         200 SH      DEFINED    6           0     200       0
CONECTIV INC                     CL A              206829202         1          25 SH      DEFINED   11          25       0       0
CONEXANT SYSTEMS INC             OPTION            207142100        29           5 CALL    OTHER      2           5       0       0
CONEXANT SYSTEMS INC             COM               207142100       103       1,766 SH      DEFINED    1       1,766       0       0
CONEXANT SYSTEMS INC             COM               207142100     1,004      17,300 SH      OTHER      2       4,600       0  12,700
CONEXANT SYSTEMS INC             COM               207142100       226       3,897 SH      DEFINED    5         995   2,902       0
CONEXANT SYSTEMS INC             COM               207142100       163       2,800 SH      DEFINED    6       2,800       0       0
CONEXANT SYSTEMS INC             COM               207142100       464       8,000 SH      OTHER      9       8,000       0       0
CONEXANT SYSTEMS INC             COM               207142100        12         199 SH      DEFINED   10         199       0       0
CONEXANT SYSTEMS INC             COM               207142100        46         800 SH      DEFINED   11         500     300       0
CONMED CORP                      COM               207410101       101       3,300 SH      OTHER      9       3,300       0       0
CONNECTICUT ENERGY CORP          COM               207567108       132       3,425 SH      OTHER      2           0       0   3,425
CONOCO INC                       OPTION            208251306     1,397         501 CALL    OTHER      2         501       0       0
CONOCO INC                       CL A              208251306        52       1,865 SH      DEFINED    1       1,865       0       0
CONOCO INC                       CL A              208251306        81       2,900 SH      OTHER      2           0       0   2,900
CONOCO INC                       CL A              208251306        61       2,187 SH      DEFINED    5       2,187       0       0
CONOCO INC                       CL A              208251306        89       3,200 SH      OTHER      9       3,200       0       0
CONOCO INC                       CL A              208251306        20         725 SH      DEFINED   11         725       0       0
CONSECO INC                      OPTION            208464107     3,086       1,014 CALL    OTHER      2       1,014       0       0
CONSECO INC                      OPTION            208464107     1,552         510 PUT     OTHER      2         510       0       0
CONSECO INC                      COM               208464107       227       7,469 SH      DEFINED    1         137   7,332       0
CONSECO INC                      COM               208464107     6,264     205,795 SH      OTHER      2      65,775       0 140,020
CONSECO INC                      COM               208464107       100       3,292 SH      DEFINED    5         695   2,597       0
CONSECO INC                      COM               208464107        30       1,000 SH      DEFINED    6       1,000       0       0
CONSECO INC                      COM               208464107         1          33 SH      OTHER      9          33       0       0
CONSECO INC                      COM               208464107        43       1,420 SH      DEFINED   10       1,420       0       0
CONSECO INC                      COM               208464107        29         950 SH      DEFINED   11         750     200       0
CONSECO STRATEGIC INCOME FD      SH BEN INT        20847A102        10         764 SH      DEFINED    6         764       0       0
CONSOL ENERGY INC                COM               20854P109        90       7,500 SH      OTHER      2           0       0   7,500
CONSOLIDATED EDISON INC          COM               209115104       268       5,929 SH      DEFINED    1       3,393   2,536       0
CONSOLIDATED EDISON INC          COM               209115104     4,992     110,316 SH      OTHER      2     109,666       0     650
CONSOLIDATED EDISON INC          COM               209115104     1,230      27,180 SH      DEFINED    5      19,563   7,617       0
CONSOLIDATED EDISON INC          COM               209115104       373       8,254 SH      DEFINED    6       8,254       0       0
CONSOLIDATED EDISON INC          COM               209115104       599      13,229 SH      OTHER      9      13,229       0       0
CONSOLIDATED EDISON INC          COM               209115104        52       1,158 SH      DEFINED   10         908     250       0
CONSOLIDATED EDISON INC          COM               209115104        82       1,822 SH      DEFINED   11         216   1,606       0
CONSOLIDATED FREIGHTWAYS CORP    COM               209232107         5         400 SH      OTHER      2           0       0     400
CONSOLIDATED FREIGHTWAYS CORP    COM               209232107       109       8,500 SH      OTHER      9       8,500       0       0
CONSOLIDATED GRAPHICS INC        COM               209341106        25         500 SH      OTHER      9         500       0       0
CONSOLIDATED NAT GAS CO          COM               209615103       468       7,700 SH      DEFINED    1       6,900     800       0
CONSOLIDATED NAT GAS CO          COM               209615103       890      14,651 SH      OTHER      2      13,989       0     662
CONSOLIDATED NAT GAS CO          COM               209615103     1,907      31,389 SH      DEFINED    5      21,782   9,607       0
CONSOLIDATED NAT GAS CO          COM               209615103     1,420      23,369 SH      DEFINED    6      20,444   2,925       0
CONSOLIDATED NAT GAS CO          COM               209615103       805      13,249 SH      OTHER      9      13,249       0       0
CONSOLIDATED NAT GAS CO          COM               209615103     2,166      35,650 SH      DEFINED   10      30,900   4,750       0
CONSOLIDATED NAT GAS CO          COM               209615103       727      11,970 SH      DEFINED   11       8,070   3,900       0
CONSOLIDATED PAPERS INC          COM               209759109       634      23,711 SH      OTHER      2      22,311       0   1,400
CONSOLIDATED STORES CORP         COM               210149100        11         415 SH      DEFINED    1         415       0       0
CONSOLIDATED STORES CORP         COM               210149100     2,057      76,184 SH      OTHER      2      16,184       0  60,000
CONSOLIDATED STORES CORP         COM               210149100         1          23 SH      OTHER      9          23       0       0
CONSOLIDATED STORES CORP         COM               210149100        33       1,225 SH      DEFINED   10       1,225       0       0
CONSOLIDATED STORES CORP         COM               210149100         2          60 SH      DEFINED   11          60       0       0
CONSORCIO G GRUPO DINA S A CV    SPON ADR          210306106     1,131     754,300 SH      OTHER      2     754,300       0       0
CONSORCIO G GRUPO DINA S A CV    SUB DB CONV 8%04  210306AB2       174     318,800 PRN     OTHER      2     318,800       0       0
CONSTELLATION ENERGY CORP        COM               210371100       135       4,554 SH      DEFINED    1       2,620   1,934       0
CONSTELLATION ENERGY CORP        COM               210371100    24,210     817,208 SH      OTHER      2     816,458       0     750
CONSTELLATION ENERGY CORP        COM               210371100       252       8,498 SH      DEFINED    5       7,748     750       0
CONSTELLATION ENERGY CORP        COM               210371100        20         660 SH      DEFINED    6         660       0       0
CONSTELLATION ENERGY CORP        COM               210371100       258       8,707 SH      OTHER      9       8,707       0       0
CONSTELLATION ENERGY CORP        COM               210371100        19         640 SH      DEFINED   10         640       0       0
CONSTELLATION ENERGY CORP        COM               210371100         5         155 SH      DEFINED   11         155       0       0
CONTIFINANCIAL CORP              COM               21075V107        16       4,400 SH      OTHER      2           0       0   4,400
CONTINENTAL AIRLS INC            OPTION            210795308   181,034   4,811,537 CALL    OTHER      2   4,811,537       0       0
CONTINENTAL AIRLS INC            OPTION            210795308    39,867   1,059,592 CALL    OTHER      9   1,059,592       0       0
CONTINENTAL AIRLS INC            OPTION            210795308   263,020   6,990,575 PUT     OTHER      2   6,990,575       0       0
CONTINENTAL AIRLS INC            OPTION            210795308     4,337     115,282 PUT     OTHER      9     115,282       0       0
CONTINENTAL AIRLS INC            CL B              210795308         0           2 SH      DEFINED    1           2       0       0
CONTINENTAL AIRLS INC            CL B              210795308       403      10,700 SH      OTHER      2       5,500       0   5,200
CONTINENTAL AIRLS INC            CL B              210795308         3          76 SH      DEFINED    6          76       0       0
CONTINENTAL AIRLS INC            CL B              210795308        56       1,500 SH      OTHER      9       1,500       0       0
CONTINENTAL AIRLS INC            CL B              210795308        54       1,430 SH      DEFINED   10         180   1,250       0
CONVERGYS CORP                   OPTION            212485106        39          20 PUT     OTHER      2          20       0       0
CONVERGYS CORP                   COM               212485106        39       2,000 SH      DEFINED    1           0   2,000       0
CONVERGYS CORP                   COM               212485106     6,150     317,398 SH      OTHER      2     149,138       0 168,260
CONVERGYS CORP                   COM               212485106       465      24,000 SH      DEFINED    5      24,000       0       0
CONVERGYS CORP                   COM               212485106       136       7,000 SH      DEFINED    6       7,000       0       0
CONVERGYS CORP                   COM               212485106        29       1,500 SH      DEFINED   10       1,500       0       0
COOPER CAMERON CORP              COM               216640102        65       1,745 SH      OTHER      2         745       0   1,000
COOPER COS INC                   OPTION            216648402        25          10 CALL    OTHER      2          10       0       0
COOPER INDS INC                  COM               216669101     1,945      37,398 SH      OTHER      2      35,866       0   1,532
COOPER INDS INC                  COM               216669101       208       4,000 SH      DEFINED    5       4,000       0       0
COOPER INDS INC                  COM               216669101       198       3,800 SH      DEFINED    6           0   3,800       0
COOPER INDS INC                  COM               216669101       423       8,144 SH      OTHER      9       8,144       0       0
COOPER TIRE & RUBR CO            COM               216831107        22         950 SH      DEFINED    1         950       0       0
COOPER TIRE & RUBR CO            COM               216831107     1,350      57,131 SH      OTHER      2      56,131       0   1,000
COOPER TIRE & RUBR CO            COM               216831107       187       7,898 SH      OTHER      9       7,898       0       0
COOPER TIRE & RUBR CO            COM               216831107         7         300 SH      DEFINED   11           0     300       0
COORS ADOLPH CO                  CL B              217016104         6         115 SH      DEFINED    1          27      88       0
COORS ADOLPH CO                  CL B              217016104       303       6,123 SH      OTHER      2       5,573       0     550
COORS ADOLPH CO                  CL B              217016104         2          49 SH      DEFINED    5          49       0       0
COORS ADOLPH CO                  CL B              217016104       156       3,142 SH      OTHER      9       3,142       0       0
COORS ADOLPH CO                  CL B              217016104         8         160 SH      DEFINED   10         160       0       0
COORS ADOLPH CO                  CL B              217016104        49         996 SH      DEFINED   11         646     350       0
COPART INC                       COM               217204106       113       5,300 SH      OTHER      9       5,300       0       0
CORAM HEALTHCARE CORP            COM               218103109         1         718 SH      DEFINED   11         718       0       0
CORDANT TECHNOLOGIES INC         COM               218412104       407       9,018 SH      OTHER      2       9,018       0       0
CORDANT TECHNOLOGIES INC         COM               218412104        59       1,296 SH      DEFINED    5           0   1,296       0
CORE MATLS CORP                  COM               218683100         9       3,000 SH      DEFINED    5           0   3,000       0
COREL CORPORATION                COM               21868Q109        28       7,288 SH      OTHER      2       7,288       0       0
COREL CORPORATION                COM               21868Q109         2         500 SH      DEFINED   11           0     500       0
CORN PRODS INTL INC              COM               219023108        20         658 SH      DEFINED    1         593      65       0
CORN PRODS INTL INC              COM               219023108        21         677 SH      OTHER      2         650       0      27
CORN PRODS INTL INC              COM               219023108        24         800 SH      DEFINED    5         325     475       0
CORN PRODS INTL INC              COM               219023108         1          18 SH      DEFINED    6          18       0       0
CORN PRODS INTL INC              COM               219023108         2          75 SH      DEFINED   10          75       0       0
CORN PRODS INTL INC              COM               219023108         5         175 SH      DEFINED   11         100      75       0
CORNELL CORRECTIONS INC          COM               219141108         4         220 SH      DEFINED    1           0     220       0
CORNERSTONE PPTYS INC            COM               21922H103     1,103      69,500 SH      OTHER      2      69,500       0       0
CORNERSTONE PPTYS INC            COM               21922H103        17       1,100 SH      OTHER      9       1,100       0       0
CORNING INC                      OPTION            219350105       126          18 CALL    OTHER      2          18       0       0
CORNING INC                      COM               219350105     9,536     135,986 SH      DEFINED    1     109,786  26,200       0
CORNING INC                      COM               219350105     3,896      55,557 SH      OTHER      2      42,194       0  13,363
CORNING INC                      COM               219350105     4,069      58,027 SH      DEFINED    5      48,660   9,367       0
CORNING INC                      COM               219350105     8,764     124,980 SH      DEFINED    6      98,715  26,265       0
CORNING INC                      COM               219350105     1,118      15,944 SH      OTHER      9      15,944       0       0
CORNING INC                      COM               219350105     5,211      74,307 SH      DEFINED   10      65,970   8,337       0
CORNING INC                      COM               219350105     4,304      61,377 SH      DEFINED   11      44,845  16,532       0
CORPORATE EXPRESS INC            OPTION            219888104        21          30 CALL    OTHER      2          30       0       0
CORPORATE EXPRESS INC            COM               219888104       420      60,000 SH      OTHER      1      60,000       0       0
CORPORATE EXPRESS INC            COM               219888104        81      11,569 SH      OTHER      2      11,569       0       0
CORPORATE EXECUTIVE BRD CO       COM               21988R102         7         200 SH      DEFINED    1         200       0       0
CORPORATE EXECUTIVE BRD CO       COM               21988R102         8         234 SH      DEFINED   10         234       0       0
CORPORATE HIGH YIELD FD INC      COM               219914108        59       4,873 SH      DEFINED    5       2,073   2,800       0
CORPORATE HIGH YIELD FD INC      COM               219914108         6         500 SH      DEFINED   11         500       0       0
CORPORATE HIGH YIELD FD II INC   COM               219915105        42       3,799 SH      DEFINED    1       3,799       0       0
CORPORATE HIGH YIELD FD II INC   COM               219915105        11       1,000 SH      DEFINED    5       1,000       0       0
CORPORATE HIGH YIELD FD II INC   COM               219915105        25       2,300 SH      DEFINED    6       2,300       0       0
CORPORATE HIGH YIELD FD II INC   COM               219915105        22       2,000 SH      DEFINED   11           0   2,000       0
CORPORATE HIGH YIELD FD III      COM               219925104        42       3,333 SH      DEFINED    1       3,333       0       0
CORPORATE HIGH YIELD FD III      COM               219925104       862      67,945 SH      OTHER      2           0       0  67,945
CORPORATE HIGH YIELD FD III      COM               219925104       127      10,000 SH      DEFINED    5       9,000   1,000       0
CORPORATE HIGH YIELD FD III      COM               219925104         9         700 SH      DEFINED    6         700       0       0
CORTECS PLC                      SPNSRD ADR NEW    220512206         2       1,700 SH      OTHER      2       1,700       0       0
CORVEL CORP                      COM               221006109        10         460 SH      DEFINED   10         460       0       0
COSTCO COMPANIES INC             OPTION            22160Q102         8           1 CALL    OTHER      2           1       0       0
COSTCO COMPANIES INC             COM               22160Q102        28         345 SH      DEFINED    1         345       0       0
COSTCO COMPANIES INC             COM               22160Q102     4,366      54,531 SH      OTHER      2      41,210       0  13,321
COSTCO COMPANIES INC             COM               22160Q102        24         300 SH      DEFINED    5         300       0       0
COSTCO COMPANIES INC             COM               22160Q102        11         140 SH      DEFINED    6         140       0       0
COSTCO COMPANIES INC             COM               22160Q102     1,066      13,319 SH      OTHER      9      13,319       0       0
COSTCO COMPANIES INC             COM               22160Q102       107       1,335 SH      DEFINED   10       1,335       0       0
COSTCO COMPANIES INC             SB NT CV ZERO 17  22160QAC6     2,673   2,832,000 PRN     OTHER      2   2,832,000       0       0
COSTCO COMPANIES INC             SB NT CV ZERO 17  22160QAC6        20      21,000 PRN     DEFINED    5      21,000       0       0
COSTCO COMPANIES INC             SB NT CV ZERO 17  22160QAC6         6       6,000 PRN     DEFINED    6       6,000       0       0
COTT CORP QUE                    COM               22163N106        74      20,319 SH      OTHER      2      20,319       0       0
COULTER PHARMACEUTICAL INC       COM               222116105       243      10,759 SH      OTHER      2      10,759       0       0
COUNSEL CORP                     COM               22226R102         4         705 SH      DEFINED    1           0     705       0
COUNTRYWIDE CR INDS INC DEL      COM               222372104        32         739 SH      DEFINED    1         739       0       0
COUNTRYWIDE CR INDS INC DEL      COM               222372104       999      23,357 SH      OTHER      2      22,107       0   1,250
COUNTRYWIDE CR INDS INC DEL      COM               222372104        14         333 SH      DEFINED    5         333       0       0
COUNTRYWIDE CR INDS INC DEL      COM               222372104        33         774 SH      DEFINED    6         580     194       0
COUNTRYWIDE CR INDS INC DEL      COM               222372104       299       7,000 SH      OTHER      9       7,000       0       0
COUNTRYWIDE CR INDS INC DEL      COM               222372104        86       2,020 SH      DEFINED   10         905   1,115       0
COUNTRYWIDE CR INDS INC DEL      COM               222372104       122       2,865 SH      DEFINED   11       2,640     225       0
COUSINS PPTYS INC                COM               222795106     9,761     288,680 SH      OTHER      2     179,950       0 108,730
COUSINS PPTYS INC                COM               222795106         3         100 SH      DEFINED   11         100       0       0
COVAD COMMUNICATIONS GROUP INC   OPTION            222814204       309          58 CALL    OTHER      2          58       0       0
COVANCE INC                      COM               222816100         7         299 SH      DEFINED    1          67     232       0
COVANCE INC                      COM               222816100       354      14,804 SH      OTHER      2      14,404       0     400
COVANCE INC                      COM               222816100         8         326 SH      DEFINED   10         126     200       0
COVANCE INC                      COM               222816100         3         121 SH      DEFINED   11         121       0       0
COX COMMUNICATIONS INC NEW       CL A              224044107        28         765 SH      DEFINED    1         685      80       0
COX COMMUNICATIONS INC NEW       CL A              224044107     3,201      86,960 SH      OTHER      2           0       0  86,960
COX COMMUNICATIONS INC NEW       CL A              224044107        29         795 SH      DEFINED    5         795       0       0
COX COMMUNICATIONS INC NEW       CL A              224044107        15         415 SH      DEFINED    6         415       0       0
COX COMMUNICATIONS INC NEW       CL A              224044107       239       6,500 SH      OTHER      9       6,500       0       0
COX COMMUNICATIONS INC NEW       CL A              224044107       231       6,270 SH      DEFINED   10       6,270       0       0
COX COMMUNICATIONS INC NEW       CL A              224044107       139       3,780 SH      DEFINED   11       3,780       0       0
COX RADIO INC                    CL A              224051102     1,618      29,818 SH      OTHER      2       1,300       0  28,518
COYOTE NETWORK SYSTEMS INC       COM               22406P108         0           1 SH      OTHER      2           1       0       0
CRANE CO                         COM               224399105     4,147     131,917 SH      DEFINED    1     112,660  19,257       0
CRANE CO                         COM               224399105       320      10,170 SH      OTHER      2      10,170       0       0
CRANE CO                         COM               224399105     2,495      79,367 SH      DEFINED    5      69,097  10,270       0
CRANE CO                         COM               224399105     2,255      71,745 SH      DEFINED    6      57,545  14,200       0
CRANE CO                         COM               224399105       156       4,964 SH      OTHER      9       4,964       0       0
CRANE CO                         COM               224399105     3,165     100,678 SH      DEFINED   10      93,929   6,749       0
CRANE CO                         COM               224399105     2,402      76,416 SH      DEFINED   11      64,856  11,560       0
CRAWFORD & CO                    CL B              224633107         0           3 SH      OTHER      2           3       0       0
CREDIT SUISSE ASSET MGMT INCOM   COM               224916106       179      23,500 SH      DEFINED    1      23,500       0       0
CREDIT SUISSE ASSET MGMT INCOM   COM               224916106        19       2,500 SH      OTHER      2           0       0   2,500
CREDIT SUISSE ASSET MGMT INCOM   COM               224916106        12       1,577 SH      DEFINED    5           0   1,577       0
CREATIVE COMPUTERS INC           COM               22527E107         2         194 SH      OTHER      2         194       0       0
CREDENCE SYS CORP                COM               225302108       123       3,300 SH      OTHER      2         171       0   3,129
CREE RESH INC                    OPTION            225447101       154          20 CALL    OTHER      2          20       0       0
CREE RESH INC                    COM               225447101    14,566     189,326 SH      OTHER      2     189,326       0       0
CRESCENDO PHARMACEUTICALS CORP   CL A              225637107         2         125 SH      OTHER      2          75       0      50
CRESCENDO PHARMACEUTICALS CORP   CL A              225637107     1,284      74,462 SH      OTHER      9      74,462       0       0
CRESCENT REAL ESTATE EQUITIES    OPTION            225756105        21           9 CALL    OTHER      2           9       0       0
CRESCENT REAL ESTATE EQUITIES    OPTION            225756105        10           4 PUT     OTHER      2           4       0       0
CRESCENT REAL ESTATE EQUITIES    COM               225756105        17         700 SH      DEFINED    1           0     700       0
CRESCENT REAL ESTATE EQUITIES    COM               225756105    31,085   1,308,848 SH      OTHER      2   1,277,162       0  31,686
CRESCENT REAL ESTATE EQUITIES    COM               225756105        29       1,200 SH      DEFINED    5           0   1,200       0
CRESCENT REAL ESTATE EQUITIES    COM               225756105        48       2,000 SH      DEFINED   10           0   2,000       0
CRESCENT OPER INC                COM               22575M100        79      11,634 SH      OTHER      2      11,634       0       0
CRESCENT OPER INC                COM               22575M100         1         100 SH      DEFINED    5           0     100       0
CRESTLINE CAP CORP               COM               226153104         2         113 SH      DEFINED    1           0     113       0
CRESTLINE CAP CORP               COM               226153104       235      13,974 SH      OTHER      2      13,974       0       0
CRESTLINE CAP CORP               COM               226153104        10         600 SH      DEFINED    5         600       0       0
CRESUD S A C I F Y A             SPON ADR          226406106        46       4,222 SH      OTHER      2       4,222       0       0
CRIIMI MAE INC                   COM               226603108        39      17,380 SH      OTHER      2      17,380       0       0
CRIIMI MAE INC                   COM               226603108         2         800 SH      DEFINED    5         800       0       0
CRIIMI MAE INC                   PFD B CONV $25    226603207        33       2,000 SH      OTHER      2       2,000       0       0
CRISTALERIAS DE CHILE S A        SPON ADR          226714103        17       1,100 SH      DEFINED    1       1,100       0       0
CROMPTON & KNOWLES CORP          COM               227111101       335      16,973 SH      OTHER      2      16,973       0       0
CROMPTON & KNOWLES CORP          COM               227111101     3,950     200,000 SH      OTHER      9     200,000       0       0
CROSS TIMBERS OIL CO             OPTION            227573102        22          15 CALL    OTHER      2          15       0       0
CROSS TIMBERS OIL CO             COM               227573102        15       1,000 SH      OTHER      2           0       0   1,000
CROSSMANN CMNTYS INC             COM               22764E109         4         140 SH      DEFINED    1           0     140       0
CROWN AMERN RLTY TR              SH BEN INT        228186102        18       2,500 SH      DEFINED   10           0   2,500       0
CROWN CORK & SEAL INC            COM               228255105       810      28,410 SH      DEFINED    1      18,785   9,625       0
CROWN CORK & SEAL INC            COM               228255105       925      32,457 SH      OTHER      2      32,457       0       0
CROWN CORK & SEAL INC            COM               228255105       296      10,370 SH      DEFINED    5       5,370   5,000       0
CROWN CORK & SEAL INC            COM               228255105       315      11,040 SH      DEFINED    6      10,340     700       0
CROWN CORK & SEAL INC            COM               228255105       227       7,959 SH      OTHER      9       7,959       0       0
CROWN CORK & SEAL INC            COM               228255105     1,599      56,100 SH      DEFINED   10      51,050   5,050       0
CROWN CORK & SEAL INC            COM               228255105       290      10,175 SH      DEFINED   11       6,925   3,250       0
CROWN CORK & SEAL INC            PFD CV 4.50%      228255303       153       5,700 SH      OTHER      2       5,700       0       0
CRYSTAL OIL CO                   PFD SR CV $.06    229385307         0         167 SH      OTHER      2         167       0       0
C3 INC N C                       COM               22942P109        28       1,600 SH      OTHER      2           0       0   1,600
CULLEN FROST BANKERS INC         COM               229899109         1          39 SH      OTHER      2          39       0       0
CUMMINS ENGINE INC               COM               231021106       354       6,196 SH      OTHER      2       6,196       0       0
CUMMINS ENGINE INC               COM               231021106       271       4,751 SH      OTHER      9       4,751       0       0
CUMULUS MEDIA INC                CL A              231082108         6         294 SH      DEFINED    1         294       0       0
CUMULUS MEDIA INC                CL A              231082108         7         311 SH      DEFINED   10         311       0       0
CURRENT INCOME SHS INC           COM               231298100        22       2,000 SH      DEFINED   10       2,000       0       0
CUSTOMTRACKS CORP                OPTION            232046102        89          16 CALL    OTHER      2          16       0       0
CUSTOMTRACKS CORP                COM               232046102        14         250 SH      OTHER      2           0       0     250
CYBERCASH INC                    OPTION            232462101         6           5 CALL    OTHER      2           5       0       0
CYBERCASH INC                    COM               232462101        23       1,800 SH      OTHER      2       1,800       0       0
CYPRESS SEMICONDUCTOR CORP       COM               232806109       386      22,569 SH      OTHER      2      22,569       0       0
CYPRESS SEMICONDUCTOR CORP       COM               232806109        51       3,000 SH      DEFINED    6       3,000       0       0
CYPRESS SEMICONDUCTOR CORP       COM               232806109        86       5,000 SH      OTHER      9       5,000       0       0
CYPRUS AMAX MINERALS CO          OPTION            232809103        31          20 CALL    OTHER      2          20       0       0
CYPRUS AMAX MINERALS CO          COM               232809103         8         530 SH      DEFINED    1         500      30       0
CYPRUS AMAX MINERALS CO          COM               232809103       337      22,082 SH      OTHER      2      13,382       0   8,700
CYPRUS AMAX MINERALS CO          COM               232809103         3         198 SH      DEFINED    5         198       0       0
CYPRUS AMAX MINERALS CO          COM               232809103        90       5,884 SH      OTHER      9       5,884       0       0
CYPRUS AMAX MINERALS CO          COM               232809103         2         150 SH      DEFINED   11         150       0       0
CYRK INC                         COM               232817106       303      50,000 SH      OTHER      2      50,000       0       0
CYTEC INDS INC                   COM               232820100         8         268 SH      DEFINED    1          86     182       0
CYTEC INDS INC                   COM               232820100       340      10,788 SH      OTHER      2      10,725       0      63
CYTEC INDS INC                   COM               232820100        10         315 SH      DEFINED    5         315       0       0
CYTEC INDS INC                   COM               232820100         3         100 SH      DEFINED   10         100       0       0
CYTEC INDS INC                   COM               232820100         3          95 SH      DEFINED   11          95       0       0
DII GROUP INC                    OPTION            232949107        37          10 CALL    OTHER      2          10       0       0
DII GROUP INC                    COM               232949107        90       2,400 SH      OTHER      9       2,400       0       0
DLJ HIGH YIELD BD FD             SH BEN INT        23322Y108         4         400 SH      DEFINED    5           0     400       0
DPL INC                          COM               233293109        14         750 SH      DEFINED    1         750       0       0
DPL INC                          COM               233293109    21,106   1,140,839 SH      OTHER      2   1,122,498       0  18,341
DPL INC                          COM               233293109       202      10,910 SH      DEFINED    5       9,107   1,803       0
DPL INC                          COM               233293109        15         800 SH      OTHER      9         800       0       0
DPL INC                          COM               233293109       111       6,000 SH      DEFINED   10       6,000       0       0
DPL INC                          COM               233293109        65       3,500 SH      DEFINED   11       1,400   2,100       0
DQE INC                          COM               23329J104        17         423 SH      DEFINED    1           0     423       0
DQE INC                          COM               23329J104     3,129      77,980 SH      OTHER      2      77,200       0     780
DQE INC                          COM               23329J104       236       5,887 SH      DEFINED    5         150   5,737       0
DQE INC                          COM               23329J104       114       2,838 SH      DEFINED    6       2,838       0       0
DQE INC                          COM               23329J104        18         450 SH      DEFINED   11           0     450       0
D R HORTON INC                   COM               23331A109       267      16,033 SH      OTHER      2           0       0  16,033
D R HORTON INC                   COM               23331A109        95       5,700 SH      OTHER      9       5,700       0       0
DST SYS INC DEL                  OPTION            233326107       195          31 CALL    OTHER      2          31       0       0
DST SYS INC DEL                  COM               233326107        14         230 SH      DEFINED    1         103     127       0
DST SYS INC DEL                  COM               233326107     4,551      72,374 SH      OTHER      2      14,300       0  58,074
DST SYS INC DEL                  COM               233326107       852      13,553 SH      OTHER      9      13,553       0       0
DST SYS INC DEL                  COM               233326107         4          69 SH      DEFINED   10          69       0       0
DST SYS INC DEL                  COM               233326107         4          67 SH      DEFINED   11          67       0       0
DSP COMMUNICATIONS INC           OPTION            23332K106        95          33 CALL    OTHER      2          33       0       0
DSP COMMUNICATIONS INC           COM               23332K106     5,578     193,192 SH      OTHER      2     189,192       0   4,000
DTE ENERGY CO                    COM               233331107        93       2,291 SH      DEFINED    1       2,291       0       0
DTE ENERGY CO                    COM               233331107     1,893      46,455 SH      OTHER      2      46,455       0       0
DTE ENERGY CO                    COM               233331107        94       2,300 SH      DEFINED    5         300   2,000       0
DTE ENERGY CO                    COM               233331107        20         500 SH      DEFINED    6           0     500       0
DTE ENERGY CO                    COM               233331107       348       8,544 SH      OTHER      9       8,544       0       0
DTE ENERGY CO                    COM               233331107         7         180 SH      DEFINED   11         100      80       0
DT INDUSTRIES INC                COM               23333J108        17       1,900 SH      OTHER      2       1,900       0       0
DAI EI INC                       ADR               233798206         4         612 SH      OTHER      2         612       0       0
DAIN RAUSCHER CORP               COM               233856103        97       1,800 SH      OTHER      9       1,800       0       0
DALLAS SEMICONDUCTOR CORP        COM               235204104        12         241 SH      DEFINED    1          53     188       0
DALLAS SEMICONDUCTOR CORP        COM               235204104         5         102 SH      DEFINED   10         102       0       0
DALLAS SEMICONDUCTOR CORP        COM               235204104         5          97 SH      DEFINED   11          97       0       0
DAN RIV INC GA                   CL A              235774106     6,318     856,642 SH      OTHER      2     856,642       0       0
DANA CORP                        COM               235811106     3,331      72,317 SH      DEFINED    1      64,167   8,150       0
DANA CORP                        COM               235811106     1,131      24,545 SH      OTHER      2      24,545       0       0
DANA CORP                        COM               235811106     2,758      59,870 SH      DEFINED    5      54,520   5,350       0
DANA CORP                        COM               235811106     2,686      58,310 SH      DEFINED    6      47,835  10,475       0
DANA CORP                        COM               235811106       527      11,445 SH      OTHER      9      11,445       0       0
DANA CORP                        COM               235811106       381       8,275 SH      DEFINED   10       6,175   2,100       0
DANA CORP                        COM               235811106     1,077      23,391 SH      DEFINED   11      20,766   2,625       0
DANAHER CORP DEL                 COM               235851102     4,557      78,394 SH      OTHER      2      47,994       0  30,400
DANAHER CORP DEL                 COM               235851102       629      10,820 SH      OTHER      9      10,820       0       0
DANKA BUSINESS SYS PLC           OPTION            236277109         6          10 PUT     OTHER      2          10       0       0
DANKA BUSINESS SYS PLC           SPON ADR          236277109        23       4,000 SH      DEFINED    1       4,000       0       0
DANKA BUSINESS SYS PLC           SPON ADR          236277109       290      51,607 SH      OTHER      2      51,607       0       0
DANKA BUSINESS SYS PLC           SPON ADR          236277109        29       5,100 SH      DEFINED   10       5,100       0       0
DANKA BUSINESS SYS PLC           SPON ADR          236277109        30       5,250 SH      DEFINED   11       5,250       0       0
DANKA BUSINESS SYS PLC           SUBNT CV 6.75%02  236277AB5         6      10,000 PRN     OTHER      2      10,000       0       0
DARDEN RESTAURANTS INC           COM               237194105     6,687     306,597 SH      OTHER      2     304,897       0   1,700
DARDEN RESTAURANTS INC           COM               237194105        70       3,200 SH      DEFINED    5       1,600   1,600       0
DARDEN RESTAURANTS INC           COM               237194105       206       9,454 SH      OTHER      9       9,454       0       0
DASSAULT SYS S A                 SPON ADR          237545108        71       2,141 SH      OTHER      2       2,141       0       0
DATA BROADCASTING CORP           OPTION            237596101        11          10 CALL    OTHER      2          10       0       0
DATA BROADCASTING CORP           COM               237596101         5         500 SH      DEFINED    1           0     500       0
DATA DIMENSIONS INC              COM PAR $0.001    237654207        46      13,741 SH      OTHER      9      13,741       0       0
DATA GEN CORP                    COM               237688106       145       9,986 SH      OTHER      2       7,486       0   2,500
DATA GEN CORP                    COM               237688106        46       3,176 SH      OTHER      9       3,176       0       0
DAVE & BUSTERS INC               COM               23833N104       125       4,300 SH      OTHER      9       4,300       0       0
DAYTON HUDSON CORP               COM               239753106       588       9,050 SH      DEFINED    1       8,630     420       0
DAYTON HUDSON CORP               COM               239753106    18,258     280,885 SH      OTHER      2     276,854       0   4,031
DAYTON HUDSON CORP               COM               239753106        98       1,500 SH      DEFINED    5       1,500       0       0
DAYTON HUDSON CORP               COM               239753106       318       4,890 SH      DEFINED    6       3,820   1,070       0
DAYTON HUDSON CORP               COM               239753106     3,506      53,942 SH      OTHER      9      53,942       0       0
DAYTON HUDSON CORP               COM               239753106     2,574      39,595 SH      DEFINED   10      39,370     225       0
DAYTON HUDSON CORP               COM               239753106       424       6,517 SH      DEFINED   11       5,697     820       0
DE BEERS CONS MINES LTD          ADR DEFD          240253302       369      15,456 SH      OTHER      2      15,456       0       0
DEAN FOODS CO                    COM               242361103       414       9,964 SH      OTHER      2       9,964       0       0
DEBT STRATEGIES FUND INC         COM               242768109        62       8,100 SH      OTHER      2           0       0   8,100
DEBT STRATEGIES FUND INC         COM               242768109       190      24,700 SH      DEFINED    5      23,200   1,500       0
DEBT STRATEGIES FUND INC         COM               242768109        12       1,500 SH      DEFINED    6       1,500       0       0
DEBT STRATEGIES FD III INC       COM               24276G101        50       5,400 SH      OTHER      2           0       0   5,400
DEBT STRATEGIES FD III INC       COM               24276G101        23       2,500 SH      DEFINED    6       2,500       0       0
DEBT STRATEGIES FD II INC        COM               242901106     2,166     254,809 SH      OTHER      2           0       0 254,809
DEBT STRATEGIES FD II INC        COM               242901106        52       6,100 SH      DEFINED    5           0   6,100       0
DEBT STRATEGIES FD II INC        COM               242901106         9       1,000 SH      DEFINED    6       1,000       0       0
DEBT STRATEGIES FD II INC        COM               242901106        43       5,000 SH      DEFINED   11           0   5,000       0
DEERE & CO                       OPTION            244199105        24           6 CALL    OTHER      2           6       0       0
DEERE & CO                       OPTION            244199105        20           5 PUT     OTHER      2           5       0       0
DEERE & CO                       COM               244199105        22         570 SH      DEFINED    1         570       0       0
DEERE & CO                       COM               244199105     3,653      93,217 SH      OTHER      2      88,367       0   4,850
DEERE & CO                       COM               244199105       585      14,932 SH      OTHER      9      14,932       0       0
DEERE & CO                       COM               244199105        74       1,896 SH      DEFINED   10         655   1,241       0
DEERE & CO                       COM               244199105        25         646 SH      DEFINED   11         646       0       0
DEERE & CO                       SUB DB CV 5.5%01  244199AH8        10       5,000 PRN     OTHER      2       5,000       0       0
DEL LABS INC                     COM               245091103         0          20 SH      OTHER      2          20       0       0
DEL MONTE FOODS CO               COM               24522P103         5         325 SH      DEFINED   10         325       0       0
DELAWARE GR DIV AND INC FD INC   COM               245915103        47       3,000 SH      DEFINED    1       3,000       0       0
DELAWARE GR DIV AND INC FD INC   COM               245915103        94       6,095 SH      OTHER      2           0       0   6,095
DELAWARE GR DIV AND INC FD INC   COM               245915103        54       3,500 SH      DEFINED    5       3,500       0       0
DELAWARE GR DIV AND INC FD INC   COM               245915103        54       3,500 SH      DEFINED    6       2,000   1,500       0
DELAWARE GROUP GLOBAL DIV        COM               245916101         0           7 SH      OTHER      2           0       0       7
DELAWARE GROUP GLOBAL DIV        COM               245916101         7         507 SH      DEFINED    5           7     500       0
DELCO REMY INTL INC              CL A              246626105        14       1,300 SH      OTHER      2       1,300       0       0
DELL COMPUTER CORP               OPTION            247025109    36,889       9,970 CALL    OTHER      2       9,970       0       0
DELL COMPUTER CORP               OPTION            247025109       215          58 PUT     OTHER      2          58       0       0
DELL COMPUTER CORP               COM               247025109       676      18,260 SH      DEFINED    1      12,640   5,620       0
DELL COMPUTER CORP               COM               247025109    33,745     912,035 SH      OTHER      2     626,669       0 285,366
DELL COMPUTER CORP               COM               247025109        97       2,618 SH      DEFINED    5       2,318     300       0
DELL COMPUTER CORP               COM               247025109       152       4,115 SH      DEFINED    6       3,955     160       0
DELL COMPUTER CORP               COM               247025109     1,183      31,962 SH      OTHER      9      31,962       0       0
DELL COMPUTER CORP               COM               247025109       294       7,950 SH      DEFINED   10       7,950       0       0
DELL COMPUTER CORP               COM               247025109       215       5,820 SH      DEFINED   11       4,820   1,000       0
DELPHI AUTOMOTIVE SYS CORP       COM               247126105       280      15,158 SH      DEFINED    1      10,845   4,313       0
DELPHI AUTOMOTIVE SYS CORP       COM               247126105   171,706   9,281,393 SH      OTHER      2   9,247,134       0  34,259
DELPHI AUTOMOTIVE SYS CORP       COM               247126105       187      10,096 SH      DEFINED    5       4,141   5,955       0
DELPHI AUTOMOTIVE SYS CORP       COM               247126105       131       7,098 SH      DEFINED    6       4,336   2,762       0
DELPHI AUTOMOTIVE SYS CORP       COM               247126105     2,156     116,549 SH      OTHER      9     116,549       0       0
DELPHI AUTOMOTIVE SYS CORP       COM               247126105        45       2,456 SH      DEFINED   10       1,158   1,298       0
DELPHI AUTOMOTIVE SYS CORP       COM               247126105       129       6,999 SH      DEFINED   11       5,037   1,962       0
DELTA & PINE LD CO               COM               247357106     1,408      44,700 SH      OTHER      9      44,700       0       0
DELTA AIR LINES INC DEL          OPTION            247361108        12           2 CALL    OTHER      2           2       0       0
DELTA AIR LINES INC DEL          COM               247361108        20         347 SH      DEFINED    1         225     122       0
DELTA AIR LINES INC DEL          COM               247361108     6,886     119,493 SH      OTHER      2      23,921       0  95,572
DELTA AIR LINES INC DEL          COM               247361108        24         410 SH      DEFINED    5         410       0       0
DELTA AIR LINES INC DEL          COM               247361108        52         900 SH      DEFINED    6         900       0       0
DELTA AIR LINES INC DEL          COM               247361108       761      13,210 SH      OTHER      9      13,210       0       0
DELTA AIR LINES INC DEL          COM               247361108       151       2,629 SH      DEFINED   10       2,029     600       0
DELTA AIR LINES INC DEL          COM               247361108        82       1,419 SH      DEFINED   11       1,419       0       0
DELTEK SYS INC                   COM               24785A108        16       1,600 SH      OTHER      2       1,600       0       0
DELUXE CORP                      COM               248019101     3,392      87,405 SH      OTHER      2      87,405       0       0
DELUXE CORP                      COM               248019101       214       5,519 SH      OTHER      9       5,519       0       0
DENTSPLY INTL INC NEW            COM               249030107       373      12,935 SH      OTHER      2      12,935       0       0
DENTSPLY INTL INC NEW            COM               249030107        32       1,100 SH      OTHER      9       1,100       0       0
DENTSPLY INTL INC NEW            COM               249030107         5         165 SH      DEFINED   10         165       0       0
DEPARTMENT 56 INC                COM               249509100       452      16,830 SH      OTHER      2      16,830       0       0
DESC S A DE C V                  SPONSRD ADR C     250309101     4,790     211,700 SH      OTHER      2     211,700       0       0
DEUTSCHE TELEKOM AG              SPON ADR          251566105       282       6,675 SH      OTHER      2         650       0   6,025
DEUTSCHE TELEKOM AG              RT                251566113         0       1,206 SH      OTHER      2         781       0     425
DEVELOPERS DIVERSIFIED RLTY CO   COM               251591103    22,267   1,319,498 SH      OTHER      2   1,310,973       0   8,525
DEVELOPERS DIVERSIFIED RLTY CO   COM               251591103        18       1,050 SH      DEFINED    5       1,050       0       0
DEVELOPERS DIVERSIFIED RLTY CO   COM               251591103        14         848 SH      DEFINED    6           0     848       0
DEVON ENERGY CORP                COM               251799102         8         221 SH      DEFINED    1          49     172       0
DEVON ENERGY CORP                COM               251799102       211       5,900 SH      OTHER      2       5,900       0       0
DEVON ENERGY CORP                COM               251799102         3          94 SH      DEFINED   10          94       0       0
DEVON ENERGY CORP                COM               251799102         3          90 SH      DEFINED   11          90       0       0
DEVRY INC DEL                    COM               251893103       224      10,000 SH      OTHER      2      10,000       0       0
DEXTER CORP                      COM               252165105       233       5,715 SH      OTHER      2       5,715       0       0
DEXTER CORP                      COM               252165105        82       2,000 SH      OTHER      9       2,000       0       0
DEXTER CORP                      COM               252165105        31         750 SH      DEFINED   11           0     750       0
DIA MET MINERALS LTD             CL A SUB VTG      25243K208        11         746 SH      OTHER      1         746       0       0
DIAGEO P L C                     SPNSRD ADR NEW    25243Q205       606      14,087 SH      DEFINED    1      13,867     220       0
DIAGEO P L C                     SPNSRD ADR NEW    25243Q205        58       1,360 SH      OTHER      1       1,360       0       0
DIAGEO P L C                     SPNSRD ADR NEW    25243Q205       714      16,611 SH      OTHER      2       3,031       0  13,580
DIAGEO P L C                     SPNSRD ADR NEW    25243Q205       290       6,754 SH      DEFINED    5       6,014     740       0
DIAGEO P L C                     SPNSRD ADR NEW    25243Q205       117       2,717 SH      DEFINED    6       2,517     200       0
DIAGEO P L C                     SPNSRD ADR NEW    25243Q205       609      14,167 SH      DEFINED   10      14,067     100       0
DIAGEO P L C                     SPNSRD ADR NEW    25243Q205       145       3,380 SH      DEFINED   11       3,380       0       0
DIAL CORP NEW                    COM               25247D101        45       1,222 SH      DEFINED    1       1,000     222       0
DIAL CORP NEW                    COM               25247D101     1,590      42,749 SH      OTHER      2      42,494       0     255
DIAL CORP NEW                    COM               25247D101     6,539     175,850 SH      OTHER      4           0       0 175,850
DIAL CORP NEW                    COM               25247D101        19         509 SH      DEFINED    5         109     400       0
DIAL CORP NEW                    COM               25247D101         7         200 SH      OTHER      9         200       0       0
DIAL CORP NEW                    COM               25247D101         8         222 SH      DEFINED   10         222       0       0
DIAL CORP NEW                    COM               25247D101        40       1,063 SH      DEFINED   11         658     405       0
DIALOGIC CORP                    COM               252499108        32         735 SH      DEFINED   11         735       0       0
DIALOG CORP PLC                  SPON ADR          252500103        96      16,280 SH      OTHER      2      16,280       0       0
DIAMOND MULTIMEDIA SYS INC       OPTION            252714100         4          10 CALL    OTHER      2          10       0       0
DIAMOND MULTIMEDIA SYS INC       COM               252714100        40       9,702 SH      OTHER      2       9,702       0       0
DIAMOND OFFSHORE DRILLING INC    OPTION            25271C102       102          36 CALL    OTHER      2          36       0       0
DIAMOND OFFSHORE DRILLING INC    OPTION            25271C102       213          75 PUT     OTHER      2          75       0       0
DIAMOND OFFSHORE DRILLING INC    COM               25271C102       143       5,056 SH      OTHER      2           0       0   5,056
DIAMOND OFFSHORE DRILLING INC    COM               25271C102         1          40 SH      DEFINED    5          40       0       0
DIAMOND OFFSHORE DRILLING INC    COM               25271C102        13         463 SH      DEFINED    6         463       0       0
DIAMOND OFFSHORE DRILLING INC    COM               25271C102        56       1,956 SH      DEFINED   10         934   1,022       0
DIAMOND OFFSHORE DRILLING INC    SB NT CV 3.75%07  25271CAA0         7       7,000 PRN     DEFINED    5       7,000       0       0
DIAMONDS TR                      UNIT SER 1        252787106    36,640     334,994 SH      OTHER      2     334,994       0       0
DIAMONDS TR                      UNIT SER 1        252787106        11         100 SH      DEFINED    6           0     100       0
DIATIDE INC                      COM               252842109     3,846     809,704 SH      OTHER      1     809,704       0       0
DIEBOLD INC                      COM               253651103        17         600 SH      DEFINED    1         600       0       0
DIEBOLD INC                      COM               253651103       493      17,142 SH      OTHER      2      17,142       0       0
DIGENE CORP                      COM               253752109       610      55,199 SH      OTHER      2           0       0  55,199
DIGITAL MICROWAVE CORP           COM               253859102         6         500 SH      OTHER      2         500       0       0
DIGITAL MICROWAVE CORP           COM               253859102       191      15,000 SH      OTHER      9      15,000       0       0
DIGITAL RECORDER INC             WT EXP  043000    253869119         0       3,500 SH      DEFINED   11       3,500       0       0
DIGITAL RIV INC                  OPTION            25388B104        67          20 CALL    OTHER      2          20       0       0
DIME CMNTY BANCSHARES            COM               253922108        77       3,298 SH      OTHER      2         100       0   3,198
DILLARDS INC                     CL A              254067101         6         185 SH      DEFINED    1         185       0       0
DILLARDS INC                     CL A              254067101       641      18,236 SH      OTHER      2      16,236       0   2,000
DILLARDS INC                     CL A              254067101        14         405 SH      DEFINED    6         405       0       0
DILLARDS INC                     CL A              254067101       228       6,483 SH      OTHER      9       6,483       0       0
DILLARDS INC                     CL A              254067101        18         515 SH      DEFINED   10         150     365       0
DILLARDS INC                     CL A              254067101        55       1,565 SH      DEFINED   11         665     900       0
DIME BANCORP INC NEW             COM               25429Q102     1,107      55,000 SH      DEFINED    1      42,750  12,250       0
DIME BANCORP INC NEW             COM               25429Q102       667      33,119 SH      OTHER      2      28,119       0   5,000
DIME BANCORP INC NEW             COM               25429Q102       277      13,750 SH      DEFINED    5      12,450   1,300       0
DIME BANCORP INC NEW             COM               25429Q102       218      10,850 SH      DEFINED    6      10,850       0       0
DIME BANCORP INC NEW             COM               25429Q102       231      11,500 SH      OTHER      9      11,500       0       0
DIME BANCORP INC NEW             COM               25429Q102        54       2,700 SH      DEFINED   10       2,700       0       0
DIME BANCORP INC NEW             COM               25429Q102       151       7,500 SH      DEFINED   11       7,500       0       0
DIMON INC                        COM               254394109        10       2,000 SH      OTHER      2           0       0   2,000
DIONEX CORP                      COM               254546104         7         165 SH      DEFINED    1           0     165       0
DIONEX CORP                      COM               254546104       713      17,600 SH      OTHER      2      17,600       0       0
DISNEY WALT CO                   OPTION            254687106    38,219      12,404 CALL    OTHER      2      12,404       0       0
DISNEY WALT CO                   OPTION            254687106     3,232       1,049 PUT     OTHER      2       1,049       0       0
DISNEY WALT CO                   COM               254687106     1,613      52,351 SH      DEFINED    1      40,598  11,753       0
DISNEY WALT CO                   COM               254687106       254       8,250 SH      OTHER      1       8,250       0       0
DISNEY WALT CO                   COM               254687106    23,321     756,869 SH      OTHER      2     688,435       0  68,434
DISNEY WALT CO                   COM               254687106     1,862      60,442 SH      DEFINED    5      43,044  17,398       0
DISNEY WALT CO                   COM               254687106       847      27,492 SH      DEFINED    6      19,287   8,205       0
DISNEY WALT CO                   COM               254687106     9,359     303,737 SH      OTHER      9     303,737       0       0
DISNEY WALT CO                   COM               254687106     4,158     134,960 SH      DEFINED   10     130,193   4,767       0
DISNEY WALT CO                   COM               254687106     1,614      52,374 SH      DEFINED   11      28,998  23,376       0
DIRECT FOCUS INC                 COM               254931108         0          10 SH      OTHER      1          10       0       0
DOCUCORP INTL INC                COM               255911109         0          40 SH      OTHER      2           0       0      40
DOCUMENTUM INC                   COM               256159104        16       1,200 SH      OTHER      2       1,200       0       0
DOLE FOOD INC                    COM               256605106       430      14,639 SH      OTHER      2      14,489       0     150
DOLE FOOD INC                    COM               256605106         5         184 SH      DEFINED    5         184       0       0
DOLLAR GEN CORP                  OPTION            256669102        29          10 PUT     OTHER      2          10       0       0
DOLLAR GEN CORP                  COM               256669102        20         685 SH      DEFINED    1         560     125       0
DOLLAR GEN CORP                  COM               256669102    10,808     372,689 SH      OTHER      2      78,659       0 294,030
DOLLAR GEN CORP                  COM               256669102        24         836 SH      DEFINED    5         836       0       0
DOLLAR GEN CORP                  COM               256669102         2          55 SH      DEFINED    6           0      55       0
DOLLAR GEN CORP                  COM               256669102       389      13,414 SH      OTHER      9      13,414       0       0
DOLLAR GEN CORP                  COM               256669102         6         205 SH      DEFINED   10           0     205       0
DOLLAR GEN CORP                  COM               256669102         3          90 SH      DEFINED   11           0      90       0
DOLLAR THRIFTY AUTOMOTIVE GP     COM               256743105       123       5,300 SH      OTHER      9       5,300       0       0
DOLLAR TREE STORES INC           COM               256747106         7         155 SH      DEFINED    1          34     121       0
DOLLAR TREE STORES INC           COM               256747106       863      19,618 SH      OTHER      2      19,618       0       0
DOLLAR TREE STORES INC           COM               256747106         3          65 SH      DEFINED   10          65       0       0
DOLLAR TREE STORES INC           COM               256747106         3          58 SH      DEFINED   11          58       0       0
DOMINION RES BLACK WARRIOR TR    UNITS BEN INT     25746Q108         4         300 SH      DEFINED    1         300       0       0
DOMINION RES INC VA              COM               257470104        71       1,646 SH      DEFINED    1         399   1,247       0
DOMINION RES INC VA              COM               257470104    44,917   1,037,051 SH      OTHER      2   1,034,752       0   2,299
DOMINION RES INC VA              COM               257470104       240       5,537 SH      DEFINED    5       3,209   2,328       0
DOMINION RES INC VA              COM               257470104       194       4,469 SH      DEFINED    6       1,595   2,874       0
DOMINION RES INC VA              COM               257470104       484      11,175 SH      OTHER      9      11,175       0       0
DOMINION RES INC VA              COM               257470104        26         599 SH      DEFINED   10         599       0       0
DOMINION RES INC VA              COM               257470104        80       1,844 SH      DEFINED   11       1,749      95       0
DOMTAR INC                       COM               257561100        50       5,290 SH      OTHER      1       2,645       0       0
DOMTAR INC                       COM               257561100        65       6,800 SH      OTHER      2           0       0   6,800
DONALDSON INC                    COM               257651109       286      11,678 SH      OTHER      2      11,678       0       0
DONALDSON INC                    COM               257651109        39       1,600 SH      DEFINED   10           0   1,600       0
DONALDSON LUFKIN & JENRETTE NW   OPTION            257661108       446          74 PUT     OTHER      2          74       0       0
DONALDSON LUFKIN & JENRETTE NW   COM DLJ           257661108     3,527      58,545 SH      OTHER      2           0       0  58,545
DONALDSON LUFKIN & JENRETTE NW   COM DLJ           257661108        30         500 SH      OTHER      9         500       0       0
DONALDSON LUFKIN & JENRETTE NW   OPTION            257661504         3           1 CALL    OTHER      2           1       0       0
DONALDSON LUFKIN & JENRETTE NW   OPTION            257661504        91          31 PUT     OTHER      2          31       0       0
DONALDSON LUFKIN & JENRETTE NW   COM DLJDIRECT     257661504         9         300 SH      OTHER      2           0       0     300
DONCASTERS PLC                   SPON ADR          257692103        11         600 SH      DEFINED   11         600       0       0
DONNA KARAN INTL INC             COM               257826107        30       3,000 SH      OTHER      2           0       0   3,000
DONNELLEY R R & SONS CO          COM               257867101     3,521      94,996 SH      OTHER      2      94,996       0       0
DONNELLEY R R & SONS CO          COM               257867101        33         900 SH      DEFINED    5         900       0       0
DONNELLEY R R & SONS CO          COM               257867101       342       9,241 SH      OTHER      9       9,241       0       0
DONNELLEY R R & SONS CO          COM               257867101        14         370 SH      DEFINED   10         370       0       0
DONNELLEY R R & SONS CO          COM               257867101        15         400 SH      DEFINED   11         400       0       0
DORAL FINL CORP                  COM               25811P100        83       4,800 SH      OTHER      9       4,800       0       0
DORAL FINL CORP                  COM               25811P100         6         345 SH      DEFINED   11         345       0       0
DOUBLECLICK INC                  OPTION            258609304       440          48 CALL    OTHER      2          48       0       0
DOUBLECLICK INC                  OPTION            258609304       193          21 PUT     OTHER      2          21       0       0
DOUBLECLICK INC                  COM               258609304         4          46 SH      DEFINED    1          46       0       0
DOUBLECLICK INC                  COM               258609304       521       5,680 SH      OTHER      2       5,680       0       0
DOUBLECLICK INC                  COM               258609304         2          26 SH      DEFINED   10          26       0       0
DOUBLECLICK INC                  SB NT CV 144A 06  258609AA4     4,342   3,548,000 PRN     OTHER      2   3,548,000       0       0
DOVER CORP                       COM               260003108     1,525      43,563 SH      OTHER      2      43,563       0       0
DOVER CORP                       COM               260003108        70       2,000 SH      DEFINED    5           0   2,000       0
DOVER CORP                       COM               260003108       182       5,200 SH      DEFINED    6         400   4,800       0
DOVER CORP                       COM               260003108       490      13,987 SH      OTHER      9      13,987       0       0
DOVER CORP                       COM               260003108        16         450 SH      DEFINED   10         450       0       0
DOVER DOWNS ENTMT INC            COM               260086103        81       4,591 SH      OTHER      2       4,591       0       0
DOW CHEM CO                      OPTION            260543103     3,451         272 CALL    OTHER      2         272       0       0
DOW CHEM CO                      OPTION            260543103     6,598         520 PUT     OTHER      2         520       0       0
DOW CHEM CO                      COM               260543103     1,980      15,603 SH      DEFINED    1      12,508   3,095       0
DOW CHEM CO                      COM               260543103     4,147      32,686 SH      OTHER      2      32,566       0     120
DOW CHEM CO                      COM               260543103        38         300 SH      OTHER      4           0       0     300
DOW CHEM CO                      COM               260543103     2,579      20,327 SH      DEFINED    5      13,832   6,495       0
DOW CHEM CO                      COM               260543103     1,118       8,808 SH      DEFINED    6       7,336   1,472       0
DOW CHEM CO                      COM               260543103     1,915      15,092 SH      OTHER      9      15,092       0       0
DOW CHEM CO                      COM               260543103     1,202       9,475 SH      DEFINED   10       8,950     525       0
DOW CHEM CO                      COM               260543103     1,375      10,834 SH      DEFINED   11       8,692   2,142       0
DOW JONES & CO INC               OPTION            260561105     3,316         625 CALL    OTHER      2         625       0       0
DOW JONES & CO INC               COM               260561105       703      13,240 SH      OTHER      2      13,240       0       0
DOW JONES & CO INC               COM               260561105        27         500 SH      DEFINED    5         500       0       0
DOW JONES & CO INC               COM               260561105         5         100 SH      DEFINED    6         100       0       0
DOW JONES & CO INC               COM               260561105       340       6,399 SH      OTHER      9       6,399       0       0
DOW JONES & CO INC               COM               260561105         4          70 SH      DEFINED   11          70       0       0
DRAXIS HEALTH INC                COM               26150J101        35      17,274 SH      OTHER      2      17,274       0       0
DREXLER TECH CORP                COM               261876106         1         100 SH      OTHER      2           0       0     100
DREYERS GRAND ICE CREAM INC      COM               261878102         7         455 SH      DEFINED    1           0     455       0
DREYERS GRAND ICE CREAM INC      COM               261878102       143       9,425 SH      OTHER      2       9,425       0       0
DREYERS GRAND ICE CREAM INC      COM               261878102        23       1,546 SH      DEFINED   11       1,546       0       0
DREYFUS STRATEGIC MUNS INC       COM               261932107       132      14,400 SH      DEFINED    1      11,500   2,900       0
DREYFUS STRATEGIC MUNS INC       COM               261932107        50       5,466 SH      DEFINED    5       5,466       0       0
DREYFUS HIGH YIELD STRATEGIES    SH BEN INT        26200S101        10         800 SH      DEFINED    1           0     800       0
DREYFUS HIGH YIELD STRATEGIES    SH BEN INT        26200S101         8         665 SH      DEFINED   11           0     665       0
DREYFUS MUN INCOME INC           COM               26201R102        36       4,158 SH      DEFINED    1       1,508   2,650       0
DREYFUS MUN INCOME INC           COM               26201R102         9       1,000 SH      DEFINED    6           0   1,000       0
DREYFUS STRATEGIC MUN BD FD      COM               26202F107       200      23,000 SH      DEFINED    1      20,000   3,000       0
DREYFUS STRATEGIC MUN BD FD      COM               26202F107       208      24,000 SH      OTHER      2           0       0  24,000
DREYFUS STRATEGIC MUN BD FD      COM               26202F107        17       1,944 SH      DEFINED    5       1,944       0       0
DREYFUS STRATEGIC MUN BD FD      COM               26202F107        38       4,350 SH      DEFINED    6       2,000   2,350       0
DREYFUS STRATEGIC MUN BD FD      COM               26202F107        33       3,850 SH      DEFINED   11       2,150   1,700       0
DU PONT E I DE NEMOURS & CO      OPTION            263534109     2,808         411 CALL    OTHER      2         411       0       0
DU PONT E I DE NEMOURS & CO      OPTION            263534109     1,366         200 PUT     OTHER      2         200       0       0
DU PONT E I DE NEMOURS & CO      COM               263534109    33,798     494,766 SH      DEFINED    1     464,318  30,448       0
DU PONT E I DE NEMOURS & CO      COM               263534109       147       2,155 SH      OTHER      1       2,155       0       0
DU PONT E I DE NEMOURS & CO      COM               263534109 1,449,273  21,215,500 SH      OTHER      2  21,157,726       0  57,774
DU PONT E I DE NEMOURS & CO      COM               263534109    16,088     235,504 SH      DEFINED    5     171,927  63,577       0
DU PONT E I DE NEMOURS & CO      COM               263534109     9,031     132,206 SH      DEFINED    6      97,796  34,410       0
DU PONT E I DE NEMOURS & CO      COM               263534109        27         393 SH      OTHER      9         393       0       0
DU PONT E I DE NEMOURS & CO      COM               263534109     6,334      92,724 SH      DEFINED   10      70,743  21,981       0
DU PONT E I DE NEMOURS & CO      COM               263534109     7,185     105,174 SH      DEFINED   11      83,697  21,477       0
DUALSTAR TECHNOLOGIES            COM               263572109     3,385     652,591 SH      OTHER      2     652,591       0       0
DUCOMMUN INC DEL                 COM               264147109        32       2,700 SH      OTHER      2       2,700       0       0
DUFF & PHELPS UTILS INCOME INC   COM               264324104       101       9,500 SH      DEFINED    1       5,000   4,500       0
DUFF & PHELPS UTILS INCOME INC   COM               264324104       308      28,945 SH      OTHER      2           0       0  28,945
DUFF & PHELPS UTILS INCOME INC   COM               264324104       115      10,786 SH      DEFINED    5         720  10,066       0
DUFF & PHELPS UTILS INCOME INC   COM               264324104        19       1,750 SH      DEFINED    6       1,750       0       0
DUFF & PHELPS UTILS INCOME INC   COM               264324104       185      17,395 SH      DEFINED   11      11,364   6,031       0
DUFF & PHELPS UTILS TXFR INCM    COM               264325101        66       4,000 SH      DEFINED   11       4,000       0       0
DUFF & PHELPS UTIL CORP BD TR    COM               26432K108       113       7,800 SH      OTHER      2           0       0   7,800
DUFF & PHELPS UTIL CORP BD TR    COM               26432K108        25       1,701 SH      DEFINED    5       1,701       0       0
DUFF & PHELPS UTIL CORP BD TR    COM               26432K108        12         850 SH      DEFINED   11           0     850       0
DUKE ENERGY CORP                 OPTION            264399106        54          10 PUT     OTHER      2          10       0       0
DUKE ENERGY CORP                 COM               264399106       900      16,534 SH      DEFINED    1      12,657   3,877       0
DUKE ENERGY CORP                 COM               264399106    15,886     291,828 SH      OTHER      2     285,093       0   6,735
DUKE ENERGY CORP                 COM               264399106       900      16,541 SH      DEFINED    5      11,640   4,901       0
DUKE ENERGY CORP                 COM               264399106       322       5,916 SH      DEFINED    6       2,897   3,019       0
DUKE ENERGY CORP                 COM               264399106     1,154      21,204 SH      OTHER      9      21,204       0       0
DUKE ENERGY CORP                 COM               264399106       424       7,790 SH      DEFINED   10       6,975     815       0
DUKE ENERGY CORP                 COM               264399106       328       6,025 SH      DEFINED   11       2,975   3,050       0
DUKE REALTY INVT INC             COM NEW           264411505        29       1,300 SH      DEFINED    1       1,100     200       0
DUKE REALTY INVT INC             COM NEW           264411505    28,146   1,247,500 SH      OTHER      2   1,165,637       0  81,863
DUKE REALTY INVT INC             COM NEW           264411505        33       1,470 SH      DEFINED    5         870     600       0
DUKE REALTY INVT INC             COM NEW           264411505        14         600 SH      DEFINED    6           0     600       0
DUKE REALTY INVT INC             COM NEW           264411505        15         650 SH      DEFINED   10         650       0       0
DUKE REALTY INVT INC             COM NEW           264411505        74       3,292 SH      DEFINED   11         660   2,632       0
DUN & BRADSTREET CORP DEL        COM               26483B106       898      25,350 SH      DEFINED    1      24,350   1,000       0
DUN & BRADSTREET CORP DEL        COM               26483B106     2,265      63,912 SH      OTHER      2      58,991       0   4,921
DUN & BRADSTREET CORP DEL        COM               26483B106       448      12,634 SH      DEFINED    5      10,334   2,300       0
DUN & BRADSTREET CORP DEL        COM               26483B106       411      11,600 SH      DEFINED    6       8,650   2,950       0
DUN & BRADSTREET CORP DEL        COM               26483B106       389      10,989 SH      OTHER      9      10,989       0       0
DUN & BRADSTREET CORP DEL        COM               26483B106        98       2,775 SH      DEFINED   10       2,775       0       0
DUN & BRADSTREET CORP DEL        COM               26483B106       953      26,905 SH      DEFINED   11      22,930   3,975       0
DURA AUTOMOTIVE SYSTEMS CORP     CL A              265903104        13         400 SH      DEFINED    6         400       0       0
DURA AUTOMOTIVE SYSTEMS CORP     CL A              265903104       120       3,614 SH      OTHER      9       3,614       0       0
DURA PHARMACEUTICALS INC         OPTION            26632S109       119         100 PUT     OTHER      2         100       0       0
DURA PHARMACEUTICALS INC         COM               26632S109       101       8,500 SH      OTHER      2       5,500       0   3,000
DURA PHARMACEUTICALS INC         SUB NT CV 3.5%02  26632SAA7       227     301,000 PRN     OTHER      2      86,000       0 215,000
DURAMED PHARMACEUTICALS INC      OPTION            266354109       188         120 CALL    OTHER      2         120       0       0
DURBAN ROODEPOORT DEEP LTD       SPON ADR          266597301         0          49 SH      DEFINED    5           0      49       0
DUSA PHARMACEUTICALS INC         OPTION            266898105        15          13 CALL    OTHER      2          13       0       0
DYCOM INDS INC                   COM               267475101         0           3 SH      OTHER      2           3       0       0
DYCOM INDS INC                   COM               267475101        42         750 SH      DEFINED    5         750       0       0
DYNEGY INC                       OPTION            26816L102       509         250 CALL    OTHER      2         250       0       0
DYNEGY INC                       OPTION            26816L102     1,223         600 PUT     OTHER      2         600       0       0
DYNEGY INC                       COM               26816L102        55       2,700 SH      OTHER      2           0       0   2,700
DYNEX CAP INC                    COM               26817Q100         8       4,000 SH      DEFINED    1       4,000       0       0
DYNEX CAP INC                    COM               26817Q100         0         119 SH      OTHER      2         119       0       0
ECI TELECOM LTD                  ORD               268258100        12         349 SH      DEFINED    1          78     271       0
ECI TELECOM LTD                  ORD               268258100     9,730     293,188 SH      OTHER      2     291,473       0   1,715
ECI TELECOM LTD                  ORD               268258100         2          70 SH      DEFINED    5          70       0       0
ECI TELECOM LTD                  ORD               268258100         1          40 SH      DEFINED    6          40       0       0
ECI TELECOM LTD                  ORD               268258100       498      15,000 SH      OTHER      9      15,000       0       0
ECI TELECOM LTD                  ORD               268258100        31         942 SH      DEFINED   10         879      63       0
ECI TELECOM LTD                  ORD               268258100         7         224 SH      DEFINED   11         172      52       0
EEX CORP                         COM NEW           26842V207         3         500 SH      OTHER      2           0       0     500
EEX CORP                         COM NEW           26842V207         2         321 SH      DEFINED    5         247      74       0
EG & G INC                       COM               268457108       263       7,370 SH      DEFINED    1       7,370       0       0
EG & G INC                       COM               268457108       238       6,690 SH      OTHER      2       6,590       0     100
EG & G INC                       COM               268457108        34         950 SH      DEFINED    5         950       0       0
EG & G INC                       COM               268457108       158       4,425 SH      DEFINED    6       1,975   2,450       0
EG & G INC                       COM               268457108       101       2,823 SH      OTHER      9       2,823       0       0
EG & G INC                       COM               268457108       134       3,754 SH      DEFINED   10       3,754       0       0
EG & G INC                       COM               268457108       135       3,800 SH      DEFINED   11       2,000   1,800       0
ELXSI CORP                       COM NEW           268613205         1         120 SH      DEFINED   11         120       0       0
E M C CORP MASS                  OPTION            268648102    18,684       3,397 CALL    OTHER      2       3,397       0       0
E M C CORP MASS                  OPTION            268648102       440          80 PUT     OTHER      2          80       0       0
E M C CORP MASS                  COM               268648102       707      12,860 SH      OTHER      1      12,860       0       0
E M C CORP MASS                  COM               268648102       428       7,775 SH      DEFINED    1       7,725      50       0
E M C CORP MASS                  COM               268648102    30,951     562,746 SH      OTHER      2     243,218       0 319,528
E M C CORP MASS                  COM               268648102    27,479     499,616 SH      OTHER      4           0       0 499,616
E M C CORP MASS                  COM               268648102       727      13,224 SH      DEFINED    5      10,700   2,524       0
E M C CORP MASS                  COM               268648102       490       8,906 SH      DEFINED    6       7,780   1,126       0
E M C CORP MASS                  COM               268648102     5,134      93,354 SH      OTHER      9      93,354       0       0
E M C CORP MASS                  COM               268648102       788      14,332 SH      DEFINED   10      10,836   3,496       0
E M C CORP MASS                  COM               268648102       705      12,827 SH      DEFINED   11       9,167   3,660       0
EMC CORP                         SB NT CV 3.25%02  26865YAA2       202      50,000 PRN     OTHER      2           0       0  50,000
EMC INS GROUP INC                COM               268664109        30       2,593 SH      DEFINED   10       2,593       0       0
ENSCO INTL INC                   OPTION            26874Q100        20          10 CALL    OTHER      2          10       0       0
ENSCO INTL INC                   OPTION            26874Q100        12           6 PUT     OTHER      2           6       0       0
ENSCO INTL INC                   COM               26874Q100     1,212      60,771 SH      OTHER      2      51,448       0   9,323
ENI S P A                        SPON ADR          26874R108        88       1,460 SH      DEFINED    1       1,215     245       0
ENI S P A                        SPON ADR          26874R108         2          25 SH      DEFINED    5          25       0       0
ENI S P A                        SPON ADR          26874R108        12         205 SH      DEFINED    6         205       0       0
ENI S P A                        SPON ADR          26874R108       120       2,005 SH      DEFINED   10       1,835     170       0
ENI S P A                        SPON ADR          26874R108        71       1,185 SH      DEFINED   11         700     485       0
ESCO ELECTRS CORP                COM TR RCPT       269030201         0          20 SH      OTHER      4           0       0      20
ESS TECHNOLOGY INC               OPTION            269151106        43          32 CALL    OTHER      2          32       0       0
E SPIRE COMMUNICATIONS INC       OPTION            269153102        42          40 CALL    OTHER      2          20       0      20
E-TEK DYNAMICS INC               OPTION            269240107        24           5 CALL    OTHER      2           5       0       0
E TOWN                           COM               269242103        18         400 SH      OTHER      2           0       0     400
E TOWN                           COM               269242103        46       1,000 SH      DEFINED    5           0   1,000       0
E TRADE GROUP INC                OPTION            269246104       443         111 CALL    OTHER      2         111       0       0
E TRADE GROUP INC                OPTION            269246104       108          27 PUT     OTHER      2          27       0       0
E TRADE GROUP INC                COM               269246104     3,059      76,599 SH      OTHER      2      75,399       0   1,200
E TRADE GROUP INC                COM               269246104       227       5,674 SH      OTHER      9       5,674       0       0
EAGLE GEOPHYSICAL INC            COM               269524104         0          35 SH      DEFINED    1           0      35       0
EARTHGRAINS CO                   COM               270319106       107       4,133 SH      OTHER      2       4,101       0      32
EARTHGRAINS CO                   COM               270319106         0          16 SH      DEFINED    5          16       0       0
EARTHLINK NETWORK INC            OPTION            270322100        25           4 CALL    OTHER      2           4       0       0
EARTHLINK NETWORK INC            OPTION            270322100        92          15 PUT     OTHER      2          15       0       0
EARTHSHELL CORP                  COM               27032B100         7       1,000 SH      OTHER      2           0       0   1,000
EASTERN ENTERPRISES              COM               27637F100       175       4,395 SH      OTHER      2       2,895       0   1,500
EASTERN ENTERPRISES              COM               27637F100        48       1,200 SH      DEFINED    5       1,200       0       0
EASTERN ENTERPRISES              COM               27637F100        52       1,317 SH      OTHER      9       1,317       0       0
EASTERN UTILS ASSOC              COM               277173100        29       1,000 SH      DEFINED    6           0   1,000       0
EASTGROUP PPTY INC               COM               277276101       112       5,600 SH      OTHER      9       5,600       0       0
EASTMAN CHEM CO                  OPTION            277432100     4,399         850 PUT     OTHER      2         850       0       0
EASTMAN CHEM CO                  COM               277432100        27         514 SH      DEFINED    1         489      25       0
EASTMAN CHEM CO                  COM               277432100     2,064      39,880 SH      OTHER      2      39,721       0     159
EASTMAN CHEM CO                  COM               277432100        98       1,887 SH      DEFINED    5       1,494     393       0
EASTMAN CHEM CO                  COM               277432100        52       1,000 SH      DEFINED    6           0   1,000       0
EASTMAN CHEM CO                  COM               277432100       263       5,085 SH      OTHER      9       5,085       0       0
EASTMAN KODAK CO                 OPTION            277461109        54           8 CALL    OTHER      2           8       0       0
EASTMAN KODAK CO                 COM               277461109     1,246      18,396 SH      DEFINED    1      15,585   2,811       0
EASTMAN KODAK CO                 COM               277461109   940,270  13,878,517 SH      OTHER      2  13,832,131       0  46,386
EASTMAN KODAK CO                 COM               277461109     1,346      19,867 SH      DEFINED    5      14,587   5,280       0
EASTMAN KODAK CO                 COM               277461109       645       9,516 SH      DEFINED    6       5,941   3,575       0
EASTMAN KODAK CO                 COM               277461109       239       3,522 SH      DEFINED   10       2,872     650       0
EASTMAN KODAK CO                 COM               277461109     1,117      16,485 SH      DEFINED   11      14,433   2,052       0
EASYRIDERS INC                   COM               277848107         0          17 SH      OTHER      2          17       0       0
EATON CORP                       COM               278058102       966      10,500 SH      DEFINED    1       8,300   2,200       0
EATON CORP                       COM               278058102       998      10,852 SH      OTHER      2      10,852       0       0
EATON CORP                       COM               278058102        83         900 SH      DEFINED    6         400     500       0
EATON CORP                       COM               278058102       441       4,792 SH      OTHER      9       4,792       0       0
EATON CORP                       COM               278058102       255       2,776 SH      DEFINED   10       2,776       0       0
EATON CORP                       COM               278058102       616       6,700 SH      DEFINED   11       6,700       0       0
EBAY INC                         OPTION            278642103     3,406         225 CALL    OTHER      2         225       0       0
EBAY INC                         OPTION            278642103       167          11 PUT     OTHER      2          11       0       0
EBAY INC                         COM               278642103        15         100 SH      DEFINED    1           0     100       0
EBAY INC                         COM               278642103     3,351      22,135 SH      OTHER      2      22,135       0       0
EBAY INC                         COM               278642103       551       3,640 SH      OTHER      9       3,640       0       0
ECHELON INTL CORP                COM               278747100         0          20 SH      OTHER      2           0       0      20
ECHELON INTL CORP                COM               278747100        12         538 SH      DEFINED    5         138     400       0
ECHELON INTL CORP                COM               278747100         0          20 SH      DEFINED    6          20       0       0
ECHELON INTL CORP                COM               278747100         0          20 SH      DEFINED   10          20       0       0
ECHELON INTL CORP                COM               278747100         4         201 SH      DEFINED   11           0     201       0
ECHOSTAR COMMUNICATIONS NEW      CL A              278762109       149         973 SH      OTHER      2          73       0     900
ECHOSTAR COMMUNICATIONS NEW      CL A              278762109       460       3,000 SH      DEFINED    6       3,000       0       0
ECO SOIL SYS INC                 COM               278858105         5       1,000 SH      DEFINED    1       1,000       0       0
ECOLAB INC                       COM               278865100       859      19,693 SH      OTHER      2      19,693       0       0
ECOLAB INC                       COM               278865100        13         300 SH      DEFINED    5           0     300       0
ECOLAB INC                       COM               278865100       105       2,400 SH      DEFINED    6       2,400       0       0
ECOLAB INC                       COM               278865100       368       8,433 SH      OTHER      9       8,433       0       0
ECOLAB INC                       COM               278865100       140       3,200 SH      DEFINED   10           0   3,200       0
ECOLAB INC                       COM               278865100        62       1,424 SH      DEFINED   11       1,424       0       0
ECSOFT GROUP PLC                 SPON ADR          279240105         5         300 SH      OTHER      2           0       0     300
EDPERBRASCAN CORP                CL A LTD VT SH    280905803       142       9,448 SH      OTHER      1       4,857       0       0
EDISON INTL                      COM               281020107       158       5,900 SH      DEFINED    1       5,900       0       0
EDISON INTL                      COM               281020107     1,638      61,233 SH      OTHER      2      51,443       0   9,790
EDISON INTL                      COM               281020107       160       5,968 SH      DEFINED    5       1,460   4,508       0
EDISON INTL                      COM               281020107        89       3,318 SH      DEFINED    6       3,000     318       0
EDISON INTL                      COM               281020107       541      20,213 SH      OTHER      9      20,213       0       0
EDISON INTL                      COM               281020107       402      15,037 SH      DEFINED   10      12,080   2,957       0
J D EDWARDS & CO                 COM               281667105     1,148      62,055 SH      OTHER      2      62,055       0       0
J D EDWARDS & CO                 COM               281667105       127       6,886 SH      OTHER      9       6,886       0       0
EDWARDS AG INC                   OPTION            281760108        32          10 PUT     OTHER      2          10       0       0
EDWARDS AG INC                   COM               281760108        16         485 SH      DEFINED    1         283     202       0
EDWARDS AG INC                   COM               281760108       755      23,405 SH      OTHER      2      23,405       0       0
EDWARDS AG INC                   COM               281760108     6,878     213,270 SH      OTHER      9     213,270       0       0
EDWARDS AG INC                   COM               281760108         4         110 SH      DEFINED   10         110       0       0
EDWARDS AG INC                   COM               281760108         3         106 SH      DEFINED   11         106       0       0
EGGHEAD.COM INC                  COM               282330109         3         245 SH      OTHER      2         245       0       0
EIDOS PLC                        SPON ADR          282485101         6         181 SH      OTHER      2         181       0       0
EINSTEIN / NOAH BAGEL CORP       COM               282577105        22      22,700 SH      OTHER      2      22,700       0       0
EL PASO ENERGY CORP DEL          COM               283905107        97       2,768 SH      DEFINED    1       2,352     416       0
EL PASO ENERGY CORP DEL          COM               283905107     1,843      52,388 SH      OTHER      2      36,566       0  15,822
EL PASO ENERGY CORP DEL          COM               283905107        71       2,016 SH      DEFINED    5       1,430     586       0
EL PASO ENERGY CORP DEL          COM               283905107        35       1,000 SH      DEFINED    6       1,000       0       0
EL PASO ENERGY CORP DEL          COM               283905107        84       2,400 SH      OTHER      9       2,400       0       0
EL PASO ENERGY CORP DEL          COM               283905107         7         186 SH      DEFINED   10         186       0       0
EL PASO ENERGY CORP DEL          COM               283905107        15         436 SH      DEFINED   11          54     382       0
ELAN PLC                         OPTION            284131208       486         175 CALL    OTHER      2         175       0       0
ELAN PLC                         OPTION            284131208       497         179 PUT     OTHER      2         179       0       0
ELAN PLC                         ADR               284131208        52       1,856 SH      DEFINED    1       1,856       0       0
ELAN PLC                         ADR               284131208    14,820     534,057 SH      OTHER      2     407,807       0 126,250
ELAN PLC                         ADR               284131208        87       3,125 SH      DEFINED    5       3,125       0       0
ELAN PLC                         ADR               284131208        49       1,763 SH      DEFINED    6       1,763       0       0
ELAN PLC                         ADR               284131208        29       1,061 SH      DEFINED   10         407     654       0
ELAN PLC                         ADR               284131208       207       7,448 SH      DEFINED   11       5,060   2,388       0
ELANTEC SEMICONDUCTOR INC        COM               284155108       230      17,000 SH      OTHER      9      17,000       0       0
ELBIT COMPUTERS LTD              ORD               284275104       122      12,426 SH      OTHER      2      12,426       0       0
ELDER BEERMAN STORES CORP NEW    COM               284470101        14       1,850 SH      DEFINED   11       1,850       0       0
ELECTRO SCIENTIFIC INDS          COM               285229100         9         220 SH      DEFINED    1         220       0       0
ELECTRO SCIENTIFIC INDS          COM               285229100         3          65 SH      OTHER      2          65       0       0
ELECTRO SCIENTIFIC INDS          COM               285229100         9         226 SH      DEFINED   10         226       0       0
ELECTRONIC ARTS INC              COM               285512109     1,891      34,866 SH      OTHER      2      34,866       0       0
ELECTRONIC ARTS INC              COM               285512109       280       5,170 SH      OTHER      9       5,170       0       0
ELECTRONIC DATA SYS NEW          COM               285661104     6,417     113,321 SH      DEFINED    1      88,690  24,631       0
ELECTRONIC DATA SYS NEW          COM               285661104    40,717     719,068 SH      OTHER      2     694,012       0  25,056
ELECTRONIC DATA SYS NEW          COM               285661104        59       1,050 SH      OTHER      4           0       0   1,050
ELECTRONIC DATA SYS NEW          COM               285661104     1,564      27,617 SH      DEFINED    5      20,167   7,450       0
ELECTRONIC DATA SYS NEW          COM               285661104     4,795      84,673 SH      DEFINED    6      69,061  15,612       0
ELECTRONIC DATA SYS NEW          COM               285661104     2,034      35,925 SH      OTHER      9      35,925       0       0
ELECTRONIC DATA SYS NEW          COM               285661104     1,669      29,472 SH      DEFINED   10      28,412   1,060       0
ELECTRONIC DATA SYS NEW          COM               285661104     3,190      56,329 SH      DEFINED   11      44,533  11,796       0
ELECTRONICS FOR IMAGING INC      OPTION            286082102        26           5 CALL    OTHER      2           5       0       0
ELECTRONICS FOR IMAGING INC      OPTION            286082102        26           5 PUT     OTHER      2           5       0       0
ELECTRONICS FOR IMAGING INC      COM               286082102        36         710 SH      DEFINED    1         547     163       0
ELECTRONICS FOR IMAGING INC      COM               286082102     1,275      24,819 SH      OTHER      2      21,190       0   3,629
ELECTRONICS FOR IMAGING INC      COM               286082102         7         138 SH      DEFINED    5         138       0       0
ELECTRONICS FOR IMAGING INC      COM               286082102         9         176 SH      DEFINED   10         176       0       0
ELECTRONICS FOR IMAGING INC      COM               286082102        88       1,714 SH      DEFINED   11       1,464     250       0
ELECTROSOURCE INC                COM PAR $1.00     286150206         0           9 SH      DEFINED    5           9       0       0
ELF AQUITAINE                    SPON ADR          286269105       167       2,271 SH      DEFINED    1       1,841     430       0
ELF AQUITAINE                    SPON ADR          286269105       837      11,377 SH      OTHER      2          20       0  11,357
ELF AQUITAINE                    SPON ADR          286269105        37         506 SH      DEFINED    5         195     311       0
ELF AQUITAINE                    SPON ADR          286269105       209       2,845 SH      DEFINED    6       2,195     650       0
ELF AQUITAINE                    SPON ADR          286269105       184       2,500 SH      DEFINED   10       2,320     180       0
ELF AQUITAINE                    SPON ADR          286269105       441       5,995 SH      DEFINED   11       3,445   2,550       0
ELRON ELECTR INDS LTD            ORD               290160100        57       2,316 SH      OTHER      2       2,316       0       0
EMBRATEL PARTICIPACOES S A       SPONS ADR PFD     29081N100     1,182      85,164 SH      OTHER      9      85,164       0       0
EMBOTELLADORA ANDINA S A         SPONS ADR A       29081P204        28       1,400 SH      OTHER      9       1,400       0       0
EMBOTELLADORA ANDINA S A         SPONS ADR B       29081P303       192      12,600 SH      OTHER      9      12,600       0       0
EMCORE CORP                      COM               290846104         3         135 SH      DEFINED    1         135       0       0
EMCORE CORP                      COM               290846104         3         138 SH      DEFINED   10         138       0       0
EMCOR GROUP INC                  COM               29084Q100        23         900 SH      OTHER      9         900       0       0
EMERGING MKTS INCM FD II         COM               290920107        12       1,000 SH      OTHER      2           0       0   1,000
EMERGING MKTS INFRASTRUCTURE     COM               290921105       421      45,200 SH      OTHER      2           0       0  45,200
EMERSON ELEC CO                  OPTION            291011104       101          16 CALL    OTHER      2          16       0       0
EMERSON ELEC CO                  COM               291011104        90       1,425 SH      OTHER      1       1,425       0       0
EMERSON ELEC CO                  COM               291011104     6,120      97,236 SH      DEFINED    1      79,650  17,586       0
EMERSON ELEC CO                  COM               291011104   335,479   5,330,390 SH      OTHER      2   5,297,725       0  32,665
EMERSON ELEC CO                  COM               291011104     8,514     135,284 SH      OTHER      4           0       0 135,284
EMERSON ELEC CO                  COM               291011104     7,233     114,927 SH      DEFINED    5      91,408  23,519       0
EMERSON ELEC CO                  COM               291011104     5,561      88,356 SH      DEFINED    6      70,821  17,535       0
EMERSON ELEC CO                  COM               291011104     1,737      27,599 SH      OTHER      9      27,599       0       0
EMERSON ELEC CO                  COM               291011104     6,412     101,883 SH      DEFINED   10      82,145  19,738       0
EMERSON ELEC CO                  COM               291011104     3,246      51,575 SH      DEFINED   11      33,345  18,230       0
EMMIS COMMUNICATIONS CORP        CL A              291525103         4          77 SH      DEFINED   11           0      77       0
EMPIRE DIST ELEC CO              COM               291641108     7,873     302,082 SH      OTHER      2     302,082       0       0
EMPLOYEE SOLUTIONS INC           COM               292166105         1       1,000 SH      OTHER      2           0       0   1,000
EMPRESAS ICA SOCIEDAD CONTRLAD   SPON ADR          292448107        27       3,949 SH      OTHER      9       3,949       0       0
EMPRESAS ICA SOCIEDAD CONTRLAD   SUB DB CONV 5%04  292448AC1       685   1,000,000 PRN     OTHER      9   1,000,000       0       0
EMPRESA NACIONAL DE ELCTRCIDAD   SPON ADR          29244T101       120      10,000 SH      OTHER      2      10,000       0       0
EMPRESA NACIONAL DE ELCTRCIDAD   SPON ADR          29244T101       718      59,800 SH      OTHER      9      59,800       0       0
EMPRESAS TELEX CHILE S A         SPON ADR          29245D105         3       3,000 SH      OTHER      9       3,000       0       0
ENCAL ENERGY LTD                 COM               29250D107         2         500 SH      OTHER      1         500       0       0
ENBRIDGE INC                     COM               29250N105        13         576 SH      OTHER      1         576       0       0
ENCORE WIRE CORP                 COM               292562105       102      11,303 SH      OTHER      2      11,303       0       0
ENDESA S A                       SPON ADR          29258N107       402      18,905 SH      DEFINED    1      16,825   2,080       0
ENDESA S A                       SPON ADR          29258N107     2,584     121,622 SH      OTHER      2     107,726       0  13,896
ENDESA S A                       SPON ADR          29258N107       899      42,320 SH      DEFINED    5      35,920   6,400       0
ENDESA S A                       SPON ADR          29258N107     1,136      53,460 SH      DEFINED    6      43,360  10,100       0
ENDESA S A                       SPON ADR          29258N107   127,500   6,000,000 SH      OTHER      9   6,000,000       0       0
ENDESA S A                       SPON ADR          29258N107       274      12,895 SH      DEFINED   10      11,465   1,430       0
ENDESA S A                       SPON ADR          29258N107       412      19,384 SH      DEFINED   11      14,844   4,540       0
ENERGEN CORP                     COM               29265N108         8         440 SH      OTHER      2           0       0     440
ENERGEN CORP                     COM               29265N108        12         636 SH      DEFINED    5         636       0       0
ENERGIS PLC                      SPON ADR          29266H100         2          13 SH      DEFINED    6          13       0       0
ENERGIS PLC                      SPON ADR          29266H100         6          51 SH      DEFINED   10          32      19       0
ENERGIS PLC                      SPON ADR          29266H100         1           6 SH      DEFINED   11           6       0       0
ENERGY EAST CORP                 COM               29266M109       803      30,878 SH      OTHER      2      28,848       0   2,030
ENERGY EAST CORP                 COM               29266M109       114       4,400 SH      DEFINED    5           0   4,400       0
ENERGY EAST CORP                 COM               29266M109        55       2,100 SH      OTHER      9       2,100       0       0
ENERSIS S A                      SPON ADR          29274F104        92       4,000 SH      OTHER      2       4,000       0       0
ENGELHARD CORP                   OPTION            292845104       801         354 CALL    OTHER      2         354       0       0
ENGELHARD CORP                   COM               292845104        13         575 SH      DEFINED    1         575       0       0
ENGELHARD CORP                   COM               292845104       883      39,012 SH      OTHER      2      18,702       0  20,310
ENGELHARD CORP                   COM               292845104        11         500 SH      DEFINED    5         500       0       0
ENGELHARD CORP                   COM               292845104       100       4,400 SH      DEFINED    6       4,000     400       0
ENGELHARD CORP                   COM               292845104       184       8,147 SH      OTHER      9       8,147       0       0
ENGELHARD CORP                   COM               292845104        26       1,150 SH      DEFINED   10       1,150       0       0
ENGELHARD CORP                   COM               292845104        54       2,400 SH      DEFINED   11           0   2,400       0
ENGINEERING ANIMATION INC        COM               292872108       116       5,478 SH      OTHER      2       5,478       0       0
ENESCO GROUP INC                 COM               292973104        90       3,891 SH      OTHER      2       3,891       0       0
ENRON CORP                       OPTION            293561106    10,873       1,330 CALL    OTHER      2       1,330       0       0
ENRON CORP                       COM               293561106       377       4,606 SH      DEFINED    1       3,996     610       0
ENRON CORP                       COM               293561106     5,730      70,095 SH      OTHER      2      59,318       0  10,777
ENRON CORP                       COM               293561106       281       3,441 SH      DEFINED    5       2,991     450       0
ENRON CORP                       COM               293561106        29         355 SH      DEFINED    6         355       0       0
ENRON CORP                       COM               293561106     3,147      38,494 SH      OTHER      9      38,494       0       0
ENRON CORP                       COM               293561106       639       7,812 SH      DEFINED   10       7,212     600       0
ENRON CORP                       COM               293561106       287       3,505 SH      DEFINED   11       2,705     800       0
ENRON OIL & GAS CO               COM               293562104        16         801 SH      DEFINED    1           0     801       0
ENRON OIL & GAS CO               COM               293562104        26       1,300 SH      OTHER      2           0       0   1,300
ENRON OIL & GAS CO               COM               293562104        30       1,505 SH      DEFINED    6       1,505       0       0
ENRON OIL & GAS CO               COM               293562104        23       1,128 SH      DEFINED   11       1,128       0       0
ENTERGY CORP NEW                 COM               29364G103        10         325 SH      DEFINED    1         325       0       0
ENTERGY CORP NEW                 COM               29364G103     4,034     129,077 SH      OTHER      2     128,727       0     350
ENTERGY CORP NEW                 COM               29364G103        63       2,000 SH      DEFINED    5           0   2,000       0
ENTERGY CORP NEW                 COM               29364G103        38       1,200 SH      DEFINED    6       1,200       0       0
ENTERGY CORP NEW                 COM               29364G103       555      17,766 SH      OTHER      9      17,766       0       0
ENTERGY CORP NEW                 COM               29364G103       159       5,100 SH      DEFINED   10       5,100       0       0
ENTERGY CORP NEW                 COM               29364G103        28         899 SH      DEFINED   11         349     550       0
ENTERPRISE OIL PLC               SP ADR PREF B     293779203        25         960 SH      DEFINED   10         960       0       0
ENTERPRISE PRODS PARTNERS L P    COM               293792107         9         500 SH      DEFINED    1           0     500       0
ENTREMED INC                     COM               29382F103         2         100 SH      DEFINED   10         100       0       0
ENTRUST TECHNOLOGIES INC         COM               293848107         5         150 SH      DEFINED    1         150       0       0
ENTRUST TECHNOLOGIES INC         COM               293848107         6         189 SH      DEFINED   10         189       0       0
ENVIROSOURCE INC                 COM NEW           29409K606         0          95 SH      DEFINED   11          95       0       0
EOTT ENERGY PARTNERS L P         UNIT LTD PRTNR    294103106        58       3,250 SH      OTHER      2           0       0   3,250
EPICOR SOFTWARE CORP             COM               29426L108        69       9,274 SH      OTHER      2       9,274       0       0
EQUANT N V                       NY REG SHS        294409107       788       8,337 SH      OTHER      2       7,387       0     950
EQUANT N V                       NY REG SHS        294409107         5          55 SH      DEFINED    6          55       0       0
EQUANT N V                       NY REG SHS        294409107        21         227 SH      DEFINED   10         141      86       0
EQUANT N V                       NY REG SHS        294409107         2          23 SH      DEFINED   11          23       0       0
EQUIFAX INC                      COM               294429105       186       5,200 SH      DEFINED    1       4,300     900       0
EQUIFAX INC                      COM               294429105       808      22,632 SH      OTHER      2      22,632       0       0
EQUIFAX INC                      COM               294429105        43       1,200 SH      DEFINED    6           0   1,200       0
EQUIFAX INC                      COM               294429105       320       8,980 SH      OTHER      9       8,980       0       0
EQUIFAX INC                      COM               294429105       214       6,000 SH      DEFINED   10           0   6,000       0
EQUITABLE COS INC                COM               29444G107        47         700 SH      OTHER      2           0       0     700
EQUITABLE COS INC                COM               29444G107         3          52 SH      DEFINED    5          26      26       0
EQUITABLE COS INC                COM               29444G107        33         492 SH      DEFINED    6         116     376       0
EQUITABLE COS INC                COM               29444G107         1          19 SH      DEFINED   11           0      19       0
EQUITY INCOME FD                 UT 1 EX SR-ATT    294700703       346       1,670 SH      DEFINED    1       1,160     510       0
EQUITY INCOME FD                 UT 1 EX SR-ATT    294700703       150         723 SH      OTHER      2           0       0     723
EQUITY INCOME FD                 UT 1 EX SR-ATT    294700703     1,782       8,603 SH      DEFINED    5       6,880   1,723       0
EQUITY INCOME FD                 UT 1 EX SR-ATT    294700703       269       1,300 SH      DEFINED    6       1,300       0       0
EQUITY INCOME FD                 UT 1 EX SR-ATT    294700703       255       1,232 SH      DEFINED   11         632     600       0
EQUITY OFFICE PROPERTIES TRUST   COM               294741103     3,965     154,731 SH      OTHER      1     154,731       0       0
EQUITY OFFICE PROPERTIES TRUST   COM               294741103    14,896     581,309 SH      OTHER      1     581,309       0       0
EQUITY OFFICE PROPERTIES TRUST   COM               294741103        20         782 SH      DEFINED    1         314     468       0
EQUITY OFFICE PROPERTIES TRUST   COM               294741103    37,916   1,479,638 SH      OTHER      2   1,469,901       0   9,737
EQUITY OFFICE PROPERTIES TRUST   COM               294741103        28       1,095 SH      DEFINED    6         569     526       0
EQUITY OFFICE PROPERTIES TRUST   COM               294741103     6,276     244,912 SH      OTHER      9     244,912       0       0
EQUITY OFFICE PROPERTIES TRUST   COM               294741103        10         371 SH      DEFINED   10         371       0       0
EQUITY OFFICE PROPERTIES TRUST   COM               294741103        15         580 SH      DEFINED   11         365     215       0
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT        29476L107        31         694 SH      DEFINED    1         320     374       0
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT        29476L107    30,184     669,834 SH      OTHER      2     639,291       0  30,543
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT        29476L107        15         325 SH      DEFINED    5         325       0       0
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT        29476L107       139       3,080 SH      DEFINED    6       3,080       0       0
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT        29476L107        22         481 SH      DEFINED   10         219     262       0
EQUITY RESIDENTIAL PPTYS TR      SH BEN INT        29476L107        15         331 SH      DEFINED   11         300      31       0
EQUITY RESIDENTIAL PPTYS TR      PFD CV J $2.15    29476L826     1,089      38,900 SH      OTHER      2      38,900       0       0
EQUITY RESIDENTIAL PPTYS TR      PFD CV J $2.15    29476L826         6         200 SH      DEFINED    5         200       0       0
EQUITY RESIDENTIAL PPTYS TR      PFD CV J $2.15    29476L826         4         135 SH      DEFINED    6         135       0       0
ERICSSON L M TEL CO              OPTION            294821400     5,764       1,750 CALL    OTHER      2       1,750       0       0
ERICSSON L M TEL CO              OPTION            294821400     5,774       1,753 PUT     OTHER      2       1,753       0       0
ERICSSON L M TEL CO              ADR CL B SEK10    294821400       659      20,000 SH      OTHER      1      20,000       0       0
ERICSSON L M TEL CO              ADR CL B SEK10    294821400     1,486      45,130 SH      DEFINED    1      34,080  11,050       0
ERICSSON L M TEL CO              ADR CL B SEK10    294821400    19,153     581,491 SH      OTHER      2     559,591       0  21,900
ERICSSON L M TEL CO              ADR CL B SEK10    294821400        40       1,200 SH      OTHER      4           0       0   1,200
ERICSSON L M TEL CO              ADR CL B SEK10    294821400     3,347     101,620 SH      DEFINED    5      64,518  37,102       0
ERICSSON L M TEL CO              ADR CL B SEK10    294821400     1,054      32,000 SH      DEFINED    6      17,350  14,650       0
ERICSSON L M TEL CO              ADR CL B SEK10    294821400       336      10,213 SH      OTHER      9      10,213       0       0
ERICSSON L M TEL CO              ADR CL B SEK10    294821400       637      19,330 SH      DEFINED   10      16,831   2,499       0
ERICSSON L M TEL CO              ADR CL B SEK10    294821400       495      15,020 SH      DEFINED   11       7,982   7,038       0
ESPIRITO SANTO FINL GROUP SA     SPON ADR          29665F200        30       1,800 SH      DEFINED   10       1,800       0       0
ESPIRITO SANTO FINL GROUP SA     SPON ADR          29665F200        10         600 SH      DEFINED   11         600       0       0
ESSEX PPTY TR INC                COM               297178105       923      26,100 SH      OTHER      2      26,100       0       0
ESSEX PPTY TR INC                COM               297178105        42       1,200 SH      DEFINED   10       1,200       0       0
ETHAN ALLEN INTERIORS INC        OPTION            297602104        11           3 CALL    OTHER      2           3       0       0
ETHAN ALLEN INTERIORS INC        COM               297602104        14         363 SH      DEFINED    1          81     282       0
ETHAN ALLEN INTERIORS INC        COM               297602104     1,806      47,854 SH      OTHER      2           0       0  47,854
ETHAN ALLEN INTERIORS INC        COM               297602104         6         153 SH      DEFINED   10         153       0       0
ETHAN ALLEN INTERIORS INC        COM               297602104         5         145 SH      DEFINED   11         145       0       0
ETHYL CORP                       COM               297659104        10       1,600 SH      DEFINED    1       1,600       0       0
ETHYL CORP                       COM               297659104       176      29,411 SH      OTHER      2      20,411       0   9,000
ETHYL CORP                       COM               297659104         2         300 SH      DEFINED    5           0     300       0
ETOYS INC                        COM               297862104         4         100 SH      DEFINED   10         100       0       0
EUROPE FD INC                    COM               29874M103        78       4,521 SH      OTHER      2           2       0   4,519
EVANS & SUTHERLAND COMP CP       COM               299096107        18       1,400 SH      OTHER      2       1,400       0       0
EVANS & SUTHERLAND COMP CP       COM               299096107         8         600 SH      DEFINED   11         600       0       0
EVEREST REINS HLDGS INC          COM               299808105       401      12,299 SH      OTHER      2      12,299       0       0
EXABYTE CORP                     COM               300615101        61      15,827 SH      OTHER      2      15,827       0       0
EXAR CORP                        COM               300645108        16         640 SH      DEFINED   10         640       0       0
EXCEL LEGACY CORP                COM               300665106         2         434 SH      DEFINED    1           0     434       0
EXCEL SWITCHING CORP             COM               30067V108         9         295 SH      DEFINED    1         295       0       0
EXCEL SWITCHING CORP             COM               30067V108         9         293 SH      DEFINED   10         293       0       0
EXODUS COMMUNICATIONS INC        OPTION            302088109       168          14 CALL    OTHER      2          14       0       0
EXODUS COMMUNICATIONS INC        OPTION            302088109       144          12 PUT     OTHER      2          12       0       0
EXPEDITORS INTL WASH INC         COM               302130109        10         360 SH      DEFINED    1         360       0       0
EXPEDITORS INTL WASH INC         COM               302130109       270       9,925 SH      OTHER      2       9,925       0       0
EXPEDITORS INTL WASH INC         COM               302130109        10         378 SH      DEFINED   10         378       0       0
EXPRESS SCRIPTS INC              CL A              302182100       602      10,000 SH      OTHER      2      10,000       0       0
EXXON CORP                       OPTION            302290101       370          48 CALL    OTHER      2          48       0       0
EXXON CORP                       OPTION            302290101     6,941         900 CALL    OTHER      9         900       0       0
EXXON CORP                       COM               302290101    22,822     295,914 SH      DEFINED    1     141,682 154,232       0
EXXON CORP                       COM               302290101       136       1,760 SH      OTHER      1         880       0       0
EXXON CORP                       COM               302290101 1,286,079  16,675,252 SH      OTHER      2  16,499,832       0 175,420
EXXON CORP                       COM               302290101    16,065     208,300 SH      OTHER      4           0       0 208,300
EXXON CORP                       COM               302290101    23,098     299,493 SH      DEFINED    5     175,226 124,267       0
EXXON CORP                       COM               302290101    10,562     136,946 SH      DEFINED    6     106,129  30,817       0
EXXON CORP                       COM               302290101    16,881     218,882 SH      OTHER      9     218,882       0       0
EXXON CORP                       COM               302290101     3,798      49,240 SH      DEFINED   10      38,148  11,092       0
EXXON CORP                       COM               302290101     9,298     120,553 SH      DEFINED   11      80,300  40,253       0
F & M BANCORPORATION INC         COM               302371109        57       1,500 SH      OTHER      2       1,500       0       0
FBL FINL GROUP INC               CL A              30239F106       123       6,300 SH      OTHER      2       6,300       0       0
FEI CO                           COM               30241L109         8       1,000 SH      OTHER      2           0       0   1,000
FLIR SYS INC                     COM               302445101         7         430 SH      DEFINED    1         430       0       0
FLIR SYS INC                     COM               302445101         7         453 SH      DEFINED   10         453       0       0
F M C CORP                       COM NEW           302491303         8         116 SH      DEFINED    1          27      89       0
F M C CORP                       COM NEW           302491303       318       4,653 SH      OTHER      2       4,503       0     150
F M C CORP                       COM NEW           302491303         9         125 SH      DEFINED    5           0     125       0
F M C CORP                       COM NEW           302491303       250       3,666 SH      OTHER      9       3,666       0       0
F M C CORP                       COM NEW           302491303         3          48 SH      DEFINED   10          48       0       0
F M C CORP                       COM NEW           302491303         3          46 SH      DEFINED   11          46       0       0
FPIC INS GROUP INC               COM               302563101        15         300 SH      OTHER      9         300       0       0
FPL GROUP INC                    OPTION            302571104        55          10 PUT     OTHER      2          10       0       0
FPL GROUP INC                    COM               302571104       134       2,451 SH      DEFINED    1       1,851     600       0
FPL GROUP INC                    COM               302571104    11,757     215,238 SH      OTHER      2     212,516       0   2,722
FPL GROUP INC                    COM               302571104     1,540      28,193 SH      DEFINED    5      16,139  12,054       0
FPL GROUP INC                    COM               302571104       229       4,200 SH      DEFINED    6       3,800     400       0
FPL GROUP INC                    COM               302571104       649      11,889 SH      OTHER      9      11,889       0       0
FPL GROUP INC                    COM               302571104        57       1,036 SH      DEFINED   10       1,036       0       0
FPL GROUP INC                    COM               302571104       249       4,555 SH      DEFINED   11       4,130     425       0
FVC COM INC                      COM               30266P100        52       8,000 SH      OTHER      9       8,000       0       0
F Y I INC                        COM               302712104        45       1,448 SH      OTHER      2       1,448       0       0
FAIRCHILD CORP                   CL A              303698104         6         500 SH      OTHER      2           0       0     500
FAIRFIELD CMNTYS INC             OPTION            304231301        48          30 CALL    OTHER      2          30       0       0
FAIRFIELD CMNTYS INC             COM PAR $0.01     304231301       123       7,600 SH      OTHER      9       7,600       0       0
FAMILY DLR STORES INC            COM               307000109       111       4,624 SH      DEFINED    1       4,469     155       0
FAMILY DLR STORES INC            COM               307000109     4,018     167,433 SH      OTHER      2      42,459       0 124,974
FAMILY DLR STORES INC            COM               307000109         8         352 SH      DEFINED    5         352       0       0
FAMILY DLR STORES INC            COM               307000109         2          65 SH      DEFINED    6           0      65       0
FAMILY DLR STORES INC            COM               307000109        13         527 SH      DEFINED   10         272     255       0
FAMILY DLR STORES INC            COM               307000109        56       2,341 SH      DEFINED   11       1,300   1,041       0
FAMILY GOLF CTRS INC             COM               30701A106         2         225 SH      DEFINED    1           0     225       0
FASTENAL CO                      COM               311900104       637      12,144 SH      OTHER      2      12,144       0       0
FDX CORP                         OPTION            31304N107     1,096         202 CALL    OTHER      2         202       0       0
FDX CORP                         OPTION            31304N107        76          14 PUT     OTHER      2          14       0       0
FDX CORP                         COM               31304N107     1,270      23,415 SH      DEFINED    1      23,385      30       0
FDX CORP                         COM               31304N107     3,626      66,847 SH      OTHER      2      44,391       0  22,456
FDX CORP                         COM               31304N107        21         393 SH      DEFINED    5         335      58       0
FDX CORP                         COM               31304N107        30         545 SH      DEFINED    6         545       0       0
FDX CORP                         COM               31304N107     1,288      23,736 SH      OTHER      9      23,736       0       0
FDX CORP                         COM               31304N107       143       2,635 SH      DEFINED   10       2,635       0       0
FDX CORP                         COM               31304N107        75       1,380 SH      DEFINED   11       1,380       0       0
FEDDERS CORP                     COM               313135105         0           2 SH      OTHER      2           2       0       0
FEDERAL AGRIC MTG CORP           CL A              313148108       511      30,959 SH      OTHER      2      30,959       0       0
FEDERAL AGRIC MTG CORP           CL C              313148306     1,591      23,190 SH      OTHER      2      23,190       0       0
FEDERAL HOME LN MTG CORP         OPTION            313400301     5,603         966 CALL    OTHER      2         966       0       0
FEDERAL HOME LN MTG CORP         OPTION            313400301    12,505       2,156 PUT     OTHER      2       2,156       0       0
FEDERAL HOME LN MTG CORP         COM               313400301       408       7,029 SH      DEFINED    1       5,537   1,492       0
FEDERAL HOME LN MTG CORP         COM               313400301    19,557     337,186 SH      OTHER      2     278,435       0  58,751
FEDERAL HOME LN MTG CORP         COM               313400301       110       1,893 SH      DEFINED    5       1,893       0       0
FEDERAL HOME LN MTG CORP         COM               313400301       209       3,610 SH      DEFINED    6       2,938     672       0
FEDERAL HOME LN MTG CORP         COM               313400301     2,503      43,163 SH      OTHER      9      43,163       0       0
FEDERAL HOME LN MTG CORP         COM               313400301       749      12,907 SH      DEFINED   10      10,992   1,915       0
FEDERAL HOME LN MTG CORP         COM               313400301       604      10,416 SH      DEFINED   11       7,475   2,941       0
FEDERAL MOGUL CORP               COM               313549107     3,615      69,518 SH      OTHER      2      69,518       0       0
FEDERAL MOGUL CORP               COM               313549107        93       1,780 SH      DEFINED    6         480   1,300       0
FEDERAL NATL MTG ASSN            OPTION            313586109     9,685       1,419 CALL    OTHER      2       1,419       0       0
FEDERAL NATL MTG ASSN            COM               313586109     2,395      35,090 SH      DEFINED    1      30,349   4,741       0
FEDERAL NATL MTG ASSN            COM               313586109       286       4,185 SH      OTHER      1       4,185       0       0
FEDERAL NATL MTG ASSN            COM               313586109    42,241     618,911 SH      OTHER      2     526,208       0  92,703
FEDERAL NATL MTG ASSN            COM               313586109     1,037      15,195 SH      DEFINED    5       9,524   5,671       0
FEDERAL NATL MTG ASSN            COM               313586109     1,311      19,210 SH      DEFINED    6      16,940   2,270       0
FEDERAL NATL MTG ASSN            COM               313586109     5,169      75,734 SH      OTHER      9      75,734       0       0
FEDERAL NATL MTG ASSN            COM               313586109     1,101      16,135 SH      DEFINED   10      14,659   1,476       0
FEDERAL NATL MTG ASSN            COM               313586109     1,371      20,084 SH      DEFINED   11      11,714   8,370       0
FEDERAL REALTY INVT TR           SH BEN INT NEW    313747206     2,039      88,900 SH      OTHER      2      88,900       0       0
FEDERAL REALTY INVT TR           SH BEN INT NEW    313747206         6         250 SH      DEFINED    5           0     250       0
FEDERAL REALTY INVT TR           SH BEN INT NEW    313747206        10         440 SH      DEFINED   11         440       0       0
FEDERAL SIGNAL CORP              COM               313855108        58       2,720 SH      DEFINED    1       2,720       0       0
FEDERAL SIGNAL CORP              COM               313855108       238      11,218 SH      OTHER      2      11,218       0       0
FEDERAL SIGNAL CORP              COM               313855108        32       1,500 SH      DEFINED   10           0   1,500       0
FED DEPT STORES INC DEL          COM               31410H101       146       2,755 SH      DEFINED    1       2,715      40       0
FED DEPT STORES INC DEL          COM               31410H101     1,726      32,607 SH      OTHER      2      30,647       0   1,960
FED DEPT STORES INC DEL          COM               31410H101        27         501 SH      DEFINED    5         501       0       0
FED DEPT STORES INC DEL          COM               31410H101        11         205 SH      DEFINED    6         205       0       0
FED DEPT STORES INC DEL          COM               31410H101       892      16,847 SH      OTHER      9      16,847       0       0
FED DEPT STORES INC DEL          COM               31410H101       198       3,740 SH      DEFINED   10       3,740       0       0
FED DEPT STORES INC DEL          COM               31410H101       103       1,950 SH      DEFINED   11       1,950       0       0
FED DEPT STORES INC DEL          WT C EX 121999    31410H119         2          86 SH      DEFINED    5          86       0       0
FED DEPT STORES INC DEL          WT D EX 121901    31410H127        27       1,000 SH      OTHER      2       1,000       0       0
FED DEPT STORES INC DEL          WT D EX 121901    31410H127         2          86 SH      DEFINED    5          86       0       0
FEDERATED INVS INC PA            CL B              314211103        11         600 SH      DEFINED    1         600       0       0
FEDERATED INVS INC PA            CL B              314211103     1,492      83,154 SH      OTHER      1      83,154       0       0
FEDERATED INVS INC PA            CL B              314211103        11         600 SH      OTHER      2           0       0     600
FEDERATED INVS INC PA            CL B              314211103         8         446 SH      DEFINED    6         446       0       0
FEDERATED INVS INC PA            CL B              314211103        12         666 SH      DEFINED   10         666       0       0
FELCOR LODGING TR INC            COM               31430F101         4         210 SH      DEFINED    1         210       0       0
FELCOR LODGING TR INC            COM               31430F101       249      12,011 SH      OTHER      2      12,011       0       0
FELCOR LODGING TR INC            COM               31430F101         5         248 SH      DEFINED   10         248       0       0
FELCOR LODGING TR INC            PFD CV A $1.95    31430F200         3         126 SH      OTHER      2         126       0       0
FERRELLGAS PARTNERS L.P.         UNIT LTD PART     315293100       274      16,150 SH      OTHER      2           0       0  16,150
FERRO CORP                       COM               315405100       244       8,888 SH      OTHER      2       8,738       0     150
F5 NETWORKS INC                  COM               315616102        21         500 SH      DEFINED   11           0     500       0
FIDELITY ADVISOR EMERGING ASIA   COM               315803106         0      30,000 SH      OTHER      2           0       0  30,000
FIDELITY ADVISOR EMERGING ASIA   COM               315803106         0           1 SH      DEFINED    6           1       0       0
FIDELITY NATL FINL INC           COM               316326107     3,245     162,246 SH      OTHER      2     162,246       0       0
FIDELITY NATL FINL INC           COM               316326107        30       1,510 SH      OTHER      9       1,510       0       0
FIFTH THIRD BANCORP              OPTION            316773100       832         125 CALL    OTHER      2         125       0       0
FIFTH THIRD BANCORP              COM               316773100        75       1,125 SH      DEFINED    1           0   1,125       0
FIFTH THIRD BANCORP              COM               316773100     8,665     130,180 SH      OTHER      2     127,841       0   2,339
FIFTH THIRD BANCORP              COM               316773100        70       1,059 SH      DEFINED    5       1,059       0       0
FIFTH THIRD BANCORP              COM               316773100         1          15 SH      OTHER      9          15       0       0
FILA HLDG SPA                    SPON ADR          316850106         2         200 SH      OTHER      2           0       0     200
FILENET CORP                     COM               316869106        10         876 SH      OTHER      2         876       0       0
FINANCIAL FED CORP               COM               317492106        17         750 SH      DEFINED   11         750       0       0
FIN SEC ASSURN HLDGS LTD         COM               31769P100        11         210 SH      DEFINED    1         210       0       0
FIN SEC ASSURN HLDGS LTD         COM               31769P100       255       4,900 SH      OTHER      2       4,900       0       0
FIN SEC ASSURN HLDGS LTD         COM               31769P100        12         227 SH      DEFINED   10         227       0       0
FINISH LINE INC                  CL A              317923100        17       1,500 SH      OTHER      2           0       0   1,500
FINOVA GROUP INC                 COM               317928109       799      15,179 SH      OTHER      2      15,179       0       0
FINOVA GROUP INC                 COM               317928109        11         200 SH      DEFINED    5           0     200       0
FINOVA FIN TR                    TOPRS CV 9.16%    31808E207     4,497      64,525 SH      OTHER      2      64,525       0       0
FIRST AMERN FINL CORP            COM               318522307        31       1,720 SH      OTHER      9       1,720       0       0
FIRST AMERN FINL CORP            COM               318522307         8         450 SH      DEFINED   10         450       0       0
FIRST AUSTRALIA FD INC           COM               318652104        26       3,281 SH      OTHER      2           0       0   3,281
FIRST AUSTRALIA PRIME INCOME     COM               318653102        70      10,824 SH      OTHER      2           6       0  10,818
FIRST AUSTRALIA PRIME INCOME     COM               318653102        71      10,896 SH      DEFINED    5       8,940   1,956       0
FIRST AUSTRALIA PRIME INCOME     COM               318653102        37       5,710 SH      DEFINED    6       5,710       0       0
FIRST AMER CORP TENN             COM               318900107        21         501 SH      OTHER      2           1       0     500
FIRST AMER CORP TENN             COM               318900107        50       1,200 SH      DEFINED    5       1,200       0       0
FIRST AMER CORP TENN             COM               318900107        89       2,134 SH      DEFINED   11       2,134       0       0
FIRST CHARTER CORP               COM               319439105         2         100 SH      OTHER      2         100       0       0
FIRST COMMERCE BANCSH INC        CL B              319777207        26       1,100 SH      OTHER      2       1,100       0       0
FIRST COMWLTH FINL CORP PA       COM               319829107       135       5,658 SH      DEFINED   11           0   5,658       0
FIRST DATA CORP                  COM               319963104       999      20,413 SH      DEFINED    1      14,673   5,740       0
FIRST DATA CORP                  COM               319963104     7,367     150,533 SH      OTHER      2     141,683       0   8,850
FIRST DATA CORP                  COM               319963104        67       1,361 SH      DEFINED    5       1,361       0       0
FIRST DATA CORP                  COM               319963104        51       1,051 SH      DEFINED    6         951     100       0
FIRST DATA CORP                  COM               319963104     1,751      35,787 SH      OTHER      9      35,787       0       0
FIRST DATA CORP                  COM               319963104       191       3,899 SH      DEFINED   10       3,899       0       0
FIRST DATA CORP                  COM               319963104       120       2,451 SH      DEFINED   11         685   1,766       0
FIRST FINL FD INC                COM               320228109         2         237 SH      DEFINED    5           0     237       0
FIRST FINL HLDGS INC             COM               320239106         2         100 SH      OTHER      2         100       0       0
FIRST INDUSTRIAL REALTY TRUST    COM               32054K103        19         700 SH      DEFINED    1         400     300       0
FIRST INDUSTRIAL REALTY TRUST    COM               32054K103    27,325     995,925 SH      OTHER      2     995,925       0       0
FIRST INDUSTRIAL REALTY TRUST    COM               32054K103        49       1,800 SH      DEFINED   10       1,800       0       0
FIRST INDUSTRIAL REALTY TRUST    COM               32054K103        12         430 SH      DEFINED   11         430       0       0
FIRST IND CORP                   COM               32054R108        15         690 SH      OTHER      2           0       0     690
FIRST LIBERTY FINL CORP          COM               320691108        43       1,362 SH      OTHER      2           0       0   1,362
FIRST MIDWEST BANCORP DEL        COM               320867104         4         101 SH      OTHER      2         101       0       0
FIRST HEALTH GROUP CORP          COM               320960107         4         200 SH      DEFINED    1         200       0       0
FIRST HEALTH GROUP CORP          COM               320960107       434      20,122 SH      OTHER      2      20,122       0       0
FIRST SIERRA FINANCIAL INC       COM               335944104         3         120 SH      DEFINED    1         120       0       0
FIRST SIERRA FINANCIAL INC       COM               335944104         3         127 SH      DEFINED   10         127       0       0
FIRST SEC CORP DEL               COM               336294103       258       9,450 SH      DEFINED    1           0   9,450       0
FIRST SEC CORP DEL               COM               336294103     1,270      46,603 SH      OTHER      2      46,603       0       0
FIRST SEC CORP DEL               COM               336294103        41       1,518 SH      DEFINED   10           0   1,518       0
FIRST SENTINEL BANCORP INC       COM               33640T103        10       1,129 SH      DEFINED    6           0   1,129       0
1ST SOURCE CORP                  COM               336901103         3         100 SH      OTHER      2         100       0       0
FIRST TENN NATL CORP             COM               337162101        11         287 SH      DEFINED    1          65     222       0
FIRST TENN NATL CORP             COM               337162101     1,552      40,508 SH      OTHER      2      38,708       0   1,800
FIRST TENN NATL CORP             COM               337162101         5         121 SH      DEFINED   10         121       0       0
FIRST TENN NATL CORP             COM               337162101        92       2,402 SH      DEFINED   11         118   2,284       0
FIRST UN CORP                    OPTION            337358105         9           2 CALL    OTHER      2           2       0       0
FIRST UN CORP                    COM               337358105     5,553     117,842 SH      DEFINED    1      86,199  31,643       0
FIRST UN CORP                    COM               337358105     8,506     180,496 SH      OTHER      2     160,969       0  19,527
FIRST UN CORP                    COM               337358105     3,130      66,424 SH      DEFINED    5      56,200  10,224       0
FIRST UN CORP                    COM               337358105     2,780      59,001 SH      DEFINED    6      50,242   8,759       0
FIRST UN CORP                    COM               337358105       551      11,682 SH      OTHER      9      11,682       0       0
FIRST UN CORP                    COM               337358105     7,261     154,085 SH      DEFINED   10     137,184  16,901       0
FIRST UN CORP                    COM               337358105     2,918      61,918 SH      DEFINED   11      53,258   8,660       0
FIRST VA BANKS INC               COM               337477103       604      12,298 SH      OTHER      2      12,298       0       0
FIRST VA BANKS INC               COM               337477103        41         837 SH      DEFINED    5           0     837       0
FIRST WASH RLTY TR INC           COM               337489504        56       2,400 SH      DEFINED   10           0   2,400       0
FIRST W VA BANCORP INC           COM               337493100         0           6 SH      OTHER      2           6       0       0
FIRSTAR CORP NEW WIS             COM               33763V109         3          90 SH      DEFINED    1          90       0       0
FIRSTAR CORP NEW WIS             COM               33763V109     9,396     335,573 SH      OTHER      2     335,573       0       0
FIRSTAR CORP NEW WIS             COM               33763V109        42       1,504 SH      DEFINED    6         820     684       0
FIRSTAR CORP NEW WIS             COM               33763V109     1,150      41,067 SH      OTHER      9      41,067       0       0
FIRSTAR CORP NEW WIS             COM               33763V109     8,200     292,845 SH      DEFINED   10       1,740 291,105       0
FIRSTAR CORP NEW WIS             COM               33763V109        17         600 SH      DEFINED   11         600       0       0
FISERV INC                       COM               337738108       239       7,625 SH      DEFINED    1       7,625       0       0
FISERV INC                       COM               337738108     4,441     141,821 SH      OTHER      2      75,074       0  66,747
FISERV INC                       COM               337738108       166       5,300 SH      DEFINED    5       3,300   2,000       0
FISERV INC                       COM               337738108       813      25,975 SH      DEFINED    6      25,975       0       0
FISERV INC                       COM               337738108       238       7,607 SH      OTHER      9       7,607       0       0
FISERV INC                       COM               337738108       596      19,050 SH      DEFINED   10      19,050       0       0
FISERV INC                       COM               337738108        42       1,350 SH      DEFINED   11           0   1,350       0
FIRSTFED FINL CORP               COM               337907109       112       5,800 SH      OTHER      9       5,800       0       0
FIRSTMERIT CORP                  COM               337915102        53       1,885 SH      OTHER      2       1,885       0       0
FIRSTMERIT CORP                  COM               337915102        63       2,232 SH      DEFINED    5       2,232       0       0
FIRSTMERIT CORP                  COM               337915102       299      10,640 SH      DEFINED    6      10,640       0       0
FIRSTMERIT CORP                  COM               337915102        14         498 SH      DEFINED   11           0     498       0
FIRSTENERGY CORP                 COM               337932107         7         225 SH      DEFINED    1         225       0       0
FIRSTENERGY CORP                 COM               337932107     3,073      99,135 SH      OTHER      2      98,835       0     300
FIRSTENERGY CORP                 COM               337932107       210       6,780 SH      DEFINED    5       2,780   4,000       0
FIRSTENERGY CORP                 COM               337932107        81       2,617 SH      DEFINED    6       2,092     525       0
FIRSTENERGY CORP                 COM               337932107       529      17,061 SH      OTHER      9      17,061       0       0
FIRSTENERGY CORP                 COM               337932107        54       1,740 SH      DEFINED   10         430   1,310       0
FISHER SCIENTIFIC INTL INC       COM NEW           338032204    25,855   1,158,775 SH      OTHER      1   1,158,775       0       0
FISHER SCIENTIFIC INTL INC       COM NEW           338032204     1,156      51,815 SH      OTHER      1      51,815       0       0
FISHER SCIENTIFIC INTL INC       COM NEW           338032204        36       1,605 SH      OTHER      9       1,605       0       0
FLANDERS CORP                    COM               338494107         3         760 SH      DEFINED    1         760       0       0
FLANDERS CORP                    COM               338494107         3         800 SH      DEFINED   10         800       0       0
FLEET FINL GROUP INC NEW         OPTION            338915101     5,569       1,255 CALL    OTHER      2       1,255       0       0
FLEET FINL GROUP INC NEW         OPTION            338915101        44          10 PUT     OTHER      2          10       0       0
FLEET FINL GROUP INC NEW         COM               338915101       128       2,877 SH      DEFINED    1       1,722   1,155       0
FLEET FINL GROUP INC NEW         COM               338915101    10,059     226,687 SH      OTHER      2     203,214       0  23,473
FLEET FINL GROUP INC NEW         COM               338915101       405       9,117 SH      DEFINED    5       7,741   1,376       0
FLEET FINL GROUP INC NEW         COM               338915101       193       4,344 SH      DEFINED    6       4,279      65       0
FLEET FINL GROUP INC NEW         COM               338915101     1,656      37,316 SH      OTHER      9      37,316       0       0
FLEET FINL GROUP INC NEW         COM               338915101       136       3,061 SH      DEFINED   10       1,634   1,427       0
FLEET FINL GROUP INC NEW         COM               338915101       320       7,212 SH      DEFINED   11       4,052   3,160       0
FLEETWOOD ENTERPRISES INC        COM               339099103     1,096      41,458 SH      OTHER      2      41,458       0       0
FLEETWOOD ENTERPRISES INC        COM               339099103        56       2,114 SH      OTHER      9       2,114       0       0
FLEMING COS INC                  COM               339130106        24       2,100 SH      OTHER      9       2,100       0       0
FLETCHER CHALLENGE BLDG DIV      SPON ADR          339317109         3         200 SH      OTHER      2           0       0     200
FLETCHER CHALLENGE ENERGY DIV    SPON ADR          339318107       136       5,019 SH      OTHER      2       5,019       0       0
FLETCHER CHALLENGE LTD           SPN ADR FSTDIV    339324402         3         500 SH      DEFINED    5           0     500       0
FLETCHER CHALLENGE PAPER DIV     SPON ADR          339325102         2         300 SH      OTHER      2           0       0     300
FLORIDA PROGRESS CORP            COM               341109106       174       4,200 SH      DEFINED    1       4,200       0       0
FLORIDA PROGRESS CORP            COM               341109106    17,567     425,219 SH      OTHER      2     424,519       0     700
FLORIDA PROGRESS CORP            COM               341109106       841      20,356 SH      DEFINED    5       7,493  12,863       0
FLORIDA PROGRESS CORP            COM               341109106       207       4,999 SH      DEFINED    6       4,999       0       0
FLORIDA PROGRESS CORP            COM               341109106       344       8,317 SH      OTHER      9       8,317       0       0
FLORIDA PROGRESS CORP            COM               341109106        19         450 SH      DEFINED   10         450       0       0
FLORIDA PROGRESS CORP            COM               341109106       125       3,019 SH      DEFINED   11           0   3,019       0
FLOW INTL CORP                   COM               343468104         4         390 SH      DEFINED    1           0     390       0
FLOW INTL CORP                   COM               343468104         3         254 SH      OTHER      2         254       0       0
FLOWERS INDS INC                 COM               343496105     1,331      61,369 SH      OTHER      2      30,469       0  30,900
FLOWERS INDS INC                 COM               343496105        24       1,125 SH      DEFINED    5       1,125       0       0
FLOWSERVE CORP                   COM               34354P105       247      13,043 SH      OTHER      2       9,443       0   3,600
FLOWSERVE CORP                   COM               34354P105        34       1,800 SH      DEFINED    5       1,800       0       0
FLOWSERVE CORP                   COM               34354P105        19       1,000 SH      OTHER      9       1,000       0       0
FLOWSERVE CORP                   COM               34354P105        12         645 SH      DEFINED   10         645       0       0
FLUOR CORP                       COM               343861100     1,255      30,981 SH      OTHER      2      27,081       0   3,900
FLUOR CORP                       COM               343861100       209       5,168 SH      OTHER      9       5,168       0       0
FLUOR CORP                       COM               343861100        16         400 SH      DEFINED   10         400       0       0
FLUOR CORP                       COM               343861100        74       1,834 SH      DEFINED   11           0   1,834       0
FOAMEX INTL INC                  COM               344123104        23       4,100 SH      OTHER      2       4,100       0       0
FOOD LION INC                    CL B              344775101       482      41,701 SH      OTHER      2      41,701       0       0
FOOD LION INC                    CL B              344775101       116      10,001 SH      DEFINED   11           0  10,001       0
FOOD LION INC                    CL A              344775200        39       3,248 SH      OTHER      2       3,248       0       0
FOOD LION INC                    CL A              344775200        24       2,000 SH      DEFINED    5       2,000       0       0
FOOD LION INC                    CL A              344775200       109       9,180 SH      DEFINED   11           0   9,180       0
FOODMAKER INC NEW                COM NEW           344839204         8         270 SH      DEFINED    1         270       0       0
FOODMAKER INC NEW                COM NEW           344839204         7         262 SH      DEFINED   10         262       0       0
FOOTSTAR INC                     COM               344912100        13         356 SH      DEFINED    5         172     184       0
FORD MTR CO DEL                  OPTION            345370100       920         163 CALL    OTHER      2         163       0       0
FORD MTR CO DEL                  OPTION            345370100    17,953       3,181 PUT     OTHER      2       3,181       0       0
FORD MTR CO DEL                  COM               345370100     2,698      47,810 SH      DEFINED    1      42,105   5,705       0
FORD MTR CO DEL                  COM               345370100    22,834     404,600 SH      OTHER      2     402,227       0   2,373
FORD MTR CO DEL                  COM               345370100        42         750 SH      OTHER      4           0       0     750
FORD MTR CO DEL                  COM               345370100     5,566      98,631 SH      DEFINED    5      77,552  21,079       0
FORD MTR CO DEL                  COM               345370100     1,097      19,434 SH      DEFINED    6      16,219   3,215       0
FORD MTR CO DEL                  COM               345370100     4,352      77,116 SH      OTHER      9      77,116       0       0
FORD MTR CO DEL                  COM               345370100     1,847      32,734 SH      DEFINED   10      14,035  18,699       0
FORD MTR CO DEL                  COM               345370100     2,501      44,316 SH      DEFINED   11      35,887   8,429       0
FORE SYSTEMS INC                 COM               345449102         0          83 SH      OTHER      2          83       0       0
FORE SYSTEMS INC                 COM               345449102         0      28,800 SH      OTHER      9      28,800       0       0
FOREST CITY ENTERPRISES INC      CL A              345550107         7         254 SH      OTHER      2         254       0       0
FOREST CITY ENTERPRISES INC      CL B CONV         345550305         1          27 SH      OTHER      2          27       0       0
FOREST LABS INC                  OPTION            345838106       199          43 CALL    OTHER      2          43       0       0
FOREST LABS INC                  CL A              345838106        21         450 SH      DEFINED    1         450       0       0
FOREST LABS INC                  CL A              345838106     8,184     176,957 SH      OTHER      2     140,957       0  36,000
FOREST LABS INC                  CL A              345838106         5         110 SH      DEFINED    5         110       0       0
FOREST LABS INC                  CL A              345838106       102       2,200 SH      OTHER      9       2,200       0       0
FOREST LABS INC                  CL A              345838106        15         325 SH      DEFINED   10         325       0       0
FOREST LABS INC                  CL A              345838106       194       4,185 SH      DEFINED   11       3,700     485       0
FORRESTER RESH INC               COM               346563109        15         600 SH      OTHER      2           0       0     600
FORT JAMES CORP                  COM               347471104        14         368 SH      DEFINED    1         368       0       0
FORT JAMES CORP                  COM               347471104     1,257      33,179 SH      OTHER      2      32,734       0     445
FORT JAMES CORP                  COM               347471104         6         162 SH      DEFINED    5         162       0       0
FORT JAMES CORP                  COM               347471104         5         134 SH      DEFINED    6         134       0       0
FORT JAMES CORP                  COM               347471104       667      17,621 SH      OTHER      9      17,621       0       0
FORT JAMES CORP                  COM               347471104         4          96 SH      DEFINED   10          96       0       0
FORT JAMES CORP                  COM               347471104        26         686 SH      DEFINED   11         686       0       0
FORTE SOFTWARE INC               COM               349546101        97      10,000 SH      OTHER      9      10,000       0       0
FORTIS SECS INC                  COM               34955T100        13       1,500 SH      DEFINED    5           0   1,500       0
FORTUNE BRANDS INC               COM               349631101       338       8,169 SH      DEFINED    1       8,169       0       0
FORTUNE BRANDS INC               COM               349631101     1,051      25,402 SH      OTHER      2      24,802       0     600
FORTUNE BRANDS INC               COM               349631101       775      18,726 SH      DEFINED    5      11,226   7,500       0
FORTUNE BRANDS INC               COM               349631101       110       2,664 SH      DEFINED    6       1,064   1,600       0
FORTUNE BRANDS INC               COM               349631101       654      15,800 SH      OTHER      9      15,800       0       0
FORTUNE BRANDS INC               COM               349631101     1,264      30,547 SH      DEFINED   10         547  30,000       0
FORTUNE BRANDS INC               COM               349631101       557      13,459 SH      DEFINED   11      13,459       0       0
FORTUNE NAT RES CORP             COM               349681106         0           1 SH      DEFINED    6           1       0       0
FOSSIL INC                       COM               349882100       140       2,900 SH      OTHER      9       2,900       0       0
FOSTER WHEELER CORP              COM               350244109       422      30,003 SH      OTHER      2      29,103       0     900
FOSTER WHEELER CORP              COM               350244109         7         500 SH      DEFINED    5           0     500       0
FOSTER WHEELER CORP              COM               350244109        52       3,692 SH      OTHER      9       3,692       0       0
FOUNDATION HEALTH SYS INC        COM               350404109         5         304 SH      DEFINED    1          69     235       0
FOUNDATION HEALTH SYS INC        COM               350404109       452      30,154 SH      OTHER      2      30,154       0       0
FOUNDATION HEALTH SYS INC        COM               350404109         2         129 SH      DEFINED   10         129       0       0
FOUNDATION HEALTH SYS INC        COM               350404109         2         119 SH      DEFINED   11         119       0       0
4FRONT TECHNOLOGIES INC          COM               351042106        48       4,900 SH      OTHER      9       4,900       0       0
FOX ENTMT GROUP INC              OPTION            35138T107        81          30 CALL    OTHER      2          30       0       0
FOX ENTMT GROUP INC              CL A              35138T107     3,850     142,933 SH      OTHER      2      69,208       0  73,725
FOX ENTMT GROUP INC              CL A              35138T107        22         800 SH      DEFINED    5         800       0       0
FOX ENTMT GROUP INC              CL A              35138T107        61       2,280 SH      DEFINED   11           0   2,280       0
FRANCE GROWTH FD INC             COM               35177K108       166      12,056 SH      OTHER      2           0       0  12,056
FRANCE TELECOM                   SPON ADR          35177Q105     5,513      71,600 SH      OTHER      2      71,600       0       0
FRANCE TELECOM                   DEP BD CV 144A04  35177QAB1         3       3,000 PRN     OTHER      9       3,000       0       0
FRANCHISE FIN CORP AMER          COM               351807102        21         925 SH      DEFINED    1          74     851       0
FRANCHISE FIN CORP AMER          COM               351807102     2,090      93,925 SH      OTHER      2      91,300       0   2,625
FRANCHISE FIN CORP AMER          COM               351807102        91       4,080 SH      DEFINED    5       2,800   1,280       0
FRANCHISE FIN CORP AMER          COM               351807102        51       2,300 SH      DEFINED    6       1,300   1,000       0
FRANCHISE FIN CORP AMER          COM               351807102       100       4,500 SH      OTHER      9       4,500       0       0
FRANCHISE FIN CORP AMER          COM               351807102        88       3,936 SH      DEFINED   10       2,936   1,000       0
FRANCHISE FIN CORP AMER          COM               351807102        32       1,420 SH      DEFINED   11         570     850       0
FRANKLIN RES INC                 COM               354613101     2,255      55,500 SH      DEFINED    1      36,730  18,770       0
FRANKLIN RES INC                 COM               354613101     8,160     200,859 SH      OTHER      2     189,059       0  11,800
FRANKLIN RES INC                 COM               354613101       371       9,140 SH      DEFINED    5       7,970   1,170       0
FRANKLIN RES INC                 COM               354613101       565      13,910 SH      DEFINED    6      13,210     700       0
FRANKLIN RES INC                 COM               354613101       636      15,654 SH      OTHER      9      15,654       0       0
FRANKLIN RES INC                 COM               354613101       340       8,357 SH      DEFINED   10       8,357       0       0
FRANKLIN RES INC                 COM               354613101       448      11,035 SH      DEFINED   11       5,335   5,700       0
FRANKLIN SELECT RLTY TR          COM SER A         354638108         1         157 SH      DEFINED   10         157       0       0
FRANKLIN UNVL TR                 SH BEN INT        355145103         1         100 SH      DEFINED   10         100       0       0
FREEPORT-MCMORAN CPER & GOLD     CL A              35671D105         0          16 SH      DEFINED    1          16       0       0
FREEPORT-MCMORAN CPER & GOLD     PFD CV 0.05SH     35671D501        48       2,570 SH      OTHER      2           0       0   2,570
FREEPORT-MCMORAN CPER & GOLD     PFD CV 0.05SH     35671D501         9         500 SH      DEFINED    5         500       0       0
FREEPORT-MCMORAN CPER & GOLD     OPTION            35671D857       269         150 PUT     OTHER      9         150       0       0
FREEPORT-MCMORAN CPER & GOLD     CL B              35671D857         5         278 SH      DEFINED    1         278       0       0
FREEPORT-MCMORAN CPER & GOLD     CL B              35671D857       994      55,437 SH      OTHER      2      35,437       0  20,000
FREEPORT-MCMORAN CPER & GOLD     CL B              35671D857        11         600 SH      DEFINED    5           0     600       0
FREEPORT-MCMORAN CPER & GOLD     CL B              35671D857       178       9,933 SH      OTHER      9       9,933       0       0
FREMONT GEN CORP                 COM               357288109         4         215 SH      DEFINED    1         215       0       0
FREMONT GEN CORP                 COM               357288109       111       5,885 SH      OTHER      2          85       0   5,800
FREMONT GEN CORP                 COM               357288109        26       1,400 SH      OTHER      9       1,400       0       0
FREMONT GEN CORP                 COM               357288109       164       8,710 SH      DEFINED   10       8,710       0       0
FREMONT GEN CORP                 LYON SUB ZERO 13  357288AF6     1,129   1,685,000 PRN     OTHER      2   1,642,000       0  43,000
FRENCH FRAGRANCES INC            COM               357658103        11       1,500 SH      OTHER      2       1,500       0       0
FRESENIUS MED CARE AG            SPON ADR          358029106         3         126 SH      OTHER      2           0       0     126
FRESENIUS MED CARE AG            SPON ADR          358029106         8         419 SH      DEFINED    5         419       0       0
FRESENIUS MED CARE AG            SPON ADR          358029106        30       1,518 SH      DEFINED    6       1,049     469       0
FRIEDE GOLDMAN INTERNATIONAL     COM               358430106        18       1,300 SH      OTHER      9       1,300       0       0
FRIEDMANS INC                    CL A              358438109         9       1,000 SH      OTHER      2       1,000       0       0
FRISCHS RESTAURANTS INC          COM               358748101        17       1,622 SH      OTHER      2           0       0   1,622
FRITZ COS INC                    COM               358846103        17       1,600 SH      OTHER      2       1,600       0       0
FRONTIER AIRLINES INC NEW        COM               359065109        23       1,400 SH      OTHER      9       1,400       0       0
FRONTIER CORPORATION             COM               35906P105    10,646     181,597 SH      OTHER      2     177,382       0   4,215
FRONTIER CORPORATION             COM               35906P105        83       1,412 SH      DEFINED    5       1,412       0       0
FRONTIER CORPORATION             COM               35906P105       245       4,172 SH      DEFINED    6       4,172       0       0
FRONTIER CORPORATION             COM               35906P105       591      10,082 SH      OTHER      9      10,082       0       0
FRONTIER INS GROUP INC NEW       COM               359081106        49       3,217 SH      OTHER      2       3,217       0       0
FRONTIER INS GROUP INC NEW       COM               359081106         1          93 SH      DEFINED    5          93       0       0
FUISZ TECHNOLOGIES LTD           COM               359536109         3       1,000 SH      DEFINED   11           0   1,000       0
FUJI PHOTO FILM LTD              ADR               359586302        92       2,415 SH      DEFINED    1       1,720     695       0
FUJI PHOTO FILM LTD              ADR               359586302       137       3,598 SH      OTHER      2       3,598       0       0
FUJI PHOTO FILM LTD              ADR               359586302         3          75 SH      DEFINED    5          75       0       0
FUJI PHOTO FILM LTD              ADR               359586302        29         775 SH      DEFINED    6         775       0       0
FUJI PHOTO FILM LTD              ADR               359586302        56       1,478 SH      DEFINED   10         696     782       0
FUJI PHOTO FILM LTD              ADR               359586302       104       2,725 SH      DEFINED   11       1,195   1,530       0
FULLER H B CO                    COM               359694106       261       3,817 SH      OTHER      2       3,517       0     300
FULTON FINL CORP PA              COM               360271100        27       1,320 SH      OTHER      2       1,320       0       0
FULTON FINL CORP PA              COM               360271100        10         478 SH      DEFINED    5         478       0       0
FULTON FINL CORP PA              COM               360271100         3         122 SH      DEFINED   11           0     122       0
FURNITURE BRANDS INTL INC        COM               360921100       821      29,448 SH      OTHER      2      12,668       0  16,780
FURNITURE BRANDS INTL INC        COM               360921100        95       3,400 SH      OTHER      9       3,400       0       0
G & K SVCS INC                   CL A              361268105         9         180 SH      DEFINED    1           0     180       0
G & K SVCS INC                   CL A              361268105        34         643 SH      OTHER      2         643       0       0
GATX CORP                        COM               361448103       460      12,081 SH      OTHER      2      12,081       0       0
GATX CORP                        COM               361448103       107       2,800 SH      OTHER      9       2,800       0       0
GATX CORP                        COM               361448103        38       1,000 SH      DEFINED   10           0   1,000       0
GATX CORP                        COM               361448103        17         448 SH      DEFINED   11         448       0       0
GBC BANCORP CALIF                COM               361475106         2         100 SH      OTHER      2         100       0       0
GK INTELLIGENT SYS INC           COM               361751100         6      17,200 SH      OTHER      2           0       0  17,200
GP STRATEGIES CORP               COM               36225V104         4         460 SH      DEFINED   10         460       0       0
GPU INC                          COM               36225X100         8         200 SH      DEFINED    1         200       0       0
GPU INC                          COM               36225X100     8,901     210,983 SH      OTHER      2     209,549       0   1,434
GPU INC                          COM               36225X100       349       8,273 SH      DEFINED    5         500   7,773       0
GPU INC                          COM               36225X100       507      12,008 SH      DEFINED    6       1,508  10,500       0
GPU INC                          COM               36225X100       431      10,217 SH      OTHER      9      10,217       0       0
GPU INC                          COM               36225X100       158       3,757 SH      DEFINED   10       3,757       0       0
GTE CORP                         OPTION            362320103       204          27 CALL    OTHER      2          27       0       0
GTE CORP                         OPTION            362320103     1,133         150 CALL    OTHER      9         150       0       0
GTE CORP                         OPTION            362320103       151          20 PUT     OTHER      2          20       0       0
GTE CORP                         COM               362320103    10,994     145,614 SH      DEFINED    1     116,245  29,369       0
GTE CORP                         COM               362320103    23,935     317,016 SH      OTHER      2     293,778       0  23,238
GTE CORP                         COM               362320103    17,810     235,896 SH      DEFINED    5     175,854  60,042       0
GTE CORP                         COM               362320103    11,783     156,062 SH      DEFINED    6     127,532  28,530       0
GTE CORP                         COM               362320103     5,313      70,375 SH      OTHER      9      70,375       0       0
GTE CORP                         COM               362320103     5,555      73,575 SH      DEFINED   10      57,397  16,178       0
GTE CORP                         COM               362320103     7,127      94,394 SH      DEFINED   11      72,611  21,783       0
GT INTERACTIVE SOFTWARE CORP     COM               36236E109        17       4,735 SH      OTHER      2       4,735       0       0
GABELLI EQUITY TR INC            COM               362397101         4         319 SH      OTHER      2           0       0     319
GABELLI EQUITY TR INC            COM               362397101        72       5,800 SH      DEFINED    5           0   5,800       0
GABELLI EQUITY TR INC            COM               362397101         0           2 SH      DEFINED    6           2       0       0
GABELLI EQUITY TR INC            COM               362397101        43       3,500 SH      DEFINED   11           0   3,500       0
GABELLI GLOBAL MULTIMEDIA TR     COM               36239Q109         1          37 SH      OTHER      2           0       0      37
GABELLI GLOBAL MULTIMEDIA TR     COM               36239Q109         8         544 SH      DEFINED    5           0     544       0
GABELLI GLOBAL MULTIMEDIA TR     COM               36239Q109         0           2 SH      DEFINED    6           2       0       0
GABELLI ASSET MGMT INC           CL A              36239Y102        51       3,225 SH      OTHER      2       3,225       0       0
GABLES RESIDENTIAL TR            SH BEN INT        362418105     1,230      51,000 SH      OTHER      2       2,000       0  49,000
GABLES RESIDENTIAL TR            SH BEN INT        362418105        10         400 SH      DEFINED    5           0     400       0
GALILEO INTERNATIONAL INC        OPTION            363547100        21           4 CALL    OTHER      2           4       0       0
GALILEO INTERNATIONAL INC        COM               363547100     2,558      47,875 SH      DEFINED    1      39,050   8,825       0
GALILEO INTERNATIONAL INC        COM               363547100        71       1,322 SH      OTHER      2           0       0   1,322
GALILEO INTERNATIONAL INC        COM               363547100        21         400 SH      DEFINED    5         400       0       0
GALILEO INTERNATIONAL INC        COM               363547100       544      10,175 SH      DEFINED    6       9,725     450       0
GALILEO INTERNATIONAL INC        COM               363547100     2,210      41,350 SH      DEFINED   10      38,550   2,800       0
GALILEO INTERNATIONAL INC        COM               363547100     1,291      24,150 SH      DEFINED   11      21,090   3,060       0
GALLAHER GROUP PLC               SPON ADR          363595109       186       7,592 SH      DEFINED    1       4,632   2,960       0
GALLAHER GROUP PLC               SPON ADR          363595109        15         600 SH      OTHER      2           0       0     600
GALLAHER GROUP PLC               SPON ADR          363595109       305      12,494 SH      DEFINED    5       8,494   4,000       0
GALLAHER GROUP PLC               SPON ADR          363595109        39       1,600 SH      DEFINED    6           0   1,600       0
GALLAHER GROUP PLC               SPON ADR          363595109       737      30,147 SH      DEFINED   10         147  30,000       0
GALLAHER GROUP PLC               SPON ADR          363595109       363      14,846 SH      DEFINED   11      14,846       0       0
GANNETT INC                      COM               364730101     4,200      58,840 SH      DEFINED    1      47,230  11,610       0
GANNETT INC                      COM               364730101     9,833     137,765 SH      OTHER      2      73,384       0  64,381
GANNETT INC                      COM               364730101     5,691      79,732 SH      DEFINED    5      68,442  11,290       0
GANNETT INC                      COM               364730101     3,739      52,385 SH      DEFINED    6      40,205  12,180       0
GANNETT INC                      COM               364730101     1,409      19,737 SH      OTHER      9      19,737       0       0
GANNETT INC                      COM               364730101     1,225      17,162 SH      DEFINED   10      14,160   3,002       0
GANNETT INC                      COM               364730101     4,142      58,025 SH      DEFINED   11      49,950   8,075       0
GAP INC DEL                      OPTION            364760108        60          12 CALL    OTHER      2          12       0       0
GAP INC DEL                      OPTION            364760108        25           5 PUT     OTHER      2           5       0       0
GAP INC DEL                      COM               364760108        42         841 SH      DEFINED    1         763      78       0
GAP INC DEL                      COM               364760108    13,796     273,866 SH      OTHER      2     197,422       0  76,444
GAP INC DEL                      COM               364760108       130       2,583 SH      DEFINED    5       1,908     675       0
GAP INC DEL                      COM               364760108        48         961 SH      DEFINED    6         961       0       0
GAP INC DEL                      COM               364760108     2,660      52,798 SH      OTHER      9      52,798       0       0
GAP INC DEL                      COM               364760108       758      15,053 SH      DEFINED   10      14,258     795       0
GAP INC DEL                      COM               364760108       271       5,370 SH      DEFINED   11       5,370       0       0
GARAN INC                        COM               364802108        15         465 SH      DEFINED   11         465       0       0
GARDEN RIDGE CORP                COM               36541P104     1,320     277,956 SH      OTHER      2     277,956       0       0
GARTNER GROUP INC NEW            OPTION            366651107       738         360 CALL    OTHER      2         360       0       0
GARTNER GROUP INC NEW            COM               366651107     1,841      89,821 SH      OTHER      2      89,821       0       0
GARTNER GROUP INC NEW            COM               366651107       608      29,662 SH      OTHER      9      29,662       0       0
GATEWAY INC                      OPTION            367626108        30           5 CALL    OTHER      2           5       0       0
GATEWAY INC                      COM               367626108        59       1,000 SH      DEFINED    1       1,000       0       0
GATEWAY INC                      COM               367626108     5,436      92,042 SH      OTHER      2      92,042       0       0
GATEWAY INC                      COM               367626108       968      16,384 SH      OTHER      9      16,384       0       0
GAYLORD ENTMT CO NEW             COM               367905106         9         297 SH      DEFINED   11         297       0       0
GELTEX PHARMACEUTICALS INC       OPTION            368538104        18          10 CALL    OTHER      2          10       0       0
GELTEX PHARMACEUTICALS INC       COM               368538104       801      44,518 SH      OTHER      2      43,568       0     950
GENCORP INC                      COM               368682100       259      10,269 SH      OTHER      2      10,269       0       0
GENENTECH INC                    OPTION            368710307         0         300 PUT     OTHER      9         300       0       0
GENENTECH INC                    COM SPL           368710307         0         404 SH      OTHER      2         404       0       0
GENENTECH INC                    COM SPL           368710307         0      21,100 SH      OTHER      9      21,100       0       0
GENENTECH INC                    SUB DEB CV  5%02  368710AA7        28      30,000 PRN     OTHER      2      30,000       0       0
GENER S A                        SPON ADR          368731105       105       5,900 SH      OTHER      9       5,900       0       0
GENERAL AMERN INVS INC           COM               368802104         0           8 SH      DEFINED   10           8       0       0
GENERAL BINDING CORP             COM               369154109         2         100 SH      OTHER      2         100       0       0
GENERAL CABLE CORP DEL NEW       COM               369300108       528      33,003 SH      OTHER      2       7,753       0  25,250
GENERAL CABLE CORP DEL NEW       COM               369300108        26       1,600 SH      DEFINED    6           0   1,600       0
GENERAL CABLE CORP DEL NEW       COM               369300108        21       1,334 SH      DEFINED   11       1,334       0       0
GENERAL CHEM GROUP INC           COM               369332101         8       2,700 SH      OTHER      2       2,700       0       0
GENERAL DYNAMICS CORP            OPTION            369550108    19,664       2,855 CALL    OTHER      2       2,855       0       0
GENERAL DYNAMICS CORP            COM               369550108        46         662 SH      DEFINED    1         662       0       0
GENERAL DYNAMICS CORP            COM               369550108     2,009      29,167 SH      OTHER      2      29,167       0       0
GENERAL DYNAMICS CORP            COM               369550108        16         230 SH      DEFINED    6         230       0       0
GENERAL DYNAMICS CORP            COM               369550108       546       7,925 SH      OTHER      9       7,925       0       0
GENERAL DYNAMICS CORP            COM               369550108        12         180 SH      DEFINED   10         180       0       0
GENERAL DYNAMICS CORP            COM               369550108        41         600 SH      DEFINED   11         600       0       0
GENERAL ELEC CO                  OPTION            369604103     9,978         883 CALL    OTHER      2         883       0       0
GENERAL ELEC CO                  OPTION            369604103     1,243         110 PUT     OTHER      2         110       0       0
GENERAL ELEC CO                  COM               369604103    33,412     295,683 SH      DEFINED    1     222,847  72,836       0
GENERAL ELEC CO                  COM               369604103       384       3,400 SH      OTHER      1       3,400       0       0
GENERAL ELEC CO                  COM               369604103   126,197   1,116,785 SH      OTHER      2     974,625       0 142,160
GENERAL ELEC CO                  COM               369604103    27,930     247,170 SH      OTHER      4           0       0 247,170
GENERAL ELEC CO                  COM               369604103    50,072     443,115 SH      DEFINED    5     267,799 175,316       0
GENERAL ELEC CO                  COM               369604103    43,052     380,989 SH      DEFINED    6     256,919 124,070       0
GENERAL ELEC CO                  COM               369604103       121       1,074 SH      OTHER      9       1,074       0       0
GENERAL ELEC CO                  COM               369604103    20,044     177,384 SH      DEFINED   10     149,984  27,400       0
GENERAL ELEC CO                  COM               369604103    25,753     227,899 SH      DEFINED   11     140,413  87,486       0
GENERAL GROWTH PPTYS INC         COM               370021107       180       5,065 SH      DEFINED    1       5,065       0       0
GENERAL GROWTH PPTYS INC         COM               370021107     3,930     110,700 SH      OTHER      2     110,700       0       0
GENERAL GROWTH PPTYS INC         COM               370021107       853      24,025 SH      DEFINED    5      16,400   7,625       0
GENERAL GROWTH PPTYS INC         COM               370021107       250       7,050 SH      DEFINED    6       6,300     750       0
GENERAL GROWTH PPTYS INC         COM               370021107       859      24,200 SH      DEFINED   10      23,000   1,200       0
GENERAL GROWTH PPTYS INC         COM               370021107        49       1,375 SH      DEFINED   11         975     400       0
GENERAL INSTR CORP DEL           COM               370120107        15         350 SH      DEFINED    1         350       0       0
GENERAL INSTR CORP DEL           COM               370120107     3,880      91,302 SH      OTHER      2      72,982       0  18,320
GENERAL INSTR CORP DEL           COM               370120107         4         102 SH      DEFINED    5         102       0       0
GENERAL INSTR CORP DEL           COM               370120107       762      17,927 SH      OTHER      9      17,927       0       0
GENERAL INSTR CORP DEL           COM               370120107         4         102 SH      DEFINED   10         102       0       0
GENERAL INSTR CORP DEL           COM               370120107        34         795 SH      DEFINED   11         503     292       0
GENERAL MAGIC INC                OPTION            370253106         4          10 CALL    OTHER      2          10       0       0
GENERAL MAGIC INC                COM               370253106        18       5,000 SH      OTHER      2       5,000       0       0
GENERAL MAGIC INC                COM               370253106       269      76,300 SH      OTHER      9      76,300       0       0
GENERAL MLS INC                  COM               370334104        40         500 SH      DEFINED    1         500       0       0
GENERAL MLS INC                  COM               370334104     2,304      28,660 SH      OTHER      2      27,535       0   1,125
GENERAL MLS INC                  COM               370334104       873      10,861 SH      DEFINED    5       7,461   3,400       0
GENERAL MLS INC                  COM               370334104       149       1,854 SH      DEFINED    6         600   1,254       0
GENERAL MLS INC                  COM               370334104       982      12,218 SH      OTHER      9      12,218       0       0
GENERAL MLS INC                  COM               370334104        80       1,000 SH      DEFINED   10       1,000       0       0
GENERAL MLS INC                  COM               370334104       579       7,200 SH      DEFINED   11       2,500   4,700       0
GENERAL MTRS CORP                OPTION            370442105       343          52 CALL    OTHER      2          52       0       0
GENERAL MTRS CORP                COM               370442105     1,549      23,477 SH      DEFINED    1      17,647   5,830       0
GENERAL MTRS CORP                COM               370442105 1,060,544  16,068,849 SH      OTHER      2  16,055,843       0  13,006
GENERAL MTRS CORP                COM               370442105     1,034      15,660 SH      DEFINED    5       6,737   8,923       0
GENERAL MTRS CORP                COM               370442105       676      10,244 SH      DEFINED    6       6,285   3,959       0
GENERAL MTRS CORP                COM               370442105       938      14,218 SH      OTHER      9      14,218       0       0
GENERAL MTRS CORP                COM               370442105       239       3,623 SH      DEFINED   10       1,764   1,859       0
GENERAL MTRS CORP                COM               370442105       739      11,190 SH      DEFINED   11       8,235   2,955       0
GENERAL MTRS CORP                CL H NEW          370442832        60       1,066 SH      DEFINED    1         785     281       0
GENERAL MTRS CORP                CL H NEW          370442832     2,625      46,618 SH      OTHER      2      32,288       0  14,330
GENERAL MTRS CORP                CL H NEW          370442832        38         683 SH      DEFINED    5         589      94       0
GENERAL MTRS CORP                CL H NEW          370442832        31         544 SH      DEFINED    6         346     198       0
GENERAL MTRS CORP                CL H NEW          370442832       163       2,900 SH      OTHER      9       2,900       0       0
GENERAL MTRS CORP                CL H NEW          370442832        93       1,660 SH      DEFINED   10         475   1,185       0
GENERAL MTRS CORP                CL H NEW          370442832         8         140 SH      DEFINED   11         140       0       0
GENERAL NUTRITION COS INC        COM               37047F103       395      16,924 SH      OTHER      2      16,924       0       0
GENERAL SEMICONDUCTOR INC        COM               370787103        15       1,660 SH      DEFINED   10       1,660       0       0
GENESCO INC                      COM               371532102         3         200 SH      DEFINED    5           0     200       0
GENTEX CORP                      COM               371901109        21         750 SH      DEFINED    1         750       0       0
GENTEX CORP                      COM               371901109     2,654      94,790 SH      OTHER      2      94,790       0       0
GENTEX CORP                      COM               371901109         6         218 SH      DEFINED    5         218       0       0
GENTEX CORP                      COM               371901109         7         258 SH      DEFINED   10         258       0       0
GENTEX CORP                      COM               371901109        54       1,933 SH      DEFINED   11       1,200     733       0
GENESIS HEALTH VENTURES INC      COM               371912106         1         300 SH      DEFINED    1         300       0       0
GENESIS HEALTH VENTURES INC      COM               371912106       431     143,712 SH      OTHER      2       1,062       0 142,650
GENESIS HEALTH VENTURES INC      COM               371912106        26       8,733 SH      OTHER      9       8,733       0       0
GENESIS ENERGY L P               UNIT LTD PARTN    371927104        15       1,000 SH      DEFINED    5           0   1,000       0
GENESYS TELECOMMUNICATION LABS   OPTION            371931106         3           1 CALL    OTHER      2           1       0       0
GENESIS DIRECT INC               COM               371935107         9       4,900 SH      OTHER      2       4,900       0       0
GENLYTE GROUP INC                COM               372302109         2         100 SH      OTHER      2         100       0       0
GENRAD INC                       COM               372447102        29       1,370 SH      DEFINED   11       1,370       0       0
GENUINE PARTS CO                 COM               372460105     4,522     129,212 SH      DEFINED    1     128,900     312       0
GENUINE PARTS CO                 COM               372460105   276,432   7,898,058 SH      OTHER      2   7,870,234       0  27,824
GENUINE PARTS CO                 COM               372460105       237       6,775 SH      DEFINED    5       4,300   2,475       0
GENUINE PARTS CO                 COM               372460105       155       4,420 SH      DEFINED    6       3,050   1,370       0
GENUINE PARTS CO                 COM               372460105       380      10,858 SH      OTHER      9      10,858       0       0
GENUINE PARTS CO                 COM               372460105       868      24,800 SH      DEFINED   10      21,450   3,350       0
GENUINE PARTS CO                 COM               372460105       119       3,398 SH      DEFINED   11       3,398       0       0
GENZYME TRANSGENICS CORP         COM               37246E105         5       1,000 SH      DEFINED    1           0   1,000       0
GENZYME TRANSGENICS CORP         COM               37246E105        15       3,200 SH      DEFINED   10           0   3,200       0
GENZYME CORP                     COM GENL DIV      372917104        20         416 SH      DEFINED    1         161     255       0
GENZYME CORP                     COM GENL DIV      372917104    10,549     217,506 SH      OTHER      2     160,641       0  56,865
GENZYME CORP                     COM GENL DIV      372917104         5         100 SH      DEFINED    5         100       0       0
GENZYME CORP                     COM GENL DIV      372917104        29         589 SH      DEFINED    6         589       0       0
GENZYME CORP                     COM GENL DIV      372917104       501      10,333 SH      OTHER      9      10,333       0       0
GENZYME CORP                     COM GENL DIV      372917104        29         596 SH      DEFINED   10         596       0       0
GENZYME CORP                     COM GENL DIV      372917104        30         615 SH      DEFINED   11         419     196       0
GENZYME CORP                     COM-TISSUE REP    372917401         6       2,801 SH      OTHER      2       1,081       0   1,720
GENZYME CORP                     COM-TISSUE REP    372917401         0           3 SH      DEFINED    5           3       0       0
GENZYME CORP                     COM-MOLECULAR     372917500         2         713 SH      OTHER      2         500       0     213
GENZYME CORP                     COM-MOLECULAR     372917500         0          10 SH      DEFINED    5          10       0       0
GENZYME CORP                     COM-MOLECULAR     372917500         2         824 SH      OTHER      9         824       0       0
GENZYME CORP                     SB NT CV 5.25%05  372917AF1        44      32,000 PRN     OTHER      2       2,000       0  30,000
GEORGIA GULF CORP                COM PAR $0.01     373200203       128       7,580 SH      OTHER      2       7,580       0       0
GEORGIA PAC CORP                 COM GA PAC GRP    373298108       143       3,028 SH      DEFINED    1       3,028       0       0
GEORGIA PAC CORP                 COM GA PAC GRP    373298108     1,199      25,303 SH      OTHER      2      25,303       0       0
GEORGIA PAC CORP                 COM GA PAC GRP    373298108        36         758 SH      DEFINED    5         758       0       0
GEORGIA PAC CORP                 COM GA PAC GRP    373298108       188       3,962 SH      DEFINED    6       3,962       0       0
GEORGIA PAC CORP                 COM GA PAC GRP    373298108       624      13,165 SH      OTHER      9      13,165       0       0
GEORGIA PAC CORP                 COM GA PAC GRP    373298108       238       5,020 SH      DEFINED   10         820   4,200       0
GEORGIA PAC CORP                 COM GA PAC GRP    373298108       144       3,036 SH      DEFINED   11       2,736     300       0
GEORGIA PAC CORP                 COM-TIMBER GRP    373298702        29       1,155 SH      DEFINED    1       1,155       0       0
GEORGIA PAC CORP                 COM-TIMBER GRP    373298702       543      21,489 SH      OTHER      2      21,478       0      11
GEORGIA PAC CORP                 COM-TIMBER GRP    373298702        10         379 SH      DEFINED    5         379       0       0
GEORGIA PAC CORP                 COM-TIMBER GRP    373298702        50       1,981 SH      DEFINED    6       1,981       0       0
GEORGIA PAC CORP                 COM-TIMBER GRP    373298702        63       2,500 SH      OTHER      9       2,500       0       0
GEORGIA PAC CORP                 COM-TIMBER GRP    373298702         3         100 SH      DEFINED   10           0     100       0
GEORGIA PAC CORP                 COM-TIMBER GRP    373298702        49       1,923 SH      DEFINED   11       1,773     150       0
GERALD STEVENS INC               COM               37369G101     9,360     780,000 SH      OTHER      2     780,000       0       0
GERBER CHILDRENSWEAR INC         COM               373701101       278      41,923 SH      OTHER      2      41,923       0       0
GERBER CHILDRENSWEAR INC         COM               373701101        10       1,445 SH      DEFINED   11       1,445       0       0
GERON CORP                       OPTION            374163103        28          27 PUT     OTHER      2          27       0       0
GETTY PETE MARKETING INC         COM               374292100         0          14 SH      OTHER      2          14       0       0
GIANT CEMENT HLDG INC            COM               374450104        11         475 SH      OTHER      2         475       0       0
GIBRALTAR STL CORP               COM               37476F103        21         856 SH      OTHER      2         856       0       0
GIBSON GREETINGS INC             COM               374827103        22       3,500 SH      OTHER      2       2,500       0   1,000
GILEAD SCIENCES INC              COM               375558103     1,357      25,963 SH      OTHER      2      25,963       0       0
GILLETTE CO                      OPTION            375766102        16           4 CALL    OTHER      2           4       0       0
GILLETTE CO                      OPTION            375766102       882         215 CALL    OTHER      9         215       0       0
GILLETTE CO                      OPTION            375766102        41          10 PUT     OTHER      2          10       0       0
GILLETTE CO                      OPTION            375766102     6,458       1,575 PUT     OTHER      9       1,575       0       0
GILLETTE CO                      COM               375766102       127       3,095 SH      OTHER      1       3,095       0       0
GILLETTE CO                      COM               375766102       846      20,641 SH      DEFINED    1      16,799   3,842       0
GILLETTE CO                      COM               375766102    19,197     468,208 SH      OTHER      2     324,301       0 143,907
GILLETTE CO                      COM               375766102     1,082      26,400 SH      OTHER      4           0       0  26,400
GILLETTE CO                      COM               375766102     1,849      45,096 SH      DEFINED    5      25,289  19,807       0
GILLETTE CO                      COM               375766102     1,096      26,733 SH      DEFINED    6      18,494   8,239       0
GILLETTE CO                      COM               375766102        62       1,516 SH      OTHER      9       1,516       0       0
GILLETTE CO                      COM               375766102       796      19,419 SH      DEFINED   10      15,715   3,704       0
GILLETTE CO                      COM               375766102     1,329      32,412 SH      DEFINED   11      24,879   7,533       0
GILDAN ACTIVEWEAR INC            SUB VTG SHS A     375916103        10         610 SH      DEFINED   11         610       0       0
GLAMIS GOLD LTD                  COM               376775102        29      15,300 SH      OTHER      2      15,300       0       0
GLAMIS GOLD LTD                  COM               376775102         5       2,400 SH      DEFINED    5       2,400       0       0
GLAMIS GOLD LTD                  COM               376775102         9       4,800 SH      DEFINED    6           0   4,800       0
GLATFELTER P H CO                COM               377316104       150      10,263 SH      OTHER      2      10,263       0       0
GLEASON CORP                     COM               377339106        47       2,802 SH      OTHER      2       2,802       0       0
GLAXO WELLCOME PLC               OPTION            37733W105       113          20 CALL    OTHER      2          20       0       0
GLAXO WELLCOME PLC               SPON ADR          37733W105     1,730      30,555 SH      DEFINED    1      14,941  15,614       0
GLAXO WELLCOME PLC               SPON ADR          37733W105     2,429      42,893 SH      OTHER      2      40,500       0   2,393
GLAXO WELLCOME PLC               SPON ADR          37733W105     1,806      31,893 SH      DEFINED    5      21,218  10,675       0
GLAXO WELLCOME PLC               SPON ADR          37733W105     1,962      34,641 SH      DEFINED    6      23,091  11,550       0
GLAXO WELLCOME PLC               SPON ADR          37733W105     1,811      31,978 SH      DEFINED   10      31,304     674       0
GLAXO WELLCOME PLC               SPON ADR          37733W105     1,235      21,817 SH      DEFINED   11      18,067   3,750       0
GLIATECH INC                     OPTION            37929C103        26          10 CALL    OTHER      2          10       0       0
GLIATECH INC                     COM               37929C103        11         420 SH      DEFINED   11         420       0       0
GLIMCHER RLTY TR                 SH BEN INT        379302102        15         900 SH      OTHER      2           0       0     900
GLOBAL INDL TECHNOLOGIES INC     COM               379335102        12       1,020 SH      OTHER      2           0       0   1,020
GLOBAL INDS LTD                  OPTION            379336100         4           3 CALL    OTHER      2           3       0       0
GLOBAL MARINE INC                COM               379352404        16       1,000 SH      DEFINED    1           0   1,000       0
GLOBAL MARINE INC                COM               379352404       719      46,394 SH      OTHER      2      42,706       0   3,688
GLOBAL MARINE INC                COM               379352404         0          16 SH      DEFINED    5          16       0       0
GLOBAL MARINE INC                COM               379352404        22       1,400 SH      OTHER      9       1,400       0       0
GLOBAL PARTNERS INCOME FD INC    COM               37935R102         2         200 SH      DEFINED    5         200       0       0
GLOBAL SMALL CAP FD INC          COM               37935V103         0           2 SH      OTHER      2           2       0       0
GLOBAL TELESYSTEMS GROUP         OPTION            37936U104        16           2 CALL    OTHER      2           2       0       0
GLOBAL TELESYSTEMS GROUP         COM               37936U104       956      11,800 SH      OTHER      2      10,700       0   1,100
GLOBAL TELESYSTEMS GROUP         COM               37936U104     2,430      30,000 SH      OTHER      9      30,000       0       0
GLOBAL TELESYSTEMS GROUP         SRSB BD CV144A00  37936UAA2        61      15,000 PRN     OTHER      9      15,000       0       0
GLOBO CABO S A                   SPONS ADR         37957X102       100      23,527 SH      OTHER      2      13,827       0   9,700
GLOBO CABO S A                   SPONS ADR         37957X102         0          83 SH      OTHER      9          83       0       0
GOLD BANC CORP INC               COM               379907108       102       7,772 SH      OTHER      2       7,772       0       0
GOLD FIELDS SO AFR NEW           SPON ADR          380597500        28      14,200 SH      OTHER      2      14,200       0       0
GOLD RESV INC                    CL A              38068N108         2       1,431 SH      OTHER      1       1,431       0       0
GOLDEN ST BANCORP INC            COM               381197102         6         280 SH      DEFINED    1         280       0       0
GOLDEN ST BANCORP INC            COM               381197102     2,182      96,971 SH      OTHER      2      77,950       0  19,021
GOLDEN ST BANCORP INC            COM               381197102         4         195 SH      DEFINED    5         195       0       0
GOLDEN ST BANCORP INC            COM               381197102         7         320 SH      DEFINED   10         320       0       0
GOLDEN ST BANCORP INC            WT EXP  000000    381197136        66      50,471 SH      OTHER      2      47,400       0   3,071
GOLDEN WEST FINL CORP DEL        COM               381317106         6          59 SH      DEFINED    1          59       0       0
GOLDEN WEST FINL CORP DEL        COM               381317106     3,049      31,111 SH      OTHER      2      31,111       0       0
GOLDEN WEST FINL CORP DEL        COM               381317106       453       4,623 SH      OTHER      9       4,623       0       0
GOLDEN WEST FINL CORP DEL        COM               381317106        20         200 SH      DEFINED   11         200       0       0
GOLDFIELD CORP                   COM               381370105         0          50 SH      DEFINED    1          50       0       0
GOLDFIELD CORP                   COM               381370105         0          37 SH      DEFINED    5           0      37       0
GOLDMAN SACHS GROUP INC          COM               38141G104         9         120 SH      DEFINED    1         120       0       0
GOLDMAN SACHS GROUP INC          COM               38141G104       373       5,160 SH      OTHER      2          80       0   5,080
GOLF TR AMER INC                 COM               38168B103         2          71 SH      OTHER      2          71       0       0
GOODRICH B F CO                  COM               382388106        20         465 SH      DEFINED    1         465       0       0
GOODRICH B F CO                  COM               382388106       479      11,268 SH      OTHER      2      11,188       0      80
GOODRICH B F CO                  COM               382388106        17         395 SH      DEFINED    5         395       0       0
GOODRICH B F CO                  COM               382388106        29         685 SH      DEFINED    6         685       0       0
GOODRICH B F CO                  COM               382388106    11,799     277,634 SH      OTHER      9     277,634       0       0
GOODRICH B F CO                  COM               382388106        33         765 SH      DEFINED   10         340     425       0
GOODRICH B F CO                  COM               382388106         3          60 SH      DEFINED   11           0      60       0
GOODRICH PETE CORP               COM NEW           382410405         0          24 SH      OTHER      2          24       0       0
GOODYEAR TIRE & RUBR CO          OPTION            382550101       294          50 CALL    OTHER      2          50       0       0
GOODYEAR TIRE & RUBR CO          OPTION            382550101        59          10 PUT     OTHER      2          10       0       0
GOODYEAR TIRE & RUBR CO          COM               382550101       120       2,038 SH      DEFINED    1         474   1,564       0
GOODYEAR TIRE & RUBR CO          COM               382550101 1,012,110  17,209,242 SH      OTHER      2  17,200,227       0   9,015
GOODYEAR TIRE & RUBR CO          COM               382550101        43         726 SH      DEFINED    5         200     526       0
GOODYEAR TIRE & RUBR CO          COM               382550101       125       2,122 SH      DEFINED    6       1,122   1,000       0
GOODYEAR TIRE & RUBR CO          COM               382550101        49         827 SH      DEFINED   10           0     827       0
GOODYEAR TIRE & RUBR CO          COM               382550101         7         125 SH      DEFINED   11         125       0       0
GO2NET INC                       OPTION            383486107       524          57 CALL    OTHER      2          57       0       0
GO2NET INC                       OPTION            383486107       110          12 PUT     OTHER      2          12       0       0
GO2NET INC                       COM               383486107       625       6,800 SH      OTHER      2       6,800       0       0
GRACE W R & CO DEL NEW           COM               38388F108         4         200 SH      DEFINED    1         200       0       0
GRACE W R & CO DEL NEW           COM               38388F108       204      10,739 SH      OTHER      2      10,619       0     120
GRACE W R & CO DEL NEW           COM               38388F108        11         600 SH      DEFINED    5         600       0       0
GRACE W R & CO DEL NEW           COM               38388F108        28       1,448 SH      DEFINED    6       1,000     448       0
GRACE W R & CO DEL NEW           COM               38388F108        85       4,498 SH      OTHER      9       4,498       0       0
GRACO INC                        COM               384109104         7         245 SH      DEFINED   10         245       0       0
GRAINGER W W INC                 COM               384802104     1,850      34,374 SH      DEFINED    1      32,274   2,100       0
GRAINGER W W INC                 COM               384802104     6,233     115,827 SH      OTHER      2     115,762       0      65
GRAINGER W W INC                 COM               384802104       345       6,410 SH      DEFINED    5       5,710     700       0
GRAINGER W W INC                 COM               384802104     1,388      25,801 SH      DEFINED    6      22,525   3,276       0
GRAINGER W W INC                 COM               384802104       312       5,803 SH      OTHER      9       5,803       0       0
GRAINGER W W INC                 COM               384802104       917      17,035 SH      DEFINED   10      14,035   3,000       0
GRAINGER W W INC                 COM               384802104       446       8,296 SH      DEFINED   11       6,496   1,800       0
GRANITE CONSTR INC               OPTION            387328107        29          10 CALL    OTHER      2          10       0       0
GRANITE CONSTR INC               COM               387328107       204       6,968 SH      OTHER      2       6,768       0     200
GREAT ATLANTIC & PAC TEA INC     COM               390064103       189       5,594 SH      OTHER      2       5,594       0       0
GREAT ATLANTIC & PAC TEA INC     COM               390064103       103       3,059 SH      OTHER      9       3,059       0       0
GREAT CENTRAL MINES LTD          SPON ADR          390290104        68      23,854 SH      OTHER      2      23,854       0       0
GREAT LAKES CHEM CORP            COM               390568103     2,890      62,751 SH      OTHER      2      54,121       0   8,630
GREAT LAKES CHEM CORP            COM               390568103       115       2,500 SH      DEFINED    6           0   2,500       0
GREAT LAKES CHEM CORP            COM               390568103       175       3,800 SH      OTHER      9       3,800       0       0
GREAT LAKES CHEM CORP            COM               390568103        32         700 SH      DEFINED   10         700       0       0
GREAT LAKES CHEM CORP            COM               390568103        14         300 SH      DEFINED   11         300       0       0
GREAT LAKES REIT INC             COM               390752103     1,991     122,502 SH      OTHER      2     122,502       0       0
GREAT PLAINS SOFTWARE            OPTION            39119E105         9           2 CALL    OTHER      2           2       0       0
GREAT PLAINS SOFTWARE            COM               39119E105        22         459 SH      OTHER      2         459       0       0
GREATER CHINA FD INC             COM               39167B102       228      23,500 SH      OTHER      2           0       0  23,500
GREEN MOUNTAIN PWR CORP          COM               393154109         5         398 SH      DEFINED    6         398       0       0
GREENBRIER COS INC               COM               393657101        12       1,100 SH      OTHER      2       1,100       0       0
GREENPOINT FINL CORP             COM               395384100         7         207 SH      DEFINED    1          46     161       0
GREENPOINT FINL CORP             COM               395384100       886      26,997 SH      OTHER      2      26,477       0     520
GREENPOINT FINL CORP             COM               395384100       118       3,600 SH      OTHER      9       3,600       0       0
GREENPOINT FINL CORP             COM               395384100         3          88 SH      DEFINED   10          88       0       0
GREENPOINT FINL CORP             COM               395384100         3          84 SH      DEFINED   11          84       0       0
GREENSTONE RES LTD               COM               39573W104         3      20,000 SH      OTHER      1      20,000       0       0
GREENSTONE RES LTD               COM               39573W104         2      15,000 SH      OTHER      2      15,000       0       0
GREIF BROS CORP                  CL A              397624107         3         100 SH      OTHER      2         100       0       0
GREIF BROS CORP                  CL A              397624107        14         536 SH      DEFINED   11         536       0       0
GRILL CONCEPTS INC               COM               398502104         0         500 SH      OTHER      2           0       0     500
GROUP MAINT AMERICA CORP         COM               39943E107       122       9,459 SH      OTHER      2       9,459       0       0
GROUPE DANONE                    SPON ADR          399449107        80       1,535 SH      DEFINED    1       1,165     370       0
GROUPE DANONE                    SPON ADR          399449107       185       3,530 SH      OTHER      2       2,700       0     830
GROUPE DANONE                    SPON ADR          399449107         2          35 SH      DEFINED    5          35       0       0
GROUPE DANONE                    SPON ADR          399449107        21         395 SH      DEFINED    6         395       0       0
GROUPE DANONE                    SPON ADR          399449107        23         435 SH      DEFINED   10         120     315       0
GROUPE DANONE                    SPON ADR          399449107        70       1,345 SH      DEFINED   11         555     790       0
GRUBB & ELLIS CO                 COM PAR $0.01     400095204         0           5 SH      OTHER      2           5       0       0
GRUMA S A DE CV                  SPNSR ADR CL B    400131306     1,575     233,323 SH      OTHER      2     233,323       0       0
GRUPO INDL MASECA S A DE C V     SPONSD ADR NEW    400488409         4         466 SH      OTHER      9         466       0       0
GRUPO MEXICANO DE DESARROLLO     SPND ADR L SHS    40048G203         0      20,000 SH      OTHER      2      20,000       0       0
GRUPO TRIBASA S A DE C V         SPON ADR          40049F105       197     150,000 SH      OTHER      2     150,000       0       0
GRUPO TELEVISA SA DE CV          SPN ADR REPORD    40049J206        58       1,300 SH      OTHER      2       1,000       0     300
GTECH HLDGS CORP                 COM               400518106       232       9,844 SH      OTHER      2       9,844       0       0
GTECH HLDGS CORP                 COM               400518106        49       2,100 SH      OTHER      9       2,100       0       0
GUANGSHEN RY LTD                 SPON ADR          40065W107        38       5,000 SH      OTHER      2       5,000       0       0
GUCCI GROUP N V                  COM NY REG        401566104        67         950 SH      DEFINED    1         950       0       0
GUCCI GROUP N V                  COM NY REG        401566104     1,750      25,000 SH      OTHER      9      25,000       0       0
GUESS INC                        COM               401617105       125       9,082 SH      OTHER      2       5,282       0   3,800
GUIDANT CORP                     OPTION            401698105        72          14 PUT     OTHER      2          14       0       0
GUIDANT CORP                     COM               401698105        25         485 SH      DEFINED    1         445      40       0
GUIDANT CORP                     COM               401698105     6,522     127,565 SH      OTHER      2      96,542       0  31,023
GUIDANT CORP                     COM               401698105        16         311 SH      DEFINED    5         311       0       0
GUIDANT CORP                     COM               401698105       182       3,565 SH      DEFINED    6         565   3,000       0
GUIDANT CORP                     COM               401698105     1,237      24,198 SH      OTHER      9      24,198       0       0
GUIDANT CORP                     COM               401698105       163       3,192 SH      DEFINED   10       3,192       0       0
GUIDANT CORP                     COM               401698105       883      17,269 SH      DEFINED   11       2,955  14,314       0
GUILFORD MLS INC                 COM               401794102        28       2,700 SH      OTHER      2       2,700       0       0
GULF CDA RES LTD                 ORD               40218L305        63      15,000 SH      OTHER      2           0       0  15,000
GULF ISLAND FABRICATION INC      COM               402307102        24       2,000 SH      OTHER      2       2,000       0       0
GULFSTREAM AEROSPACE CORP        COM               402734107        11         170 SH      DEFINED    1          37     133       0
GULFSTREAM AEROSPACE CORP        COM               402734107     1,199      17,741 SH      OTHER      2      17,741       0       0
GULFSTREAM AEROSPACE CORP        COM               402734107        10         146 SH      DEFINED    5         146       0       0
GULFSTREAM AEROSPACE CORP        COM               402734107        27         397 SH      DEFINED    6         397       0       0
GULFSTREAM AEROSPACE CORP        COM               402734107        66         980 SH      DEFINED   10         361     619       0
GULFSTREAM AEROSPACE CORP        COM               402734107        36         539 SH      DEFINED   11         539       0       0
GUM TECH INTL INC                COM               402803100         6         550 SH      OTHER      2         550       0       0
HMT TECHNOLOGY CORP              COM               403917107       114      45,647 SH      OTHER      2      45,647       0       0
H & Q HEALTHCARE FD              SH BEN INT        404052102        12         800 SH      OTHER      2           0       0     800
HCC INS HLDGS INC                COM               404132102         7         322 SH      DEFINED    1         322       0       0
HCC INS HLDGS INC                COM               404132102        23       1,000 SH      OTHER      9       1,000       0       0
HCC INS HLDGS INC                COM               404132102         7         318 SH      DEFINED   10         318       0       0
HCR MANOR CARE INC               COM               404134108     1,598      66,057 SH      OTHER      2      66,057       0       0
HCR MANOR CARE INC               COM               404134108        18         750 SH      DEFINED    6         750       0       0
HCR MANOR CARE INC               COM               404134108       189       7,794 SH      OTHER      9       7,794       0       0
HCR MANOR CARE INC               COM               404134108        73       3,000 SH      DEFINED   11           0   3,000       0
HNC SOFTWARE INC                 COM               40425P107         3         100 SH      DEFINED    1         100       0       0
HNC SOFTWARE INC                 COM               40425P107       777      25,210 SH      OTHER      2      25,210       0       0
HNC SOFTWARE INC                 COM               40425P107         3         105 SH      DEFINED   10         105       0       0
HRPT PPTYS TR                    COM SH BEN INT    40426W101       660      43,085 SH      OTHER      2           0       0  43,085
HRPT PPTYS TR                    COM SH BEN INT    40426W101       138       8,985 SH      DEFINED    5       4,585   4,400       0
HRPT PPTYS TR                    COM SH BEN INT    40426W101         9         565 SH      DEFINED    6         265     300       0
HRPT PPTYS TR                    COM SH BEN INT    40426W101        54       3,500 SH      DEFINED   10       2,000   1,500       0
HSB GROUP INC                    COM               40428N109       255       6,200 SH      DEFINED    1       6,200       0       0
HSB GROUP INC                    COM               40428N109     2,467      59,904 SH      OTHER      2      59,679       0     225
HSB GROUP INC                    COM               40428N109       114       2,760 SH      DEFINED    5       2,760       0       0
HA-LO INDS INC                   COM               404429102       516      52,303 SH      OTHER      2      50,503       0   1,800
HAEMONETICS CORP                 COM               405024100         3         145 SH      DEFINED   11         145       0       0
HAGGAR CORP                      COM               405173105         5         375 SH      OTHER      2         375       0       0
HALLIBURTON CO                   OPTION            406216101     9,371       2,071 CALL    OTHER      2       2,071       0       0
HALLIBURTON CO                   OPTION            406216101     1,154         255 CALL    OTHER      9         255       0       0
HALLIBURTON CO                   OPTION            406216101        45          10 PUT     OTHER      2          10       0       0
HALLIBURTON CO                   COM               406216101    13,887     306,885 SH      DEFINED    1     257,710  49,175       0
HALLIBURTON CO                   COM               406216101     9,514     210,249 SH      OTHER      2     145,230       0  65,019
HALLIBURTON CO                   COM               406216101    10,276     227,087 SH      DEFINED    5     181,845  45,242       0
HALLIBURTON CO                   COM               406216101     7,758     171,447 SH      DEFINED    6     150,235  21,212       0
HALLIBURTON CO                   COM               406216101     1,254      27,723 SH      OTHER      9      27,723       0       0
HALLIBURTON CO                   COM               406216101     6,611     146,109 SH      DEFINED   10     127,724  18,385       0
HALLIBURTON CO                   COM               406216101     7,708     170,350 SH      DEFINED   11     146,680  23,670       0
HALLWOOD ENERGY CORP DEL         COM               40636X105         0          27 SH      DEFINED    6           0      27       0
HALLWOOD ENERGY CORP DEL         COM               40636X105         1          88 SH      DEFINED   11          88       0       0
HALTER MARINE GROUP INC          COM               40642Y105       113      17,000 SH      OTHER      2           0       0  17,000
HALTER MARINE GROUP INC          SUB NT CV 144A04  40642YAA3     2,470   4,000,000 PRN     OTHER      2   4,000,000       0       0
HAMBRECHT & QUIST GROUP INC      COM               406545103       148       4,005 SH      OTHER      9       4,005       0       0
HAMMONS JOHN Q HOTELS INC        CL A              408623106         0          21 SH      OTHER      2          21       0       0
JOHN HANCOCK BK &THRIFT OPP FD   SH BEN INT        409735107        31       3,298 SH      DEFINED    1       3,298       0       0
JOHN HANCOCK BK &THRIFT OPP FD   SH BEN INT        409735107        25       2,600 SH      OTHER      2           0       0   2,600
JOHN HANCOCK BK &THRIFT OPP FD   SH BEN INT        409735107        13       1,406 SH      DEFINED    5       1,406       0       0
JOHN HANCOCK BK &THRIFT OPP FD   SH BEN INT        409735107        29       3,090 SH      DEFINED   11           0   3,090       0
HANCOCK FABRICS INC              COM               409900107        16       3,618 SH      OTHER      2       3,618       0       0
HANCOCK HLDG CO                  COM               410120109         6         133 SH      OTHER      2           0       0     133
HANCOCK JOHN INCOME SECS TR      COM               410123103         3         222 SH      OTHER      2           0       0     222
HANCOCK JOHN INCOME SECS TR      COM               410123103         1         100 SH      DEFINED    5         100       0       0
HANCOCK JOHN PATRIOT GLOBL DEV   COM               41013G103        23       2,000 SH      DEFINED   11       2,000       0       0
HANCOCK JOHN INVS TR             COM               410142103         0           1 SH      OTHER      2           1       0       0
HANGER ORTHOPEDIC GROUP INC      COM NEW           41043F208        17       1,200 SH      DEFINED   10           0   1,200       0
HANNA M A CO                     COM               410522106     2,080     126,525 SH      DEFINED    1     104,150  22,375       0
HANNA M A CO                     COM               410522106       199      12,116 SH      OTHER      2      12,116       0       0
HANNA M A CO                     COM               410522106        15         900 SH      OTHER      4           0       0     900
HANNA M A CO                     COM               410522106       256      15,555 SH      DEFINED    5      14,305   1,250       0
HANNA M A CO                     COM               410522106       424      25,775 SH      DEFINED    6      24,550   1,225       0
HANNA M A CO                     COM               410522106         4         260 SH      DEFINED   10         260       0       0
HANNA M A CO                     COM               410522106       682      41,500 SH      DEFINED   11      32,800   8,700       0
HANNAFORD BROS CO                COM               410550107     1,031      19,266 SH      OTHER      2      19,266       0       0
HANNAFORD BROS CO                COM               410550107        32         600 SH      OTHER      9         600       0       0
HANSON PLC                       SPNSRD ADR NEW    411352404        29         650 SH      DEFINED    1         650       0       0
HANSON PLC                       SPNSRD ADR NEW    411352404         9         200 SH      DEFINED    5         200       0       0
HANSON PLC                       SPNSRD ADR NEW    411352404        10         216 SH      DEFINED    6         216       0       0
HANSON PLC                       SPNSRD ADR NEW    411352404        17         376 SH      DEFINED   10         235     141       0
HANSON PLC                       SPNSRD ADR NEW    411352404        14         312 SH      DEFINED   11         312       0       0
HARBINGER CORP                   COM               41145C103       179      14,347 SH      OTHER      2      14,347       0       0
HARCOURT GEN INC                 COM               41163G101        18         347 SH      DEFINED    1         337      10       0
HARCOURT GEN INC                 COM               41163G101       556      10,790 SH      OTHER      2      10,790       0       0
HARCOURT GEN INC                 COM               41163G101        13         246 SH      DEFINED    5         246       0       0
HARCOURT GEN INC                 COM               41163G101         4          68 SH      DEFINED    6          68       0       0
HARCOURT GEN INC                 COM               41163G101       222       4,312 SH      OTHER      9       4,312       0       0
HARCOURT GEN INC                 COM               41163G101         8         160 SH      DEFINED   10          20     140       0
HARCOURT GEN INC                 COM               41163G101        12         224 SH      DEFINED   11         224       0       0
HARDINGE INC                     COM               412324303        28       1,600 SH      OTHER      2       1,600       0       0
HARKEN ENERGY CORP               COM               412552101         2       1,425 SH      DEFINED    1           0   1,425       0
HARLAND JOHN H CO                COM               412693103     2,511     125,950 SH      OTHER      2     125,950       0       0
HARLAND JOHN H CO                COM               412693103     1,156      58,000 SH      DEFINED    5           0  58,000       0
HARLEY DAVIDSON INC              OPTION            412822108        54          10 CALL    OTHER      2          10       0       0
HARLEY DAVIDSON INC              COM               412822108        46         845 SH      DEFINED    1          45     800       0
HARLEY DAVIDSON INC              COM               412822108     2,160      39,716 SH      OTHER      2      37,716       0   2,000
HARLEY DAVIDSON INC              COM               412822108       109       2,000 SH      DEFINED    5       2,000       0       0
HARLEY DAVIDSON INC              COM               412822108         4          65 SH      DEFINED    6          65       0       0
HARLEY DAVIDSON INC              COM               412822108        33         610 SH      DEFINED   10         610       0       0
HARLEY DAVIDSON INC              COM               412822108       163       3,000 SH      DEFINED   11           0   3,000       0
HARLEYSVILLE GROUP INC           COM               412824104       113       5,500 SH      OTHER      9       5,500       0       0
HARMAN INTL INDS INC             COM               413086109        13         295 SH      DEFINED   10         295       0       0
HARMONY GOLD MNG LTD             SPON ADR          413216300       126      26,000 SH      OTHER      2      26,000       0       0
HAROLDS STORES INC               COM               413353103        14       2,200 SH      OTHER      2       2,200       0       0
HARRAHS ENTMT INC                COM               413619107        66       3,000 SH      DEFINED    1       3,000       0       0
HARRAHS ENTMT INC                COM               413619107     5,795     262,647 SH      OTHER      2     262,647       0       0
HARRAHS ENTMT INC                COM               413619107       199       9,016 SH      OTHER      9       9,016       0       0
HARRAHS ENTMT INC                COM               413619107        22       1,000 SH      DEFINED   11           0   1,000       0
HARRIS CORP DEL                  COM               413875105     1,171      29,891 SH      OTHER      2      29,291       0     600
HARRIS CORP DEL                  COM               413875105       198       5,063 SH      OTHER      9       5,063       0       0
HARSCO CORP                      COM               415864107       115       3,600 SH      DEFINED    1       3,600       0       0
HARSCO CORP                      COM               415864107       338      10,559 SH      OTHER      2      10,559       0       0
HARSCO CORP                      COM               415864107        32       1,000 SH      OTHER      4           0       0   1,000
HARSCO CORP                      COM               415864107        19         600 SH      DEFINED    6           0     600       0
HARTE-HANKS INC                  COM               416196103     1,660      61,188 SH      OTHER      2      16,188       0  45,000
HARTE-HANKS INC                  COM               416196103        22         800 SH      OTHER      9         800       0       0
HARTFORD FINL SVCS GROUP INC     COM               416515104       484       8,305 SH      DEFINED    1       7,105   1,200       0
HARTFORD FINL SVCS GROUP INC     COM               416515104     2,218      38,045 SH      OTHER      2      33,895       0   4,150
HARTFORD FINL SVCS GROUP INC     COM               416515104       843      14,449 SH      DEFINED    5       8,335   6,114       0
HARTFORD FINL SVCS GROUP INC     COM               416515104     5,332      91,432 SH      DEFINED    6       2,592  88,840       0
HARTFORD FINL SVCS GROUP INC     COM               416515104     1,061      18,190 SH      OTHER      9      18,190       0       0
HARTFORD FINL SVCS GROUP INC     COM               416515104       874      14,983 SH      DEFINED   10       4,203  10,780       0
HARTFORD FINL SVCS GROUP INC     COM               416515104       958      16,432 SH      DEFINED   11      11,156   5,276       0
HARTFORD LIFE INC                CL A              416592103     2,765      52,550 SH      OTHER      2      51,250       0   1,300
HARTFORD LIFE INC                CL A              416592103        74       1,400 SH      OTHER      9       1,400       0       0
HARTFORD LIFE INC                CL A              416592103        79       1,500 SH      DEFINED   10       1,500       0       0
HARTFORD LIFE INC                CL A              416592103        27         506 SH      DEFINED   11           0     506       0
HARTMARX CORP                    COM               417119104         2         500 SH      DEFINED    1         500       0       0
HARTMARX CORP                    COM               417119104       262      62,593 SH      OTHER      2      62,593       0       0
HASBRO INC                       COM               418056107        22         787 SH      DEFINED    1         787       0       0
HASBRO INC                       COM               418056107     1,320      47,263 SH      OTHER      2      45,863       0   1,400
HASBRO INC                       COM               418056107       331      11,851 SH      OTHER      9      11,851       0       0
HAUSER INC                       COM PAR $0.001    419141403         0          74 SH      DEFINED    1          74       0       0
HAVEN BANCORP INC                COM               419352109        21       1,300 SH      OTHER      2       1,300       0       0
HAVERTY FURNITURE INC            COM               419596101        90       2,550 SH      OTHER      2           0       0   2,550
HAWAIIAN ELEC INDUSTRIES         COM               419870100    12,623     355,587 SH      OTHER      2     355,287       0     300
HAWAIIAN ELEC INDUSTRIES         COM               419870100        43       1,200 SH      DEFINED    5       1,200       0       0
HEALTHCARE SVCS GRP INC          COM               421906108         9         887 SH      DEFINED    1           0     887       0
HEALTH CARE PPTY INVS INC        COM               421915109        29       1,006 SH      DEFINED    1         768     238       0
HEALTH CARE PPTY INVS INC        COM               421915109    20,097     695,988 SH      OTHER      2     693,988       0   2,000
HEALTH CARE PPTY INVS INC        COM               421915109        14         500 SH      DEFINED    5         500       0       0
HEALTH CARE PPTY INVS INC        COM               421915109         6         225 SH      DEFINED    6           0     225       0
HEALTH CARE PPTY INVS INC        COM               421915109        49       1,700 SH      OTHER      9       1,700       0       0
HEALTH CARE PPTY INVS INC        COM               421915109         4         129 SH      DEFINED   10         129       0       0
HEALTH CARE PPTY INVS INC        COM               421915109         4         123 SH      DEFINED   11         123       0       0
HEALTHSOUTH CORP                 OPTION            421924101       619         416 CALL    OTHER      2         416       0       0
HEALTHSOUTH CORP                 COM               421924101        29       1,938 SH      DEFINED    1       1,708     230       0
HEALTHSOUTH CORP                 COM               421924101     3,795     255,132 SH      OTHER      2     213,889       0  41,243
HEALTHSOUTH CORP                 COM               421924101         1         100 SH      DEFINED    5         100       0       0
HEALTHSOUTH CORP                 COM               421924101         2         135 SH      DEFINED    6           0     135       0
HEALTHSOUTH CORP                 COM               421924101       604      40,612 SH      OTHER      9      40,612       0       0
HEALTHSOUTH CORP                 COM               421924101        49       3,270 SH      DEFINED   10       2,850     420       0
HEALTHSOUTH CORP                 COM               421924101         2         155 SH      DEFINED   11           0     155       0
HEALTHSOUTH CORP                 SB DB CV 3.25%03  421924AF8        48      57,000 PRN     OTHER      2      37,000       0  20,000
HEALTH MGMT ASSOC INC NEW        CL A              421933102         1         130 SH      DEFINED    1         130       0       0
HEALTH MGMT ASSOC INC NEW        CL A              421933102     3,787     336,585 SH      OTHER      2     168,560       0 168,025
HEALTH MGMT ASSOC INC NEW        CL A              421933102         6         575 SH      DEFINED    5         125     450       0
HEALTH MGMT ASSOC INC NEW        CL A              421933102       206      18,315 SH      OTHER      9      18,315       0       0
HEALTH MGMT ASSOC INC NEW        CL A              421933102        18       1,575 SH      DEFINED   10       1,575       0       0
HEALTHCARE RLTY TR               COM               421946104        13         615 SH      DEFINED    1           0     615       0
HEALTHCARE RLTY TR               COM               421946104       900      42,611 SH      OTHER      2      41,760       0     851
HEALTHCARE RLTY TR               COM               421946104        19         905 SH      DEFINED    5         905       0       0
HEALTHCARE RLTY TR               COM               421946104        16         750 SH      DEFINED   10         750       0       0
HEALTHPLAN SVCS CORP             COM               421959107        19       2,819 SH      OTHER      2       1,800       0   1,019
HEARTLAND TECHNOLOGY INC         COM               421979105         4         600 SH      DEFINED    6           0     600       0
HEALTH CARE REIT INC             COM               42217K106       100       4,300 SH      OTHER      9       4,300       0       0
HEALTH MGMT SYS INC              COM               42219M100       223      40,588 SH      OTHER      2      40,588       0       0
HEALTH MGMT SYS INC              COM               42219M100        89      16,100 SH      OTHER      9      16,100       0       0
HEALTHEON CORP                   COM               422209106       567       7,369 SH      OTHER      2           0       0   7,369
HEARST-ARGYLE TELEVISION INC     COM               422317107         4         163 SH      DEFINED    1         163       0       0
HEARST-ARGYLE TELEVISION INC     COM               422317107       437      18,200 SH      OTHER      2      16,300       0   1,900
HEARST-ARGYLE TELEVISION INC     COM               422317107        26       1,091 SH      DEFINED   10           0   1,091       0
HEARTLAND PARTNERS L P           UT LTD PARTNER    422357103         9         600 SH      DEFINED    6           0     600       0
HEARTLAND PARTNERS L P           UT LTD PARTNER    422357103         2         100 SH      DEFINED   11         100       0       0
HECLA MNG CO                     COM               422704106        37      17,940 SH      OTHER      2      17,800       0     140
HEILIG MEYERS CO                 COM               422893107       974     143,032 SH      OTHER      2     143,032       0       0
HEINZ H J CO                     OPTION            423074103        15           3 CALL    OTHER      2           3       0       0
HEINZ H J CO                     COM               423074103       641      12,794 SH      DEFINED    1       8,194   4,600       0
HEINZ H J CO                     COM               423074103   299,739   5,979,823 SH      OTHER      2   5,966,459       0  13,364
HEINZ H J CO                     COM               423074103       671      13,382 SH      DEFINED    5       9,282   4,100       0
HEINZ H J CO                     COM               423074103     1,259      25,108 SH      DEFINED    6      13,550  11,558       0
HEINZ H J CO                     COM               423074103     1,425      28,427 SH      OTHER      9      28,427       0       0
HEINZ H J CO                     COM               423074103       844      16,841 SH      DEFINED   10       9,141   7,700       0
HEINZ H J CO                     COM               423074103     1,191      23,751 SH      DEFINED   11       7,951  15,800       0
HELIX TECHNOLOGY CORP            COM               423319102         7         300 SH      OTHER      2         300       0       0
HELMERICH & PAYNE INC            COM               423452101     1,984      83,972 SH      OTHER      2      83,972       0       0
HELMERICH & PAYNE INC            COM               423452101       293      12,407 SH      OTHER      9      12,407       0       0
HELMERICH & PAYNE INC            COM               423452101         5         200 SH      DEFINED   11         200       0       0
HERCULES INC                     COM               427056106        20         500 SH      DEFINED    1         500       0       0
HERCULES INC                     COM               427056106       729      18,550 SH      OTHER      2      15,212       0   3,338
HERCULES INC                     COM               427056106        16         400 SH      DEFINED    5           0     400       0
HERCULES INC                     COM               427056106         8         200 SH      DEFINED    6           0     200       0
HERCULES INC                     COM               427056106       258       6,556 SH      OTHER      9       6,556       0       0
HERCULES INC                     SUB DEB CV  8%10  427056AK2        64      20,000 PRN     OTHER      2      20,000       0       0
HERSHEY FOODS CORP               OPTION            427866108        12           2 CALL    OTHER      2           2       0       0
HERSHEY FOODS CORP               COM               427866108       954      16,065 SH      DEFINED    1      11,865   4,200       0
HERSHEY FOODS CORP               COM               427866108   148,669   2,503,892 SH      OTHER      2   2,494,237       0   9,655
HERSHEY FOODS CORP               COM               427866108       302       5,085 SH      DEFINED    5       4,785     300       0
HERSHEY FOODS CORP               COM               427866108     1,227      20,671 SH      DEFINED    6       6,815  13,856       0
HERSHEY FOODS CORP               COM               427866108       667      11,228 SH      OTHER      9      11,228       0       0
HERSHEY FOODS CORP               COM               427866108       330       5,564 SH      DEFINED   10       4,274   1,290       0
HERSHEY FOODS CORP               COM               427866108       701      11,800 SH      DEFINED   11      10,000   1,800       0
HERTZ CORP                       CL A              428040109        50         800 SH      OTHER      9         800       0       0
HESKA CORP                       COM               42805E108        24      10,168 SH      OTHER      2       6,868       0   3,300
HEWLETT PACKARD CO               OPTION            428236103     8,472         843 CALL    OTHER      2         843       0       0
HEWLETT PACKARD CO               OPTION            428236103    10,251       1,020 CALL    OTHER      9       1,020       0       0
HEWLETT PACKARD CO               COM               428236103    16,116     160,361 SH      DEFINED    1     128,063  32,298       0
HEWLETT PACKARD CO               COM               428236103    28,027     278,872 SH      OTHER      2     243,013       0  35,859
HEWLETT PACKARD CO               COM               428236103       302       3,000 SH      OTHER      4           0       0   3,000
HEWLETT PACKARD CO               COM               428236103    10,796     107,422 SH      DEFINED    5      81,413  26,009       0
HEWLETT PACKARD CO               COM               428236103    10,283     102,315 SH      DEFINED    6      78,705  23,610       0
HEWLETT PACKARD CO               COM               428236103     6,925      68,907 SH      OTHER      9      68,907       0       0
HEWLETT PACKARD CO               COM               428236103     9,329      92,822 SH      DEFINED   10      79,349  13,473       0
HEWLETT PACKARD CO               COM               428236103     6,584      65,516 SH      DEFINED   11      51,352  14,164       0
HEWLETT PACKARD CO               SBLYON144AZERO17  428236AA1    30,697  46,955,000 PRN     OTHER      2  46,955,000       0       0
HEWLETT PACKARD CO               SBLYON144AZERO17  428236AA1    39,225  60,000,000 PRN     OTHER      9  60,000,000       0       0
HEWLETT PACKARD CO               SB LYON ZERO  17  428236AC7     1,544   2,490,000 PRN     OTHER      2   2,490,000       0       0
HEWLETT PACKARD CO               SB LYON ZERO  17  428236AC7        19      30,000 PRN     DEFINED    5      30,000       0       0
HEWLETT PACKARD CO               SB LYON ZERO  17  428236AC7         9      14,000 PRN     DEFINED    6      14,000       0       0
HI / FN INC                      COM               428358105        19         253 SH      OTHER      2           0       0     253
HIBERNIA CORP                    CL A              428656102       604      38,521 SH      OTHER      2      38,521       0       0
HIBERNIA CORP                    CL A              428656102         8         500 SH      DEFINED    5         500       0       0
HIBERNIA CORP                    CL A              428656102        31       2,000 SH      OTHER      9       2,000       0       0
HIGH INCOME OPPORTUNITY FD INC   COM               42967Q105        53       5,006 SH      DEFINED    5       3,300   1,706       0
HIGH YIELD INCOME FD INC         COM               429904105         7       1,000 SH      DEFINED    5       1,000       0       0
HIGH YIELD PLUS FD INC           COM               429906100         4         500 SH      DEFINED    5         500       0       0
HIGHLANDS INS GROUP INC          COM               431032101        42       4,000 SH      OTHER      2       3,900       0     100
HIGHWOODS PPTYS INC              COM               431284108        38       1,390 SH      DEFINED    1       1,074     316       0
HIGHWOODS PPTYS INC              COM               431284108    23,713     864,256 SH      OTHER      2     863,256       0   1,000
HIGHWOODS PPTYS INC              COM               431284108        14         500 SH      OTHER      9         500       0       0
HIGHWOODS PPTYS INC              COM               431284108         4         136 SH      DEFINED   10         136       0       0
HIGHWOODS PPTYS INC              COM               431284108         5         185 SH      DEFINED   11         130      55       0
HILLENBRAND INDS INC             COM               431573104       720      16,642 SH      OTHER      2      16,480       0     162
HILTON HOTELS CORP               COM               432848109       611      43,080 SH      OTHER      2      38,180       0   4,900
HILTON HOTELS CORP               COM               432848109        20       1,391 SH      DEFINED    5       1,391       0       0
HILTON HOTELS CORP               COM               432848109       259      18,245 SH      OTHER      9      18,245       0       0
HILTON HOTELS CORP               COM               432848109        17       1,200 SH      DEFINED   10           0   1,200       0
HILTON HOTELS CORP               COM               432848109        20       1,428 SH      DEFINED   11       1,428       0       0
HILTON HOTELS CORP               SUB NT CONV 5%06  432848AL3     1,139   1,241,000 PRN     OTHER      2     581,000       0 660,000
HILTON HOTELS CORP               SUB NT CONV 5%06  432848AL3         7       8,000 PRN     DEFINED    6       8,000       0       0
HITACHI LIMITED                  ADR 10 COM        433578507        81         860 SH      DEFINED    1         635     225       0
HITACHI LIMITED                  ADR 10 COM        433578507       189       2,001 SH      OTHER      2       2,001       0       0
HITACHI LIMITED                  ADR 10 COM        433578507         2          20 SH      DEFINED    5          20       0       0
HITACHI LIMITED                  ADR 10 COM        433578507        26         275 SH      DEFINED    6         275       0       0
HITACHI LIMITED                  ADR 10 COM        433578507        64         680 SH      DEFINED   10         490     190       0
HITACHI LIMITED                  ADR 10 COM        433578507        93         985 SH      DEFINED   11         510     475       0
HISPANIC BROADCASTING CORP       CL A              43357B104        12         153 SH      DEFINED    1          33     120       0
HISPANIC BROADCASTING CORP       CL A              43357B104       911      12,013 SH      OTHER      2      12,013       0       0
HISPANIC BROADCASTING CORP       CL A              43357B104         5          64 SH      DEFINED   10          64       0       0
HISPANIC BROADCASTING CORP       CL A              43357B104         5          61 SH      DEFINED   11          61       0       0
HOECHST A G                      SPON ADR          434390308        46         990 SH      DEFINED    1         990       0       0
HOECHST A G                      SPON ADR          434390308       112       2,435 SH      DEFINED   10       2,435       0       0
HOECHST A G                      SPON ADR          434390308        17         375 SH      DEFINED   11         375       0       0
HOLLINGER INTL INC               CL A              435569108       250      21,047 SH      OTHER      2      21,047       0       0
HOLLINGER INTL INC               CL A              435569108        50       4,200 SH      OTHER      9       4,200       0       0
HOLLINGER INTL INC               CL A              435569108         8         635 SH      DEFINED   10         635       0       0
HOLLINGER INC                    RETRACTBLE COM    43556C606        28       2,404 SH      OTHER      2       2,404       0       0
HOLOGIC INC                      COM               436440101        25       4,400 SH      OTHER      2       4,400       0       0
HOME DEPOT INC                   OPTION            437076102    20,691       3,211 CALL    OTHER      2       3,211       0       0
HOME DEPOT INC                   OPTION            437076102        64          10 PUT     OTHER      2          10       0       0
HOME DEPOT INC                   COM               437076102     3,777      58,622 SH      DEFINED    1      45,735  12,887       0
HOME DEPOT INC                   COM               437076102    31,889     494,893 SH      OTHER      2     279,806       0 215,087
HOME DEPOT INC                   COM               437076102     2,670      41,441 SH      DEFINED    5      32,986   8,455       0
HOME DEPOT INC                   COM               437076102     3,227      50,082 SH      DEFINED    6      32,590  17,492       0
HOME DEPOT INC                   COM               437076102       213       3,300 SH      OTHER      9       3,300       0       0
HOME DEPOT INC                   COM               437076102     3,711      57,585 SH      DEFINED   10      50,015   7,570       0
HOME DEPOT INC                   COM               437076102     2,746      42,613 SH      DEFINED   11      31,838  10,775       0
HOME DEPOT INC                   SB NT CV 3.25%01  437076AE2     1,591     575,000 PRN     OTHER      2     500,000       0  75,000
HOMEBASE INC                     SB NT CV 5.25%04  43738EAB4        30      35,000 PRN     OTHER      2           0       0  35,000
HOMESTAKE MNG CO                 COM               437614100         3         356 SH      DEFINED    1          81     275       0
HOMESTAKE MNG CO                 COM               437614100       313      38,266 SH      OTHER      2      38,266       0       0
HOMESTAKE MNG CO                 COM               437614100       373      45,526 SH      OTHER      9      45,526       0       0
HOMESTAKE MNG CO                 COM               437614100         1         150 SH      DEFINED   10         150       0       0
HOMESTAKE MNG CO                 COM               437614100         1         144 SH      DEFINED   11         144       0       0
HOMESTEAD VLG INC                COM               437851108        31      12,529 SH      OTHER      2           0       0  12,529
HON INDS INC                     COM               438092108       445      15,240 SH      OTHER      2      15,240       0       0
HON INDS INC                     COM               438092108        12         400 SH      DEFINED   11         400       0       0
HONDA MOTOR LTD                  AMERN SHS         438128308       265       3,060 SH      DEFINED    1       1,560   1,500       0
HONDA MOTOR LTD                  AMERN SHS         438128308       649       7,479 SH      OTHER      2       2,854       0   4,625
HONDA MOTOR LTD                  AMERN SHS         438128308         2          20 SH      DEFINED    5          20       0       0
HONDA MOTOR LTD                  AMERN SHS         438128308       134       1,539 SH      DEFINED    6         889     650       0
HONDA MOTOR LTD                  AMERN SHS         438128308        28         322 SH      DEFINED   10         227      95       0
HONDA MOTOR LTD                  AMERN SHS         438128308       110       1,266 SH      DEFINED   11         861     405       0
HONEYWELL INC                    COM               438506107     2,739      23,634 SH      DEFINED    1      17,694   5,940       0
HONEYWELL INC                    COM               438506107    17,083     147,425 SH      OTHER      2     145,635       0   1,790
HONEYWELL INC                    COM               438506107     2,841      24,520 SH      DEFINED    5      19,020   5,500       0
HONEYWELL INC                    COM               438506107     1,645      14,195 SH      DEFINED    6      13,245     950       0
HONEYWELL INC                    COM               438506107       946       8,166 SH      OTHER      9       8,166       0       0
HONEYWELL INC                    COM               438506107     1,413      12,195 SH      DEFINED   10      11,590     605       0
HONEYWELL INC                    COM               438506107       600       5,175 SH      DEFINED   11       2,680   2,495       0
HONG KONG TELECOMMUNICATIONS     SPON ADR          438579203       250       9,291 SH      OTHER      2       3,000       0   6,291
HONG KONG TELECOMMUNICATIONS     SPON ADR          438579203        16         600 SH      DEFINED    5           0     600       0
HONG KONG TELECOMMUNICATIONS     SPON ADR          438579203        16         600 SH      DEFINED    6         600       0       0
HONG KONG TELECOMMUNICATIONS     SPON ADR          438579203       175       6,500 SH      DEFINED   10       5,000   1,500       0
HOOPER HOLMES INC                COM               439104100        13         625 SH      DEFINED    1           0     625       0
HORACE MANN EDUCATORS CORP NEW   COM               440327104       284      10,459 SH      OTHER      2      10,459       0       0
HORACE MANN EDUCATORS CORP NEW   COM               440327104         5         175 SH      DEFINED   10         175       0       0
HORIZON OFFSHORE INC             COM               44043J105        21       2,700 SH      OTHER      2       2,700       0       0
HORIZON ORGANIC HOLDING          COM               44043T103         8         520 SH      DEFINED    1           0     520       0
HORMEL FOODS CORP                COM               440452100       732      18,175 SH      OTHER      2      18,175       0       0
HOST MARRIOTT SVCS CORP          COM               440914109        10       1,220 SH      DEFINED    5       1,200      20       0
HOSPITALITY PPTYS TR             COM SH BEN INT    44106M102        24         900 SH      DEFINED    1           0     900       0
HOSPITALITY PPTYS TR             COM SH BEN INT    44106M102     1,783      65,717 SH      OTHER      2           0       0  65,717
HOSPITALITY PPTYS TR             COM SH BEN INT    44106M102        14         500 SH      DEFINED    5           0     500       0
HOSPITALITY PPTYS TR             COM SH BEN INT    44106M102        10         375 SH      DEFINED    6           0     375       0
HOSPITALITY PPTYS TR             COM SH BEN INT    44106M102       117       4,300 SH      OTHER      9       4,300       0       0
HOSPITALITY PPTYS TR             COM SH BEN INT    44106M102         9         325 SH      DEFINED   11         325       0       0
HOST MARRIOTT CORP NEW           COM               44107P104        15       1,228 SH      DEFINED    1           0   1,228       0
HOST MARRIOTT CORP NEW           COM               44107P104     5,514     464,315 SH      OTHER      2     464,315       0       0
HOST MARRIOTT CORP NEW           COM               44107P104        80       6,700 SH      OTHER      9       6,700       0       0
HOST MARRIOTT CORP NEW           COM               44107P104         3         227 SH      DEFINED   10           0     227       0
HOUGHTON MIFFLIN CO              COM               441560109       397       8,446 SH      OTHER      2       7,446       0   1,000
HOUSEHOLD INTL INC               OPTION            441815107     7,580       1,600 CALL    OTHER      2       1,600       0       0
HOUSEHOLD INTL INC               COM               441815107       146       3,080 SH      DEFINED    1       1,425   1,655       0
HOUSEHOLD INTL INC               COM               441815107    24,120     509,138 SH      OTHER      2     507,838       0   1,300
HOUSEHOLD INTL INC               COM               441815107       577      12,169 SH      DEFINED    5       9,019   3,150       0
HOUSEHOLD INTL INC               COM               441815107     1,410      29,765 SH      OTHER      9      29,765       0       0
HOUSEHOLD INTL INC               COM               441815107        18         385 SH      DEFINED   10         385       0       0
HOUSEHOLD INTL INC               COM               441815107       135       2,850 SH      DEFINED   11       2,400     450       0
HUANENG PWR INTL INC             SPONSR ADR N      443304100        34       2,000 SH      OTHER      2       2,000       0       0
HUBBELL INC                      CL A              443510102        32         800 SH      DEFINED   11           0     800       0
HUBBELL INC                      CL B              443510201       662      14,600 SH      DEFINED    1      14,600       0       0
HUBBELL INC                      CL B              443510201     2,025      44,636 SH      OTHER      2      16,151       0  28,485
HUBBELL INC                      CL B              443510201        77       1,700 SH      OTHER      9       1,700       0       0
HUBBELL INC                      CL B              443510201        46       1,020 SH      DEFINED   10           0   1,020       0
HUDSON RIV BANCORP INC           COM               444128102        49       4,367 SH      OTHER      2           0       0   4,367
HUDSON UNITED BANCORP            COM               444165104       133       4,243 SH      DEFINED    5           0   4,243       0
HUDSON UNITED BANCORP            COM               444165104        13         430 SH      DEFINED    6           0     430       0
HUGHES SUPPLY INC                COM               444482103        30       1,012 SH      DEFINED    5       1,012       0       0
HUGHES SUPPLY INC                COM               444482103        19         655 SH      DEFINED   11         655       0       0
HUMANA INC                       OPTION            444859102        12           9 CALL    OTHER      2           9       0       0
HUMANA INC                       COM               444859102        28       2,180 SH      DEFINED    1         480   1,700       0
HUMANA INC                       COM               444859102     1,496     115,623 SH      OTHER      2     105,123       0  10,500
HUMANA INC                       COM               444859102        25       1,900 SH      DEFINED    5         900   1,000       0
HUMANA INC                       COM               444859102       105       8,100 SH      DEFINED    6       4,600   3,500       0
HUMANA INC                       COM               444859102       289      22,307 SH      OTHER      9      22,307       0       0
HUMANA INC                       COM               444859102        17       1,300 SH      DEFINED   10       1,300       0       0
HUMANA INC                       COM               444859102        80       6,200 SH      DEFINED   11       6,200       0       0
HUMAN GENOME SCIENCES INC        COM               444903108     1,485      37,603 SH      OTHER      2      35,603       0   2,000
HUNT CORP                        COM               445591100        37       4,491 SH      OTHER      2       4,491       0       0
HUNT J B TRANS SVCS INC          OPTION            445658107       975         600 PUT     OTHER      2         600       0       0
HUNT J B TRANS SVCS INC          COM               445658107       380      23,400 SH      OTHER      2      21,000       0   2,400
HUNT J B TRANS SVCS INC          COM               445658107        65       4,000 SH      OTHER      9       4,000       0       0
HUNT J B TRANS SVCS INC          COM               445658107         8         500 SH      DEFINED   11           0     500       0
HUNTINGTON BANCSHARES INC        COM               446150104     1,089      31,110 SH      OTHER      2      31,110       0       0
HUNTINGTON BANCSHARES INC        COM               446150104        23         665 SH      DEFINED    5           0     665       0
HUNTINGTON BANCSHARES INC        COM               446150104       456      13,040 SH      OTHER      9      13,040       0       0
HUNTINGTON BANCSHARES INC        COM               446150104       405      11,567 SH      DEFINED   11      11,567       0       0
HURRICANE HYDROCARBONS LTD       CL A              44779E106         0         120 SH      OTHER      1         120       0       0
HUSSMANN INTL INC                COM               448110106         3         200 SH      OTHER      2           0       0     200
HUSSMANN INTL INC                COM               448110106         7         400 SH      DEFINED    5         400       0       0
HUSSMANN INTL INC                COM               448110106       101       6,073 SH      DEFINED   11         356   5,717       0
HYPERION 2002 TERM TR INC        COM               448915108        68       8,100 SH      OTHER      2           0       0   8,100
ICN PHARMACEUTICALS INC NEW      COM               448924100       851      26,428 SH      OTHER      2      26,428       0       0
ICN PHARMACEUTICALS INC NEW      COM               448924100        68       2,100 SH      OTHER      9       2,100       0       0
IDT CORP                         COM               448947101       100       4,473 SH      OTHER      2       4,473       0       0
HYPERION TOTAL RETURN & INCOME   COM               449145101        22       2,685 SH      DEFINED    5       2,685       0       0
IBP INC                          OPTION            449223106     1,425         600 PUT     OTHER      2         600       0       0
IBP INC                          COM               449223106       796      33,519 SH      OTHER      2      33,519       0       0
IBP INC                          COM               449223106       116       4,880 SH      OTHER      9       4,880       0       0
ICG COMMUNICATIONS INC           OPTION            449246107        53          25 CALL    OTHER      2          25       0       0
ICG COMMUNICATIONS INC           COM               449246107         5         240 SH      DEFINED    1         240       0       0
ICG COMMUNICATIONS INC           COM               449246107       209       9,800 SH      OTHER      2       7,000       0   2,800
ICG COMMUNICATIONS INC           COM               449246107         7         331 SH      DEFINED   10         331       0       0
ICOS CORP                        COM               449295104        10         245 SH      DEFINED    1           0     245       0
ICOS CORP                        COM               449295104       485      11,879 SH      OTHER      2       9,379       0   2,500
ICU MED INC                      COM               44930G107        17         935 SH      DEFINED   11         935       0       0
IDEC PHARMACEUTICALS CORP        COM               449370105    15,255     197,963 SH      OTHER      2     191,126       0   6,837
IDEC PHARMACEUTICALS CORP        COM               449370105        15         200 SH      DEFINED    5           0     200       0
IDG BOOKS WORLDWIDE INC          CL A              449384106        86       4,685 SH      OTHER      2       4,685       0       0
IDX SYS CORP                     COM               449491109         3         145 SH      DEFINED    1         145       0       0
IDX SYS CORP                     COM               449491109         6         280 SH      OTHER      2           0       0     280
IMC GLOBAL INC                   OPTION            449669100       869         500 CALL    OTHER      2         500       0       0
IMC GLOBAL INC                   COM               449669100         1          58 SH      DEFINED    1          58       0       0
IMC GLOBAL INC                   COM               449669100       990      56,979 SH      OTHER      2      53,379       0   3,600
IMC GLOBAL INC                   WT EXP  122200    449669118         0          95 SH      DEFINED    1          95       0       0
IMCO RECYCLING INC               COM               449681105         9         504 SH      DEFINED    1         113     391       0
IMCO RECYCLING INC               COM               449681105       155       9,070 SH      OTHER      2       9,070       0       0
IMCO RECYCLING INC               COM               449681105         4         213 SH      DEFINED   10         213       0       0
IMCO RECYCLING INC               COM               449681105        21       1,198 SH      DEFINED   11       1,198       0       0
IMS HEALTH INC                   COM               449934108     1,666      53,321 SH      DEFINED    1      47,146   6,175       0
IMS HEALTH INC                   COM               449934108     4,273     136,745 SH      OTHER      2      47,045       0  89,700
IMS HEALTH INC                   COM               449934108       391      12,500 SH      DEFINED    5       6,400   6,100       0
IMS HEALTH INC                   COM               449934108       529      16,920 SH      DEFINED    6      14,520   2,400       0
IMS HEALTH INC                   COM               449934108       699      22,380 SH      OTHER      9      22,380       0       0
IMS HEALTH INC                   COM               449934108     1,130      36,165 SH      DEFINED   10      28,725   7,440       0
IMS HEALTH INC                   COM               449934108     2,017      64,532 SH      DEFINED   11      58,492   6,040       0
IRSA INVERSIONERS Y REP S A      GLOBL DEP RCPT    450047204       710      23,000 SH      OTHER      2      23,000       0       0
IRSA INVERSIONERS Y REP S A      GLOBL DEP RCPT    450047204       377      12,216 SH      OTHER      9      12,216       0       0
IRT PPTY CO                      COM               450058102        20       2,000 SH      DEFINED    1           0   2,000       0
IRT PPTY CO                      SBDB CONV 7.3%03  450058AA0       172     176,000 PRN     OTHER      2     176,000       0       0
ISS GROUP INC                    COM               450306105         7         180 SH      DEFINED    1         180       0       0
ISS GROUP INC                    COM               450306105       257       6,800 SH      OTHER      2       6,800       0       0
ISS GROUP INC                    COM               450306105         7         190 SH      DEFINED   10         190       0       0
I-STAT CORP                      COM               450312103         7         800 SH      OTHER      2         800       0       0
ITC DELTACOM INC                 OPTION            45031T104        14           5 CALL    OTHER      2           5       0       0
ITC DELTACOM INC                 COM               45031T104        59       2,100 SH      OTHER      2       2,100       0       0
ITEQ INC                         COM               450430103         8       3,700 SH      OTHER      2       3,700       0       0
ITEQ INC                         COM               450430103         2       1,000 SH      DEFINED   11           0   1,000       0
ITT EDUCATIONAL SERVICES INC     COM               45068B109        21         800 SH      OTHER      2           0       0     800
IXC COMMUNICATIONS INC           COM               450713102       191       4,865 SH      OTHER      2       4,865       0       0
IXL ENTERPRISES INC              COM               450718101       236       8,773 SH      OTHER      2       6,773       0   2,000
IBIS TECHNOLOGY CORP             COM               450909106       268       8,000 SH      DEFINED    5           0   8,000       0
ITT INDS INC IND                 COM               450911102       234       6,130 SH      DEFINED    1       5,680     450       0
ITT INDS INC IND                 COM               450911102       495      12,994 SH      OTHER      2      12,994       0       0
ITT INDS INC IND                 COM               450911102     3,029      79,455 SH      DEFINED    5      62,840  16,615       0
ITT INDS INC IND                 COM               450911102     2,048      53,720 SH      DEFINED    6       9,570  44,150       0
ITT INDS INC IND                 COM               450911102       203       5,331 SH      OTHER      9       5,331       0       0
ITT INDS INC IND                 COM               450911102     2,102      55,130 SH      DEFINED   10      47,505   7,625       0
ITT INDS INC IND                 COM               450911102       174       4,558 SH      DEFINED   11       3,638     920       0
IDACORP INC                      COM               451107106    20,335     645,569 SH      OTHER      2     645,569       0       0
IDACORP INC                      COM               451107106        16         500 SH      DEFINED    6         500       0       0
IDEX CORP                        COM               45167R104       111       3,375 SH      DEFINED   10           0   3,375       0
IDEX CORP                        COM               45167R104        50       1,507 SH      DEFINED   11       1,507       0       0
IDEXX LABS INC                   COM               45168D104        15         635 SH      OTHER      2         635       0       0
IKON OFFICE SOLUTIONS INC        COM               451713101       327      21,768 SH      OTHER      2      21,768       0       0
IKON OFFICE SOLUTIONS INC        COM               451713101       139       9,263 SH      OTHER      9       9,263       0       0
IKON OFFICE SOLUTIONS INC        COM               451713101         4         250 SH      DEFINED   11           0     250       0
IDENTIX INC                      COM               451906101         5         510 SH      DEFINED    1           0     510       0
ILLINOIS TOOL WKS INC            COM               452308109     5,121      62,644 SH      OTHER      2      62,244       0     400
ILLINOIS TOOL WKS INC            COM               452308109       131       1,600 SH      DEFINED    5       1,000     600       0
ILLINOIS TOOL WKS INC            COM               452308109        16         200 SH      DEFINED    6         200       0       0
ILLINOIS TOOL WKS INC            COM               452308109     1,309      16,016 SH      OTHER      9      16,016       0       0
ILLINOIS TOOL WKS INC            COM               452308109       164       2,000 SH      DEFINED   11       2,000       0       0
ILLINOVA CORP                    COM               452317100         8         300 SH      DEFINED    1         300       0       0
ILLINOVA CORP                    COM               452317100       895      32,839 SH      OTHER      2      17,639       0  15,200
ILLINOVA CORP                    COM               452317100        26         950 SH      DEFINED   10         950       0       0
IMATION CORP                     COM               45245A107        13         516 SH      DEFINED    1         516       0       0
IMATION CORP                     COM               45245A107       246       9,919 SH      OTHER      2       9,699       0     220
IMATION CORP                     COM               45245A107         3         110 SH      DEFINED    5           0     110       0
IMATION CORP                     COM               45245A107        82       3,300 SH      OTHER      9       3,300       0       0
IMATION CORP                     COM               45245A107         3         107 SH      DEFINED   10         100       7       0
IMATION CORP                     COM               45245A107         8         305 SH      DEFINED   11         225      80       0
IMAX CORP                        COM               45245E109        28       1,235 SH      OTHER      2       1,235       0       0
IMCLONE SYS INC                  OPTION            45245W109        76          30 CALL    OTHER      2           0       0      30
IMCLONE SYS INC                  COM               45245W109        51       2,000 SH      OTHER      2           0       0   2,000
IMMUNEX CORP NEW                 OPTION            452528102        64           5 PUT     OTHER      2           5       0       0
IMMUNEX CORP NEW                 COM               452528102     4,339      34,049 SH      OTHER      2      33,749       0     300
IMMUNE RESPONSE CORP DEL         COM               45252T106         3         500 SH      DEFINED    1         500       0       0
IMMUNE RESPONSE CORP DEL         COM               45252T106        38       7,000 SH      OTHER      2       7,000       0       0
IMPAC MTG HLDGS INC              COM               45254P102        38       7,600 SH      OTHER      2       7,600       0       0
IMPERIAL BANCORP                 COM               452556103        99       5,000 SH      OTHER      2           0       0   5,000
IMPERIAL BANCORP                 NT CONV FLT RT99  452556AA1         1       1,000 PRN     DEFINED   10       1,000       0       0
IMPERIAL CHEM INDS PLC           ADR NEW           452704505        45       1,125 SH      DEFINED    1       1,125       0       0
IMPERIAL CHEM INDS PLC           ADR NEW           452704505        17         425 SH      DEFINED    5         425       0       0
IMPERIAL CHEM INDS PLC           ADR NEW           452704505        82       2,075 SH      DEFINED    6       1,975     100       0
IMPERIAL CHEM INDS PLC           ADR NEW           452704505        16         400 SH      DEFINED   10         400       0       0
IMPERIAL CHEM INDS PLC           ADR NEW           452704505        84       2,125 SH      DEFINED   11       1,900     225       0
IMPERIAL CR INDS INC             COM               452729106       185      26,080 SH      OTHER      2      26,080       0       0
IMPERIAL CREDIT COMM MRTG INVS   COM               45272T102         5         500 SH      OTHER      2         500       0       0
IN FOCUS SYS INC                 COM               452919103        14         900 SH      DEFINED    1           0     900       0
INCOME OPPORTUNITY RLTY INVS     COM               452926108         3         500 SH      DEFINED    5         500       0       0
IMPERIAL OIL LTD                 COM NEW           453038408         8         446 SH      OTHER      1         446       0       0
IMPERIAL OIL LTD                 COM NEW           453038408        91       4,818 SH      DEFINED    6           0   4,818       0
IMPERIAL SUGAR CO NEW            COM               453096109         5         764 SH      DEFINED    5         764       0       0
IMPERIAL TOBACCO GROUP PLC       SPON ADR          453142101         5         250 SH      DEFINED    6         250       0       0
IMRGLOBAL CORPORATION            COM               45321W106        13         694 SH      DEFINED    1           0     694       0
INACOM CORP                      COM               45323G109         8         600 SH      OTHER      2         600       0       0
INCO LTD                         COM               453258402       454      25,200 SH      OTHER      1      25,200       0       0
INCO LTD                         COM               453258402     9,853     547,386 SH      OTHER      2     547,386       0       0
INCO LTD                         COM               453258402        74       4,100 SH      DEFINED    5           0   4,100       0
INCO LTD                         COM               453258402       324      17,987 SH      OTHER      9      17,987       0       0
INCO LTD                         CL VBN SH         453258709       663      86,300 SH      OTHER      2      86,300       0       0
INCO LTD                         DEB CV   7.75%16  453258AH8       545     608,000 PRN     OTHER      2     608,000       0       0
INCOME OPPORTUNITIES FD 1999     COM               45333P107        20       2,053 SH      DEFINED    5           9   2,044       0
INCOME OPPORTUNITIES FD 1999     COM               45333P107       188      19,138 SH      DEFINED   10      19,138       0       0
INCOME OPPORTUNITIES FD 2000     COM               45333Q105        10       1,029 SH      DEFINED    6       1,029       0       0
INCYTE PHARMACEUTICALS INC       COM               45337C102     3,188     120,600 SH      OTHER      2     120,600       0       0
INDEPENDENCE CMNTY BK CORP       COM               453414104        29       2,134 SH      OTHER      2         134       0   2,000
INDEPENDENCE CMNTY BK CORP       COM               453414104        23       1,700 SH      OTHER      9       1,700       0       0
INDEPENDENT BANK CORP MICH       COM               453838104        15         865 SH      OTHER      2           0       0     865
INDIA FD INC                     COM               454089103       298      30,000 SH      OTHER      2           0       0  30,000
INDIA GROWTH FD INC              COM               454090101        43       4,500 SH      DEFINED    1       4,500       0       0
INDIANA ENERGY INC               COM               454707100       157       7,352 SH      OTHER      2       7,352       0       0
INDIANA ENERGY INC               COM               454707100         3         133 SH      DEFINED    5           0     133       0
INDUS INTL INC                   COM               45578L100       154      35,726 SH      OTHER      2      35,726       0       0
INDUSTRI-MATEMATIK INTL CORP     COM               455792101        19       7,800 SH      OTHER      2       7,800       0       0
INDUSTRIE NATUZZI SPA            ADR               456478106        27       1,400 SH      DEFINED    1       1,400       0       0
INDUSTRIE NATUZZI SPA            ADR               456478106        33       1,700 SH      DEFINED    5       1,100     600       0
INDYMAC MTG HLDGS INC            COM               456607100        30       1,900 SH      DEFINED    5       1,900       0       0
INDYMAC MTG HLDGS INC            COM               456607100        18       1,125 SH      DEFINED   10         500     625       0
INDYMAC MTG HLDGS INC            COM               456607100        32       2,000 SH      DEFINED   11           0   2,000       0
INFINITY BROADCASTING CP NEW     OPTION            45662S102        44          15 CALL    OTHER      2          15       0       0
INFINITY BROADCASTING CP NEW     CL A              45662S102        24         805 SH      DEFINED    1         805       0       0
INFINITY BROADCASTING CP NEW     CL A              45662S102       222       7,495 SH      OTHER      2           0       0   7,495
INFINITY BROADCASTING CP NEW     CL A              45662S102         4         135 SH      DEFINED    6         135       0       0
INFINITY BROADCASTING CP NEW     CL A              45662S102        39       1,315 SH      DEFINED   10       1,315       0       0
INET TECHNOLOGIES INC            COM               45662V105         4         175 SH      DEFINED    1         175       0       0
INET TECHNOLOGIES INC            COM               45662V105         4         180 SH      DEFINED   10         180       0       0
INFORMIX CORP                    OPTION            456779107       863       1,012 CALL    OTHER      2       1,012       0       0
INFORMIX CORP                    COM               456779107       404      47,367 SH      OTHER      2      46,667       0     700
INFORMIX CORP                    COM               456779107       256      30,000 SH      OTHER      9      30,000       0       0
INFOSYS TECHNOLOGIES LTD         SPON ADR          456788108        68       1,167 SH      OTHER      2       1,167       0       0
INFOSEEK CORP                    OPTION            45678M107       139          29 CALL    OTHER      2          29       0       0
INFOSEEK CORP                    OPTION            45678M107        96          20 PUT     OTHER      2          20       0       0
INFOSEEK CORP                    COM               45678M107       997      20,802 SH      OTHER      2      16,802       0   4,000
INFOSEEK CORP                    COM               45678M107        96       2,000 SH      DEFINED    6       2,000       0       0
ING GROEP N V                    SPON ADR          456837103       112       2,045 SH      DEFINED    1       1,445     600       0
ING GROEP N V                    SPON ADR          456837103     3,789      68,892 SH      OTHER      2      53,300       0  15,592
ING GROEP N V                    SPON ADR          456837103         3          55 SH      DEFINED    5          55       0       0
ING GROEP N V                    SPON ADR          456837103        64       1,164 SH      DEFINED    6       1,164       0       0
ING GROEP N V                    SPON ADR          456837103        89       1,623 SH      DEFINED   10       1,050     573       0
ING GROEP N V                    SPON ADR          456837103       201       3,661 SH      DEFINED   11       1,386   2,275       0
INGERSOLL RAND CO                OPTION            456866102         6           1 PUT     OTHER      2           1       0       0
INGERSOLL RAND CO                COM               456866102     9,514     147,214 SH      DEFINED    1     128,823  18,391       0
INGERSOLL RAND CO                COM               456866102     3,451      53,401 SH      OTHER      2      52,601       0     800
INGERSOLL RAND CO                COM               456866102     1,734      26,827 SH      DEFINED    5      19,802   7,025       0
INGERSOLL RAND CO                COM               456866102     9,229     142,805 SH      DEFINED    6     113,993  28,812       0
INGERSOLL RAND CO                COM               456866102       801      12,400 SH      OTHER      9      12,400       0       0
INGERSOLL RAND CO                COM               456866102     9,331     144,392 SH      DEFINED   10     130,561  13,831       0
INGERSOLL RAND CO                COM               456866102     7,055     109,175 SH      DEFINED   11      88,586  20,589       0
INFORMATION RES INC              COM               456905108        60       6,849 SH      OTHER      2       6,849       0       0
INGRAM MICRO INC                 OPTION            457153104     2,884       1,120 CALL    OTHER      2       1,120       0       0
INGRAM MICRO INC                 OPTION            457153104     1,597         620 PUT     OTHER      2         620       0       0
INGRAM MICRO INC                 CL A              457153104        26       1,000 SH      OTHER      2           0       0   1,000
INGRAM MICRO INC                 CL A              457153104         8         300 SH      OTHER      9         300       0       0
INHALE THERAPEUTIC SYS INC       COM               457191104         5         200 SH      DEFINED    1         200       0       0
INHALE THERAPEUTIC SYS INC       COM               457191104        31       1,300 SH      OTHER      2       1,300       0       0
INHALE THERAPEUTIC SYS INC       COM               457191104         4         185 SH      DEFINED   10         185       0       0
INKTOMI CORP                     OPTION            457277101       815          62 CALL    OTHER      2          62       0       0
INKTOMI CORP                     OPTION            457277101        26           2 PUT     OTHER      2           2       0       0
INKTOMI CORP                     COM               457277101     3,025      23,004 SH      OTHER      2      20,004       0   3,000
INKTOMI CORP                     COM               457277101       490       3,728 SH      OTHER      9       3,728       0       0
INNOVEX INC                      COM               457647105         7         500 SH      OTHER      2           0       0     500
INNOVEX INC                      COM               457647105         4         270 SH      DEFINED   11         270       0       0
INNERDYNE INC                    COM               45764D102        30      15,000 SH      OTHER      2           0       0  15,000
INSIGHT ENTERPRISES INC          COM               45765U103         7         300 SH      DEFINED    1           0     300       0
INPRISE CORP                     COM               45766C102        43       8,900 SH      OTHER      2       5,900       0   3,000
INSO CORP                        COM               457674109         3         500 SH      OTHER      2           0       0     500
INSIGNIA FINL GROUP INC NEW      COM               45767A105         5         431 SH      DEFINED   11         263     168       0
INSURED MUN INCOME FD            COM               45809F104        22       1,692 SH      DEFINED    5         392   1,300       0
INTEGRAL SYS INC MD              COM               45810H107       626      27,500 SH      OTHER      2           0       0  27,500
INTEGRATED DEVICE TECHNOLOGY     OPTION            458118106       489         450 CALL    OTHER      2         450       0       0
INTEGRATED DEVICE TECHNOLOGY     COM               458118106       253      23,256 SH      OTHER      2      23,256       0       0
INTEGRATED ELECTRICAL SVC        COM               45811E103       125       7,750 SH      OTHER      2       7,750       0       0
INTEGRATED HEALTH SVCS INC       COM               45812C106        74       9,300 SH      OTHER      9       9,300       0       0
INTEL CORP                       OPTION            458140100    32,142       5,402 CALL    OTHER      2       5,402       0       0
INTEL CORP                       OPTION            458140100       393          66 PUT     OTHER      2          66       0       0
INTEL CORP                       COM               458140100       513       8,625 SH      OTHER      1       8,625       0       0
INTEL CORP                       COM               458140100    13,247     222,646 SH      DEFINED    1     169,121  53,525       0
INTEL CORP                       COM               458140100    57,662     969,114 SH      OTHER      2     725,336       0 243,778
INTEL CORP                       COM               458140100     1,684      28,300 SH      OTHER      4           0       0  28,300
INTEL CORP                       COM               458140100    17,592     295,662 SH      DEFINED    5     215,857  79,805       0
INTEL CORP                       COM               458140100     9,163     153,996 SH      DEFINED    6     116,736  37,260       0
INTEL CORP                       COM               458140100    19,299     324,361 SH      OTHER      9     324,361       0       0
INTEL CORP                       COM               458140100     7,885     132,516 SH      DEFINED   10     105,981  26,535       0
INTEL CORP                       COM               458140100     9,587     161,132 SH      DEFINED   11     120,925  40,207       0
INTELECT COMMUNICATIONS INC      COM               458144102         0         100 SH      DEFINED    6           0     100       0
INTELLIQUEST INFORMATION GROUP   COM               45816H101       553      73,698 SH      OTHER      2      73,698       0       0
INTERFACE INC                    CL A              458665106       113      13,065 SH      OTHER      2      13,065       0       0
INTERDIGITAL COMMUNICATIONS CP   COM               45866A105         0          30 SH      OTHER      2          30       0       0
INTERGRAPH CORP                  COM               458683109         1          71 SH      OTHER      2          71       0       0
INTERIM SVCS INC                 COM               45868P100        83       4,000 SH      OTHER      9       4,000       0       0
INTERIM SVCS INC                 SUB NT CV 4.5%05  45868PAA8       353     414,000 PRN     OTHER      2     414,000       0       0
INTERIM SVCS INC                 SUB NT CV 4.5%05  45868PAA8        14      16,000 PRN     DEFINED    5      16,000       0       0
INTERIM SVCS INC                 SUB NT CV 4.5%05  45868PAA8         3       4,000 PRN     DEFINED    6       4,000       0       0
INTERMEDIA COMMUNICATIONS INC    OPTION            458801107       135          45 CALL    OTHER      2          45       0       0
INTERMEDIA COMMUNICATIONS INC    COM               458801107        45       1,515 SH      OTHER      2           0       0   1,515
INTERMEDIA COMMUNICATIONS INC    COM               458801107         3         114 SH      DEFINED   11           0     114       0
INTERMET CORP                    COM               45881K104       107       7,100 SH      OTHER      9       7,100       0       0
INTERNATIONAL BUSINESS MACHS     OPTION            459200101    35,932       2,780 CALL    OTHER      2       2,780       0       0
INTERNATIONAL BUSINESS MACHS     OPTION            459200101    14,592       1,129 PUT     OTHER      2       1,129       0       0
INTERNATIONAL BUSINESS MACHS     COM               459200101    21,865     169,171 SH      DEFINED    1     138,828  30,343       0
INTERNATIONAL BUSINESS MACHS     COM               459200101       233       1,805 SH      OTHER      1       1,805       0       0
INTERNATIONAL BUSINESS MACHS     COM               459200101    69,435     537,216 SH      OTHER      2     359,010       0 178,206
INTERNATIONAL BUSINESS MACHS     COM               459200101       801       6,200 SH      OTHER      4           0       0   6,200
INTERNATIONAL BUSINESS MACHS     COM               459200101    28,818     222,961 SH      DEFINED    5     159,061  63,900       0
INTERNATIONAL BUSINESS MACHS     COM               459200101    25,474     197,092 SH      DEFINED    6     122,395  74,697       0
INTERNATIONAL BUSINESS MACHS     COM               459200101    21,974     170,013 SH      OTHER      9     170,013       0       0
INTERNATIONAL BUSINESS MACHS     COM               459200101    14,683     113,602 SH      DEFINED   10      93,527  20,075       0
INTERNATIONAL BUSINESS MACHS     COM               459200101    17,495     135,360 SH      DEFINED   11      86,318  49,042       0
INTL FLAVORS&FRAGRANC            COM               459506101       714      16,225 SH      DEFINED    1      15,350     875       0
INTL FLAVORS&FRAGRANC            COM               459506101     3,313      75,298 SH      OTHER      2      69,474       0   5,824
INTL FLAVORS&FRAGRANC            COM               459506101       229       5,200 SH      DEFINED    5       2,900   2,300       0
INTL FLAVORS&FRAGRANC            COM               459506101       273       6,200 SH      DEFINED    6       5,800     400       0
INTL FLAVORS&FRAGRANC            COM               459506101       372       8,452 SH      OTHER      9       8,452       0       0
INTL FLAVORS&FRAGRANC            COM               459506101     2,740      62,275 SH      DEFINED   10      56,975   5,300       0
INTL FLAVORS&FRAGRANC            COM               459506101       651      14,800 SH      DEFINED   11      13,700   1,100       0
INTERNATIONAL HOME FOODS INC     COM               459655106       271      14,700 SH      OTHER      2           0       0  14,700
INTERNATIONAL GAME TECHNOLOGY    COM               459902102       486      26,248 SH      OTHER      2      26,248       0       0
INTERNATIONAL GAME TECHNOLOGY    COM               459902102         4         205 SH      DEFINED   10         205       0       0
INTERNATIONAL MULTIFOODS CORP    COM               460043102       105       4,634 SH      OTHER      2       4,634       0       0
INTERNATIONAL NETWORK SVCS       COM               460053101         6         150 SH      DEFINED    1         150       0       0
INTERNATIONAL NETWORK SVCS       COM               460053101       230       5,700 SH      OTHER      2       5,700       0       0
INTERNATIONAL NETWORK SVCS       COM               460053101        44       1,100 SH      OTHER      9       1,100       0       0
INTERNATIONAL NETWORK SVCS       COM               460053101         6         143 SH      DEFINED   10         143       0       0
INTL PAPER CO                    OPTION            460146103         5           1 CALL    OTHER      2           1       0       0
INTL PAPER CO                    COM               460146103       330       6,558 SH      DEFINED    1       6,263     295       0
INTL PAPER CO                    COM               460146103       136       2,700 SH      OTHER      1       1,350       0       0
INTL PAPER CO                    COM               460146103 1,149,277  22,871,184 SH      OTHER      2  22,864,146       0   7,038
INTL PAPER CO                    COM               460146103       280       5,565 SH      DEFINED    5       4,675     890       0
INTL PAPER CO                    COM               460146103       897      17,858 SH      DEFINED    6      14,666   3,192       0
INTL PAPER CO                    COM               460146103        33         648 SH      OTHER      9         648       0       0
INTL PAPER CO                    COM               460146103       535      10,655 SH      DEFINED   10       7,946   2,709       0
INTL PAPER CO                    COM               460146103       707      14,072 SH      DEFINED   11      10,468   3,604       0
INTERNATIONAL SPEEDWAY CORP      CL A              460335201       285       6,000 SH      OTHER      2       4,500       0   1,500
INTERPOOL INC                    COM               46062R108        29       2,250 SH      DEFINED    6           0   2,250       0
INTERPOOL INC                    COM               46062R108         9         705 SH      DEFINED   10         705       0       0
INTERPUBLIC GROUP COS INC        COM               460690100       502       5,792 SH      DEFINED    1       4,697   1,095       0
INTERPUBLIC GROUP COS INC        COM               460690100     7,681      88,675 SH      OTHER      2      85,212       0   3,463
INTERPUBLIC GROUP COS INC        COM               460690100       140       1,613 SH      DEFINED    5       1,583      30       0
INTERPUBLIC GROUP COS INC        COM               460690100       317       3,660 SH      DEFINED    6       1,256   2,404       0
INTERPUBLIC GROUP COS INC        COM               460690100       860       9,929 SH      OTHER      9       9,929       0       0
INTERPUBLIC GROUP COS INC        COM               460690100        18         205 SH      DEFINED   10           0     205       0
INTERPUBLIC GROUP COS INC        COM               460690100     1,088      12,563 SH      DEFINED   11      12,291     272       0
INTERPUBLIC GROUP COS INC        SB NT CV  1.8%04  460690AF7       252     210,000 PRN     OTHER      2     210,000       0       0
INTERPUBLIC GROUP COS INC        SB NT CV  1.8%04  460690AF7         6       5,000 PRN     DEFINED    6       5,000       0       0
INTERPUBLIC GROUP COS INC        SB NT CV 144A 06  460690AG5     2,517   2,785,000 PRN     OTHER      2   2,785,000       0       0
INTERSTATE BAKERIES CORP DEL     COM               46072H108       397      17,681 SH      OTHER      2      17,681       0       0
INTRAWEST CORPORATION            COM NEW           460915200        94       6,140 SH      OTHER      2           0       0   6,140
INTERTAPE POLYMER GROUP INC      COM               460919103        88       3,000 SH      OTHER      1       3,000       0       0
INTERVU INC                      OPTION            46114R106       192          50 CALL    OTHER      2          50       0       0
INTIMATE BRANDS INC              CL A              461156101        22         472 SH      DEFINED    1         472       0       0
INTIMATE BRANDS INC              CL A              461156101       820      17,302 SH      OTHER      2           0       0  17,302
INTIMATE BRANDS INC              CL A              461156101         6         126 SH      DEFINED    5         126       0       0
INTIMATE BRANDS INC              CL A              461156101         7         150 SH      DEFINED   10         150       0       0
INTIMATE BRANDS INC              CL A              461156101        52       1,102 SH      DEFINED   11         630     472       0
INTUIT                           COM               461202103     4,415      48,989 SH      OTHER      2      48,989       0       0
INTUIT                           COM               461202103     1,033      11,458 SH      OTHER      9      11,458       0       0
INVACARE CORP                    COM               461203101       118       4,400 SH      OTHER      9       4,400       0       0
INVACARE CORP                    COM               461203101        16         610 SH      DEFINED   11         610       0       0
INVESCO GLOBAL HEALTH SCIENCES   COM               46128N109        24       1,537 SH      DEFINED    1       1,537       0       0
INVESCO GLOBAL HEALTH SCIENCES   COM               46128N109        25       1,569 SH      OTHER      2           0       0   1,569
INVESCO GLOBAL HEALTH SCIENCES   COM               46128N109        19       1,187 SH      DEFINED    5         908     279       0
INVESTMENT GRADE MUN INCOME FD   COM               461368102        42       2,798 SH      DEFINED    6       2,798       0       0
INVESTMENT TECHNOLOGY GRP NEW    COM               46145F105       381      11,848 SH      OTHER      2      11,848       0       0
INVISION TECHNOLOGIES INC        COM               461851107         1         200 SH      OTHER      2           0       0     200
INVESTORS FINL SERVICES CORP     COM               461915100       191       4,766 SH      OTHER      2           0       0   4,766
IOMEGA CORP                      OPTION            462030107        10          20 CALL    OTHER      2          20       0       0
IOMEGA CORP                      COM               462030107     1,235     250,184 SH      OTHER      2     250,184       0       0
IOMEGA CORP                      COM               462030107         1         200 SH      DEFINED    5           0     200       0
IOMEGA CORP                      COM               462030107        25       5,000 SH      DEFINED    6       5,000       0       0
IOMEGA CORP                      COM               462030107       164      33,288 SH      OTHER      9      33,288       0       0
IONICS INC                       COM               462218108        37       1,000 SH      DEFINED   11       1,000       0       0
IPALCO ENTERPRISES INC           COM               462613100        25       1,200 SH      DEFINED    1       1,200       0       0
IPALCO ENTERPRISES INC           COM               462613100    16,239     766,482 SH      OTHER      2     762,582       0   3,900
IPALCO ENTERPRISES INC           COM               462613100        62       2,916 SH      DEFINED    5       2,316     600       0
IPALCO ENTERPRISES INC           COM               462613100        61       2,856 SH      DEFINED   11       2,856       0       0
IRON MTN INC DEL                 COM               46284P104         7         235 SH      DEFINED    1           0     235       0
IRON MTN INC DEL                 COM               46284P104        26         900 SH      OTHER      9         900       0       0
IRVINE SENSORS CORP              COM               463664102         2       1,000 SH      OTHER      2           0       0   1,000
ISRAMCO INC                      COM NEW           465141406         0         100 SH      DEFINED    5           0     100       0
ISTITUTO BANC SAN PAOLO DI TOR   SPON ADR          465224103        72       2,620 SH      DEFINED    1       1,870     750       0
ISTITUTO BANC SAN PAOLO DI TOR   SPON ADR          465224103         3         100 SH      OTHER      2           0       0     100
ISTITUTO BANC SAN PAOLO DI TOR   SPON ADR          465224103         2          75 SH      DEFINED    5          75       0       0
ISTITUTO BANC SAN PAOLO DI TOR   SPON ADR          465224103        26         946 SH      DEFINED    6         946       0       0
ISTITUTO BANC SAN PAOLO DI TOR   SPON ADR          465224103        45       1,651 SH      DEFINED   10         760     891       0
ISTITUTO BANC SAN PAOLO DI TOR   SPON ADR          465224103        86       3,113 SH      DEFINED   11       1,523   1,590       0
ITALY FD INC                     COM               465395101         0           5 SH      OTHER      2           5       0       0
ITO YOKADO LTD                   ADR NEW           465714301         4          60 SH      DEFINED    6          60       0       0
ITO YOKADO LTD                   ADR NEW           465714301        17         252 SH      DEFINED   10         156      96       0
ITO YOKADO LTD                   ADR NEW           465714301        24         354 SH      DEFINED   11         354       0       0
I2 TECHNOLOGIES INC              OPTION            465754109        43          10 CALL    OTHER      2          10       0       0
I2 TECHNOLOGIES INC              COM               465754109        14         330 SH      DEFINED    1         330       0       0
I2 TECHNOLOGIES INC              COM               465754109        15         347 SH      DEFINED   10         347       0       0
I2 TECHNOLOGIES INC              COM               465754109         2          55 SH      DEFINED   11          55       0       0
IVAX CORP                        COM               465823102       639      45,254 SH      OTHER      2      41,974       0   3,280
IVEX PACKAGING CORP DEL          COM               465855104         2         100 SH      OTHER      2           0       0     100
IVEX PACKAGING CORP DEL          COM               465855104        20         930 SH      DEFINED   11         930       0       0
IWERKS ENTMT INC                 COM               465916104         2       2,000 SH      DEFINED   10       2,000       0       0
JDN RLTY CORP                    COM               465917102     3,956     176,819 SH      OTHER      2     164,780       0  12,039
JDN RLTY CORP                    COM               465917102        21         921 SH      DEFINED    5         921       0       0
JDN RLTY CORP                    COM               465917102        18         800 SH      OTHER      9         800       0       0
JDN RLTY CORP                    COM               465917102        50       2,250 SH      DEFINED   10       2,250       0       0
JDN RLTY CORP                    COM               465917102        73       3,270 SH      DEFINED   11         570   2,700       0
JTS CORP                         SB DB CV 5.25%02  465940AA2         3      43,000 PRN     OTHER      2      43,000       0       0
JLG INDS INC                     COM               466210101        15         715 SH      DEFINED    1         345     370       0
JLG INDS INC                     COM               466210101         7         361 SH      DEFINED   10         361       0       0
JP REALTY INC                    COM               46624A106        14         700 SH      DEFINED    1           0     700       0
JP REALTY INC                    COM               46624A106     7,158     348,110 SH      OTHER      2     348,110       0       0
JP REALTY INC                    COM               46624A106        31       1,500 SH      DEFINED    5           0   1,500       0
JP REALTY INC                    COM               46624A106        19         900 SH      DEFINED    6         900       0       0
JP REALTY INC                    COM               46624A106        16         800 SH      OTHER      9         800       0       0
JPS TEXTILE GROUP INC            COM               46624E405     3,356     925,685 SH      OTHER      2     925,685       0       0
JABIL CIRCUIT INC                COM               466313103         5         100 SH      DEFINED    1         100       0       0
JABIL CIRCUIT INC                COM               466313103     3,366      74,590 SH      OTHER      2      74,590       0       0
JABIL CIRCUIT INC                COM               466313103       333       7,374 SH      OTHER      9       7,374       0       0
JABIL CIRCUIT INC                COM               466313103         5         115 SH      DEFINED   10         115       0       0
JACOBS ENGR GROUP INC DEL        COM               469814107         3          73 SH      DEFINED    1          73       0       0
JACOBS ENGR GROUP INC DEL        COM               469814107       241       6,345 SH      OTHER      2       6,345       0       0
JACOBS ENGR GROUP INC DEL        COM               469814107        27         700 SH      DEFINED    6           0     700       0
JACOBS ENGR GROUP INC DEL        COM               469814107       105       2,760 SH      OTHER      9       2,760       0       0
JACOBS ENGR GROUP INC DEL        COM               469814107        27         700 SH      DEFINED   10         700       0       0
JACOR COMMUNUNICATIONS INC       SR LYON ZERO  18  469858AB0     8,729  17,724,000 PRN     OTHER      2  17,724,000       0       0
JAKKS PAC INC                    COM               47012E106       131       4,400 SH      OTHER      9       4,400       0       0
JANNOCK LTD                      COM               470888801         2         190 SH      OTHER      2         190       0       0
JAPAN EQUITY FD INC              COM               471057109       402      40,000 SH      OTHER      2           0       0  40,000
JARDINE FLEMING CHINA REGION     COM               471110106       438      50,000 SH      OTHER      2           0       0  50,000
JEFFERSON SVGS BANCORP INC       COM               474900107        37       2,700 SH      OTHER      2       2,700       0       0
JEFFERSON PILOT CORP             OPTION            475070108     6,056         915 CALL    OTHER      2         915       0       0
JEFFERSON PILOT CORP             COM               475070108       290       4,374 SH      DEFINED    1       4,374       0       0
JEFFERSON PILOT CORP             COM               475070108    14,285     215,834 SH      OTHER      2     201,412       0  14,422
JEFFERSON PILOT CORP             COM               475070108       100       1,518 SH      DEFINED    5           0   1,518       0
JEFFERSON PILOT CORP             COM               475070108        43         650 SH      DEFINED    6           0     650       0
JEFFERSON PILOT CORP             COM               475070108       614       9,280 SH      OTHER      9       9,280       0       0
JEFFERSON SMURFIT GROUP PLC      SPON ADR          47508W107        16         700 SH      OTHER      2         700       0       0
JETFORM CORP                     COM               477155105        13       3,132 SH      OTHER      2       3,132       0       0
JILIN CHEM INDL LTD              SPNS ADR H SHS    477418107       120      10,000 SH      OTHER      2           0       0  10,000
JOHN NUVEEN CO                   CL A              478035108       922      21,600 SH      OTHER      2      21,600       0       0
JOHNSON & JOHNSON                OPTION            478160104     7,203         735 CALL    OTHER      2         735       0       0
JOHNSON & JOHNSON                COM               478160104    23,728     242,122 SH      DEFINED    1     193,120  49,002       0
JOHNSON & JOHNSON                COM               478160104       208       2,120 SH      OTHER      1       2,120       0       0
JOHNSON & JOHNSON                COM               478160104    95,195     971,381 SH      OTHER      2     829,561       0 141,820
JOHNSON & JOHNSON                COM               478160104    10,441     106,544 SH      OTHER      4           0       0 106,544
JOHNSON & JOHNSON                COM               478160104    23,277     237,516 SH      DEFINED    5     184,157  53,359       0
JOHNSON & JOHNSON                COM               478160104    38,427     392,109 SH      DEFINED    6     337,687  54,422       0
JOHNSON & JOHNSON                COM               478160104     1,149      11,727 SH      OTHER      9      11,727       0       0
JOHNSON & JOHNSON                COM               478160104    16,703     170,437 SH      DEFINED   10     139,663  30,774       0
JOHNSON & JOHNSON                COM               478160104    14,848     151,508 SH      DEFINED   11     118,097  33,411       0
JOHNSON CTLS INC                 COM               478366107       163       2,355 SH      DEFINED    1       1,405     950       0
JOHNSON CTLS INC                 COM               478366107     2,060      29,718 SH      OTHER      2      29,718       0       0
JOHNSON CTLS INC                 COM               478366107       598       8,625 SH      DEFINED    5       1,740   6,885       0
JOHNSON CTLS INC                 COM               478366107        76       1,100 SH      DEFINED    6       1,040      60       0
JOHNSON CTLS INC                 COM               478366107       501       7,231 SH      OTHER      9       7,231       0       0
JOHNSON CTLS INC                 COM               478366107       723      10,430 SH      DEFINED   10      10,255     175       0
JOHNSON CTLS INC                 COM               478366107       273       3,940 SH      DEFINED   11       3,865      75       0
JONES APPAREL GROUP INC          COM               480074103        12         350 SH      DEFINED    1         350       0       0
JONES APPAREL GROUP INC          COM               480074103     2,350      68,490 SH      OTHER      2      29,789       0  38,701
JONES APPAREL GROUP INC          COM               480074103         4         107 SH      DEFINED    5         107       0       0
JONES APPAREL GROUP INC          COM               480074103        86       2,500 SH      OTHER      9       2,500       0       0
JONES APPAREL GROUP INC          COM               480074103         4         118 SH      DEFINED   10         118       0       0
JONES APPAREL GROUP INC          COM               480074103        32         921 SH      DEFINED   11         600     321       0
JONES INTERCABLE INC             COM               480206101         6         120 SH      DEFINED    1         120       0       0
JONES INTERCABLE INC             COM               480206101         7         147 SH      DEFINED   10         147       0       0
JONES PHARMA INC                 COM               480236108        16         400 SH      OTHER      2         400       0       0
JONES PHARMA INC                 COM               480236108        87       2,200 SH      DEFINED   11           0   2,200       0
JOSTENS INC                      COM               481088102        21       1,000 SH      DEFINED    1       1,000       0       0
JOSTENS INC                      COM               481088102       103       4,902 SH      OTHER      2       4,902       0       0
JOSTENS INC                      COM               481088102        51       2,428 SH      OTHER      9       2,428       0       0
JUST FOR FEET INC                COM               48213P106         4         649 SH      OTHER      2         149       0     500
JUSTIN INDS INC                  COM               482171105         7         535 SH      OTHER      2         535       0       0
KLA-TENCORP CORP                 COM               482480100     4,228      65,179 SH      OTHER      2      30,996       0  34,183
KLM ROYAL DUTCH AIRLS            COM N Y REG       482516101         0           2 SH      DEFINED    1           2       0       0
KLM ROYAL DUTCH AIRLS            COM N Y REG       482516101       418      14,628 SH      OTHER      2           0       0  14,628
KLM ROYAL DUTCH AIRLS            COM N Y REG       482516101        73       2,560 SH      OTHER      9       2,560       0       0
K MART CORP                      OPTION            482584109        66          40 CALL    OTHER      2          40       0       0
K MART CORP                      COM               482584109        38       2,286 SH      DEFINED    1       2,286       0       0
K MART CORP                      COM               482584109     2,723     165,025 SH      OTHER      2      75,413       0  89,612
K MART CORP                      COM               482584109       680      41,219 SH      OTHER      9      41,219       0       0
K MART CORP                      COM               482584109        31       1,890 SH      DEFINED   11       1,890       0       0
KN ENERGY INC                    COM               482620101       298      22,313 SH      OTHER      2      17,128       0   5,185
KN ENERGY INC                    COM               482620101        10         750 SH      DEFINED    6         750       0       0
K-SWISS INC                      CL A              482686102       993      21,349 SH      OTHER      2       1,349       0  20,000
K-SWISS INC                      CL A              482686102        84       1,800 SH      OTHER      9       1,800       0       0
KTI INC                          COM NEW           482689205        44       3,100 SH      OTHER      9       3,100       0       0
K2 INC                           COM               482732104        13       1,500 SH      OTHER      2       1,300       0     200
KAISER ALUMINUM CORP             COM               483007100        12       1,349 SH      OTHER      2       1,349       0       0
KAMAN CORP                       CL A              483548103        78       5,000 SH      DEFINED    5           0   5,000       0
KANEB PIPE LINE PARTNERS L P     SR PREF UNIT      484169107        44       1,400 SH      DEFINED    1           0   1,400       0
KANSAS CITY PWR & LT CO          COM               485134100        11         450 SH      DEFINED    1           0     450       0
KANSAS CITY PWR & LT CO          COM               485134100     4,474     175,461 SH      OTHER      2     174,527       0     934
KANSAS CITY PWR & LT CO          COM               485134100        61       2,400 SH      DEFINED    5         200   2,200       0
KANSAS CITY PWR & LT CO          COM               485134100       171       6,700 SH      DEFINED    6       3,500   3,200       0
KANSAS CITY PWR & LT CO          COM               485134100        18         700 SH      OTHER      9         700       0       0
KANSAS CITY PWR & LT CO          COM               485134100        31       1,200 SH      DEFINED   10       1,200       0       0
KANSAS CITY PWR & LT CO          COM               485134100        40       1,564 SH      DEFINED   11       1,564       0       0
KANSAS CITY SOUTHN INDS INC      OPTION            485170104       179          28 CALL    OTHER      2          28       0       0
KANSAS CITY SOUTHN INDS INC      COM               485170104        43         680 SH      DEFINED    1         680       0       0
KANSAS CITY SOUTHN INDS INC      COM               485170104     1,153      18,073 SH      OTHER      2      16,273       0   1,800
KANSAS CITY SOUTHN INDS INC      COM               485170104        87       1,360 SH      DEFINED    6       1,110     250       0
KANSAS CITY SOUTHN INDS INC      COM               485170104       262       4,100 SH      OTHER      9       4,100       0       0
KANSAS CITY SOUTHN INDS INC      COM               485170104       249       3,904 SH      DEFINED   11       2,554   1,350       0
KASPER A S LTD                   COM               485808109     1,606     305,912 SH      OTHER      2     305,912       0       0
KAUFMAN & BROAD HOME CORP        COM               486168107     4,631     186,154 SH      OTHER      2     184,994       0   1,160
KAUFMAN & BROAD HOME CORP        COM               486168107        95       3,804 SH      OTHER      9       3,804       0       0
KAYDON CORP                      COM               486587108     2,256      67,099 SH      OTHER      2      67,099       0       0
KEANE INC                        OPTION            486665102        32          14 CALL    OTHER      2          14       0       0
KEANE INC                        COM               486665102         4         198 SH      DEFINED    1          45     153       0
KEANE INC                        COM               486665102     2,030      89,740 SH      OTHER      2      56,992       0  32,748
KEANE INC                        COM               486665102       556      24,596 SH      OTHER      9      24,596       0       0
KEANE INC                        COM               486665102         2          83 SH      DEFINED   10          83       0       0
KEANE INC                        COM               486665102         2          78 SH      DEFINED   11          78       0       0
KELLOGG CO                       COM               487836108       492      14,916 SH      DEFINED    1      14,916       0       0
KELLOGG CO                       COM               487836108   151,750   4,598,475 SH      OTHER      2   4,597,329       0   1,146
KELLOGG CO                       COM               487836108       310       9,400 SH      DEFINED    5       6,800   2,600       0
KELLOGG CO                       COM               487836108     2,442      74,009 SH      OTHER      9      74,009       0       0
KELLOGG CO                       COM               487836108        79       2,400 SH      DEFINED   11       1,000   1,400       0
KELLEY OIL & GAS CORP            COM               487906109        20      92,771 SH      OTHER      2      87,771       0   5,000
KELLSTROM INDS INC               COM               488035106       104       5,700 SH      OTHER      9       5,700       0       0
KELLWOOD CO                      COM               488044108        22         793 SH      OTHER      2         793       0       0
KELLY SVCS INC                   OPTION            488152208        32          10 CALL    OTHER      2          10       0       0
KELLY SVCS INC                   CL A              488152208       291       9,049 SH      OTHER      2       9,049       0       0
KEMET CORP                       OPTION            488360108        23          10 CALL    OTHER      2          10       0       0
KEMET CORP                       COM               488360108         9         400 SH      DEFINED    1         400       0       0
KEMET CORP                       COM               488360108     1,560      68,009 SH      OTHER      2       2,609       0  65,400
KEMET CORP                       COM               488360108         9         405 SH      DEFINED   10         405       0       0
KEMPER STRATEGIC INCOME TR       SH BEN INT        488426107       117       7,000 SH      DEFINED    1       7,000       0       0
KEMPER STRATEGIC MUN INC TR      COM SH BEN INT    488427105       190      16,100 SH      DEFINED    1      16,100       0       0
KEMPER STRATEGIC MUN INC TR      COM SH BEN INT    488427105         0          10 SH      DEFINED    5          10       0       0
KEMPER MUN INCOME TR             COM SH BEN INT    48842C104        98       8,000 SH      OTHER      2           0       0   8,000
KEMPER MUN INCOME TR             COM SH BEN INT    48842C104        86       7,000 SH      DEFINED    5       7,000       0       0
KEMPER MUN INCOME TR             COM SH BEN INT    48842C104        18       1,500 SH      DEFINED   11       1,500       0       0
KENDLE INTERNATIONAL INC         COM               48880L107        94       5,880 SH      OTHER      2       5,880       0       0
KENNAMETAL INC                   COM               489170100       230       7,426 SH      OTHER      2       7,426       0       0
KENNAMETAL INC                   COM               489170100        37       1,200 SH      DEFINED   11       1,200       0       0
KENNEDY-WILSON INC               COM NEW           489399204        79       8,800 SH      OTHER      9       8,800       0       0
KENT ELECTRS CORP                COM               490553104        22       1,100 SH      DEFINED    1       1,100       0       0
KENT ELECTRS CORP                COM               490553104       489      24,700 SH      OTHER      2           0       0  24,700
KENT ELECTRS CORP                SUB NT CV 4.5%04  490553AA2       678     848,000 PRN     OTHER      2      48,000       0 800,000
KERAVISION INC                   OPTION            492061106        17          10 CALL    OTHER      2          10       0       0
KERR MCGEE CORP                  COM               492386107       692      13,787 SH      OTHER      2      12,587       0   1,200
KERR MCGEE CORP                  COM               492386107        54       1,076 SH      DEFINED    5       1,076       0       0
KERR MCGEE CORP                  COM               492386107        50       1,000 SH      DEFINED    6           0   1,000       0
KERR MCGEE CORP                  COM               492386107       289       5,758 SH      OTHER      9       5,758       0       0
KEY ENERGY SVCS INC              COM               492914106         0          26 SH      OTHER      2          26       0       0
KEYCORP NEW                      OPTION            493267108     3,213       1,000 CALL    OTHER      2       1,000       0       0
KEYCORP NEW                      COM               493267108        33       1,024 SH      DEFINED    1         324     700       0
KEYCORP NEW                      COM               493267108     2,389      74,372 SH      OTHER      2      66,652       0   7,720
KEYCORP NEW                      COM               493267108       357      11,116 SH      DEFINED    5       8,856   2,260       0
KEYCORP NEW                      COM               493267108       120       3,750 SH      DEFINED    6       3,750       0       0
KEYCORP NEW                      COM               493267108       893      27,807 SH      OTHER      9      27,807       0       0
KEYCORP NEW                      COM               493267108        34       1,070 SH      DEFINED   10       1,070       0       0
KEYCORP NEW                      COM               493267108        58       1,800 SH      DEFINED   11           0   1,800       0
KEYSTONE CONS INDS INC           COM               493422109         3         444 SH      OTHER      2         444       0       0
KEYSTONE FINANCIAL INC           COM               493482103       432      14,619 SH      OTHER      2      14,319       0     300
KEYSTONE FINANCIAL INC           COM               493482103        35       1,200 SH      DEFINED   11           0   1,200       0
KIMBALL INTL INC                 CL B              494274103        25       1,500 SH      OTHER      2       1,500       0       0
KILROY RLTY CORP                 COM               49427F108        34       1,400 SH      OTHER      2           0       0   1,400
KILROY RLTY CORP                 COM               49427F108         9         371 SH      DEFINED    5         371       0       0
KIMBERLY CLARK CORP              OPTION            494368103    17,961       3,151 CALL    OTHER      2       3,151       0       0
KIMBERLY CLARK CORP              OPTION            494368103     3,135         550 PUT     OTHER      2         550       0       0
KIMBERLY CLARK CORP              COM               494368103     8,674     152,171 SH      DEFINED    1     128,840  23,331       0
KIMBERLY CLARK CORP              COM               494368103    12,107     212,409 SH      OTHER      2     197,019       0  15,390
KIMBERLY CLARK CORP              COM               494368103     1,359      23,850 SH      OTHER      4           0       0  23,850
KIMBERLY CLARK CORP              COM               494368103     4,432      77,748 SH      DEFINED    5      54,876  22,872       0
KIMBERLY CLARK CORP              COM               494368103     8,170     143,341 SH      DEFINED    6     114,169  29,172       0
KIMBERLY CLARK CORP              COM               494368103     2,404      42,172 SH      OTHER      9      42,172       0       0
KIMBERLY CLARK CORP              COM               494368103     5,505      96,577 SH      DEFINED   10      85,502  11,075       0
KIMBERLY CLARK CORP              COM               494368103     4,080      71,584 SH      DEFINED   11      56,275  15,309       0
KIMCO REALTY CORP                COM               49446R109        33         833 SH      DEFINED    1         833       0       0
KIMCO REALTY CORP                COM               49446R109    28,791     724,305 SH      OTHER      2     679,061       0  45,244
KIMCO REALTY CORP                COM               49446R109        20         500 SH      DEFINED    6           0     500       0
KIMCO REALTY CORP                COM               49446R109        99       2,500 SH      OTHER      9       2,500       0       0
KINDER MORGAN ENERGY PTNERS      UT LTD PARTNER    494550106        26         695 SH      DEFINED    1           0     695       0
KINDER MORGAN ENERGY PTNERS      UT LTD PARTNER    494550106       191       5,169 SH      OTHER      2         334       0   4,835
KINDER MORGAN ENERGY PTNERS      UT LTD PARTNER    494550106        51       1,390 SH      DEFINED    5           0   1,390       0
KINDER MORGAN ENERGY PTNERS      UT LTD PARTNER    494550106        47       1,260 SH      OTHER      9       1,260       0       0
KING WORLD PRODTNS INC           COM               495667107     1,107      31,790 SH      OTHER      2      31,790       0       0
KING WORLD PRODTNS INC           COM               495667107       275       7,898 SH      OTHER      9       7,898       0       0
KINROSS GOLD CORP                COM               496902107         9       5,490 SH      OTHER      1       5,490       0       0
KINROSS GOLD CORP                COM               496902107         4       2,400 SH      OTHER      2           0       0   2,400
KIRIN BREWERY LTD                ADR               497350207        37         315 SH      DEFINED    1         315       0       0
KIRIN BREWERY LTD                ADR               497350207         6          50 SH      OTHER      2           0       0      50
KIRIN BREWERY LTD                ADR               497350207         2          15 SH      DEFINED    5          15       0       0
KIRIN BREWERY LTD                ADR               497350207         7          60 SH      DEFINED    6          60       0       0
KIRIN BREWERY LTD                ADR               497350207        19         160 SH      DEFINED   10          50     110       0
KIRIN BREWERY LTD                ADR               497350207        61         515 SH      DEFINED   11         230     285       0
KITTY HAWK INC                   COM               498326107        47       6,000 SH      OTHER      2       6,000       0       0
KMART FING I                     PFD TRCV 7.75%    498778208        22         380 SH      DEFINED    1         380       0       0
KMART FING I                     PFD TRCV 7.75%    498778208    14,461     247,200 SH      OTHER      2     247,200       0       0
KNAPE & VOGT MFG CO              COM               498782101         4         248 SH      OTHER      2         248       0       0
KNOLL INC                        COM               498904101        38       1,413 SH      OTHER      2           0       0   1,413
KNIGHT RIDDER INC                COM               499040103       560      10,167 SH      DEFINED    1      10,167       0       0
KNIGHT RIDDER INC                COM               499040103     2,661      48,323 SH      OTHER      2      47,223       0   1,100
KNIGHT RIDDER INC                COM               499040103       406       7,368 SH      OTHER      9       7,368       0       0
KNIGHT/TRIMARK GROUP INC         OPTION            499067106     1,824         299 CALL    OTHER      2         299       0       0
KNIGHT/TRIMARK GROUP INC         OPTION            499067106        43           7 PUT     OTHER      2           7       0       0
KNIGHT/TRIMARK GROUP INC         CL A              499067106        11         178 SH      DEFINED    1          39     139       0
KNIGHT/TRIMARK GROUP INC         CL A              499067106        61       1,000 SH      OTHER      2           0       0   1,000
KNIGHT/TRIMARK GROUP INC         CL A              499067106       305       5,000 SH      OTHER      9       5,000       0       0
KNIGHT/TRIMARK GROUP INC         CL A              499067106         5          75 SH      DEFINED   10          75       0       0
KNIGHT/TRIMARK GROUP INC         CL A              499067106         4          72 SH      DEFINED   11          72       0       0
KOGER EQUITY INC                 COM               500228101        18       1,000 SH      DEFINED    5           0   1,000       0
KOHLS CORP                       COM               500255104        28         365 SH      DEFINED    1         365       0       0
KOHLS CORP                       COM               500255104     2,153      28,002 SH      OTHER      2      23,936       0   4,066
KOHLS CORP                       COM               500255104        17         220 SH      DEFINED    6         220       0       0
KOHLS CORP                       COM               500255104       782      10,166 SH      OTHER      9      10,166       0       0
KOHLS CORP                       COM               500255104       163       2,115 SH      DEFINED   10       2,115       0       0
KOLLMORGEN CORP                  COM               500440102        30       2,000 SH      OTHER      2           0       0   2,000
KOLLMORGEN CORP                  COM               500440102        23       1,538 SH      DEFINED   11       1,538       0       0
KOMAG INC                        COM               500453105         2         720 SH      DEFINED    1         720       0       0
KOMAG INC                        COM               500453105         3       1,019 SH      DEFINED   10       1,019       0       0
KONINKLIJKE AHOLD N V            SPNSRD ADR NEW    500467303         7         212 SH      OTHER      2           0       0     212
KONINKLIJKE AHOLD N V            SPNSRD ADR NEW    500467303        59       1,708 SH      DEFINED    6       1,708       0       0
KONINKLIJKE AHOLD N V            SPNSRD ADR NEW    500467303        17         484 SH      DEFINED   10         303     181       0
KONINKLIJKE AHOLD N V            SPNSRD ADR NEW    500467303        12         352 SH      DEFINED   11         352       0       0
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD ADR NEW    500472204    13,468     133,509 SH      DEFINED    1     106,215  27,294       0
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD ADR NEW    500472204     2,339      23,191 SH      OTHER      2      20,420       0   2,771
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD ADR NEW    500472204     9,701      96,166 SH      DEFINED    5      80,602  15,564       0
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD ADR NEW    500472204     7,613      75,471 SH      DEFINED    6      59,738  15,733       0
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD ADR NEW    500472204       320       3,175 SH      OTHER      9       3,175       0       0
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD ADR NEW    500472204     6,197      61,434 SH      DEFINED   10      57,890   3,544       0
KONINKLIJKE PHILIPS ELECTRS NV   SPNSRD ADR NEW    500472204     5,363      53,166 SH      DEFINED   11      42,646  10,520       0
KONOVER PPTY TR INC              COM               50047R100         3         300 SH      DEFINED   10         300       0       0
KOOR INDS LTD                    SPON ADR          500507108        47       2,000 SH      OTHER      2       2,000       0       0
KOREA ELECTRIC PWR               SPON ADR          500631106     1,236      60,300 SH      OTHER      2      60,300       0       0
KOREA ELECTRIC PWR               SPON ADR          500631106       177       8,650 SH      OTHER      4           0       0   8,650
KOREA ELECTRIC PWR               SPON ADR          500631106         6         289 SH      DEFINED    6         289       0       0
KOREA ELECTRIC PWR               SPON ADR          500631106       293      14,300 SH      OTHER      9      14,300       0       0
KOREA ELECTRIC PWR               SPON ADR          500631106        25       1,200 SH      DEFINED   10         750     450       0
KOREA ELECTRIC PWR               SPON ADR          500631106        15         716 SH      DEFINED   11         716       0       0
KOREA FD                         COM               500634100     1,004      67,501 SH      OTHER      2           0       0  67,501
KOREAN INVT FD INC               COM               500637103        33       4,200 SH      OTHER      9       4,200       0       0
KOREA TELECOM                    SPON ADR          50063P103     2,662      66,550 SH      OTHER      2      66,550       0       0
KOS PHARMACEUTICALS INC          COM               500648100         2         370 SH      DEFINED    1           0     370       0
KROGER CO                        OPTION            501044101       419         150 PUT     OTHER      9         150       0       0
KROGER CO                        COM               501044101        54       1,920 SH      DEFINED    1       1,920       0       0
KROGER CO                        COM               501044101     2,288      81,908 SH      OTHER      2      71,756       0  10,152
KROGER CO                        COM               501044101    25,062     897,100 SH      OTHER      4           0       0 897,100
KROGER CO                        COM               501044101        46       1,640 SH      DEFINED    5       1,640       0       0
KROGER CO                        COM               501044101       142       5,073 SH      DEFINED    6       5,073       0       0
KROGER CO                        COM               501044101       166       5,928 SH      DEFINED   10       4,926   1,002       0
KROLL O GARA CO                  COM               501050108        11         480 SH      DEFINED    1           0     480       0
KROLL O GARA CO                  COM               501050108        24       1,100 SH      OTHER      2           0       0   1,100
KULICKE & SOFFA INDS INC         COM               501242101         4         165 SH      OTHER      2         165       0       0
KYOCERA CORP                     ADR               501556203       125       2,080 SH      DEFINED    1       1,740     340       0
KYOCERA CORP                     ADR               501556203       691      11,524 SH      OTHER      2       9,004       0   2,520
KYOCERA CORP                     ADR               501556203         8         130 SH      DEFINED    5         130       0       0
KYOCERA CORP                     ADR               501556203        37         610 SH      DEFINED    6         410     200       0
KYOCERA CORP                     ADR               501556203        56         940 SH      DEFINED   10         335     605       0
KYOCERA CORP                     ADR               501556203       172       2,865 SH      DEFINED   11       2,075     790       0
LAN CHILE S A                    SPON ADR          501723100        75      10,400 SH      OTHER      2      10,400       0       0
LASMO PLC                        SP ADR PREF A     501730303    11,145     450,300 SH      OTHER      2     450,300       0       0
LASMO PLC                        SP ADR PREF A     501730303        50       2,000 SH      DEFINED    5           0   2,000       0
LCC INTERNATIONAL INC            CL A              501810105        23       5,000 SH      OTHER      2       5,000       0       0
LG&E ENERGY CORP                 COM               501917108       295      14,028 SH      DEFINED    1       1,336  12,692       0
LG&E ENERGY CORP                 COM               501917108    12,173     579,653 SH      OTHER      2     579,653       0       0
LG&E ENERGY CORP                 COM               501917108       134       6,376 SH      DEFINED    5         842   5,534       0
LG&E ENERGY CORP                 COM               501917108        70       3,336 SH      DEFINED    6       3,336       0       0
LG&E ENERGY CORP                 COM               501917108       231      11,000 SH      DEFINED   11      11,000       0       0
LTV CORP NEW                     COM               501921100         0           2 SH      DEFINED    5           2       0       0
LTV CORP NEW                     COM               501921100         0          14 SH      DEFINED   11           0      14       0
LNR PPTY CORP                    COM               501940100         9         400 SH      OTHER      2           0       0     400
LNR PPTY CORP                    COM               501940100       115       5,380 SH      OTHER      9       5,380       0       0
LL & E RTY TR                    UNIT BEN INT      502003106         2       1,000 SH      DEFINED    5       1,000       0       0
LSI LOGIC CORP                   OPTION            502161102        46          10 CALL    OTHER      2          10       0       0
LSI LOGIC CORP                   COM               502161102        23         500 SH      DEFINED    1         500       0       0
LSI LOGIC CORP                   COM               502161102     2,416      52,369 SH      OTHER      2      47,269       0   5,100
LSI LOGIC CORP                   COM               502161102        46       1,000 SH      DEFINED    6       1,000       0       0
LSI LOGIC CORP                   COM               502161102     1,101      23,876 SH      OTHER      9      23,876       0       0
LSI LOGIC CORP                   SUB NT CV 144A04  502161AB8        76      47,000 PRN     OTHER      2      47,000       0       0
LTC PPTYS INC                    COM               502175102        14       1,100 SH      DEFINED    5       1,100       0       0
LTC PPTYS INC                    SB DB CV 7.75%02  502175AE2        17      20,000 PRN     DEFINED    5      20,000       0       0
LTC HEALTHCARE INC               COM               50217R104         0         231 SH      DEFINED    5         231       0       0
L-3 COMMUNICATIONS HLDGS INC     COM               502424104         8         160 SH      DEFINED   10         160       0       0
L-3 COMMUNICATIONS HLDGS INC     COM               502424104         3          56 SH      DEFINED   11           0      56       0
LVMH MOET HENNESSY LOU VUITTON   SPON ADR          502441207       156       2,605 SH      OTHER      2       2,605       0       0
LVMH MOET HENNESSY LOU VUITTON   SPON ADR          502441207         4          74 SH      DEFINED    6          74       0       0
LVMH MOET HENNESSY LOU VUITTON   SPON ADR          502441207        18         306 SH      DEFINED   10         191     115       0
LVMH MOET HENNESSY LOU VUITTON   SPON ADR          502441207         2          29 SH      DEFINED   11          29       0       0
LA Z BOY INC                     COM               505336107       112       4,860 SH      OTHER      9       4,860       0       0
LABOR READY INC                  COM NEW           505401208        19         585 SH      DEFINED    1          75     510       0
LABORATORIO CHILE SA             ADR               50540H104        27       1,500 SH      OTHER      9       1,500       0       0
LACLEDE GAS CO                   COM               505588103       135       5,802 SH      OTHER      2       5,202       0     600
LACLEDE GAS CO                   COM               505588103        11         472 SH      DEFINED    5         472       0       0
LACLEDE GAS CO                   COM               505588103        12         530 SH      DEFINED   10         530       0       0
LADISH INC                       COM NEW           505754200        16       2,000 SH      OTHER      2       2,000       0       0
LAFARGE CORP                     COM               505862102       110       3,100 SH      OTHER      9       3,100       0       0
LAIDLAW INC                      COM               50730K503       360      48,838 SH      OTHER      2      48,838       0       0
LAIDLAW INC                      COM               50730K503       175      23,719 SH      OTHER      9      23,719       0       0
LAKEHEAD PIPE LINE PARTNERS LP   COM UNIT-CL A     511557100        53       1,200 SH      DEFINED    1         400     800       0
LAKEHEAD PIPE LINE PARTNERS LP   COM UNIT-CL A     511557100       457      10,402 SH      OTHER      2           2       0  10,400
LAKEHEAD PIPE LINE PARTNERS LP   COM UNIT-CL A     511557100        31         700 SH      DEFINED    5         700       0       0
LAM RESH CORP                    OPTION            512807108        93          20 CALL    OTHER      2          20       0       0
LAM RESH CORP                    COM               512807108        67       1,444 SH      OTHER      2       1,444       0       0
LAM RESH CORP                    COM               512807108       187       4,000 SH      OTHER      9       4,000       0       0
LAMAR ADVERTISING CO             CL A              512815101         2          45 SH      DEFINED   11           0      45       0
LANCASTER COLONY CORP            COM               513847103       356      10,323 SH      OTHER      2      10,323       0       0
LANCE INC                        COM               514606102       263      16,829 SH      OTHER      2      16,829       0       0
LANCE INC                        COM               514606102         2         100 SH      DEFINED    6           0     100       0
LANDAMERICA FINL GROUP INC       COM               514936103        35       1,200 SH      DEFINED    6           0   1,200       0
LANDAMERICA FINL GROUP INC       COM               514936103       108       3,740 SH      OTHER      9       3,740       0       0
LANDMARK SYS CORP                COM               51506S100         8         780 SH      DEFINED    1           0     780       0
LANDS END INC                    COM               515086106       358       7,434 SH      OTHER      2       7,434       0       0
LANDRYS SEAFOOD RESTAURANTS      COM               51508L103         2         300 SH      OTHER      2         300       0       0
LANDSTAR SYS INC                 COM               515098101        76       2,100 SH      OTHER      9       2,100       0       0
LASALLE HOTEL PPTYS              COM SH BEN INT    517942108        63       4,110 SH      OTHER      2           0       0   4,110
LASER MTG MGMT INC               COM               51806D100        20       5,900 SH      OTHER      2       5,900       0       0
LATIN AMER INVT FD               COM               518279104         5         400 SH      OTHER      2           0       0     400
LATTICE SEMICONDUCTOR CORP       OPTION            518415104        19           3 CALL    OTHER      2           3       0       0
LAUDER ESTEE COS INC             OPTION            518439104        15           3 CALL    OTHER      2           3       0       0
LAUDER ESTEE COS INC             CL A              518439104     1,298      25,890 SH      OTHER      2      12,276       0  13,614
LAUDER ESTEE COS INC             CL A              518439104       115       2,300 SH      OTHER      9       2,300       0       0
LAWSON PRODS INC                 COM               520776105       266      10,542 SH      OTHER      2      10,542       0       0
LEAP WIRELESS INTL INC           COM               521863100       185       9,156 SH      OTHER      2       9,156       0       0
LEAP WIRELESS INTL INC           COM               521863100         2         100 SH      DEFINED    5           0     100       0
LEAR CORP                        COM               521865105        23         456 SH      DEFINED    1         388      68       0
LEAR CORP                        COM               521865105       820      16,482 SH      OTHER      2      16,482       0       0
LEAR CORP                        COM               521865105         5         106 SH      DEFINED    5         106       0       0
LEAR CORP                        COM               521865105         8         152 SH      DEFINED   10         152       0       0
LEAR CORP                        COM               521865105        46         917 SH      DEFINED   11         595     322       0
LECROY CORP                      COM               52324W109         8         340 SH      DEFINED    1           0     340       0
LEE ENTERPRISES INC              COM               523768109       332      10,883 SH      OTHER      2      10,883       0       0
LEGATO SYS INC                   COM               524651106        17         290 SH      DEFINED    1         142     148       0
LEGATO SYS INC                   COM               524651106       581      10,060 SH      OTHER      2      10,060       0       0
LEGATO SYS INC                   COM               524651106        12         206 SH      DEFINED   10         206       0       0
LEGATO SYS INC                   COM               524651106         4          76 SH      DEFINED   11          76       0       0
LEGGETT & PLATT INC              COM               524660107        23         835 SH      DEFINED    1         680     155       0
LEGGETT & PLATT INC              COM               524660107     1,350      48,548 SH      OTHER      2      48,548       0       0
LEGGETT & PLATT INC              COM               524660107         2          65 SH      DEFINED    5          65       0       0
LEGGETT & PLATT INC              COM               524660107         2          80 SH      DEFINED    6           0      80       0
LEGGETT & PLATT INC              COM               524660107        22         800 SH      OTHER      9         800       0       0
LEGGETT & PLATT INC              COM               524660107         7         250 SH      DEFINED   10           0     250       0
LEGGETT & PLATT INC              COM               524660107         3         100 SH      DEFINED   11           0     100       0
LEGG MASON INC                   OPTION            524901105         8           2 CALL    OTHER      2           2       0       0
LEGG MASON INC                   COM               524901105        39       1,001 SH      OTHER      2           1       0   1,000
LEHMAN BROS HLDGS INC            OPTION            524908100       162          26 CALL    OTHER      2          26       0       0
LEHMAN BROS HLDGS INC            OPTION            524908100       777         125 CALL    OTHER      9         125       0       0
LEHMAN BROS HLDGS INC            COM               524908100         6         100 SH      DEFINED    1         100       0       0
LEHMAN BROS HLDGS INC            COM               524908100     1,382      22,244 SH      OTHER      2      19,644       0   2,600
LEHMAN BROS HLDGS INC            COM               524908100        31         500 SH      DEFINED    5         500       0       0
LEHMAN BROS HLDGS INC            COM               524908100        15         247 SH      DEFINED    6         247       0       0
LEHMAN BROS HLDGS INC            COM               524908100       999      16,076 SH      OTHER      9      16,076       0       0
LEHMAN BROS HLDGS INC            COM               524908100        45         721 SH      DEFINED   10         179     542       0
LEHMAN BROS HLDGS INC            COM               524908100         9         148 SH      DEFINED   11         148       0       0
LENNAR CORP                      OPTION            526057104        12           5 CALL    OTHER      2           5       0       0
LENNAR CORP                      COM               526057104       173       7,208 SH      OTHER      2           0       0   7,208
LENNAR CORP                      COM               526057104       103       4,300 SH      OTHER      9       4,300       0       0
LENNAR CORP                      SR DB CV ZRO  18  526057AA2     1,298   3,011,000 PRN     OTHER      2   2,596,000       0 415,000
LENNAR CORP                      SR DB CV ZRO  18  526057AA2         6      15,000 PRN     DEFINED    5      15,000       0       0
LENNAR CORP                      SR DB CV ZRO  18  526057AA2         4       9,000 PRN     DEFINED    6       9,000       0       0
LESLIE FAY INC NEW               COM               527016109       396      61,595 SH      OTHER      2      61,595       0       0
LETS TALK CELLULAR & WIRELESS    COM               527260103        18       5,052 SH      OTHER      2       5,052       0       0
LEUCADIA NATL CORP               COM               527288104        28       1,100 SH      OTHER      9       1,100       0       0
LEVEL ONE COMMUNICATIONS INC     COM               527295109       490      10,016 SH      OTHER      2       7,700       0   2,316
LEVEL ONE COMMUNICATIONS INC     SUB NT CONV 4%04  527295AC3     2,092   1,075,000 PRN     OTHER      2   1,075,000       0       0
LEVEL 3 COMMUNICATIONS INC       OPTION            52729N100         6           1 CALL    OTHER      2           1       0       0
LEVEL 3 COMMUNICATIONS INC       OPTION            52729N100        12           2 PUT     OTHER      2           2       0       0
LEVEL 3 COMMUNICATIONS INC       COM               52729N100       286       4,765 SH      DEFINED    1       4,765       0       0
LEVEL 3 COMMUNICATIONS INC       COM               52729N100     5,152      85,778 SH      OTHER      2      85,378       0     400
LEVEL 3 COMMUNICATIONS INC       COM               52729N100         6         100 SH      DEFINED   10         100       0       0
LEVEL 3 COMMUNICATIONS INC       COM               52729N100         1          20 SH      DEFINED   11           0      20       0
LEVIATHAN GAS PIPELINE PARTNRS   PREF UNIT         527367106         5         200 SH      DEFINED    1         200       0       0
LEVIATHAN GAS PIPELINE PARTNRS   COM UNIT          527367205        24       1,000 SH      DEFINED    1           0   1,000       0
LEVIATHAN GAS PIPELINE PARTNRS   COM UNIT          527367205         0           1 SH      OTHER      2           1       0       0
LEXMARK INTL GROUP INC           CL A              529771107       109       1,663 SH      DEFINED    1         463   1,200       0
LEXMARK INTL GROUP INC           CL A              529771107     9,584     146,328 SH      OTHER      2     109,442       0  36,886
LEXMARK INTL GROUP INC           CL A              529771107         7         106 SH      DEFINED    5         106       0       0
LEXMARK INTL GROUP INC           CL A              529771107         4          60 SH      DEFINED    6          60       0       0
LEXMARK INTL GROUP INC           CL A              529771107       401       6,126 SH      OTHER      9       6,126       0       0
LEXMARK INTL GROUP INC           CL A              529771107        44         674 SH      DEFINED   10         674       0       0
LEXMARK INTL GROUP INC           CL A              529771107        63         958 SH      DEFINED   11         594     364       0
LIBERTY ALL-STAR GROWTH FD INC   COM               529900102        26       2,350 SH      DEFINED    1       2,350       0       0
LIBERTY ALL-STAR GROWTH FD INC   COM               529900102        14       1,224 SH      OTHER      2           0       0   1,224
LIBERTY ALL STAR EQUITY FD       SH BEN INT        530158104         2         121 SH      DEFINED    1           0     121       0
LIBERTY ALL STAR EQUITY FD       SH BEN INT        530158104       286      20,777 SH      OTHER      2           0       0  20,777
LIBERTY ALL STAR EQUITY FD       SH BEN INT        530158104        62       4,476 SH      DEFINED    5       4,476       0       0
LIBERTY ALL STAR EQUITY FD       SH BEN INT        530158104       274      19,949 SH      DEFINED    6       2,238  17,711       0
LIBERTY ALL STAR EQUITY FD       SH BEN INT        530158104        18       1,282 SH      DEFINED   10           0   1,282       0
LIBERTY ALL STAR EQUITY FD       SH BEN INT        530158104       127       9,263 SH      DEFINED   11           0   9,263       0
LIBERTY FINL COS INC             COM               530512102       639      21,946 SH      OTHER      2      21,946       0       0
LIBERTY PPTY TR                  SH BEN INT        531172104        17         665 SH      DEFINED    1         440     225       0
LIBERTY PPTY TR                  SH BEN INT        531172104     3,798     152,685 SH      OTHER      2     152,630       0      55
LIBERTY PPTY TR                  SH BEN INT        531172104        10         400 SH      DEFINED    5         400       0       0
LIBERTY PPTY TR                  SH BEN INT        531172104         9         345 SH      DEFINED    6         345       0       0
LIBERTY PPTY TR                  SH BEN INT        531172104        16         625 SH      DEFINED   10         285     340       0
LIBERTY PPTY TR                  SH BEN INT        531172104         2         100 SH      DEFINED   11           0     100       0
LIFE USA HLDG INC                COM NEW           531918209         1          51 SH      OTHER      2          51       0       0
LIFECORE BIOMEDICAL INC          COM               532187101        38       3,300 SH      OTHER      2       3,300       0       0
LIFEPOINT HOSPITALS INC          COM               53219L109         0          26 SH      DEFINED    1          26       0       0
LIFEPOINT HOSPITALS INC          COM               53219L109       195      14,531 SH      OTHER      2      11,876       0   2,655
LIFEPOINT HOSPITALS INC          COM               53219L109         6         461 SH      OTHER      9         461       0       0
LIFEPOINT HOSPITALS INC          COM               53219L109         6         459 SH      DEFINED   11         459       0       0
LIGAND PHARMACEUTICALS INC       WT B EX 060300    53220K116         2         406 SH      OTHER      2         406       0       0
LIHIR GOLD LTD                   SPON ADR          532349107         7         500 SH      OTHER      2         500       0       0
LILLY ELI & CO                   OPTION            532457108       430          60 CALL    OTHER      2          60       0       0
LILLY ELI & CO                   OPTION            532457108        29           4 PUT     OTHER      2           4       0       0
LILLY ELI & CO                   COM               532457108       729      10,181 SH      DEFINED    1       6,781   3,400       0
LILLY ELI & CO                   COM               532457108       149       2,080 SH      OTHER      1       2,080       0       0
LILLY ELI & CO                   COM               532457108    30,849     430,702 SH      OTHER      2     383,163       0  47,539
LILLY ELI & CO                   COM               532457108       587       8,200 SH      OTHER      4           0       0   8,200
LILLY ELI & CO                   COM               532457108     2,448      34,176 SH      DEFINED    5      23,766  10,410       0
LILLY ELI & CO                   COM               532457108     1,134      15,834 SH      DEFINED    6      13,234   2,600       0
LILLY ELI & CO                   COM               532457108     8,350     116,575 SH      OTHER      9     116,575       0       0
LILLY ELI & CO                   COM               532457108       857      11,962 SH      DEFINED   10       8,537   3,425       0
LILLY ELI & CO                   COM               532457108     2,902      40,511 SH      DEFINED   11      24,283  16,228       0
LIMITED INC                      COM               532716107       298       6,559 SH      DEFINED    1       6,088     471       0
LIMITED INC                      COM               532716107     4,211      92,812 SH      OTHER      2      85,511       0   7,301
LIMITED INC                      COM               532716107       561      12,354 SH      DEFINED    5      10,500   1,854       0
LIMITED INC                      COM               532716107       550      12,120 SH      DEFINED    6       5,308   6,812       0
LIMITED INC                      COM               532716107     2,683      59,126 SH      OTHER      9      59,126       0       0
LIMITED INC                      COM               532716107        10         211 SH      DEFINED   10         211       0       0
LIMITED INC                      COM               532716107       275       6,069 SH      DEFINED   11       4,275   1,794       0
LINCARE HLDGS INC                COM               532791100         8         318 SH      DEFINED    1          72     246       0
LINCARE HLDGS INC                COM               532791100     2,184      87,368 SH      OTHER      2      87,368       0       0
LINCARE HLDGS INC                COM               532791100        43       1,700 SH      OTHER      9       1,700       0       0
LINCARE HLDGS INC                COM               532791100         3         134 SH      DEFINED   10         134       0       0
LINCARE HLDGS INC                COM               532791100         3         128 SH      DEFINED   11         128       0       0
LINCOLN ELEC HLDGS INC           COM               533900106       428      20,885 SH      OTHER      2      19,885       0   1,000
LINCOLN NATL CORP IND            COM               534187109    10,465     200,047 SH      OTHER      2     166,447       0  33,600
LINCOLN NATL CORP IND            COM               534187109       314       6,000 SH      DEFINED    5       6,000       0       0
LINCOLN NATL CORP IND            COM               534187109       889      17,000 SH      DEFINED    6           0  17,000       0
LINCOLN NATL CORP IND            COM               534187109       766      14,639 SH      OTHER      9      14,639       0       0
LINCOLN NATL CORP IND            COM               534187109       680      13,000 SH      DEFINED   10      13,000       0       0
LINCOLN NATL CORP IND            COM               534187109       147       2,816 SH      DEFINED   11       1,216   1,600       0
LINCOLN NATL CORP IND            PFD A CONV $3     534187208       120         300 SH      DEFINED   11         300       0       0
LINDSAY MFG CO                   COM               535555106         3         190 SH      DEFINED   10         190       0       0
LINEAR TECHNOLOGY CORP           OPTION            535678106     1,614         240 CALL    OTHER      2         240       0       0
LINEAR TECHNOLOGY CORP           COM               535678106        40         600 SH      DEFINED    1         600       0       0
LINEAR TECHNOLOGY CORP           COM               535678106     8,258     122,796 SH      OTHER      2     121,796       0   1,000
LINEAR TECHNOLOGY CORP           COM               535678106       104       1,544 SH      DEFINED    5         132   1,412       0
LINEAR TECHNOLOGY CORP           COM               535678106        10         150 SH      DEFINED    6         150       0       0
LINEAR TECHNOLOGY CORP           COM               535678106       980      14,578 SH      OTHER      9      14,578       0       0
LINEAR TECHNOLOGY CORP           COM               535678106       107       1,592 SH      DEFINED   10       1,592       0       0
LINEAR TECHNOLOGY CORP           COM               535678106       145       2,150 SH      DEFINED   11       1,700     450       0
LIPOSOME CO INC                  OPTION            536310105        19          10 PUT     OTHER      2          10       0       0
LIPOSOME CO INC                  COM               536310105         2         100 SH      DEFINED    5           0     100       0
LIPOSOME CO INC                  COM               536310105        57       3,000 SH      OTHER      9       3,000       0       0
LITTELFUSE INC                   COM               537008104        19       1,000 SH      DEFINED    5           0   1,000       0
LITTON INDS INC                  COM               538021106       878      12,157 SH      OTHER      2      11,224       0     933
LIZ CLAIBORNE INC                COM               539320101       350       9,597 SH      OTHER      2       9,597       0       0
LIZ CLAIBORNE INC                COM               539320101       140       3,822 SH      OTHER      9       3,822       0       0
LO-JACK CORP                     COM               539451104        18       2,200 SH      OTHER      2       2,200       0       0
LOCKHEED MARTIN CORP             OPTION            539830109         7           2 PUT     OTHER      2           2       0       0
LOCKHEED MARTIN CORP             COM               539830109       185       4,976 SH      DEFINED    1         700   4,276       0
LOCKHEED MARTIN CORP             COM               539830109     6,261     168,093 SH      OTHER      2     167,893       0     200
LOCKHEED MARTIN CORP             COM               539830109       232       6,228 SH      DEFINED    5       4,880   1,348       0
LOCKHEED MARTIN CORP             COM               539830109        22         600 SH      DEFINED    6         600       0       0
LOCKHEED MARTIN CORP             COM               539830109       912      24,493 SH      OTHER      9      24,493       0       0
LOCKHEED MARTIN CORP             COM               539830109        37       1,000 SH      DEFINED   10           0   1,000       0
LOCKHEED MARTIN CORP             COM               539830109     1,119      30,030 SH      DEFINED   11       2,430  27,600       0
LOEWS CORP                       COM               540424108       123       1,560 SH      DEFINED    1       1,560       0       0
LOEWS CORP                       COM               540424108     1,290      16,306 SH      OTHER      2      16,306       0       0
LOEWS CORP                       COM               540424108       558       7,050 SH      DEFINED    5         250   6,800       0
LOEWS CORP                       COM               540424108        42         535 SH      DEFINED    6         535       0       0
LOEWS CORP                       COM               540424108       537       6,783 SH      OTHER      9       6,783       0       0
LOEWS CORP                       COM               540424108        23         295 SH      DEFINED   10          90     205       0
LOEWS CORP                       COM               540424108        29         370 SH      DEFINED   11         370       0       0
LOEWEN GROUP INC                 COM               54042L100        21      33,000 SH      OTHER      2      33,000       0       0
LONDON INTL GROUP PLC            SPON ADR          541833307         0          24 SH      OTHER      2          24       0       0
LONDON PAC GROUP LTD             SPON ADR          542073101       160       6,967 SH      OTHER      2       6,967       0       0
LONDON PAC GROUP LTD             SPON ADR          542073101        67       2,900 SH      OTHER      9       2,900       0       0
LONE STAR INDS INC               OPTION            542290408        94          25 CALL    OTHER      2          25       0       0
LONE STAR INDS INC               COM NEW           542290408     2,270      60,440 SH      OTHER      2      60,240       0     200
LONE STAR STEAKHOUSE SALOON      COM               542307103       110      11,349 SH      OTHER      2      11,349       0       0
LONE STAR STEAKHOUSE SALOON      COM               542307103        96       9,900 SH      OTHER      9       9,900       0       0
LONG BEACH FINL CORP             COM               542446109        90       6,100 SH      OTHER      9       6,100       0       0
LONGS DRUG STORES CORP           COM               543162101       297       8,591 SH      OTHER      2       8,591       0       0
LONGS DRUG STORES CORP           COM               543162101       108       3,119 SH      OTHER      9       3,119       0       0
LONGS DRUG STORES CORP           COM               543162101         7         200 SH      DEFINED   10         200       0       0
LONGVIEW FIBRE CO                COM               543213102       198      12,699 SH      OTHER      2      12,699       0       0
LOUIS DREYFUS NAT GAS CORP       COM               546011107         0          10 SH      DEFINED    1          10       0       0
LOUISIANA PAC CORP               OPTION            546347105       239         100 CALL    OTHER      2         100       0       0
LOUISIANA PAC CORP               COM               546347105       377      15,793 SH      OTHER      2      15,793       0       0
LOUISIANA PAC CORP               COM               546347105         8         356 SH      DEFINED    5         356       0       0
LOUISIANA PAC CORP               COM               546347105       207       8,686 SH      OTHER      9       8,686       0       0
LOUISIANA PAC CORP               COM               546347105        24       1,020 SH      DEFINED   11       1,020       0       0
LOWES COS INC                    OPTION            548661107        96          17 CALL    OTHER      2          17       0       0
LOWES COS INC                    OPTION            548661107        85          15 PUT     OTHER      2          15       0       0
LOWES COS INC                    COM               548661107       617      10,890 SH      DEFINED    1       8,810   2,080       0
LOWES COS INC                    COM               548661107     8,973     158,284 SH      OTHER      2      75,398       0  82,886
LOWES COS INC                    COM               548661107    14,460     255,091 SH      OTHER      4           0       0 255,091
LOWES COS INC                    COM               548661107        77       1,351 SH      DEFINED    5       1,051     300       0
LOWES COS INC                    COM               548661107        39         689 SH      DEFINED    6         654      35       0
LOWES COS INC                    COM               548661107       187       3,302 SH      DEFINED   10       2,541     761       0
LOWES COS INC                    COM               548661107       260       4,595 SH      DEFINED   11         535   4,060       0
LUBRIZOL CORP                    COM               549271104       374      13,738 SH      OTHER      2      13,638       0     100
LUBRIZOL CORP                    COM               549271104        30       1,090 SH      DEFINED    5           0   1,090       0
LUBYS INC                        COM               549282101        21       1,400 SH      OTHER      9       1,400       0       0
LUCENT TECHNOLOGIES INC          OPTION            549463107     2,502         371 CALL    OTHER      2         371       0       0
LUCENT TECHNOLOGIES INC          OPTION            549463107    27,312       4,050 CALL    OTHER      9       4,050       0       0
LUCENT TECHNOLOGIES INC          OPTION            549463107       479          71 PUT     OTHER      2          71       0       0
LUCENT TECHNOLOGIES INC          OPTION            549463107     6,069         900 PUT     OTHER      9         900       0       0
LUCENT TECHNOLOGIES INC          COM               549463107    17,944     266,081 SH      DEFINED    1     214,782  51,299       0
LUCENT TECHNOLOGIES INC          COM               549463107   497,684   7,379,990 SH      OTHER      2   7,228,349       0 151,641
LUCENT TECHNOLOGIES INC          COM               549463107       140       2,076 SH      OTHER      4           0       0   2,076
LUCENT TECHNOLOGIES INC          COM               549463107    26,770     396,962 SH      DEFINED    5     290,826 106,136       0
LUCENT TECHNOLOGIES INC          COM               549463107    13,734     203,650 SH      DEFINED    6     140,442  63,208       0
LUCENT TECHNOLOGIES INC          COM               549463107    19,087     283,028 SH      OTHER      9     283,028       0       0
LUCENT TECHNOLOGIES INC          COM               549463107     7,275     107,876 SH      DEFINED   10      91,600  16,276       0
LUCENT TECHNOLOGIES INC          COM               549463107    14,065     208,566 SH      DEFINED   11     157,047  51,519       0
LUFKIN INDS INC                  COM               549764108        50       2,500 SH      OTHER      2       2,500       0       0
LUXOTTICA GROUP S P A            SPON ADR          55068R202        59       3,800 SH      OTHER      2           0       0   3,800
LUXOTTICA GROUP S P A            SPON ADR          55068R202        75       4,800 SH      OTHER      9       4,800       0       0
LUXOTTICA GROUP S P A            SPON ADR          55068R202       156      10,000 SH      DEFINED   11           0  10,000       0
LYCOS INC                        OPTION            550818108       818          89 CALL    OTHER      2          89       0       0
LYCOS INC                        OPTION            550818108       257          28 PUT     OTHER      2          28       0       0
LYCOS INC                        COM               550818108       138       1,500 SH      DEFINED    1       1,000     500       0
LYCOS INC                        COM               550818108    11,510     125,281 SH      OTHER      2     114,735       0  10,546
LYCOS INC                        COM               550818108     2,437      26,524 SH      OTHER      9      26,524       0       0
LYONDELL CHEMICAL CO             COM               552078107       576      27,938 SH      OTHER      2      27,538       0     400
M & T BK CORP                    COM               55261F104        25          45 SH      OTHER      2          45       0       0
MAF BANCORP INC                  COM               55261R108       107       4,400 SH      OTHER      9       4,400       0       0
MAI SYSTEMS CORP                 COM               552620205        16       5,000 SH      OTHER      2           0       0   5,000
MBIA INC                         COM               55262C100        12         190 SH      DEFINED    1         190       0       0
MBIA INC                         COM               55262C100     4,905      75,751 SH      OTHER      2      66,321       0   9,430
MBIA INC                         COM               55262C100       401       6,196 SH      OTHER      9       6,196       0       0
MBIA INC                         COM               55262C100        35         540 SH      DEFINED   10         540       0       0
MBIA INC                         COM               55262C100        91       1,400 SH      DEFINED   11           0   1,400       0
MBNA CORP                        OPTION            55262L100        12           4 CALL    OTHER      2           4       0       0
MBNA CORP                        COM               55262L100       199       6,514 SH      OTHER      1       6,514       0       0
MBNA CORP                        COM               55262L100       188       6,145 SH      DEFINED    1       4,698   1,447       0
MBNA CORP                        COM               55262L100    21,488     701,665 SH      OTHER      2     356,354       0 345,311
MBNA CORP                        COM               55262L100        72       2,337 SH      DEFINED    5       2,337       0       0
MBNA CORP                        COM               55262L100       218       7,113 SH      DEFINED    6       3,888   3,225       0
MBNA CORP                        COM               55262L100     1,525      49,782 SH      OTHER      9      49,782       0       0
MBNA CORP                        COM               55262L100       424      13,830 SH      DEFINED   10      12,317   1,513       0
MBNA CORP                        COM               55262L100       218       7,108 SH      DEFINED   11       7,108       0       0
MBL INTL FIN BERMUDA TR          GTD NT EXCH 3%02  55262XAA2     3,936   3,821,000 PRN     OTHER      9   3,821,000       0       0
M D C HLDGS INC                  COM               552676108       120       5,560 SH      OTHER      9       5,560       0       0
MCN ENERGY GROUP INC             OPTION            55267J100        12           6 CALL    OTHER      2           6       0       0
MCN ENERGY GROUP INC             COM               55267J100       131       6,309 SH      DEFINED    1       5,559     750       0
MCN ENERGY GROUP INC             COM               55267J100     1,079      52,022 SH      OTHER      2      19,537       0  32,485
MCN ENERGY GROUP INC             COM               55267J100        28       1,344 SH      DEFINED    5         200   1,144       0
MCN ENERGY GROUP INC             COM               55267J100        45       2,178 SH      DEFINED    6       2,178       0       0
MCN ENERGY GROUP INC             COM               55267J100        12         600 SH      OTHER      9         600       0       0
MCN ENERGY GROUP INC             COM               55267J100         8         400 SH      DEFINED   11         400       0       0
MCI WORLDCOM INC                 OPTION            55268B106    11,687       1,358 CALL    OTHER      2       1,358       0       0
MCI WORLDCOM INC                 OPTION            55268B106    28,788       3,345 PUT     OTHER      2       3,345       0       0
MCI WORLDCOM INC                 COM               55268B106       591       6,865 SH      OTHER      1       6,865       0       0
MCI WORLDCOM INC                 COM               55268B106    14,643     170,150 SH      DEFINED    1     116,087  54,063       0
MCI WORLDCOM INC                 COM               55268B106    64,488     749,315 SH      OTHER      2     649,385       0  99,930
MCI WORLDCOM INC                 COM               55268B106    30,530     354,750 SH      OTHER      4           0       0 354,750
MCI WORLDCOM INC                 COM               55268B106     3,050      35,445 SH      DEFINED    5      26,894   8,551       0
MCI WORLDCOM INC                 COM               55268B106     5,390      62,624 SH      DEFINED    6      54,884   7,740       0
MCI WORLDCOM INC                 COM               55268B106       452       5,256 SH      OTHER      9       5,256       0       0
MCI WORLDCOM INC                 COM               55268B106     4,768      55,405 SH      DEFINED   10      48,995   6,410       0
MCI WORLDCOM INC                 COM               55268B106     8,802     102,274 SH      DEFINED   11      83,020  19,254       0
MDU RES GROUP INC                COM               552690109        41       1,800 SH      DEFINED    1       1,800       0       0
MDU RES GROUP INC                COM               552690109       141       6,165 SH      DEFINED    5       2,250   3,915       0
MDU RES GROUP INC                COM               552690109        72       3,150 SH      DEFINED    6       3,150       0       0
MDU RES GROUP INC                COM               552690109         7         300 SH      DEFINED   11         300       0       0
MFS CHARTER INCOME TR            SH BEN INT        552727109       175      19,700 SH      DEFINED    1      19,700       0       0
MFS CHARTER INCOME TR            SH BEN INT        552727109       216      24,303 SH      OTHER      2           0       0  24,303
MFS CHARTER INCOME TR            SH BEN INT        552727109        40       4,496 SH      DEFINED    5       3,496   1,000       0
MFS MULTIMARKET INCOME TR        SH BEN INT        552737108        14       2,209 SH      DEFINED    1           0   2,209       0
MFS MULTIMARKET INCOME TR        SH BEN INT        552737108        32       5,000 SH      OTHER      2           0       0   5,000
MFS MULTIMARKET INCOME TR        SH BEN INT        552737108         6       1,000 SH      DEFINED    5       1,000       0       0
MFS MULTIMARKET INCOME TR        SH BEN INT        552737108         3         500 SH      DEFINED   11         500       0       0
MFS MUN INCOME TR                SH BEN INT        552738106         4         500 SH      OTHER      2           0       0     500
MFS MUN INCOME TR                SH BEN INT        552738106        32       3,955 SH      DEFINED    5       2,305   1,650       0
MFS INTER INCOME TR              SH BEN INT        55273C107         6       1,000 SH      DEFINED    1       1,000       0       0
MFS INTER INCOME TR              SH BEN INT        55273C107        88      13,650 SH      OTHER      2           0       0  13,650
MFS INTER INCOME TR              SH BEN INT        55273C107         6       1,000 SH      DEFINED    5       1,000       0       0
MFS INTER INCOME TR              SH BEN INT        55273C107        55       8,500 SH      DEFINED   11       8,500       0       0
MGIC INVT CORP WIS               COM               552848103        73       1,510 SH      DEFINED    1       1,510       0       0
MGIC INVT CORP WIS               COM               552848103     9,033     185,763 SH      OTHER      2     131,723       0  54,040
MGIC INVT CORP WIS               COM               552848103        88       1,800 SH      DEFINED    5       1,800       0       0
MGIC INVT CORP WIS               COM               552848103        22         450 SH      DEFINED    6           0     450       0
MGIC INVT CORP WIS               COM               552848103       329       6,772 SH      OTHER      9       6,772       0       0
MGIC INVT CORP WIS               COM               552848103        21         425 SH      DEFINED   10         425       0       0
MGIC INVT CORP WIS               COM               552848103        27         550 SH      DEFINED   11         550       0       0
MGI PPTYS INC                    COM               552885105        14         500 SH      DEFINED    5           0     500       0
M A R C INC                      COM               552914103         8         565 SH      DEFINED    1           0     565       0
MFS GOVT MKTS INCOME TR          SH BEN INT        552939100        88      14,000 SH      OTHER      2           0       0  14,000
MFS GOVT MKTS INCOME TR          SH BEN INT        552939100        25       4,000 SH      DEFINED    5       1,000   3,000       0
MRV COMMUNICATIONS INC           COM               553477100        33       2,484 SH      OTHER      2       2,484       0       0
MSC INDL DIRECT INC              CL A              553530106         6         600 SH      OTHER      9         600       0       0
MSC INDL DIRECT INC              CL A              553530106         4         395 SH      DEFINED   10         395       0       0
M S CARRIERS INC                 COM               553533100        60       2,017 SH      OTHER      2       2,017       0       0
MTS SYS CORP                     COM               553777103        24       2,000 SH      OTHER      2       2,000       0       0
MACDERMID INC                    COM               554273102     2,359      50,740 SH      OTHER      2      50,740       0       0
MACDERMID INC                    COM               554273102        28         600 SH      DEFINED    6           0     600       0
MACERICH CO                      COM               554382101    25,395     967,421 SH      OTHER      2     967,421       0       0
MACERICH CO                      COM               554382101        50       1,900 SH      DEFINED   10       1,900       0       0
MACK CALI RLTY CORP              COM               554489104         9         276 SH      DEFINED    1          63     213       0
MACK CALI RLTY CORP              COM               554489104    28,197     911,424 SH      OTHER      2     911,424       0       0
MACK CALI RLTY CORP              COM               554489104         9         300 SH      DEFINED    6           0     300       0
MACK CALI RLTY CORP              COM               554489104       102       3,300 SH      OTHER      9       3,300       0       0
MACK CALI RLTY CORP              COM               554489104         4         117 SH      DEFINED   10         117       0       0
MACK CALI RLTY CORP              COM               554489104         3         111 SH      DEFINED   11         111       0       0
MACKENZIE FINL CORP              COM               554531103        29       2,670 SH      OTHER      1       1,360       0       0
MACKENZIE FINL CORP              COM               554531103        29       2,699 SH      OTHER      2       2,699       0       0
MACMILLAN BLOEDEL LTD            COM               554783209       738      41,000 SH      OTHER      2      41,000       0       0
MACROCHEM CORP DEL               COM               555903103        39       6,600 SH      OTHER      2       4,600       0   2,000
MACROMEDIA INC                   COM               556100105       553      15,688 SH      OTHER      2      15,688       0       0
MACROMEDIA INC                   COM               556100105       141       4,000 SH      OTHER      9       4,000       0       0
MADECO SA                        SPON ADR          556304103       638      63,000 SH      OTHER      2      63,000       0       0
MADISON GAS & ELEC CO            COM               557497104        14         707 SH      OTHER      2         707       0       0
MAGELLAN HEALTH SVCS INC         COM               559079108         9         875 SH      DEFINED    1         875       0       0
MAGNA INTL INC                   CL A              559222401     1,647      29,030 SH      OTHER      2      29,030       0       0
MAGNA INTL INC                   SUB DEB CV 5%02   559222AE4       122     112,000 PRN     OTHER      2     112,000       0       0
MAGNA INTL INC                   SBDB CV 4.875%05  559222AG9         6       6,000 PRN     DEFINED    6       6,000       0       0
MAGNETEK INC                     COM               559424106        84       7,986 SH      OTHER      2       7,986       0       0
MAGYAR TAVKOZLESI RT             SPON ADR          559776109       550      20,000 SH      OTHER      2      20,000       0       0
MAIL-WELL INC                    COM               560321200        13         776 SH      DEFINED    1         175     601       0
MAIL-WELL INC                    COM               560321200       259      16,000 SH      OTHER      2           0       0  16,000
MAIL-WELL INC                    COM               560321200       120       7,400 SH      OTHER      9       7,400       0       0
MAIL-WELL INC                    COM               560321200         5         330 SH      DEFINED   10         330       0       0
MAIL-WELL INC                    COM               560321200         5         287 SH      DEFINED   11         287       0       0
MAINE PUB SVC CO                 COM               560483109        36       2,000 SH      DEFINED    6           0   2,000       0
MAKITA CORP                      ADR NEW           560877300         2         207 SH      OTHER      2         207       0       0
MALLINCKRODT INC NEW             COM               561232109       393      10,792 SH      OTHER      2      10,792       0       0
MALLINCKRODT INC NEW             COM               561232109        22         603 SH      DEFINED    5         603       0       0
MALLINCKRODT INC NEW             COM               561232109       305       8,383 SH      OTHER      9       8,383       0       0
MALLINCKRODT INC NEW             COM               561232109        66       1,810 SH      DEFINED   11           0   1,810       0
MANAGED MUNS PORTFOLIO INC       COM               561662107        79       7,450 SH      DEFINED    5       2,950   4,500       0
MANITOWOC INC                    COM               563571108        10         249 SH      OTHER      2         249       0       0
MANPOWER INC                     COM               56418H100         6         275 SH      DEFINED    1         275       0       0
MANPOWER INC                     COM               56418H100       445      19,647 SH      OTHER      2      19,647       0       0
MANPOWER INC                     COM               56418H100        23       1,000 SH      OTHER      9       1,000       0       0
MANUFACTURED HOME CMNTYS INC     COM               564682102        42       1,600 SH      DEFINED    1       1,600       0       0
MANUFACTURED HOME CMNTYS INC     COM               564682102    18,471     710,409 SH      OTHER      2     709,509       0     900
MAPINFO CORP                     COM               565105103        19       1,000 SH      DEFINED    5       1,000       0       0
MARINE TRANS CORP                COM               567912100        36      10,000 SH      OTHER      2           0       0  10,000
MARINE DRILLING COS INC          OPTION            568240204        14          10 CALL    OTHER      2          10       0       0
MARINE DRILLING COS INC          OPTION            568240204        14          10 PUT     OTHER      2          10       0       0
MARINE DRILLING COS INC          COM PAR $0.01     568240204         3         200 SH      DEFINED    1         200       0       0
MARINE DRILLING COS INC          COM PAR $0.01     568240204         3         209 SH      DEFINED   10         209       0       0
MARK IV INDS INC                 COM               570387100       322      15,239 SH      OTHER      2      15,008       0     231
MARSH & MCLENNAN COS INC         COM               571748102     6,192      81,811 SH      DEFINED    1      68,947  12,864       0
MARSH & MCLENNAN COS INC         COM               571748102    18,880     249,443 SH      OTHER      2     241,248       0   8,195
MARSH & MCLENNAN COS INC         COM               571748102     3,459      45,697 SH      DEFINED    5      37,797   7,900       0
MARSH & MCLENNAN COS INC         COM               571748102     3,854      50,925 SH      DEFINED    6      45,851   5,074       0
MARSH & MCLENNAN COS INC         COM               571748102     1,237      16,344 SH      OTHER      9      16,344       0       0
MARSH & MCLENNAN COS INC         COM               571748102     1,769      23,378 SH      DEFINED   10      21,123   2,255       0
MARSH & MCLENNAN COS INC         COM               571748102     5,110      67,521 SH      DEFINED   11      55,049  12,472       0
MARSHALL & ILSLEY CORP           OPTION            571834100        84          13 CALL    OTHER      2          13       0       0
MARSHALL & ILSLEY CORP           COM               571834100     2,370      36,809 SH      OTHER      2      36,809       0       0
MARRIOTT INTL INC NEW            CL A              571903202       979      26,195 SH      DEFINED    1      24,395   1,800       0
MARRIOTT INTL INC NEW            CL A              571903202     2,188      58,533 SH      OTHER      2      58,133       0     400
MARRIOTT INTL INC NEW            CL A              571903202        95       2,550 SH      DEFINED    5       2,350     200       0
MARRIOTT INTL INC NEW            CL A              571903202       659      17,626 SH      OTHER      9      17,626       0       0
MARRIOTT INTL INC NEW            CL A              571903202        30         800 SH      DEFINED   11           0     800       0
MARTIN MARIETTA MATLS INC        COM               573284106       677      11,476 SH      OTHER      2      11,476       0       0
MARVEL ENTERPRISES INC           COM               57383M108         0          34 SH      OTHER      2          34       0       0
MASCO CORP                       COM               574599106       954      33,044 SH      DEFINED    1      30,184   2,860       0
MASCO CORP                       COM               574599106     4,337     150,205 SH      OTHER      2     147,877       0   2,328
MASCO CORP                       COM               574599106       193       6,695 SH      DEFINED    5       5,095   1,600       0
MASCO CORP                       COM               574599106     1,160      40,190 SH      DEFINED    6      38,395   1,795       0
MASCO CORP                       COM               574599106       755      26,131 SH      OTHER      9      26,131       0       0
MASCO CORP                       COM               574599106       695      24,080 SH      DEFINED   10      12,620  11,460       0
MASCO CORP                       COM               574599106       201       6,965 SH      DEFINED   11       5,385   1,580       0
MASISA S A                       SPON ADR          574799102        84       8,000 SH      OTHER      9       8,000       0       0
MASSMUTUAL CORPORATE INVS INC    COM               576292106        86       3,846 SH      DEFINED    1       3,846       0       0
MASTEC INC                       OPTION            576323109        28          10 CALL    OTHER      2          10       0       0
MASTECH CORP                     COM               57632N105         5         270 SH      DEFINED    1           0     270       0
MATRIA HEALTHCARE INC            COM               576817100         7         931 SH      DEFINED    1           0     931       0
MATSUSHITA ELEC INDL             ADR               576879209        59         300 SH      DEFINED    1         300       0       0
MATSUSHITA ELEC INDL             ADR               576879209         4          20 SH      DEFINED    5          20       0       0
MATSUSHITA ELEC INDL             ADR               576879209        24         121 SH      DEFINED    6         121       0       0
MATSUSHITA ELEC INDL             ADR               576879209        16          82 SH      DEFINED   10          49      33       0
MATSUSHITA ELEC INDL             ADR               576879209        26         130 SH      DEFINED   11         130       0       0
MATTEL INC                       COM               577081102     8,271     316,584 SH      DEFINED    1     257,232  59,352       0
MATTEL INC                       COM               577081102     5,676     217,264 SH      OTHER      2     203,156       0  14,108
MATTEL INC                       COM               577081102     3,602     137,880 SH      DEFINED    5     117,631  20,249       0
MATTEL INC                       COM               577081102     4,171     159,667 SH      DEFINED    6     132,242  27,425       0
MATTEL INC                       COM               577081102       660      25,263 SH      OTHER      9      25,263       0       0
MATTEL INC                       COM               577081102     1,442      55,215 SH      DEFINED   10      54,140   1,075       0
MATTEL INC                       COM               577081102     3,455     132,254 SH      DEFINED   11     110,783  21,471       0
MATTHEWS INTL CORP               CL A              577128101        15         520 SH      DEFINED    1           0     520       0
MATTSON TECHNOLOGY INC           OPTION            577223100       189         150 CALL    OTHER      2         150       0       0
MAVESA S A                       SPON ADR          577717101       621     190,955 SH      OTHER      2     190,955       0       0
MAXTOR CORP                      OPTION            577729205         5          10 CALL    OTHER      2          10       0       0
MAXTOR CORP                      COM NEW           577729205         5       1,001 SH      OTHER      2           1       0   1,000
MAXIM INTEGRATED PRODS INC       COM               57772K101        32         475 SH      DEFINED    1         390      85       0
MAXIM INTEGRATED PRODS INC       COM               57772K101     5,497      82,664 SH      OTHER      2      82,664       0       0
MAXIM INTEGRATED PRODS INC       COM               57772K101         3          40 SH      DEFINED    5          40       0       0
MAXIM INTEGRATED PRODS INC       COM               57772K101         3          40 SH      DEFINED    6           0      40       0
MAXIM INTEGRATED PRODS INC       COM               57772K101       386       5,806 SH      OTHER      9       5,806       0       0
MAXIM INTEGRATED PRODS INC       COM               57772K101        11         160 SH      DEFINED   10           0     160       0
MAXIM INTEGRATED PRODS INC       COM               57772K101     5,158      77,565 SH      DEFINED   11      77,500      65       0
MAY DEPT STORES CO               COM               577778103     3,004      73,493 SH      DEFINED    1      61,244  12,249       0
MAY DEPT STORES CO               COM               577778103   308,973   7,558,970 SH      OTHER      2   7,554,050       0   4,920
MAY DEPT STORES CO               COM               577778103     1,482      36,247 SH      DEFINED    5      27,672   8,575       0
MAY DEPT STORES CO               COM               577778103     2,827      69,172 SH      DEFINED    6      59,414   9,758       0
MAY DEPT STORES CO               COM               577778103       898      21,961 SH      OTHER      9      21,961       0       0
MAY DEPT STORES CO               COM               577778103     3,928      96,086 SH      DEFINED   10      86,204   9,882       0
MAY DEPT STORES CO               COM               577778103     2,532      61,934 SH      DEFINED   11      48,588  13,346       0
MAXXIM MED INC                   COM               57777G105        11         475 SH      DEFINED    1           0     475       0
MAXICARE HEALTH PLANS INC        COM NEW           577904204         3         631 SH      OTHER      2         631       0       0
MAXXAM INC                       COM               577913106       111       1,714 SH      OTHER      2       1,714       0       0
MAYTAG CORP                      OPTION            578592107     3,491         500 PUT     OTHER      2         500       0       0
MAYTAG CORP                      COM               578592107     1,163      16,660 SH      DEFINED    1      16,660       0       0
MAYTAG CORP                      COM               578592107     4,304      61,645 SH      OTHER      2      59,880       0   1,765
MAYTAG CORP                      COM               578592107       166       2,376 SH      DEFINED    5       1,976     400       0
MAYTAG CORP                      COM               578592107       763      10,930 SH      DEFINED    6      10,150     780       0
MAYTAG CORP                      COM               578592107       374       5,361 SH      OTHER      9       5,361       0       0
MAYTAG CORP                      COM               578592107     7,386     105,797 SH      DEFINED   10       5,797 100,000       0
MAYTAG CORP                      COM               578592107       508       7,270 SH      DEFINED   11       4,009   3,261       0
MCCLATCHY CO                     CL A              579489105       133       4,000 SH      OTHER      2       4,000       0       0
MCCORMICK & CO INC               OPTION            579780206         9           3 CALL    OTHER      2           3       0       0
MCCORMICK & CO INC               COM NON VTG       579780206       583      18,460 SH      OTHER      2      17,875       0     585
MCDERMOTT INTL INC               COM               580037109       750      26,553 SH      OTHER      2      26,253       0     300
MCDERMOTT INTL INC               COM               580037109       352      12,451 SH      OTHER      9      12,451       0       0
MCDONALDS CORP                   OPTION            580135101     7,201       1,751 CALL    OTHER      2       1,751       0       0
MCDONALDS CORP                   OPTION            580135101     4,113       1,000 CALL    OTHER      9       1,000       0       0
MCDONALDS CORP                   OPTION            580135101    15,216       3,700 PUT     OTHER      2       3,700       0       0
MCDONALDS CORP                   OPTION            580135101     4,113       1,000 PUT     OTHER      9       1,000       0       0
MCDONALDS CORP                   COM               580135101     9,520     231,481 SH      DEFINED    1     196,674  34,807       0
MCDONALDS CORP                   COM               580135101       187       4,540 SH      OTHER      1       4,540       0       0
MCDONALDS CORP                   COM               580135101    25,165     611,906 SH      OTHER      2     534,404       0  77,502
MCDONALDS CORP                   COM               580135101        16         400 SH      OTHER      4           0       0     400
MCDONALDS CORP                   COM               580135101     6,060     147,346 SH      DEFINED    5     120,056  27,290       0
MCDONALDS CORP                   COM               580135101     7,534     183,186 SH      DEFINED    6     134,095  49,091       0
MCDONALDS CORP                   COM               580135101    11,757     285,882 SH      DEFINED   10     260,492  25,390       0
MCDONALDS CORP                   COM               580135101     6,577     159,932 SH      DEFINED   11     133,502  26,430       0
MCGRATH RENTCORP                 COM               580589109        14         690 SH      DEFINED    1           0     690       0
MCGRAW HILL COS INC              COM               580645109        45         832 SH      DEFINED    1         832       0       0
MCGRAW HILL COS INC              COM               580645109    10,455     193,839 SH      OTHER      2     181,459       0  12,380
MCGRAW HILL COS INC              COM               580645109       743      13,781 SH      DEFINED    5       7,981   5,800       0
MCGRAW HILL COS INC              COM               580645109       280       5,200 SH      DEFINED    6       5,200       0       0
MCGRAW HILL COS INC              COM               580645109       754      13,973 SH      OTHER      9      13,973       0       0
MCGRAW HILL COS INC              COM               580645109       228       4,227 SH      DEFINED   10       2,227   2,000       0
MCGRAW HILL COS INC              COM               580645109        43         800 SH      DEFINED   11         500     300       0
MCKESSON HBOC INC                OPTION            58155Q103        42          13 CALL    OTHER      2          13       0       0
MCKESSON HBOC INC                COM               58155Q103       374      11,607 SH      DEFINED    1      10,738     869       0
MCKESSON HBOC INC                COM               58155Q103     3,148      97,805 SH      OTHER      2      96,809       0     996
MCKESSON HBOC INC                COM               58155Q103        11         331 SH      DEFINED    5         331       0       0
MCKESSON HBOC INC                COM               58155Q103        63       1,971 SH      DEFINED    6       1,971       0       0
MCKESSON HBOC INC                COM               58155Q103       712      22,122 SH      OTHER      9      22,122       0       0
MCKESSON HBOC INC                COM               58155Q103        59       1,842 SH      DEFINED   10       1,842       0       0
MCKESSON HBOC INC                COM               58155Q103        42       1,308 SH      DEFINED   11           0   1,308       0
MCLEODUSA INC                    OPTION            582266102       121          22 CALL    OTHER      2          22       0       0
MCLEODUSA INC                    COM               582266102       729      13,256 SH      OTHER      2      13,256       0       0
MCLEODUSA INC                    COM               582266102        17         300 SH      OTHER      9         300       0       0
MCMORAN EXPLORATION CO           COM               582411104         0          12 SH      DEFINED    1          12       0       0
MCMORAN EXPLORATION CO           COM               582411104         1          50 SH      DEFINED    5           0      50       0
MCWHORTER TECHNOLOGIES INC       COM               582803102        38       2,600 SH      OTHER      2       2,600       0       0
MCWHORTER TECHNOLOGIES INC       COM               582803102         4         280 SH      DEFINED   10         280       0       0
MEAD CORP                        COM               582834107        49       1,170 SH      DEFINED    1       1,046     124       0
MEAD CORP                        COM               582834107       622      14,893 SH      OTHER      2      14,893       0       0
MEAD CORP                        COM               582834107        61       1,460 SH      DEFINED    5       1,460       0       0
MEAD CORP                        COM               582834107         3          77 SH      DEFINED    6          77       0       0
MEAD CORP                        COM               582834107       468      11,203 SH      OTHER      9      11,203       0       0
MEAD CORP                        COM               582834107        78       1,870 SH      DEFINED   10         235   1,635       0
MEADOWBROOK INS GROUP INC        COM               58319P108        18       1,300 SH      OTHER      2       1,300       0       0
MEADOWCRAFT INC                  COM               583204102         0         435 SH      DEFINED    1           0     435       0
MEDAPHIS CORP                    COM               584028104         5         900 SH      OTHER      2           0       0     900
MEDIA ARTS GROUP INC             COM               58439C102         0           4 SH      OTHER      2           4       0       0
MEDIA GEN INC                    CL A              584404107       387       7,580 SH      OTHER      2       6,580       0   1,000
MEDIA GEN INC                    CL A              584404107        25         492 SH      DEFINED   11         492       0       0
MEDIAONE GROUP INC               OPTION            58440J104     2,997         403 CALL    OTHER      2         403       0       0
MEDIAONE GROUP INC               COM               58440J104       432       5,814 SH      DEFINED    1       4,586   1,228       0
MEDIAONE GROUP INC               COM               58440J104   143,409   1,928,182 SH      OTHER      2   1,925,698       0   2,484
MEDIAONE GROUP INC               COM               58440J104       808      10,864 SH      DEFINED    5       5,352   5,512       0
MEDIAONE GROUP INC               COM               58440J104       344       4,622 SH      DEFINED    6       3,976     646       0
MEDIAONE GROUP INC               COM               58440J104    64,935     873,078 SH      OTHER      9     873,078       0       0
MEDIAONE GROUP INC               COM               58440J104       289       3,883 SH      DEFINED   10       1,240   2,643       0
MEDIAONE GROUP INC               COM               58440J104       362       4,870 SH      DEFINED   11       4,367     503       0
MEDIAONE GROUP INC               PFD CV SER D      58440J203     2,495      16,656 SH      OTHER      2      16,656       0       0
MEDIAONE GROUP INC               PFD CV SER D      58440J203    11,236      75,000 SH      OTHER      9      75,000       0       0
MEDIALINK WORLDWIDE INC          COM               58445P105        30       1,900 SH      OTHER      2       1,900       0       0
MEDICAL ASSURN INC               COM               58449U100       310      10,956 SH      OTHER      2           0       0  10,956
MEDICIS PHARMACEUTICAL CORP      OPTION            584690309        25          10 PUT     OTHER      2          10       0       0
MEDICIS PHARMACEUTICAL CORP      CL A NEW          584690309        24         950 SH      OTHER      9         950       0       0
MEDIMMUNE INC                    COM               584699102        27         400 SH      DEFINED    1         400       0       0
MEDIMMUNE INC                    COM               584699102     8,010     118,229 SH      OTHER      2     108,075       0  10,154
MEDIMMUNE INC                    COM               584699102         4          55 SH      DEFINED    5          55       0       0
MEDIMMUNE INC                    COM               584699102         3          37 SH      DEFINED   10          37       0       0
MEDIMMUNE INC                    COM               584699102        64         950 SH      DEFINED   11         600     350       0
MEDQUIST INC                     OPTION            584949101        44          10 CALL    OTHER      2          10       0       0
MEDQUIST INC                     COM               584949101        94       2,151 SH      OTHER      2         501       0   1,650
MEDITRUST CORP                   PAIRED CTF NEW    58501T306        22       1,684 SH      OTHER      2           3       0   1,681
MEDITRUST CORP                   PAIRED CTF NEW    58501T306        60       4,562 SH      DEFINED    5         960   3,602       0
MEDITRUST CORP                   PAIRED CTF NEW    58501T306         1          87 SH      DEFINED    6          87       0       0
MEDITRUST CORP                   PAIRED CTF NEW    58501T306         2         136 SH      DEFINED   10         136       0       0
MEDITRUST CORP                   PAIRED CTF NEW    58501T306         3         224 SH      DEFINED   11         224       0       0
MEDPARTNERS INC NEW              OPTION            58503X107     2,250       3,000 CALL    OTHER      2       3,000       0       0
MEDPARTNERS INC NEW              COM               58503X107     1,945     259,367 SH      OTHER      2     248,853       0  10,514
MEDPARTNERS INC NEW              COM               58503X107         1          79 SH      DEFINED    5          79       0       0
MEDPARTNERS INC NEW              COM               58503X107         0           2 SH      DEFINED    6           2       0       0
MEDPARTNERS INC NEW              COM               58503X107        63       8,395 SH      OTHER      9       8,395       0       0
MEDTRONIC INC                    OPTION            585055106        86          11 CALL    OTHER      2          11       0       0
MEDTRONIC INC                    COM               585055106       913      11,719 SH      DEFINED    1      10,714   1,005       0
MEDTRONIC INC                    COM               585055106       426       5,475 SH      OTHER      1       5,475       0       0
MEDTRONIC INC                    COM               585055106    26,275     337,401 SH      OTHER      2     270,608       0  66,793
MEDTRONIC INC                    COM               585055106       480       6,168 SH      DEFINED    5       5,852     316       0
MEDTRONIC INC                    COM               585055106       832      10,690 SH      DEFINED    6       7,444   3,246       0
MEDTRONIC INC                    COM               585055106     3,584      46,022 SH      OTHER      9      46,022       0       0
MEDTRONIC INC                    COM               585055106       760       9,754 SH      DEFINED   10       9,029     725       0
MEDTRONIC INC                    COM               585055106       814      10,449 SH      DEFINED   11       5,732   4,717       0
MELLON BK CORP                   OPTION            585509102       218          60 CALL    OTHER      2          60       0       0
MELLON BK CORP                   COM               585509102     2,654      72,975 SH      DEFINED    1      62,367  10,608       0
MELLON BK CORP                   COM               585509102    11,624     319,569 SH      OTHER      2     285,949       0  33,620
MELLON BK CORP                   COM               585509102       726      19,955 SH      OTHER      4           0       0  19,955
MELLON BK CORP                   COM               585509102     1,550      42,614 SH      DEFINED    5      21,514  21,100       0
MELLON BK CORP                   COM               585509102     3,331      91,586 SH      DEFINED    6      64,186  27,400       0
MELLON BK CORP                   COM               585509102     1,355      37,252 SH      OTHER      9      37,252       0       0
MELLON BK CORP                   COM               585509102     2,478      68,112 SH      DEFINED   10      48,992  19,120       0
MELLON BK CORP                   COM               585509102     2,069      56,876 SH      DEFINED   11      35,156  21,720       0
MENS WEARHOUSE INC               COM               587118100         3         110 SH      DEFINED    1         110       0       0
MENS WEARHOUSE INC               COM               587118100        31       1,200 SH      OTHER      2       1,200       0       0
MENS WEARHOUSE INC               COM               587118100        77       3,000 SH      OTHER      9       3,000       0       0
MENS WEARHOUSE INC               COM               587118100         3         121 SH      DEFINED   10         121       0       0
MENTOR CORP MINN                 COM               587188103        15         800 SH      OTHER      2         800       0       0
MENTOR CORP MINN                 COM               587188103        16         850 SH      DEFINED   11         850       0       0
MENTOR GRAPHICS CORP             COM               587200106       208      16,269 SH      OTHER      2      16,269       0       0
MENTOR GRAPHICS CORP             COM               587200106        11         820 SH      DEFINED   11         820       0       0
MERANT PLC                       SPON ADR          587336108       117       6,010 SH      OTHER      2         510       0   5,500
MERCANTILE BANCORPORATION INC    COM               587342106         7         120 SH      DEFINED    1         120       0       0
MERCANTILE BANCORPORATION INC    COM               587342106     1,336      23,390 SH      OTHER      2      23,290       0     100
MERCANTILE BANCORPORATION INC    COM               587342106       560       9,806 SH      OTHER      9       9,806       0       0
MERCANTILE BANKSHARES CORP       COM               587405101        37       1,057 SH      DEFINED    1           0   1,057       0
MERCANTILE BANKSHARES CORP       COM               587405101       620      17,539 SH      OTHER      2      17,539       0       0
MERCANTILE BANKSHARES CORP       COM               587405101        11         300 SH      DEFINED    6           0     300       0
MERCANTILE BANKSHARES CORP       COM               587405101       113       3,200 SH      OTHER      9       3,200       0       0
MERCHANTS N Y BANCORP INC        COM               589167105        13         400 SH      DEFINED    6           0     400       0
MERCK & CO INC                   OPTION            589331107     1,399         190 CALL    OTHER      2         190       0       0
MERCK & CO INC                   OPTION            589331107       133          18 PUT     OTHER      2          18       0       0
MERCK & CO INC                   COM               589331107       201       2,730 SH      OTHER      1       2,730       0       0
MERCK & CO INC                   COM               589331107    21,876     297,126 SH      DEFINED    1     231,791  65,335       0
MERCK & CO INC                   COM               589331107    52,241     709,553 SH      OTHER      2     611,192       0  98,361
MERCK & CO INC                   COM               589331107     4,789      65,050 SH      OTHER      4           0       0  65,050
MERCK & CO INC                   COM               589331107    24,531     333,192 SH      DEFINED    5     251,325  81,867       0
MERCK & CO INC                   COM               589331107    19,163     260,274 SH      DEFINED    6     201,334  58,940       0
MERCK & CO INC                   COM               589331107     5,217      70,861 SH      OTHER      9      70,861       0       0
MERCK & CO INC                   COM               589331107    15,017     203,968 SH      DEFINED   10     171,943  32,025       0
MERCK & CO INC                   COM               589331107    14,016     190,372 SH      DEFINED   11     130,170  60,202       0
MERCURY GENL CORP NEW            COM               589400100        27         800 SH      DEFINED    1         800       0       0
MERCURY GENL CORP NEW            COM               589400100     1,312      38,580 SH      OTHER      2      29,780       0   8,800
MERCURY INTERACTIVE CORP         COM               589405109        11         315 SH      DEFINED    1           0     315       0
MERCURY INTERACTIVE CORP         COM               589405109       365      10,320 SH      OTHER      2       8,020       0   2,300
MERCURY INTERACTIVE CORP         COM               589405109       708      20,000 SH      OTHER      9      20,000       0       0
MERCURY INTERACTIVE CORP         COM               589405109         3          84 SH      DEFINED   11           0      84       0
MEREDITH CORP                    COM               589433101       267       7,697 SH      OTHER      2       7,697       0       0
MEREDITH CORP                    COM               589433101       151       4,365 SH      OTHER      9       4,365       0       0
MEREDITH CORP                    COM               589433101        35       1,000 SH      DEFINED   10           0   1,000       0
MERIDIAN RESOURCE CORP           COM               58977Q109        18       4,700 SH      OTHER      2       4,700       0       0
MERIDIAN RESOURCE CORP           COM               58977Q109        14       3,675 SH      DEFINED   11       3,675       0       0
MERISTAR HOSPITALITY CORP        COM               58984Y103         9         380 SH      DEFINED    1         380       0       0
MERISTAR HOSPITALITY CORP        COM               58984Y103       103       4,600 SH      OTHER      9       4,600       0       0
MERISTAR HOSPITALITY CORP        COM               58984Y103        10         450 SH      DEFINED   10         450       0       0
MERIT HLDG CORP                  COM               589964105        68       3,000 SH      OTHER      2           0       0   3,000
MERITOR AUTOMOTIVE INC           COM               59000G100        24         943 SH      DEFINED    1         943       0       0
MERITOR AUTOMOTIVE INC           COM               59000G100       476      18,667 SH      OTHER      2      17,067       0   1,600
MERITOR AUTOMOTIVE INC           COM               59000G100         8         319 SH      DEFINED    5           0     319       0
MERITOR AUTOMOTIVE INC           COM               59000G100        43       1,700 SH      DEFINED    6       1,700       0       0
MERITOR AUTOMOTIVE INC           COM               59000G100         2          66 SH      DEFINED   10          66       0       0
MERRILL LYNCH & CO INC           OPTION            590188108     7,330         922 CALL    OTHER      2         922       0       0
MERRILL LYNCH & CO INC           OPTION            590188108       652          82 PUT     OTHER      2          82       0       0
MERRILL LYNCH & CO INC           COM               590188108       294       3,700 SH      DEFINED    1       3,200     500       0
MERRILL LYNCH & CO INC           COM               590188108     4,311      54,232 SH      OTHER      2      20,174       0  34,058
MERRILL LYNCH & CO INC           COM               590188108       306       3,843 SH      DEFINED    5       1,502   2,341       0
MERRILL LYNCH & CO INC           COM               590188108     1,829      23,000 SH      DEFINED    6      14,200   8,800       0
MERRILL LYNCH & CO INC           COM               590188108         8         100 SH      OTHER      9         100       0       0
MERRILL LYNCH & CO INC           COM               590188108       747       9,400 SH      DEFINED   10       3,400   6,000       0
MERRILL LYNCH & CO INC           COM               590188108     1,477      18,584 SH      DEFINED   11       4,228  14,356       0
MERRY LAND PROPERTIES INC        COM               590441101         0           3 SH      DEFINED   11           0       3       0
MESA AIR GROUP INC               COM               590479101        58       7,782 SH      OTHER      2       7,782       0       0
MESABA HLDGS INC                 COM               59066B102        22       1,758 SH      OTHER      2       1,758       0       0
MESABA HLDGS INC                 COM               59066B102        19       1,500 SH      DEFINED    5       1,500       0       0
MESSAGEMEDIA INC                 OPTION            590787107       114          60 CALL    OTHER      2          60       0       0
META GROUP INC                   COM               591002100        11         700 SH      OTHER      2         700       0       0
METAL MGMT INC                   COM               591097100        18      11,900 SH      OTHER      2      11,900       0       0
METAMOR WORLDWIDE INC            OPTION            59133P100       481         200 CALL    OTHER      2         200       0       0
METAMOR WORLDWIDE INC            COM               59133P100       962      40,000 SH      OTHER      2           0       0  40,000
METAMOR WORLDWIDE INC            COM               59133P100        24       1,000 SH      OTHER      9       1,000       0       0
METAMOR WORLDWIDE INC            COM               59133P100         5         190 SH      DEFINED   11           0     190       0
METHANEX CORP                    COM               59151K108         0          41 SH      OTHER      1          41       0       0
METHODE ELECTRS INC              CL B CONV         591520101         3         131 SH      OTHER      2         131       0       0
METHODE ELECTRS INC              OPTION            591520200         2           1 CALL    OTHER      2           1       0       0
METHODE ELECTRS INC              CL A              591520200        34       1,500 SH      OTHER      2           0       0   1,500
METHODE ELECTRS INC              CL A              591520200        37       1,606 SH      DEFINED   11       1,606       0       0
METRICOM INC                     SB NT CONV  8%03  591596AC5       398     290,000 PRN     OTHER      2     290,000       0       0
METRIS COS INC                   COM               591598107        16         400 SH      DEFINED    6           0     400       0
METRIS COS INC                   COM               591598107       114       2,800 SH      OTHER      9       2,800       0       0
METRO GOLDWYN MAYER INC          COM               591610100         0           1 SH      OTHER      2           1       0       0
METROCALL INC                    COM               591647102        73      26,522 SH      OTHER      2      26,522       0       0
METROMEDIA FIBER NETWORK INC     OPTION            591689104        36          10 CALL    OTHER      2          10       0       0
METROMEDIA FIBER NETWORK INC     OPTION            591689104        72          20 PUT     OTHER      2          20       0       0
METROMEDIA INTL GROUP INC        COM               591695101         0           3 SH      OTHER      2           3       0       0
METROWERKS INC                   COM               59266R105         2         500 SH      DEFINED   11         500       0       0
METTLER TOLEDO INTERNATIONAL     COM               592688105         6         250 SH      DEFINED    1         250       0       0
METTLER TOLEDO INTERNATIONAL     COM               592688105     4,762     186,729 SH      OTHER      2      67,476       0 119,253
METTLER TOLEDO INTERNATIONAL     COM               592688105         5         210 SH      DEFINED   10         210       0       0
MEXICO FD INC                    COM               592835102       944      54,500 SH      OTHER      9      54,500       0       0
METZLER GROUP INC                COM               592903108       303      10,978 SH      OTHER      2      10,853       0     125
METZLER GROUP INC                COM               592903108         3         110 SH      DEFINED   11           0     110       0
MICHAEL FOOD INC NEW             COM               594079105        11         465 SH      DEFINED   11         465       0       0
MICROS SYS INC                   COM               594901100         7         210 SH      DEFINED    1           0     210       0
MICROSOFT CORP                   OPTION            594918104    10,308       1,143 CALL    OTHER      2       1,142       0       1
MICROSOFT CORP                   OPTION            594918104       541          60 PUT     OTHER      2          60       0       0
MICROSOFT CORP                   OPTION            594918104   201,117      22,300 PUT     OTHER      9      22,300       0       0
MICROSOFT CORP                   COM               594918104    15,814     175,348 SH      DEFINED    1     151,658  23,690       0
MICROSOFT CORP                   COM               594918104       676       7,495 SH      OTHER      1       7,495       0       0
MICROSOFT CORP                   COM               594918104   119,113   1,320,735 SH      OTHER      2     990,691       0 330,044
MICROSOFT CORP                   COM               594918104    26,798     297,140 SH      OTHER      4           0       0 297,140
MICROSOFT CORP                   COM               594918104    14,731     163,338 SH      DEFINED    5     131,085  32,253       0
MICROSOFT CORP                   COM               594918104     9,975     110,602 SH      DEFINED    6      89,911  20,691       0
MICROSOFT CORP                   COM               594918104       785       8,700 SH      OTHER      9       8,700       0       0
MICROSOFT CORP                   COM               594918104    13,834     153,393 SH      DEFINED   10     141,386  12,007       0
MICROSOFT CORP                   COM               594918104    13,489     149,564 SH      DEFINED   11     106,508  43,056       0
MICROSOFT CORP                   PFD A CV EXCH     594918203     2,372      23,733 SH      OTHER      2      23,733       0       0
MICROSTRATEGY INC                CL A              594972101       560      14,780 SH      OTHER      2         280       0  14,500
MICROCHIP TECHNOLOGY INC         COM               595017104     2,844      60,024 SH      OTHER      2      60,024       0       0
MICROCIDE PHARMACEUTICALS INC    COM               595018102        30       6,334 SH      OTHER      2       5,934       0     400
MICRO WHSE INC                   COM               59501B105       153       8,566 SH      OTHER      2       8,566       0       0
MICRO WHSE INC                   COM               59501B105       100       5,600 SH      OTHER      9       5,600       0       0
MICROCELL TELECOMMUNICATIONS     CL B NON VTG      59501T304         3         390 SH      DEFINED    1         390       0       0
MICROCELL TELECOMMUNICATIONS     CL B NON VTG      59501T304     1,199     153,434 SH      OTHER      2     153,434       0       0
MICROCELL TELECOMMUNICATIONS     CL B NON VTG      59501T304         3         414 SH      DEFINED   10         414       0       0
MICROGRAFX INC                   COM               595077108         0          40 SH      OTHER      2          40       0       0
MICROMUSE INC                    COM               595094103         6         120 SH      DEFINED    1         120       0       0
MICROMUSE INC                    COM               595094103         6         125 SH      DEFINED   10         125       0       0
MICRON ELECTRONICS INC           OPTION            595100108       252         250 CALL    OTHER      2         250       0       0
MICRON ELECTRONICS INC           COM               595100108       136      13,547 SH      OTHER      2      13,547       0       0
MICRON TECHNOLOGY INC            OPTION            595112103     6,557       1,619 CALL    OTHER      2       1,618       0       1
MICRON TECHNOLOGY INC            OPTION            595112103        20           5 PUT     OTHER      2           5       0       0
MICRON TECHNOLOGY INC            OPTION            595112103     2,709         669 PUT     OTHER      9         669       0       0
MICRON TECHNOLOGY INC            COM               595112103     8,536     210,769 SH      OTHER      2     207,294       0   3,475
MICRON TECHNOLOGY INC            COM               595112103     1,084      26,754 SH      OTHER      9      26,754       0       0
MICROTOUCH SYS INC               COM               595145103         8         510 SH      DEFINED    1           0     510       0
MIDAS GROUP INC                  COM               595626102         2          66 SH      OTHER      2           0       0      66
MIDAS GROUP INC                  COM               595626102         4         133 SH      DEFINED    5         133       0       0
MIDAS GROUP INC                  COM               595626102        57       2,023 SH      DEFINED   11         118   1,905       0
MIDAMERICAN ENERGY HLDGS NEW     COM               59562V107       109       3,157 SH      DEFINED    1          80   3,077       0
MIDAMERICAN ENERGY HLDGS NEW     COM               59562V107       510      14,728 SH      OTHER      2      14,728       0       0
MIDAMERICAN ENERGY HLDGS NEW     COM               59562V107         7         200 SH      DEFINED    6           0     200       0
MIDAMERICAN ENERGY HLDGS NEW     COM               59562V107        87       2,500 SH      OTHER      9       2,500       0       0
MIDAMERICAN ENERGY HLDGS NEW     COM               59562V107         5         150 SH      DEFINED   10         150       0       0
MIDAMERICAN ENERGY HLDGS NEW     COM               59562V107         5         143 SH      DEFINED   11         143       0       0
MIDCAP SPDR TR                   UNIT SER 1        595635103       610       7,773 SH      OTHER      2           0       0   7,773
MIDCAP SPDR TR                   UNIT SER 1        595635103         6          75 SH      DEFINED    6           0      75       0
MIDLAND BK PLC                   SPNSRD ADR A1     597433309        10         400 SH      DEFINED    1         400       0       0
MIDLAND BK PLC                   SPNSRD ADR A1     597433309        30       1,200 SH      DEFINED    5       1,200       0       0
MIDLAND BK PLC                   SPNSRD ADR A1     597433309        53       2,100 SH      DEFINED   11       1,100   1,000       0
MIDLAND BK PLC                   UNIT SPON ADRS    597433606         5         200 SH      DEFINED    1         200       0       0
MIDLAND BK PLC                   UNIT SPON ADRS    597433606        11         400 SH      OTHER      2           0       0     400
MIDLAND BK PLC                   UNIT SPON ADRS    597433606        22         800 SH      DEFINED    5         400     400       0
MIDLAND BK PLC                   UNIT SPON ADRS    597433606        54       2,000 SH      DEFINED   11       2,000       0       0
MIDLAND BK PLC                   SP ADR UNIT D     597433853         0           2 SH      OTHER      2           2       0       0
MIDLAND BK PLC                   SP ADR UN9.125    597433861         5         200 SH      OTHER      2           0       0     200
MIDLAND BK PLC                   SP ADR UN9.125    597433861        91       3,467 SH      DEFINED    5           0   3,467       0
MIDLAND BK PLC                   SP ADR UN9.125    597433861        21         800 SH      DEFINED    6         800       0       0
MIDWEST EXPRESS HLDGS INC        COM               597911106         6         170 SH      DEFINED   11         170       0       0
MILACRON INC                     COM               598709103       100       5,403 SH      OTHER      2       5,403       0       0
MILACRON INC                     COM               598709103        89       4,830 SH      OTHER      9       4,830       0       0
MILACRON INC                     COM               598709103        12         675 SH      DEFINED   11         675       0       0
MILLENNIUM CHEMICALS INC         COM               599903101       165       7,002 SH      OTHER      9       7,002       0       0
MILLER HERMAN INC                OPTION            600544100       315         150 CALL    OTHER      2         150       0       0
MILLER HERMAN INC                COM               600544100       736      35,068 SH      OTHER      2      31,068       0   4,000
MILLER HERMAN INC                COM               600544100        84       4,000 SH      DEFINED    5       4,000       0       0
MILLER HERMAN INC                COM               600544100        17         800 SH      OTHER      9         800       0       0
MILLIPORE CORP                   COM               601073109       259       6,393 SH      OTHER      2       6,393       0       0
MILLIPORE CORP                   COM               601073109       112       2,755 SH      OTHER      9       2,755       0       0
MILLS CORP                       COM               601148109        13         600 SH      DEFINED    1           0     600       0
MILLS CORP                       COM               601148109     3,634     167,550 SH      OTHER      2     137,150       0  30,400
MILLS CORP                       COM               601148109        81       3,715 SH      DEFINED    5       1,000   2,715       0
MILLS CORP                       COM               601148109        15         700 SH      OTHER      9         700       0       0
MILLS CORP                       COM               601148109         7         300 SH      DEFINED   10           0     300       0
MINDSPRING ENTERPRISES INC       OPTION            602683104       350          79 CALL    OTHER      2          79       0       0
MINDSPRING ENTERPRISES INC       OPTION            602683104       137          31 PUT     OTHER      2          31       0       0
MINDSPRING ENTERPRISES INC       COM               602683104         7         150 SH      DEFINED    1         150       0       0
MINDSPRING ENTERPRISES INC       COM               602683104        27         600 SH      OTHER      2           0       0     600
MINDSPRING ENTERPRISES INC       COM               602683104        44       1,000 SH      DEFINED    6       1,000       0       0
MINDSPRING ENTERPRISES INC       SB NT CV    8%06  602683AA2     1,471   1,559,000 PRN     OTHER      2   1,559,000       0       0
MINDSPRING ENTERPRISES INC       SB NT CV    8%06  602683AA2        11      12,000 PRN     DEFINED    5      12,000       0       0
MINDSPRING ENTERPRISES INC       SB NT CV    8%06  602683AA2         4       4,000 PRN     DEFINED    6       4,000       0       0
MINERALS TECHNOLOGIES INC        COM               603158106       306       5,477 SH      OTHER      2       5,477       0       0
MINIMED INC                      OPTION            60365K108        77          10 CALL    OTHER      2          10       0       0
MINNESOTA MNG & MFG CO           OPTION            604059105     6,781         780 CALL    OTHER      2         780       0       0
MINNESOTA MNG & MFG CO           OPTION            604059105       478          55 PUT     OTHER      2          55       0       0
MINNESOTA MNG & MFG CO           COM               604059105     2,981      34,285 SH      DEFINED    1      31,125   3,160       0
MINNESOTA MNG & MFG CO           COM               604059105 1,537,838  17,689,103 SH      OTHER      2  17,651,100       0  38,003
MINNESOTA MNG & MFG CO           COM               604059105     4,018      46,217 SH      DEFINED    5      32,292  13,925       0
MINNESOTA MNG & MFG CO           COM               604059105     3,564      40,993 SH      DEFINED    6      34,053   6,940       0
MINNESOTA MNG & MFG CO           COM               604059105     1,800      20,709 SH      OTHER      9      20,709       0       0
MINNESOTA MNG & MFG CO           COM               604059105     7,266      83,583 SH      DEFINED   10      66,631  16,952       0
MINNESOTA MNG & MFG CO           COM               604059105     4,809      55,319 SH      DEFINED   11      33,601  21,718       0
MINNESOTA PWR INC                COM               604110106    10,009     503,599 SH      OTHER      2     503,599       0       0
MINNESOTA PWR INC                COM               604110106         8         400 SH      DEFINED    5         400       0       0
MINNESOTA PWR INC                COM               604110106       116       5,816 SH      DEFINED    6       5,816       0       0
MINNESOTA PWR INC                COM               604110106        50       2,500 SH      DEFINED   10       2,500       0       0
MINNESOTA PWR INC                COM               604110106       176       8,870 SH      DEFINED   11       6,870   2,000       0
MIRAGE RESORTS INC               COM               60462E104         3         190 SH      DEFINED    1           0     190       0
MIRAGE RESORTS INC               COM               60462E104     4,060     242,369 SH      OTHER      2     241,969       0     400
MIRAGE RESORTS INC               COM               60462E104        13         750 SH      DEFINED    5         750       0       0
MIRAGE RESORTS INC               COM               60462E104         3         200 SH      DEFINED    6           0     200       0
MIRAGE RESORTS INC               COM               60462E104       235      14,044 SH      OTHER      9      14,044       0       0
MIRAGE RESORTS INC               COM               60462E104        11         675 SH      DEFINED   10         675       0       0
MIRAVANT MED TECHNOLOGIES        COM               604690107       178      25,000 SH      OTHER      2           0       0  25,000
MISSISSIPPI CHEM CORP            COM NEW           605288208        44       4,500 SH      OTHER      2           0       0   4,500
MITCHELL ENERGY & DEV CORP       CL B              606592301        37       2,000 SH      OTHER      2           0       0   2,000
MITSUI & CO LTD                  ADR               606827202         6          43 SH      OTHER      2          43       0       0
MITSUI & CO LTD                  ADR               606827202         5          34 SH      DEFINED    6          34       0       0
MITSUI & CO LTD                  ADR               606827202        19         135 SH      DEFINED   10          83      52       0
MOBIL CORP                       COM               607059102    15,798     159,977 SH      DEFINED    1     124,832  35,145       0
MOBIL CORP                       COM               607059102    22,970     232,604 SH      OTHER      2     215,986       0  16,618
MOBIL CORP                       COM               607059102    21,883     221,605 SH      DEFINED    5     128,572  93,033       0
MOBIL CORP                       COM               607059102    14,895     150,837 SH      DEFINED    6     109,731  41,106       0
MOBIL CORP                       COM               607059102    34,165     345,973 SH      OTHER      9     345,973       0       0
MOBIL CORP                       COM               607059102     9,677      97,990 SH      DEFINED   10      84,797  13,193       0
MOBIL CORP                       COM               607059102    11,479     116,245 SH      DEFINED   11      91,897  24,348       0
MODINE MFG CO                    OPTION            607828100        33          10 CALL    OTHER      2          10       0       0
MODINE MFG CO                    COM               607828100       238       7,313 SH      OTHER      2       7,313       0       0
MODINE MFG CO                    COM               607828100        15         448 SH      DEFINED   11         448       0       0
MODIS PROFESSIONAL SVCS INC      COM               607830106       396      29,204 SH      OTHER      2      27,035       0   2,169
MODIS PROFESSIONAL SVCS INC      COM               607830106        11         800 SH      DEFINED    5           0     800       0
MODIS PROFESSIONAL SVCS INC      COM               607830106       396      29,200 SH      OTHER      9      29,200       0       0
MOHAWK INDS INC                  COM               608190104       452      14,869 SH      OTHER      2      14,869       0       0
MOLEX INC                        COM               608554101        71       1,906 SH      DEFINED    1       1,906       0       0
MOLEX INC                        COM               608554101     3,847     103,963 SH      OTHER      2     102,713       0   1,250
MOLEX INC                        COM               608554101        22         608 SH      DEFINED    5         608       0       0
MOLEX INC                        COM               608554101       272       7,353 SH      OTHER      9       7,353       0       0
MOLEX INC                        COM               608554101        13         341 SH      DEFINED   11           0     341       0
MOLEX INC                        CL A              608554200       296       9,406 SH      DEFINED    1       9,406       0       0
MOLEX INC                        CL A              608554200       216       6,852 SH      OTHER      2         750       0   6,102
MOLEX INC                        CL A              608554200        19         608 SH      DEFINED    5         608       0       0
MOLEX INC                        CL A              608554200       341      10,824 SH      DEFINED    6      10,824       0       0
MOLEX INC                        CL A              608554200       510      16,200 SH      DEFINED   10      11,200   5,000       0
MOLEX INC                        CL A              608554200         5         156 SH      DEFINED   11         156       0       0
MOMENTUM BUSINESS APPS INC       CL A              60877P108         0          26 SH      DEFINED    1           4      22       0
MOMENTUM BUSINESS APPS INC       CL A              60877P108         7         994 SH      OTHER      2          32       0     962
MOMENTUM BUSINESS APPS INC       CL A              60877P108         0          16 SH      DEFINED    5          16       0       0
MOMENTUM BUSINESS APPS INC       CL A              60877P108         1         104 SH      DEFINED    6         104       0       0
MOMENTUM BUSINESS APPS INC       CL A              60877P108         3         364 SH      OTHER      9         364       0       0
MOMENTUM BUSINESS APPS INC       CL A              60877P108         1         117 SH      DEFINED   10         117       0       0
MOMENTUM BUSINESS APPS INC       CL A              60877P108         1          93 SH      DEFINED   11          93       0       0
MONACO COACH CORP                COM               60886R103       144       3,400 SH      OTHER      9       3,400       0       0
MONSANTO CO                      OPTION            611662107        40          10 CALL    OTHER      2          10       0       0
MONSANTO CO                      OPTION            611662107        40          10 PUT     OTHER      2          10       0       0
MONSANTO CO                      COM               611662107       493      12,470 SH      DEFINED    1      10,891   1,579       0
MONSANTO CO                      COM               611662107     6,794     171,742 SH      OTHER      2     159,631       0  12,111
MONSANTO CO                      COM               611662107       343       8,668 SH      DEFINED    5       7,797     871       0
MONSANTO CO                      COM               611662107       660      16,679 SH      DEFINED    6      15,139   1,540       0
MONSANTO CO                      COM               611662107     1,625      41,077 SH      OTHER      9      41,077       0       0
MONSANTO CO                      COM               611662107       546      13,792 SH      DEFINED   10       3,947   9,845       0
MONSANTO CO                      COM               611662107       976      24,658 SH      DEFINED   11       6,670  17,988       0
MONTANA POWER CO                 OPTION            612085100        42           6 CALL    OTHER      2           6       0       0
MONTANA POWER CO                 COM               612085100        14         200 SH      DEFINED    1           0     200       0
MONTANA POWER CO                 COM               612085100       962      13,648 SH      OTHER      2      13,648       0       0
MONTANA POWER CO                 COM               612085100        14         200 SH      DEFINED    5           0     200       0
MONTANA POWER CO                 COM               612085100         9         130 SH      DEFINED   11         130       0       0
MONY GROUP INC                   COM               615337102         3          97 SH      OTHER      2           0       0      97
MOOG INC                         CL A              615394202         5         135 SH      DEFINED    5         135       0       0
MOOG INC                         CL A              615394202        23         655 SH      DEFINED   11         655       0       0
MOOG INC                         CL B              615394301         7         180 SH      DEFINED    5         180       0       0
MORGAN J P & CO INC              OPTION            616880100       141          10 CALL    OTHER      2          10       0       0
MORGAN J P & CO INC              COM               616880100     1,456      10,360 SH      DEFINED    1      10,175     185       0
MORGAN J P & CO INC              COM               616880100 1,744,286  12,414,847 SH      OTHER      2  12,402,447       0  12,400
MORGAN J P & CO INC              COM               616880100       844       6,008 SH      DEFINED    5       2,605   3,403       0
MORGAN J P & CO INC              COM               616880100     2,078      14,787 SH      DEFINED    6       5,563   9,224       0
MORGAN J P & CO INC              COM               616880100       141       1,000 SH      OTHER      9       1,000       0       0
MORGAN J P & CO INC              COM               616880100       781       5,561 SH      DEFINED   10       2,043   3,518       0
MORGAN J P & CO INC              COM               616880100       695       4,948 SH      DEFINED   11       1,823   3,125       0
MORGAN STANLEY FIN PLC           UNIT EX 022815    616906509        51       2,000 SH      DEFINED   11       2,000       0       0
MORGAN STANLEY FIN PLC           UNIT EX 083015    616906608        79       3,100 SH      DEFINED    1       1,000   2,100       0
MORGAN STAN D WITTER ESTN EURO   COM               616988101       234      15,500 SH      OTHER      2           0       0  15,500
MORGAN GRENFELL SMALLCAP FD      CAP STK           617357108         3         240 SH      DEFINED    5           0     240       0
MORGAN STANLEY DEAN WITTER&CO    OPTION            617446448    21,254       2,071 CALL    OTHER      2       2,071       0       0
MORGAN STANLEY DEAN WITTER&CO    OPTION            617446448       103          10 PUT     OTHER      2          10       0       0
MORGAN STANLEY DEAN WITTER&CO    COM NEW           617446448       104       1,010 SH      DEFINED    1         810     200       0
MORGAN STANLEY DEAN WITTER&CO    COM NEW           617446448    18,983     184,976 SH      OTHER      2     154,461       0  30,515
MORGAN STANLEY DEAN WITTER&CO    COM NEW           617446448       114       1,106 SH      DEFINED    5         792     314       0
MORGAN STANLEY DEAN WITTER&CO    COM NEW           617446448       264       2,568 SH      DEFINED    6         468   2,100       0
MORGAN STANLEY DEAN WITTER&CO    COM NEW           617446448     5,660      55,153 SH      OTHER      9      55,153       0       0
MORGAN STANLEY DEAN WITTER&CO    COM NEW           617446448       129       1,261 SH      DEFINED   10         339     922       0
MORGAN STANLEY DEAN WITTER&CO    COM NEW           617446448        52         506 SH      DEFINED   11         506       0       0
MORGAN STANLEY DEAN WITTER&CO    MTN EXCH ZERO 00  617446AX7        38      50,000 PRN     OTHER      9      50,000       0       0
MORGAN STANLEY ASIA-PAC FD INC   COM               61744U106       501      52,000 SH      OTHER      2           0       0  52,000
MORGAN STANLEY INDIA INVT FD     COM               61745C105        58       6,000 SH      OTHER      2           0       0   6,000
MORGAN STANLEY DEAN WITTER       GOVT INCOME TR    61745P106         5         560 SH      OTHER      2         560       0       0
MORGAN STANLEY DEAN WITTER       HI INCM ADVANT    61745P205        13       2,463 SH      OTHER      2       2,463       0       0
MORGAN STANLEY DEAN WITTER       HI INCM ADVANT    61745P205         5       1,000 SH      DEFINED    5       1,000       0       0
MORGAN STANLEY DEAN WITTER       HI INCM ADV II    61745P304       169      31,400 SH      DEFINED    1      31,400       0       0
MORGAN STANLEY DEAN WITTER       HI INCM ADV II    61745P304        61      11,340 SH      OTHER      2      11,340       0       0
MORGAN STANLEY DEAN WITTER       HI INCM ADV II    61745P304        16       3,000 SH      DEFINED    5           0   3,000       0
MORGAN STANLEY DEAN WITTER       HI INCM ADVIII    61745P403         5         772 SH      OTHER      2         772       0       0
MORGAN STANLEY DEAN WITTER       MUN PREM INCOM    61745P429        22       2,567 SH      DEFINED    1       2,282     285       0
MORGAN STANLEY DEAN WITTER       MUN PREM INCOM    61745P429        22       2,555 SH      OTHER      2       2,555       0       0
MORGAN STANLEY DEAN WITTER       MUN INCOME III    61745P437         2         183 SH      OTHER      2         183       0       0
MORGAN STANLEY DEAN WITTER       MUN INC OPP II    61745P445        69       8,500 SH      DEFINED    1       8,500       0       0
MORGAN STANLEY DEAN WITTER       MUN INC OPP II    61745P445         4         501 SH      OTHER      2         501       0       0
MORGAN STANLEY DEAN WITTER       MUN INC OPP II    61745P445        89      11,100 SH      DEFINED   11      11,100       0       0
MORGAN STANLEY DEAN WITTER       MUN INCM OPPTN    61745P452         9         938 SH      OTHER      2         938       0       0
MORGAN STANLEY DEAN WITTER       MUN INC TR III    61745P460         1         136 SH      OTHER      2         136       0       0
MORGAN STANLEY DEAN WITTER       MUN INCM TR II    61745P478        29       3,429 SH      OTHER      2       3,429       0       0
MORGAN STANLEY DEAN WITTER       MUN INCM TR II    61745P478        85      10,000 SH      DEFINED   11      10,000       0       0
MORGAN STANLEY DEAN WITTER       MUN INCOME TR     61745P486        10       1,231 SH      OTHER      2       1,231       0       0
MORGAN STANLEY DEAN WITTER       MUN INCOME TR     61745P486         0          55 SH      DEFINED    5          55       0       0
MORGAN STANLEY DEAN WITTER       CA INSD MUN TR    61745P502         1          55 SH      OTHER      2          55       0       0
MORGAN STANLEY DEAN WITTER       N Y QULTY MUN     61745P528        15       1,134 SH      OTHER      2       1,134       0       0
MORGAN STANLEY DEAN WITTER       QULTY MUN SECS    61745P585         4         270 SH      OTHER      2         270       0       0
MORGAN STANLEY DEAN WITTER       CALIF QLTY MUN    61745P635         4         262 SH      OTHER      2         262       0       0
MORGAN STANLEY DEAN WITTER       QLT MUN INV TR    61745P668       184      13,000 SH      DEFINED    1      13,000       0       0
MORGAN STANLEY DEAN WITTER       QLT MUN INV TR    61745P668        75       5,336 SH      OTHER      2       5,336       0       0
MORGAN STANLEY DEAN WITTER       QLT MUN INV TR    61745P668        17       1,200 SH      DEFINED    5       1,200       0       0
MORGAN STANLEY DEAN WITTER       QLT MUN INV TR    61745P668        53       3,761 SH      DEFINED    6       3,761       0       0
MORGAN STANLEY DEAN WITTER       QUALT MUN INCM    61745P734        20       1,400 SH      DEFINED    1       1,400       0       0
MORGAN STANLEY DEAN WITTER       QUALT MUN INCM    61745P734        87       5,972 SH      OTHER      2       5,972       0       0
MORGAN STANLEY DEAN WITTER       QUALT MUN INCM    61745P734         7         511 SH      DEFINED    6           0     511       0
MORGAN STANLEY DEAN WITTER       QUALT MUN INCM    61745P734        25       1,700 SH      DEFINED   11       1,700       0       0
MORGAN STANLEY DEAN WITTER       INSD MUN INCM     61745P791        29       2,096 SH      OTHER      2       2,096       0       0
MORGAN STANLEY DEAN WITTER       INSD MUN INCM     61745P791        56       4,000 SH      DEFINED    5       4,000       0       0
MORGAN STANLEY DEAN WITTER       INSD MUN INCM     61745P791        40       2,850 SH      DEFINED    6       2,850       0       0
MORGAN STANLEY DEAN WITTER       INSD MUN BD TR    61745P817         1         100 SH      DEFINED    1         100       0       0
MORGAN STANLEY DEAN WITTER       INSD MUN BD TR    61745P817        11         752 SH      OTHER      2         752       0       0
MORGAN STANLEY DEAN WITTER       INSD CA MUN       61745P825         0          28 SH      OTHER      2          28       0       0
MORGAN STANLEY DEAN WITTER       INSD MUN SECS     61745P833         2         123 SH      OTHER      2         123       0       0
MORGAN STANLEY DEAN WITTER       INSD MUN TR       61745P866        25       1,711 SH      OTHER      2       1,711       0       0
MORGAN STANLEY DEAN WITTER       INCOME SEC INC    61745P874        12         716 SH      OTHER      2         716       0       0
MORGAN STANLEY DEAN WITTER       INCOME SEC INC    61745P874        35       2,081 SH      DEFINED   10       2,081       0       0
MORRISON HEALTH CARE INC         COM               61841L108         8         335 SH      OTHER      2         335       0       0
MORRISON KNUDSEN CORP NEW        COM               61844A109         8         800 SH      DEFINED    6         800       0       0
MOTIVEPOWER INDS INC             COM               61980K101         9         460 SH      DEFINED    1           0     460       0
MOTIVEPOWER INDS INC             COM               61980K101         2         108 SH      OTHER      2         108       0       0
MOTOROLA INC                     OPTION            620076109    57,589       6,078 CALL    OTHER      2       6,078       0       0
MOTOROLA INC                     OPTION            620076109     5,685         600 PUT     OTHER      2         600       0       0
MOTOROLA INC                     COM               620076109     8,704      91,858 SH      DEFINED    1      70,448  21,410       0
MOTOROLA INC                     COM               620076109    14,898     157,240 SH      OTHER      2     120,945       0  36,295
MOTOROLA INC                     COM               620076109     3,040      32,081 SH      DEFINED    5      25,010   7,071       0
MOTOROLA INC                     COM               620076109     7,615      80,371 SH      DEFINED    6      62,026  18,345       0
MOTOROLA INC                     COM               620076109     7,607      80,287 SH      OTHER      9      80,287       0       0
MOTOROLA INC                     COM               620076109     3,246      34,259 SH      DEFINED   10      31,614   2,645       0
MOTOROLA INC                     COM               620076109     5,860      61,852 SH      DEFINED   11      49,392  12,460       0
MOTOROLA INC                     LYON SUB ZERO 13  620076AJ8     3,380   3,144,000 PRN     OTHER      2   3,094,000       0  50,000
MOVADO GROUP INC                 COM               624580106       109       4,200 SH      OTHER      9       4,200       0       0
MULTEX COM INC                   COM               625367107         4         170 SH      OTHER      2           0       0     170
MUNIHOLDINGS N Y INSD FD III     COM               625917109       716      54,567 SH      OTHER      2      27,901       0  26,666
MUNIYIELD N J INSD FD INC        COM               625921101        48       3,400 SH      OTHER      2           0       0   3,400
MUNIYIELD N J INSD FD INC        COM               625921101        86       6,035 SH      DEFINED    6       6,035       0       0
MUNIHOLDINGS CALIF INSD FD INC   COM               625929104        91       6,666 SH      DEFINED    6       6,666       0       0
MUNIHOLDINGS CALIF INSD FD INC   COM               625929104        26       1,933 SH      DEFINED   10       1,933       0       0
MUNIHOLDINGS INSD FD INC         COM               625930102        41       3,000 SH      DEFINED    1       1,000   2,000       0
MUNIHOLDINGS INSD FD INC         COM               625930102         7         500 SH      DEFINED    5         500       0       0
MUNIHOLDINGS INSD FD INC         COM               625930102       101       7,427 SH      DEFINED    6       5,675   1,752       0
MUNIHOLDINGS N Y INSD FD INC     COM               625931100         9         666 SH      DEFINED    5           0     666       0
MUNIHOLDINGS N Y INSD FD INC     COM               625931100        50       3,618 SH      DEFINED   11           0   3,618       0
MUNIHOLDINGS CALIF FD INC        COM               625933106       433      33,333 SH      OTHER      2           0       0  33,333
MUNIHOLDINGS CALIF FD INC        COM               625933106        10         800 SH      DEFINED   10         800       0       0
MUNIHOLDINGS FLA INSD FD II      COM               625934104       601      46,474 SH      DEFINED    5      20,374  26,100       0
MUNIHOLDINGS FD II INC           COM               625935101        13       1,000 SH      DEFINED    1       1,000       0       0
MUNIHOLDINGS FD II INC           COM               625935101        13       1,000 SH      OTHER      2           0       0   1,000
MUNIHOLDINGS N J INSD FD INC     COM               625936109     1,844     139,194 SH      DEFINED    1     139,194       0       0
MUNIHOLDINGS N J INSD FD INC     COM               625936109        80       6,073 SH      DEFINED    6       3,333   2,740       0
MUNIHOLDINGS FLA INSD FD IV      SH BEN INT        625937107       342      25,843 SH      DEFINED    5      10,143  15,700       0
MUNIASSETS FD INC                COM               62618Q106         7         542 SH      DEFINED    1           0     542       0
MUNIASSETS FD INC                COM               62618Q106        17       1,333 SH      DEFINED    5       1,333       0       0
MUNIASSETS FD INC                COM               62618Q106        52       3,982 SH      DEFINED    6       2,982   1,000       0
MUNICIPAL HIGH INCOME FD INC     COM               626214100       133      15,000 SH      DEFINED    1      15,000       0       0
MUNICIPAL HIGH INCOME FD INC     COM               626214100        31       3,510 SH      DEFINED    5       2,500   1,010       0
MUNICIPAL HIGH INCOME FD INC     COM               626214100        27       3,094 SH      DEFINED   11       3,094       0       0
MUNIENHANCED FD INC              COM               626243109        45       4,200 SH      DEFINED    1           0   4,200       0
MUNIENHANCED FD INC              COM               626243109        25       2,351 SH      OTHER      2           0       0   2,351
MUNIENHANCED FD INC              COM               626243109        96       9,000 SH      DEFINED    5       9,000       0       0
MUNIINSURED FD INC               COM               626245104        17       2,000 SH      DEFINED    5       2,000       0       0
MUNIINSURED FD INC               COM               626245104        25       2,850 SH      DEFINED    6       2,850       0       0
MUNICIPAL MTG & EQUITY L L C     GROWTH SHS        62624B101        29       1,410 SH      DEFINED    5       1,410       0       0
MUNICIPAL MTG & EQUITY L L C     GROWTH SHS        62624B101       115       5,548 SH      DEFINED    6       5,548       0       0
MUNICIPAL MTG & EQUITY L L C     GROWTH SHS        62624B101         8         381 SH      DEFINED   11         381       0       0
MUNIHOLDINGS FLA INSD FD         COM               62624W105       598      45,566 SH      DEFINED    5      36,266   9,300       0
MUNIHOLDINGS NEW YORK INSD II    COM               62624X103       419      33,333 SH      OTHER      2           0       0  33,333
MUNIHOLDINGS FLA INSD FD III     SH BEN INT        62624Y101       259      20,379 SH      DEFINED    5      20,379       0       0
MUNIHOLDINGS FLA INSD FD III     SH BEN INT        62624Y101       298      23,500 SH      DEFINED   11      23,500       0       0
MUNIHOLDINGS INSD FD II INC      COM               62625A102        39       3,000 SH      DEFINED    1           0   3,000       0
MUNIHOLDINGS INSD FD II INC      COM               62625A102       111       8,500 SH      OTHER      2           0       0   8,500
MUNIHOLDINGS INSD FD II INC      COM               62625A102        13       1,000 SH      DEFINED    5       1,000       0       0
MUNIHOLDINGS MICH INSD FD INC    COM               62625C108        27       2,002 SH      OTHER      2           2       0   2,000
MUNIHOLDINGS N J INSD FD III     COM               62625E104        28       2,200 SH      DEFINED    6           0   2,200       0
MUNIHOLDINGS CALIF INSD FD IV    COM               62625F101       180      13,333 SH      OTHER      2           0       0  13,333
MUNIHOLDINGS FD INC              COM               62625H107       229      15,835 SH      DEFINED    5      11,335   4,500       0
MUNIHOLDINGS FD INC              COM               62625H107        46       3,200 SH      DEFINED    6       3,200       0       0
MUNIHOLDINGS N J INSD FD II      COM               62625Q107        27       2,215 SH      DEFINED    6       2,215       0       0
MUNIHOLDINGS CALIF INSD FD III   COM               62625R105       417      33,333 SH      OTHER      2           0       0  33,333
MUNIVEST FLA FD                  COM               626293104       275      22,185 SH      DEFINED    5      17,185   5,000       0
MUNIVEST FD INC                  COM               626295109        35       3,686 SH      DEFINED    1          26   3,660       0
MUNIVEST FD INC                  COM               626295109        38       4,000 SH      OTHER      2           0       0   4,000
MUNIVEST FD INC                  COM               626295109       540      56,854 SH      DEFINED    5      40,354  16,500       0
MUNIVEST FD INC                  COM               626295109        82       8,636 SH      DEFINED    6       4,981   3,655       0
MUNIVEST FD INC                  COM               626295109       120      12,601 SH      DEFINED   11       7,000   5,601       0
MUNIYIELD CALIF FD INC           COM               626296107       123       8,500 SH      OTHER      2           0       0   8,500
MUNIYIELD CALIF FD INC           COM               626296107       375      25,841 SH      DEFINED   10      25,841       0       0
MUNIYIELD FLA FD                 COM               626297105       127       9,323 SH      DEFINED    5       7,088   2,235       0
MUNIYIELD FLA INSD FD            COM               626298103       522      37,425 SH      DEFINED    5      31,775   5,650       0
MUNIYIELD FLA INSD FD            COM               626298103        79       5,680 SH      DEFINED   11           0   5,680       0
MUNIYIELD FD INC                 COM               626299101       130       9,034 SH      OTHER      2           0       0   9,034
MUNIYIELD FD INC                 COM               626299101       470      32,545 SH      DEFINED    5      28,444   4,101       0
MUNIYIELD FD INC                 COM               626299101        97       6,705 SH      DEFINED    6       5,672   1,033       0
MUNIYIELD FD INC                 COM               626299101       222      15,377 SH      DEFINED   11       4,376  11,001       0
MUNIYIELD ARIZ FD INC            COM               62629H103        47       3,524 SH      DEFINED    1           0   3,524       0
MUNIYIELD ARIZ FD INC            COM               62629H103       109       8,229 SH      DEFINED    6       8,229       0       0
MUNIYIELD CALIF INSD FD INC      COM               62629K106        98       7,000 SH      OTHER      2           0       0   7,000
MUNIYIELD CALIF INSD FD INC      COM               62629K106        70       5,000 SH      DEFINED    6       5,000       0       0
MUNIYIELD CALIF INSD FD INC      COM               62629K106       296      21,023 SH      DEFINED   10      18,381   2,642       0
MUNIYIELD CALIF INSD FD II INC   COM               62629L104       471      32,622 SH      DEFINED   10      32,622       0       0
MUNIVEST PA INSD FD              COM               62629M102        22       1,687 SH      DEFINED   11         706     981       0
MUNIVEST FD II INC               COM               62629P105         1          41 SH      OTHER      2           0       0      41
MUNIVEST FD II INC               COM               62629P105        71       5,433 SH      DEFINED    5       3,626   1,807       0
MUNIVEST FD II INC               COM               62629P105        91       6,960 SH      DEFINED    6       6,960       0       0
MUNIVEST FD II INC               COM               62629P105        18       1,400 SH      DEFINED   11       1,400       0       0
MUNIVEST N J FD INC              COM               62629R101        28       2,143 SH      OTHER      2           0       0   2,143
MUNIYIELD MICH FD INC            COM               626300107       366      24,936 SH      DEFINED    1      23,711   1,225       0
MUNIYIELD N Y INSD FD INC        COM               626301105        30       2,040 SH      DEFINED    1           0   2,040       0
MUNIYIELD N Y INSD FD INC        COM               626301105       204      14,000 SH      OTHER      2           0       0  14,000
MUNIYIELD N Y INSD FD INC        COM               626301105        79       5,400 SH      DEFINED    6       1,000   4,400       0
MUNIYIELD N Y INSD FD INC        COM               626301105       114       7,827 SH      DEFINED   11           0   7,827       0
MUNIYIELD QUALITY FD INC         COM               626302103        71       5,200 SH      OTHER      2           0       0   5,200
MUNIYIELD QUALITY FD INC         COM               626302103       284      20,852 SH      DEFINED    5      20,052     800       0
MUNIYIELD QUALITY FD INC         COM               626302103        38       2,800 SH      DEFINED    6           0   2,800       0
MUNIYIELD INSD FD INC            COM               62630E107        11         800 SH      DEFINED    1         800       0       0
MUNIYIELD INSD FD INC            COM               62630E107       176      12,500 SH      OTHER      2           0       0  12,500
MUNIYIELD INSD FD INC            COM               62630E107        98       6,935 SH      DEFINED    5       5,035   1,900       0
MUNIYIELD INSD FD INC            COM               62630E107       121       8,589 SH      DEFINED    6       8,589       0       0
MUNIYIELD INSD FD INC            COM               62630E107       105       7,436 SH      DEFINED   11       2,000   5,436       0
MUNIYIELD MICH INSD FD INC       COM               62630J106       205      14,510 SH      DEFINED    1      12,310   2,200       0
MUNIYIELD N J FD INC             COM               62630L101       115       8,090 SH      OTHER      2           0       0   8,090
MUNIYIELD N J FD INC             COM               62630L101        71       4,989 SH      DEFINED    6           0   4,989       0
MUNIYIELD N Y INSD FD II INC     COM               62630P102        53       3,800 SH      DEFINED    1           0   3,800       0
MUNIYIELD N Y INSD FD II INC     COM               62630P102        85       6,100 SH      DEFINED   11           0   6,100       0
MUNIYIELD QUALITY FD II          COM               62630T104        39       3,000 SH      DEFINED    1       3,000       0       0
MUNIYIELD QUALITY FD II          COM               62630T104        20       1,500 SH      OTHER      2           0       0   1,500
MUNIYIELD QUALITY FD II          COM               62630T104       195      14,828 SH      DEFINED    5      14,828       0       0
MUNIYIELD QUALITY FD II          COM               62630T104        13       1,000 SH      DEFINED    6           0   1,000       0
MUNIYIELD QUALITY FD II          COM               62630T104       146      11,116 SH      DEFINED   11           0  11,116       0
MUNIYIELD PA FD                  COM               62630V109        61       4,380 SH      DEFINED   11       4,338      42       0
MURPHY OIL CORP                  COM               626717102       552      11,300 SH      OTHER      2      11,100       0     200
MURPHY OIL CORP                  COM               626717102        10         200 SH      DEFINED    5           0     200       0
MUTUAL RISK MGMT LTD             COM               628351108         9         266 SH      DEFINED    1          60     206       0
MUTUAL RISK MGMT LTD             COM               628351108     1,901      56,960 SH      OTHER      2      56,960       0       0
MUTUAL RISK MGMT LTD             COM               628351108        40       1,200 SH      DEFINED    6           0   1,200       0
MUTUAL RISK MGMT LTD             COM               628351108         4         113 SH      DEFINED   10         113       0       0
MUTUAL RISK MGMT LTD             COM               628351108         3         104 SH      DEFINED   11         104       0       0
MUTUAL RISK MGMT LTD             SBDBCVZERO EXC15  628351AA6       585     820,000 PRN     OTHER      2     820,000       0       0
MYERS INDS INC                   COM               628464109       189       9,436 SH      DEFINED    1       9,436       0       0
MYERS INDS INC                   COM               628464109        44       2,200 SH      OTHER      2       2,200       0       0
MYLAN LABS INC                   OPTION            628530107       663         250 PUT     OTHER      2         250       0       0
MYLAN LABS INC                   COM               628530107        53       2,000 SH      DEFINED    1       2,000       0       0
MYLAN LABS INC                   COM               628530107     9,962     375,911 SH      OTHER      2     367,436       0   8,475
MYLAN LABS INC                   COM               628530107        10         380 SH      DEFINED    5         380       0       0
MYLAN LABS INC                   COM               628530107         8         300 SH      DEFINED    6           0     300       0
NBTY INC                         COM               628782104         3         500 SH      OTHER      2           0       0     500
NCH CORP                         COM               628850109        66       1,334 SH      OTHER      2       1,334       0       0
NCI BUILDING SYS INC             COM               628852105       102       4,780 SH      OTHER      9       4,780       0       0
NCR CORP NEW                     COM               62886E108        48         980 SH      DEFINED    1         627     353       0
NCR CORP NEW                     COM               62886E108    15,313     313,724 SH      OTHER      2     307,226       0   6,498
NCR CORP NEW                     COM               62886E108        68       1,400 SH      DEFINED    5         413     987       0
NCR CORP NEW                     COM               62886E108         4          79 SH      DEFINED    6          29      50       0
NCR CORP NEW                     COM               62886E108         4          72 SH      DEFINED   10          72       0       0
NCR CORP NEW                     COM               62886E108        34         688 SH      DEFINED   11         468     220       0
NCS HEALTHCARE INC               SUB DB CV 144A04  628874AA7     4,762   8,600,000 PRN     OTHER      9   8,600,000       0       0
NS GROUP INC                     COM               628916108        44       4,800 SH      OTHER      2       4,800       0       0
NEC CORP                         ADR               629050204       190       3,009 SH      OTHER      2       3,009       0       0
NEC CORP                         ADR               629050204        51         800 SH      DEFINED   11           0     800       0
NFO WORLDWIDE INC                COM               62910N108         9         610 SH      DEFINED    1           0     610       0
NII NORSAT INT INC               COM               62913L109         0         116 SH      OTHER      1         116       0       0
NL INDS INC                      COM NEW           629156407         8         699 SH      DEFINED    5         699       0       0
NTL INC                          COM               629407107     2,031      23,563 SH      OTHER      2      23,563       0       0
NTN COMMUNUNICATIONS INC         COM NEW           629410309         4       4,000 SH      DEFINED    5       4,000       0       0
NUI CORP                         COM               629430109        20         800 SH      DEFINED    5           0     800       0
NUI CORP                         COM               629430109        13         500 SH      DEFINED    6           0     500       0
NABISCO HLDGS CORP               CL A              629526104       203       4,711 SH      DEFINED    1       3,962     749       0
NABISCO HLDGS CORP               CL A              629526104        22         523 SH      DEFINED    5         523       0       0
NABISCO HLDGS CORP               CL A              629526104        38         894 SH      DEFINED    6         894       0       0
NABISCO HLDGS CORP               CL A              629526104       112       2,600 SH      OTHER      9       2,600       0       0
NABISCO HLDGS CORP               CL A              629526104       116       2,709 SH      DEFINED   10       1,411   1,298       0
NABISCO HLDGS CORP               CL A              629526104        50       1,160 SH      DEFINED   11           0   1,160       0
NABISCO GROUP HLDG CORP          COM               62952P102     1,239      63,315 SH      OTHER      2      48,230       0  15,085
NABISCO GROUP HLDG CORP          COM               62952P102        50       2,559 SH      DEFINED    5       2,199     360       0
NABISCO GROUP HLDG CORP          COM               62952P102        10         490 SH      DEFINED    6          40     450       0
NABISCO GROUP HLDG CORP          COM               62952P102       783      40,021 SH      OTHER      9      40,021       0       0
NABORS INDS INC                  OPTION            629568106        17           7 CALL    OTHER      2           7       0       0
NABORS INDS INC                  COM               629568106     1,071      43,945 SH      OTHER      2      42,240       0   1,705
NABORS INDS INC                  COM               629568106        24       1,000 SH      DEFINED    6       1,000       0       0
NACCO INDS INC                   CL A              629579103        92       1,254 SH      OTHER      2       1,254       0       0
NACCO INDS INC                   CL A              629579103        51         697 SH      OTHER      9         697       0       0
NACCO INDS INC                   CL A              629579103        15         200 SH      DEFINED   11         200       0       0
NALCO CHEM CO                    COM               629853102         7         140 SH      DEFINED    1           0     140       0
NALCO CHEM CO                    COM               629853102     6,331     122,038 SH      OTHER      2     120,538       0   1,500
NALCO CHEM CO                    COM               629853102       222       4,281 SH      OTHER      9       4,281       0       0
NALCO CHEM CO                    COM               629853102         3          65 SH      DEFINED   11           0      65       0
NASDAQ 100 TR                    UNIT SER 1        631100104         0           1 SH      OTHER      2           1       0       0
NASDAQ 100 TR                    UNIT SER 1        631100104         6          50 SH      DEFINED    6           0      50       0
NASHUA CORP                      COM               631226107         0           1 SH      OTHER      2           1       0       0
NATIONAL AUSTRALIA BK LTD        CAP UTS EXCHBL    632525309        24         800 SH      DEFINED    1         800       0       0
NATIONAL AUSTRALIA BK LTD        CAP UTS EXCHBL    632525309    17,777     585,264 SH      OTHER      2     532,511       0  52,753
NATIONAL AUSTRALIA BK LTD        CAP UTS EXCHBL    632525309       175       5,770 SH      DEFINED    5       5,770       0       0
NATIONAL AUSTRALIA BK LTD        CAP UTS EXCHBL    632525309        56       1,855 SH      DEFINED    6       1,255     600       0
NATIONAL AUSTRALIA BK LTD        CAP UTS EXCHBL    632525309    80,858   2,662,000 SH      OTHER      9   2,662,000       0       0
NATIONAL AUSTRALIA BK LTD        CAP UTS EXCHBL    632525309        76       2,500 SH      DEFINED   10       2,500       0       0
NATIONAL AUSTRALIA BK LTD        CAP UTS EXCHBL    632525309       185       6,078 SH      DEFINED   11       3,278   2,800       0
NATIONAL AUSTRALIA BK LTD        SPON ADR          632525408       369       4,390 SH      DEFINED    1       2,920   1,470       0
NATIONAL AUSTRALIA BK LTD        SPON ADR          632525408       894      10,647 SH      OTHER      2      10,647       0       0
NATIONAL AUSTRALIA BK LTD        SPON ADR          632525408        76         910 SH      DEFINED    5         335     575       0
NATIONAL AUSTRALIA BK LTD        SPON ADR          632525408       149       1,770 SH      DEFINED    6       1,770       0       0
NATIONAL AUSTRALIA BK LTD        SPON ADR          632525408        49         579 SH      DEFINED   10         185     394       0
NATIONAL AUSTRALIA BK LTD        SPON ADR          632525408       274       3,264 SH      DEFINED   11       1,640   1,624       0
NATIONAL CITY BANCORPORATION     COM               635312101        41       1,986 SH      OTHER      2       1,986       0       0
NATIONAL CITY BANCORPORATION     COM               635312101         3         150 SH      DEFINED    6           0     150       0
NATIONAL CITY BANCSHARES INC     COM               635313109         3         100 SH      OTHER      2         100       0       0
NATIONAL CITY BANCSHARES INC     COM               635313109     1,067      33,394 SH      DEFINED   11      33,394       0       0
NATIONAL CITY CORP               OPTION            635405103        13           2 CALL    OTHER      2           2       0       0
NATIONAL CITY CORP               COM               635405103     3,795      57,941 SH      DEFINED    1      50,505   7,436       0
NATIONAL CITY CORP               COM               635405103       222       3,390 SH      OTHER      1       3,390       0       0
NATIONAL CITY CORP               COM               635405103     3,085      47,095 SH      OTHER      2      46,795       0     300
NATIONAL CITY CORP               COM               635405103     5,051      77,119 SH      DEFINED    5      67,417   9,702       0
NATIONAL CITY CORP               COM               635405103     2,144      32,727 SH      DEFINED    6      24,556   8,171       0
NATIONAL CITY CORP               COM               635405103     1,292      19,722 SH      OTHER      9      19,722       0       0
NATIONAL CITY CORP               COM               635405103     4,174      63,725 SH      DEFINED   10      58,600   5,125       0
NATIONAL CITY CORP               COM               635405103       974      14,870 SH      DEFINED   11      12,980   1,890       0
NATIONAL COMM BANCORP            COM               635449101     2,278     104,150 SH      OTHER      2     104,150       0       0
NATIONAL COMM BANCORP            COM               635449101        22       1,000 SH      DEFINED    5       1,000       0       0
NATIONAL COMPUTER SYS INC        COM               635519101         6         170 SH      DEFINED   10         170       0       0
NATIONAL DATA CORP               OPTION            635621105     2,138         500 PUT     OTHER      2         500       0       0
NATIONAL DATA CORP               COM               635621105        43       1,000 SH      DEFINED    1       1,000       0       0
NATIONAL DATA CORP               COM               635621105       235       5,500 SH      OTHER      2       5,500       0       0
NATIONAL DATA CORP               COM               635621105        60       1,400 SH      OTHER      9       1,400       0       0
NATIONAL DATA CORP               SUB NT CONV 5%03  635621AA3        78      75,000 PRN     OTHER      2      75,000       0       0
NATIONAL DISC BROKERS GROUP      OPTION            635646102       849         147 CALL    OTHER      2         147       0       0
NATIONAL DISC BROKERS GROUP      OPTION            635646102        12           2 PUT     OTHER      2           2       0       0
NATIONAL DISC BROKERS GROUP      COM               635646102       110       1,900 SH      OTHER      9       1,900       0       0
NATIONAL FUEL GAS CO N J         COM               636180101       106       2,180 SH      DEFINED    1         880   1,300       0
NATIONAL FUEL GAS CO N J         COM               636180101     2,924      60,292 SH      OTHER      2       9,510       0  50,782
NATIONAL FUEL GAS CO N J         COM               636180101       100       2,059 SH      DEFINED    5         200   1,859       0
NATIONAL FUEL GAS CO N J         COM               636180101        82       1,700 SH      OTHER      9       1,700       0       0
NATIONAL FUEL GAS CO N J         COM               636180101        10         200 SH      DEFINED   11         200       0       0
NATIONAL GOLF PPTYS INC          COM               63623G109        24       1,000 SH      DEFINED    1           0   1,000       0
NATIONAL GOLF PPTYS INC          COM               63623G109     1,702      70,000 SH      OTHER      2      66,450       0   3,550
NATIONAL GOLF PPTYS INC          COM               63623G109         2         100 SH      DEFINED    5           0     100       0
NATIONAL GOLF PPTYS INC          COM               63623G109        17         700 SH      OTHER      9         700       0       0
NATIONAL GOLF PPTYS INC          COM               63623G109        51       2,085 SH      DEFINED   11         385   1,700       0
NATIONAL HEALTH INVS INC         PFD CV $0.01      63633D203         9         400 SH      DEFINED   11           0     400       0
NATIONAL INSTRS CORP             COM               636518102         5         130 SH      DEFINED    1         130       0       0
NATIONAL INSTRS CORP             COM               636518102         6         138 SH      DEFINED   10         138       0       0
NATIONAL-OILWELL INC             COM               637071101        11         800 SH      OTHER      2           0       0     800
NATIONAL-OILWELL INC             COM               637071101        15       1,070 SH      DEFINED   11       1,070       0       0
NATIONAL PWR PLC                 SPON ADR FINAL    637194408        40       1,285 SH      DEFINED    1       1,285       0       0
NATIONAL PWR PLC                 SPON ADR FINAL    637194408         2          54 SH      OTHER      2          54       0       0
NATIONAL PWR PLC                 SPON ADR FINAL    637194408        89       2,900 SH      DEFINED   10       2,900       0       0
NATIONAL PWR PLC                 SPON ADR FINAL    637194408        15         480 SH      DEFINED   11         480       0       0
NATIONAL PROPANE PARTNERS L P    COM UNIT L P      637250101        35       3,000 SH      OTHER      2           0       0   3,000
NATIONAL PROPANE PARTNERS L P    COM UNIT L P      637250101         4         300 SH      DEFINED    5           0     300       0
NATIONAL RLTY L P                UNIT NEW          637353301         3         144 SH      DEFINED    1         144       0       0
NATIONAL SEMICONDUCTOR CORP      COM               637640103     3,729     147,306 SH      OTHER      2     142,206       0   5,100
NATIONAL SEMICONDUCTOR CORP      COM               637640103       652      25,762 SH      OTHER      9      25,762       0       0
NATIONAL SVC INDS INC            COM               637657107       252       6,999 SH      OTHER      2       5,999       0   1,000
NATIONAL SVC INDS INC            COM               637657107       108       3,008 SH      OTHER      9       3,008       0       0
NATIONAL WESTN LIFE INS CO       CL A              638522102        96       1,000 SH      DEFINED    1       1,000       0       0
NATIONAL WESTMINSTER BK PLC      ADR               638539403       691       5,320 SH      OTHER      2           0       0   5,320
NATIONAL WESTMINSTER BK PLC      ADR               638539403        28         216 SH      DEFINED    6          16     200       0
NATIONAL WESTMINSTER BK PLC      ADR               638539403         9          69 SH      DEFINED   10          44      25       0
NATIONAL WESTMINSTER BK PLC      ADR               638539403         1           7 SH      DEFINED   11           7       0       0
NATIONAL WESTMINSTER BK PLC      ADR REP PREF B    638539700       156       6,000 SH      DEFINED   11       1,000   5,000       0
NATIONAL WESTMINSTER BK PLC      SPONSRD ADR C     638539882        95       3,602 SH      OTHER      2       3,602       0       0
NATIONAL WESTMINSTER BK PLC      SPONSRD ADR C     638539882       226       8,600 SH      DEFINED    5           0   8,600       0
NATIONAL WESTMINSTER BK PLC      SPONSRD ADR C     638539882        92       3,513 SH      DEFINED   10       1,875   1,638       0
NATIONAL WESTMINSTER BK PLC      SPONSRD ADR C     638539882       131       5,000 SH      DEFINED   11           0   5,000       0
NATIONWIDE FINL SVCS INC         CL A              638612101        33         725 SH      DEFINED    1         725       0       0
NATIONWIDE FINL SVCS INC         CL A              638612101     3,813      84,255 SH      OTHER      2      84,255       0       0
NATIONWIDE FINL SVCS INC         CL A              638612101        14         300 SH      OTHER      9         300       0       0
NATIONWIDE HEALTH PPTYS INC      COM               638620104       446      23,375 SH      DEFINED    1      17,990   5,385       0
NATIONWIDE HEALTH PPTYS INC      COM               638620104    20,456   1,073,151 SH      OTHER      2   1,062,071       0  11,080
NATIONWIDE HEALTH PPTYS INC      COM               638620104     1,563      81,987 SH      DEFINED    5      69,797  12,190       0
NATIONWIDE HEALTH PPTYS INC      COM               638620104       184       9,640 SH      DEFINED    6       7,040   2,600       0
NATIONWIDE HEALTH PPTYS INC      COM               638620104        19       1,000 SH      OTHER      9       1,000       0       0
NATIONWIDE HEALTH PPTYS INC      COM               638620104        44       2,295 SH      DEFINED   10       1,940     355       0
NATIONWIDE HEALTH PPTYS INC      COM               638620104       217      11,400 SH      DEFINED   11      11,400       0       0
NATURAL MICROSYSTEMS CORP        COM               638882100        83       8,649 SH      OTHER      2       8,649       0       0
NATURES SUNSHINE PRODUCTS INC    COM               639027101        13       1,228 SH      OTHER      2       1,228       0       0
NAUTICA ENTERPRISES INC          COM               639089101        11         653 SH      OTHER      2          53       0     600
NAVARRE CORP                     COM               639208107     4,500     457,142 SH      OTHER      1     457,142       0       0
NAVISTAR INTL CORP NEW           COM               63934E108       494       9,877 SH      OTHER      2       9,877       0       0
NAVISTAR INTL CORP NEW           COM               63934E108       410       8,205 SH      OTHER      9       8,205       0       0
NAVIGANT INTL INC                COM               63935R108         2         230 SH      DEFINED    6         230       0       0
NEIMAN MARCUS GROUP INC          COM               640204103       203       7,900 SH      OTHER      2       7,900       0       0
NEIMAN MARCUS GROUP INC          COM               640204103        39       1,506 SH      DEFINED   10         506   1,000       0
NEOMAGIC CORP                    COM               640497103         4         420 SH      DEFINED    1          93     327       0
NEOMAGIC CORP                    COM               640497103        61       7,282 SH      OTHER      2       7,282       0       0
NEOMAGIC CORP                    COM               640497103         1         177 SH      DEFINED   10         177       0       0
NEOMAGIC CORP                    COM               640497103         1         170 SH      DEFINED   11         170       0       0
NETWORK EVENT THEATER INC        COM               640924106        50       3,000 SH      OTHER      2           0       0   3,000
NETBANK INC                      OPTION            640933107       137          36 CALL    OTHER      2          36       0       0
NETBANK INC                      COM               640933107        13         345 SH      DEFINED    1           0     345       0
NETBANK INC                      COM               640933107        23         600 SH      DEFINED   11           0     600       0
NETWORKS ASSOCS INC              COM               640938106        19       1,310 SH      DEFINED    1       1,310       0       0
NETWORKS ASSOCS INC              COM               640938106     3,330     226,740 SH      OTHER      2     180,996       0  45,744
NETWORKS ASSOCS INC              COM               640938106        73       5,000 SH      DEFINED    6       5,000       0       0
NETWORKS ASSOCS INC              COM               640938106       177      12,065 SH      OTHER      9      12,065       0       0
NETWORKS ASSOCS INC              COM               640938106         1          87 SH      DEFINED   11           0      87       0
NETWORKS ASSOCS INC              SB DB CV ZERO 18  640938AB2       306   1,051,000 PRN     OTHER      2   1,051,000       0       0
NETWORK APPLIANCE INC            OPTION            64120L104        34           6 CALL    OTHER      2           6       0       0
NETWORK APPLIANCE INC            OPTION            64120L104        56          10 PUT     OTHER      2          10       0       0
NETWORK APPLIANCE INC            COM               64120L104        13         230 SH      DEFINED    1         230       0       0
NETWORK APPLIANCE INC            COM               64120L104    14,843     265,650 SH      OTHER      2     243,271       0  22,379
NETWORK APPLIANCE INC            COM               64120L104        19         335 SH      DEFINED    5         335       0       0
NETWORK APPLIANCE INC            COM               64120L104        10         180 SH      DEFINED    6         180       0       0
NETWORK APPLIANCE INC            COM               64120L104       612      10,958 SH      OTHER      9      10,958       0       0
NETWORK APPLIANCE INC            COM               64120L104       156       2,790 SH      DEFINED   10       2,790       0       0
NETWORK APPLIANCE INC            COM               64120L104        87       1,565 SH      DEFINED   11       1,565       0       0
NETWORK SOLUTIONS INC DEL        OPTION            64121Q102        87          11 CALL    OTHER      2          11       0       0
NETWORK PERIPHERALS INC          OPTION            64121R100        16           8 CALL    OTHER      2           8       0       0
NEVADA POWER CO                  COM               641423108        92       3,686 SH      DEFINED    1       1,686   2,000       0
NEVADA POWER CO                  COM               641423108       352      14,063 SH      OTHER      2      12,583       0   1,480
NEVADA POWER CO                  COM               641423108        45       1,800 SH      DEFINED    5           0   1,800       0
NEVADA POWER CO                  COM               641423108       105       4,200 SH      OTHER      9       4,200       0       0
NEVADA POWER CO                  COM               641423108        12         475 SH      DEFINED   11         475       0       0
NEW AMER HIGH INCOME FD INC      COM               641876107        90      20,000 SH      DEFINED    1      20,000       0       0
NEW AMER HIGH INCOME FD INC      COM               641876107       242      53,868 SH      OTHER      2           0       0  53,868
NEW AMER HIGH INCOME FD INC      COM               641876107         9       2,000 SH      DEFINED   11       2,000       0       0
NEW CENTURY ENERGIES INC         COM               64352U103       128       3,289 SH      DEFINED    1       2,719     570       0
NEW CENTURY ENERGIES INC         COM               64352U103    14,428     371,739 SH      OTHER      2     366,753       0   4,986
NEW CENTURY ENERGIES INC         COM               64352U103        35         911 SH      DEFINED    5         150     761       0
NEW CENTURY ENERGIES INC         COM               64352U103       287       7,392 SH      OTHER      9       7,392       0       0
NEW CENTURY ENERGIES INC         COM               64352U103        52       1,351 SH      DEFINED   11         975     376       0
NEW ENGLAND BUSINESS SVC INC     COM               643872104         0           2 SH      OTHER      2           0       0       2
NEW ENGLAND ELEC SYS             COM               644001109        25         500 SH      DEFINED    1         200     300       0
NEW ENGLAND ELEC SYS             COM               644001109    41,608     830,081 SH      OTHER      2     828,849       0   1,232
NEW ENGLAND ELEC SYS             COM               644001109       160       3,200 SH      DEFINED    5       3,200       0       0
NEW ENGLAND ELEC SYS             COM               644001109        50       1,000 SH      DEFINED   11       1,000       0       0
NEW ERA OF NETWORKS INC          OPTION            644312100       308          70 CALL    OTHER      2          70       0       0
NEW ERA OF NETWORKS INC          OPTION            644312100       439         100 PUT     OTHER      2         100       0       0
NEW ERA OF NETWORKS INC          COM               644312100        57       1,300 SH      OTHER      2       1,300       0       0
NEW JERSEY RES                   COM               646025106        19         500 SH      DEFINED    1           0     500       0
NEW JERSEY RES                   COM               646025106         7         200 SH      OTHER      2           0       0     200
NEW JERSEY RES                   COM               646025106        13         350 SH      DEFINED    5         350       0       0
NEW PLAN EXCEL RLTY TR INC       COM               648053106        53       2,970 SH      DEFINED    1           1   2,969       0
NEW PLAN EXCEL RLTY TR INC       COM               648053106       241      13,403 SH      OTHER      2      10,545       0   2,858
NEW PLAN EXCEL RLTY TR INC       COM               648053106        18       1,000 SH      DEFINED    6       1,000       0       0
NEW PLAN EXCEL RLTY TR INC       COM               648053106        94       5,200 SH      OTHER      9       5,200       0       0
NEW PLAN EXCEL RLTY TR INC       COM               648053106        27       1,525 SH      DEFINED   10           0   1,525       0
NEW TEL LTD                      SPON ADR          648867109         0         124 SH      OTHER      2         124       0       0
NEW WORLD COFFEE-MANHATN BAGEL   COM               648904100         2       2,000 SH      OTHER      2           0       0   2,000
NEW YORK TIMES CO                CL A              650111107     4,887     132,760 SH      OTHER      2     114,259       0  18,501
NEW YORK TIMES CO                CL A              650111107       459      12,469 SH      OTHER      9      12,469       0       0
NEW YORK TIMES CO                CL A              650111107        61       1,650 SH      DEFINED   10       1,650       0       0
NEWBRIDGE NETWORKS CORP          COM               650901101       101       3,522 SH      OTHER      1       3,522       0       0
NEWBRIDGE NETWORKS CORP          COM               650901101     6,674     232,139 SH      OTHER      2     225,239       0   6,900
NEWBRIDGE NETWORKS CORP          COM               650901101       235       8,175 SH      OTHER      9       8,175       0       0
NEWCOURT CR GROUP INC            COM               650905102       369      28,550 SH      OTHER      1      28,550       0       0
NEWCOURT CR GROUP INC            COM               650905102     6,925     535,260 SH      OTHER      2     535,260       0       0
NEWCOURT CR GROUP INC            COM               650905102        70       5,400 SH      OTHER      9       5,400       0       0
NEWCOURT CR GROUP INC            COM               650905102         3         200 SH      DEFINED   10         200       0       0
NEWCOR INC                       COM               651186108         9       1,818 SH      DEFINED    6           0   1,818       0
NEWELL RUBBERMAID INC            COM               651229106        60       1,300 SH      DEFINED    1       1,250      50       0
NEWELL RUBBERMAID INC            COM               651229106   255,959   5,519,324 SH      OTHER      2   5,516,498       0   2,826
NEWELL RUBBERMAID INC            COM               651229106       136       2,935 SH      DEFINED    5       2,935       0       0
NEWELL RUBBERMAID INC            COM               651229106        93       1,995 SH      DEFINED    6         495   1,500       0
NEWELL RUBBERMAID INC            COM               651229106       258       5,565 SH      DEFINED   10       5,565       0       0
NEWELL RUBBERMAID INC            COM               651229106       161       3,477 SH      DEFINED   11       2,477   1,000       0
NEWHALL LAND & FARMING CO CAL    DEPOSITARY REC    651426108     7,296     296,300 SH      OTHER      9     296,300       0       0
NEWHALL LAND & FARMING CO CAL    DEPOSITARY REC    651426108       187       7,600 SH      DEFINED   10       7,600       0       0
NEWMONT MINING CORP              OPTION            651639106        95          48 CALL    OTHER      2          48       0       0
NEWMONT MINING CORP              OPTION            651639106     2,981       1,500 PUT     OTHER      2       1,500       0       0
NEWMONT MINING CORP              COM               651639106     1,182      59,482 SH      OTHER      2      56,847       0   2,635
NEWMONT MINING CORP              COM               651639106         2         125 SH      DEFINED    5          25     100       0
NEWMONT MINING CORP              COM               651639106        18         891 SH      DEFINED    6           0     891       0
NEWMONT MINING CORP              COM               651639106       477      23,990 SH      OTHER      9      23,990       0       0
NEWMONT MINING CORP              COM               651639106         2          77 SH      DEFINED   10          77       0       0
NEWMONT MINING CORP              COM               651639106         6         311 SH      DEFINED   11         311       0       0
NEWPARK RES INC                  COM PAR $.01NEW   651718504         4         400 SH      DEFINED    1         400       0       0
NEWPARK RES INC                  COM PAR $.01NEW   651718504        21       2,405 SH      DEFINED   11       2,405       0       0
NEWPORT CORP                     COM               651824104         4         230 SH      DEFINED    1         230       0       0
NEWPORT CORP                     COM               651824104         4         240 SH      DEFINED   10         240       0       0
NEWPORT NEWS SHIPBUILDING INC    COM               652228107        15         502 SH      DEFINED    1         320     182       0
NEWPORT NEWS SHIPBUILDING INC    COM               652228107       255       8,651 SH      OTHER      2       8,651       0       0
NEWPORT NEWS SHIPBUILDING INC    COM               652228107        16         556 SH      DEFINED    5         118     438       0
NEWPORT NEWS SHIPBUILDING INC    COM               652228107         6         200 SH      DEFINED   10         200       0       0
NEWS CORP LTD                    ADR NEW           652487703        89       2,530 SH      OTHER      1       2,530       0       0
NEWS CORP LTD                    ADR NEW           652487703     2,773      78,525 SH      DEFINED    1      58,325  20,200       0
NEWS CORP LTD                    ADR NEW           652487703       354      10,023 SH      OTHER      2           1       0  10,022
NEWS CORP LTD                    ADR NEW           652487703        81       2,305 SH      DEFINED    5       2,105     200       0
NEWS CORP LTD                    ADR NEW           652487703       953      27,000 SH      DEFINED    6      26,450     550       0
NEWS CORP LTD                    ADR NEW           652487703       656      18,575 SH      DEFINED   10      17,975     600       0
NEWS CORP LTD                    ADR NEW           652487703       697      19,735 SH      DEFINED   11       9,510  10,225       0
NEWS CORP LTD                    SP ADR PFD        652487802       340      10,773 SH      DEFINED    1       8,723   2,050       0
NEWS CORP LTD                    SP ADR PFD        652487802     2,222      70,400 SH      OTHER      2      67,700       0   2,700
NEWS CORP LTD                    SP ADR PFD        652487802        40       1,282 SH      DEFINED    5       1,282       0       0
NEWS CORP LTD                    SP ADR PFD        652487802        71       2,235 SH      DEFINED    6       2,235       0       0
NEWS CORP LTD                    SP ADR PFD        652487802       188       5,944 SH      DEFINED   10       5,944       0       0
NEWS CORP LTD                    SP ADR PFD        652487802       196       6,224 SH      DEFINED   11       3,050   3,174       0
NIAGARA BANCORP INC              COM               652914102         5         500 SH      OTHER      2           0       0     500
NEXTEL COMMUNICATIONS INC        OPTION            65332V103    16,843       3,356 CALL    OTHER      2       3,356       0       0
NEXTEL COMMUNICATIONS INC        CL A              65332V103       152       3,037 SH      DEFINED    1       2,237     800       0
NEXTEL COMMUNICATIONS INC        CL A              65332V103     4,829      96,221 SH      OTHER      2      89,521       0   6,700
NEXTEL COMMUNICATIONS INC        CL A              65332V103       151       3,000 SH      DEFINED    6       3,000       0       0
NEXTEL COMMUNICATIONS INC        CL A              65332V103         9         175 SH      DEFINED   10         175       0       0
NEXTLINK COMMUNICATIONS INC      OPTION            65333H707        22           3 PUT     OTHER      2           3       0       0
NEXTLINK COMMUNICATIONS INC      CL A              65333H707       973      13,087 SH      OTHER      2      11,537       0   1,550
NIAGARA MOHAWK HLDGS INC         COM               653520106        23       1,419 SH      DEFINED    1       1,419       0       0
NIAGARA MOHAWK HLDGS INC         COM               653520106     3,239     201,679 SH      OTHER      2     201,473       0     206
NIAGARA MOHAWK HLDGS INC         COM               653520106         7         447 SH      DEFINED    5           0     447       0
NIAGARA MOHAWK HLDGS INC         COM               653520106       175      10,908 SH      OTHER      9      10,908       0       0
NICE SYS LTD                     SPON ADR          653656108        12         429 SH      OTHER      2         429       0       0
NICHOLS RESH CORP                COM               653818104        14         660 SH      DEFINED   10         660       0       0
NIELSEN MEDIA RESH INC           COM NEW           653929307        13         452 SH      DEFINED    1         452       0       0
NIELSEN MEDIA RESH INC           COM NEW           653929307        49       1,661 SH      OTHER      2           0       0   1,661
NIELSEN MEDIA RESH INC           COM NEW           653929307         6         199 SH      DEFINED    5         133      66       0
NIELSEN MEDIA RESH INC           COM NEW           653929307         5         175 SH      DEFINED   11          15     160       0
NICOR INC                        COM               654086107        27         719 SH      DEFINED    1         515     204       0
NICOR INC                        COM               654086107       262       6,894 SH      OTHER      2       6,894       0       0
NICOR INC                        COM               654086107        88       2,310 SH      DEFINED    5       1,106   1,204       0
NICOR INC                        COM               654086107       105       2,758 SH      OTHER      9       2,758       0       0
NICOR INC                        COM               654086107        18         460 SH      DEFINED   10         460       0       0
NICOR INC                        COM               654086107        89       2,348 SH      DEFINED   11       1,848     500       0
NIKE INC                         OPTION            654106103       133          21 CALL    OTHER      2          21       0       0
NIKE INC                         CL B              654106103     9,049     142,785 SH      OTHER      2     132,160       0  10,625
NIKE INC                         CL B              654106103     1,081      17,053 SH      OTHER      9      17,053       0       0
NIKE INC                         CL B              654106103       634      10,000 SH      DEFINED   11           0  10,000       0
NINE WEST GROUP INC              SUB NT CV 144A03  65440DAA0        45      45,000 PRN     OTHER      2      45,000       0       0
99 CENTS ONLY STORES             COM               65440K106       482       9,643 SH      OTHER      2           0       0   9,643
NIPPON TELEG & TEL CORP          SPON ADR          654624105        40         640 SH      DEFINED    1         440     200       0
NIPPON TELEG & TEL CORP          SPON ADR          654624105     1,689      26,967 SH      OTHER      2      24,817       0   2,150
NIPPON TELEG & TEL CORP          SPON ADR          654624105         1          20 SH      DEFINED    5          20       0       0
NIPPON TELEG & TEL CORP          SPON ADR          654624105        10         157 SH      DEFINED    6         157       0       0
NIPPON TELEG & TEL CORP          SPON ADR          654624105        41         647 SH      DEFINED   10         396     251       0
NIPPON TELEG & TEL CORP          SPON ADR          654624105        30         477 SH      DEFINED   11         127     350       0
NISOURCE INC                     COM               65473P105         9         364 SH      DEFINED    1          81     283       0
NISOURCE INC                     COM               65473P105       930      36,012 SH      OTHER      2      31,508       0   4,504
NISOURCE INC                     COM               65473P105       101       3,907 SH      DEFINED    5       2,305   1,602       0
NISOURCE INC                     COM               65473P105       193       7,458 SH      DEFINED    6       1,716   5,742       0
NISOURCE INC                     COM               65473P105        83       3,208 SH      DEFINED   10       3,208       0       0
NISOURCE INC                     COM               65473P105        97       3,766 SH      DEFINED   11       3,462     304       0
NISSAN MOTORS                    SPON ADR          654744408        16       1,683 SH      OTHER      2       1,683       0       0
NISSAN MOTORS                    SPON ADR          654744408        19       2,000 SH      DEFINED   10       2,000       0       0
NISSAN MOTORS                    SPON ADR          654744408        12       1,200 SH      DEFINED   11       1,200       0       0
NOBLE AFFILIATES INC             COM               654894104       634      22,483 SH      OTHER      2      14,033       0   8,450
NOBLE AFFILIATES INC             COM               654894104        19         680 SH      DEFINED   11         680       0       0
NOKIA CORP                       OPTION            654902204       449          49 CALL    OTHER      2          49       0       0
NOKIA CORP                       OPTION            654902204     4,578         500 PUT     OTHER      2         500       0       0
NOKIA CORP                       SPON ADR          654902204     1,350      14,745 SH      DEFINED    1      10,445   4,300       0
NOKIA CORP                       SPON ADR          654902204    73,535     803,114 SH      OTHER      2     769,999       0  33,115
NOKIA CORP                       SPON ADR          654902204       697       7,610 SH      DEFINED    5       3,525   4,085       0
NOKIA CORP                       SPON ADR          654902204        87         947 SH      DEFINED    6         547     400       0
NOKIA CORP                       SPON ADR          654902204       192       2,099 SH      OTHER      9       2,099       0       0
NOKIA CORP                       SPON ADR          654902204       544       5,943 SH      DEFINED   10       5,814     129       0
NOKIA CORP                       SPON ADR          654902204       832       9,085 SH      DEFINED   11       4,285   4,800       0
NOBLE DRILLING CORP              OPTION            655042109        49          25 CALL    OTHER      2          25       0       0
NOBLE DRILLING CORP              COM               655042109       844      42,878 SH      OTHER      2      32,243       0  10,635
NOBLE DRILLING CORP              COM               655042109        65       3,300 SH      DEFINED    5         300   3,000       0
NOBLE DRILLING CORP              COM               655042109         5         249 SH      DEFINED   11         249       0       0
NOEL GROUP INC                   COM               655260107       382     610,500 SH      OTHER      9     610,500       0       0
NORAM ENERGY CORP                SUB DEB CV  6%12  655419AC3        33      36,790 PRN     OTHER      2      36,790       0       0
NORDSON CORP                     COM               655663102       254       4,147 SH      OTHER      2       4,147       0       0
NORDSTROM INC                    OPTION            655664100        34          10 CALL    OTHER      2          10       0       0
NORDSTROM INC                    COM               655664100     2,415      72,079 SH      OTHER      2      69,579       0   2,500
NORDSTROM INC                    COM               655664100        40       1,200 SH      DEFINED    5           0   1,200       0
NORDSTROM INC                    COM               655664100        13         400 SH      DEFINED    6           0     400       0
NORDSTROM INC                    COM               655664100       289       8,615 SH      OTHER      9       8,615       0       0
NORDSTROM INC                    COM               655664100       192       5,717 SH      DEFINED   10       4,900     817       0
NORFOLK SOUTHERN CORP            COM               655844108     7,836     260,116 SH      DEFINED    1     201,378  58,738       0
NORFOLK SOUTHERN CORP            COM               655844108     2,743      91,045 SH      OTHER      2      88,468       0   2,577
NORFOLK SOUTHERN CORP            COM               655844108     4,264     141,537 SH      DEFINED    5     105,106  36,431       0
NORFOLK SOUTHERN CORP            COM               655844108     6,123     203,255 SH      DEFINED    6     165,680  37,575       0
NORFOLK SOUTHERN CORP            COM               655844108       694      23,039 SH      OTHER      9      23,039       0       0
NORFOLK SOUTHERN CORP            COM               655844108     4,354     144,531 SH      DEFINED   10     131,456  13,075       0
NORFOLK SOUTHERN CORP            COM               655844108     3,459     114,805 SH      DEFINED   11      88,585  26,220       0
NORSTAN INC                      COM               656535101        53       4,300 SH      OTHER      2       4,300       0       0
NORTEK INC                       COM               656559101         8         268 SH      DEFINED   11         268       0       0
NORTEL NETWORKS CORP             OPTION            656569100     3,281         378 CALL    OTHER      2         378       0       0
NORTEL NETWORKS CORP             OPTION            656569100     3,255         375 PUT     OTHER      2         375       0       0
NORTEL NETWORKS CORP             COM               656569100     3,827      44,085 SH      OTHER      1      44,085       0       0
NORTEL NETWORKS CORP             COM               656569100     2,101      24,200 SH      DEFINED    1      16,595   7,605       0
NORTEL NETWORKS CORP             COM               656569100    29,103     335,244 SH      OTHER      2     332,102       0   3,142
NORTEL NETWORKS CORP             COM               656569100     2,694      31,030 SH      DEFINED    5      23,830   7,200       0
NORTEL NETWORKS CORP             COM               656569100     2,991      34,459 SH      DEFINED    6      23,884  10,575       0
NORTEL NETWORKS CORP             COM               656569100     3,367      38,780 SH      OTHER      9      38,780       0       0
NORTEL NETWORKS CORP             COM               656569100     9,455     108,916 SH      DEFINED   10      94,600  14,316       0
NORTEL NETWORKS CORP             COM               656569100     3,377      38,905 SH      DEFINED   11      31,195   7,710       0
NORTH AMERN VACCINE INC          SUB NT CV 6.5%03  657201AC3       406   1,050,000 PRN     OTHER      2   1,050,000       0       0
NORTH CAROLINA NAT GAS CORP      COM               658221106        10         300 SH      DEFINED   11         300       0       0
NORTH COAST ENERGY INC           COM NEW           658649702         1         219 SH      DEFINED    6         219       0       0
NORTH EUROPEAN OIL RTY TR        SH BEN INT        659310106       164      12,500 SH      OTHER      2           0       0  12,500
NORTH EUROPEAN OIL RTY TR        SH BEN INT        659310106        17       1,300 SH      DEFINED    5       1,300       0       0
NORTH FACE INC                   COM               659317101        97       9,776 SH      OTHER      2       9,776       0       0
NORTH FACE INC                   COM               659317101        12       1,185 SH      DEFINED   11       1,185       0       0
NORTH FORK BANCORPORATION NY     COM               659424105       782      36,587 SH      OTHER      2      35,137       0   1,450
NORTH FORK BANCORPORATION NY     COM               659424105        17         800 SH      DEFINED    6         800       0       0
NORTHEAST UTILS                  COM               664397106       577      32,301 SH      OTHER      2      32,301       0       0
NORTHEAST UTILS                  COM               664397106        20       1,119 SH      DEFINED    5       1,000     119       0
NORTHEAST UTILS                  COM               664397106        77       4,300 SH      DEFINED    6       4,000     300       0
NORTHEAST UTILS                  COM               664397106         8         450 SH      DEFINED   10         450       0       0
NORTHERN BORDER PARTNERS L P     UNIT LTD PARTN    664785102        34       1,100 SH      DEFINED    1           0   1,100       0
NORTHERN BORDER PARTNERS L P     UNIT LTD PARTN    664785102       396      12,760 SH      OTHER      2           0       0  12,760
NORTHERN BORDER PARTNERS L P     UNIT LTD PARTN    664785102        42       1,350 SH      DEFINED    5           0   1,350       0
NORTHERN BORDER PARTNERS L P     UNIT LTD PARTN    664785102         5         150 SH      DEFINED    6           0     150       0
NORTHN STS PWR CO MINN           COM               665772109        55       2,278 SH      DEFINED    1       2,278       0       0
NORTHN STS PWR CO MINN           COM               665772109    18,060     746,690 SH      OTHER      2     746,390       0     300
NORTHN STS PWR CO MINN           COM               665772109        36       1,495 SH      DEFINED    5       1,095     400       0
NORTHN STS PWR CO MINN           COM               665772109        77       3,200 SH      DEFINED    6       2,000   1,200       0
NORTHN STS PWR CO MINN           COM               665772109       412      17,043 SH      OTHER      9      17,043       0       0
NORTHN STS PWR CO MINN           COM               665772109         7         275 SH      DEFINED   10         275       0       0
NORTHN STS PWR CO MINN           COM               665772109       121       5,000 SH      DEFINED   11           0   5,000       0
NORTHERN TR CORP                 COM               665859104        34         350 SH      DEFINED    1         350       0       0
NORTHERN TR CORP                 COM               665859104     6,600      68,045 SH      OTHER      2      50,180       0  17,865
NORTHERN TR CORP                 COM               665859104       617       6,360 SH      DEFINED    5       6,360       0       0
NORTHERN TR CORP                 COM               665859104       407       4,200 SH      DEFINED    6       4,200       0       0
NORTHERN TR CORP                 COM               665859104       672       6,932 SH      OTHER      9       6,932       0       0
NORTHERN TR CORP                 COM               665859104       485       5,000 SH      DEFINED   10       5,000       0       0
NORTHERN TR CORP                 COM               665859104       456       4,700 SH      DEFINED   11       3,150   1,550       0
NORTHGATE EXPL LTD               COM               666416102         0       1,000 SH      OTHER      1       1,000       0       0
NORTHLAND CRANBERRIES INC        CL A              666499108         2         280 SH      DEFINED    1           0     280       0
NORTHPOINT COMMUNICATIONS HLDG   COM               666610100        57       1,561 SH      OTHER      2       1,561       0       0
NORTHROP GRUMMAN CORP            COM               666807102       729      10,990 SH      OTHER      2      10,390       0     600
NORTHROP GRUMMAN CORP            COM               666807102       284       4,285 SH      OTHER      9       4,285       0       0
NORTHWEST AIRLS CORP             CL A              667280101       499      15,366 SH      OTHER      2      13,866       0   1,500
NORTHWEST NAT GAS CO             COM               667655104        11         456 SH      OTHER      2         456       0       0
NORTHWEST NAT GAS CO             COM               667655104        32       1,307 SH      DEFINED    5         707     600       0
NORTHWEST NAT GAS CO             COM               667655104        22         900 SH      DEFINED   11         900       0       0
NORTHWESTERN CORP                COM               668074107        48       2,000 SH      DEFINED    5           0   2,000       0
NORTHWESTERN CORP                COM               668074107        25       1,052 SH      DEFINED    6       1,052       0       0
NORTHWESTERN CORP                COM               668074107        10         400 SH      DEFINED   10         400       0       0
NOVA CHEMICALS CORP              COM               66977W109         2          80 SH      DEFINED    1          80       0       0
NOVA CHEMICALS CORP              COM               66977W109         2          93 SH      OTHER      2          93       0       0
NOVA CHEMICALS CORP              COM               66977W109         1          50 SH      DEFINED    5          50       0       0
NOVA CHEMICALS CORP              COM               66977W109        18         784 SH      DEFINED   11         660     124       0
NOVA CORP GA                     COM               669784100       851      34,026 SH      OTHER      2      34,026       0       0
NOVACARE CORP                    COM               669930109        27      18,248 SH      OTHER      2      18,248       0       0
NOVACARE CORP                    SB DEB CV 5.5%00  669930AA7         9      10,000 PRN     DEFINED   11           0  10,000       0
NOVELL INC                       OPTION            670006105       641         242 CALL    OTHER      2         242       0       0
NOVELL INC                       COM               670006105       327      12,350 SH      DEFINED    1         650  11,700       0
NOVELL INC                       COM               670006105    10,083     380,487 SH      OTHER      2     305,187       0  75,300
NOVELL INC                       COM               670006105        13         498 SH      DEFINED    5         298     200       0
NOVELL INC                       COM               670006105       106       4,000 SH      DEFINED    6       4,000       0       0
NOVELL INC                       COM               670006105     1,568      59,185 SH      OTHER      9      59,185       0       0
NOVELL INC                       COM               670006105         5         202 SH      DEFINED   10         202       0       0
NOVELL INC                       COM               670006105        62       2,336 SH      DEFINED   11       1,273   1,063       0
NOVELLUS SYS INC                 OPTION            670008101        41           6 CALL    OTHER      2           6       0       0
NOVELLUS SYS INC                 COM               670008101         1          20 SH      DEFINED    1          20       0       0
NOVELLUS SYS INC                 COM               670008101       702      10,284 SH      OTHER      2           0       0  10,284
NOVELLUS SYS INC                 COM               670008101         3          43 SH      DEFINED   10          43       0       0
NOVO-NORDISK A S                 ADR               670100205       455       8,500 SH      OTHER      1       8,500       0       0
NOVO-NORDISK A S                 ADR               670100205        34         630 SH      DEFINED    1         425     205       0
NOVO-NORDISK A S                 ADR               670100205         1          20 SH      DEFINED    5          20       0       0
NOVO-NORDISK A S                 ADR               670100205        27         500 SH      DEFINED   11         115     385       0
NOVOSTE CORP                     COM               67010C100       109       5,197 SH      OTHER      2       5,197       0       0
NU SKIN ENTERPRISES INC          CL A              67018T105       102       5,092 SH      OTHER      2       3,492       0   1,600
NUCOR CORP                       COM               670346105        24         500 SH      DEFINED    1           0     500       0
NUCOR CORP                       COM               670346105       768      16,189 SH      OTHER      2      12,789       0   3,400
NUCOR CORP                       COM               670346105       269       5,676 SH      OTHER      9       5,676       0       0
NUMAC ENERGY INC                 COM               67052A103         1         470 SH      OTHER      1         470       0       0
NUVEEN CONN PREM INC MUN FD      SH BEN INT        67060D107        49       3,000 SH      DEFINED    1       3,000       0       0
NUVEEN CONN PREM INC MUN FD      SH BEN INT        67060D107        16       1,000 SH      DEFINED    6           0   1,000       0
NUVEEN N C PREM INCOME MUN FD    SH BEN INT        67060P100        16       1,000 SH      DEFINED    1       1,000       0       0
NUVEEN PA PREM INCOME MUN FD 2   COM               67061F101         5         369 SH      DEFINED   11         369       0       0
NUVEEN SELECT MAT MUN FD         SH BEN INT        67061T101         2         200 SH      DEFINED   11         200       0       0
NUVEEN INSD CA PREM INCOME 2     COM               67061U108        66       4,500 SH      OTHER      2           0       0   4,500
NUVEEN INSD CA PREM INCOME 2     COM               67061U108        73       5,000 SH      DEFINED   10       5,000       0       0
NUVEEN ARIZ PREM INCOME MUN FD   COM               67061W104        28       1,642 SH      DEFINED    1           0   1,642       0
NUVEEN ARIZ PREM INCOME MUN FD   COM               67061W104        64       3,745 SH      DEFINED    6       3,745       0       0
NUVEEN INSD CALIF PREM INCOME    COM               67061X102        74       4,800 SH      DEFINED   10       4,800       0       0
NUVEEN CALIF MUN VALUE FD        COM               67062C107        28       2,830 SH      DEFINED   10       2,830       0       0
NUVEEN INVT QUALITY MUN FD INC   COM               67062E103       188      12,400 SH      DEFINED    1      12,400       0       0
NUVEEN INVT QUALITY MUN FD INC   COM               67062E103        21       1,376 SH      DEFINED    5       1,376       0       0
NUVEEN SELECT TAX FREE INCM PT   SH BEN INT        67062F100         3         200 SH      DEFINED    5         200       0       0
NUVEEN SELECT TAX FREE INCM PT   SH BEN INT        67062F100         6         401 SH      DEFINED   10         401       0       0
NUVEEN SELECT TAX FREE INCM PT   SH BEN INT        67062F100        15       1,000 SH      DEFINED   11       1,000       0       0
NUVEEN MUN ADVANTAGE FD INC      COM               67062H106        72       4,620 SH      DEFINED    5       4,620       0       0
NUVEEN MUN INCOME FD INC         COM               67062J102        85       7,200 SH      DEFINED    1       6,000   1,200       0
NUVEEN NY MUN VALUE FD           COM               67062M105        18       2,000 SH      OTHER      2           0       0   2,000
NUVEEN INSD QUALITY MUN FD INC   COM               67062N103        35       2,340 SH      DEFINED    1           0   2,340       0
NUVEEN INSD QUALITY MUN FD INC   COM               67062N103        75       5,000 SH      DEFINED    5       2,400   2,600       0
NUVEEN PERFORMANCE PLUS MUN FD   COM               67062P108        30       2,000 SH      DEFINED    1           0   2,000       0
NUVEEN PERFORMANCE PLUS MUN FD   COM               67062P108         7         500 SH      OTHER      2           0       0     500
NUVEEN PERFORMANCE PLUS MUN FD   COM               67062P108        97       6,500 SH      DEFINED    5       6,500       0       0
NUVEEN PERFORMANCE PLUS MUN FD   COM               67062P108         4         243 SH      DEFINED    6         243       0       0
NUVEEN PERFORMANCE PLUS MUN FD   COM               67062P108        11         706 SH      DEFINED   11         700       6       0
NUVEEN PREM INCOME MUN FD        COM               67062T100        34       2,350 SH      DEFINED    1       1,300   1,050       0
NUVEEN PREM INCOME MUN FD        COM               67062T100        86       6,000 SH      OTHER      2           0       0   6,000
NUVEEN PREM INCOME MUN FD        COM               67062T100       178      12,421 SH      DEFINED    5      10,121   2,300       0
NUVEEN PREM INCOME MUN FD        COM               67062T100        10         700 SH      DEFINED    6         700       0       0
NUVEEN PREM INCOME MUN FD        COM               67062T100        26       1,800 SH      DEFINED   11         800   1,000       0
NUVEEN MUN MKT OPPORTUNITY FD    COM               67062W103       109       6,974 SH      DEFINED    5       6,974       0       0
NUVEEN SELECT TAX FREE INCM PT   SH BEN INT        67063C106        40       2,657 SH      DEFINED    6       2,657       0       0
NUVEEN PREM INCOME MUN FD 2      COM               67063W102        16       1,000 SH      DEFINED    1       1,000       0       0
NUVEEN PREM INCOME MUN FD 2      COM               67063W102       298      18,920 SH      OTHER      2           0       0  18,920
NUVEEN PREM INCOME MUN FD 2      COM               67063W102       105       6,687 SH      DEFINED    5       5,387   1,300       0
NUVEEN PREM INCOME MUN FD 2      COM               67063W102         9         600 SH      DEFINED    6           0     600       0
NUVEEN PREM INCOME MUN FD 2      COM               67063W102        38       2,400 SH      DEFINED   10           0   2,400       0
NUVEEN SELECT TAX FREE INCM 3    SH BEN INT        67063X100        29       2,000 SH      OTHER      2           0       0   2,000
NYCOMED AMERSHAM PLC             SPON ADR          67066H102         2          45 SH      DEFINED    6          45       0       0
NYCOMED AMERSHAM PLC             SPON ADR          67066H102         7         187 SH      DEFINED   10         117      70       0
NYCOMED AMERSHAM PLC             SPON ADR          67066H102         1          20 SH      DEFINED   11          20       0       0
NUVEEN INSD PREM INCOME MUN 2    COM               6706D8104         9         676 SH      OTHER      2           0       0     676
NUVEEN INSD PREM INCOME MUN 2    COM               6706D8104        53       4,150 SH      DEFINED    5       4,000     150       0
NUVEEN INSD PREM INCOME MUN 2    COM               6706D8104        55       4,334 SH      DEFINED   10       4,334       0       0
NUVEEN PREM INCOME MUN FD 4      COM               6706K4105        56       4,015 SH      DEFINED    5       4,015       0       0
NUVEEN PREM INCOME MUN FD 4      COM               6706K4105         2         131 SH      DEFINED    6         131       0       0
OEA INC                          COM               670826106         0           7 SH      OTHER      2           7       0       0
ODS NETWORKS INC                 COM               67082N109       188      47,744 SH      OTHER      2      47,744       0       0
OGE ENERGY CORP                  COM               670837103         6         256 SH      DEFINED    1           0     256       0
OGE ENERGY CORP                  COM               670837103       481      20,244 SH      OTHER      2      19,844       0     400
OGE ENERGY CORP                  COM               670837103        78       3,280 SH      DEFINED    5           0   3,280       0
OGE ENERGY CORP                  COM               670837103        69       2,900 SH      OTHER      9       2,900       0       0
OGE ENERGY CORP                  COM               670837103        83       3,500 SH      DEFINED   11       3,500       0       0
OM GROUP INC                     COM               670872100         8         230 SH      DEFINED    1           0     230       0
NUVEEN MUN VALUE FD INC          COM               670928100        69       7,532 SH      DEFINED    1       7,532       0       0
NUVEEN MUN VALUE FD INC          COM               670928100        67       7,300 SH      OTHER      2           0       0   7,300
NUVEEN MUN VALUE FD INC          COM               670928100       106      11,500 SH      DEFINED    5      11,500       0       0
NUVEEN MUN VALUE FD INC          COM               670928100        29       3,136 SH      DEFINED    6       2,666     470       0
NUVEEN MUN VALUE FD INC          COM               670928100        14       1,500 SH      DEFINED   10       1,500       0       0
NUVEEN MUN VALUE FD INC          COM               670928100        15       1,600 SH      DEFINED   11       1,600       0       0
NUVEEN FLA INVT QUALITY MUN FD   COM               670970102       504      31,515 SH      DEFINED    5      28,875   2,640       0
NUVEEN NJ INVT QUALITY MUN FD    COM               670971100        47       3,000 SH      OTHER      2           0       0   3,000
NUVEEN NJ INVT QUALITY MUN FD    COM               670971100        17       1,103 SH      DEFINED    6           0   1,103       0
NUVEEN PA INVT QUALITY MUN FD    COM               670972108        33       1,955 SH      OTHER      2           0       0   1,955
NUVEEN PA INVT QUALITY MUN FD    COM               670972108        96       5,768 SH      DEFINED   11       4,256   1,512       0
NUVEEN SELECT QUALITY MUN FD     COM               670973106       123       8,380 SH      DEFINED    1       7,050   1,330       0
NUVEEN SELECT QUALITY MUN FD     COM               670973106        39       2,669 SH      OTHER      2           0       0   2,669
NUVEEN SELECT QUALITY MUN FD     COM               670973106        29       2,000 SH      DEFINED    6           0   2,000       0
NUVEEN SELECT QUALITY MUN FD     COM               670973106        15       1,000 SH      DEFINED   11       1,000       0       0
NUVEEN CA SELECT QUALITY MUN     COM               670975101        42       2,600 SH      DEFINED   10       2,600       0       0
NUVEEN NY SELECT QUALITY MUN     COM               670976109        24       1,526 SH      OTHER      2           0       0   1,526
NUVEEN QUALITY INCOME MUN FD     COM               670977107        36       2,300 SH      DEFINED    1           0   2,300       0
NUVEEN QUALITY INCOME MUN FD     COM               670977107       227      14,585 SH      OTHER      2           0       0  14,585
NUVEEN QUALITY INCOME MUN FD     COM               670977107        55       3,539 SH      DEFINED    5           0   3,539       0
NUVEEN QUALITY INCOME MUN FD     COM               670977107        21       1,333 SH      DEFINED    6           0   1,333       0
NUVEEN FLA QUALITY INCOME MUN    COM               670978105       412      26,153 SH      DEFINED    5      23,117   3,036       0
NUVEEN MICH QUALITY INCOME MUN   COM               670979103       375      22,929 SH      DEFINED    1      22,929       0       0
NUVEEN OHIO QUALITY INCOME MUN   COM               670980101       101       5,804 SH      DEFINED    6       5,804       0       0
NUVEEN INSD MUN OPPORTUNITY FD   COM               670984103        68       4,500 SH      OTHER      2           0       0   4,500
NUVEEN INSD MUN OPPORTUNITY FD   COM               670984103        39       2,600 SH      DEFINED    5       1,600   1,000       0
NUVEEN INSD MUN OPPORTUNITY FD   COM               670984103        19       1,283 SH      DEFINED    6       1,283       0       0
NUVEEN INSD MUN OPPORTUNITY FD   COM               670984103        39       2,600 SH      DEFINED   11       1,200   1,400       0
NUVEEN CALIF QUALITY INCM MUN    COM               670985100       117       7,000 SH      OTHER      2           0       0   7,000
NUVEEN PREMIER INSD MUN INCOME   COM               670987106        24       1,560 SH      DEFINED    5       1,560       0       0
NUVEEN PREMIER INSD MUN INCOME   COM               670987106       106       7,000 SH      DEFINED   11           0   7,000       0
NUVEEN PREMIER MUN INCOME FD     COM               670988104        24       1,600 SH      DEFINED    5       1,600       0       0
NUVEEN NJ PREM INCOME MUN FD     COM               67101N106         3         200 SH      DEFINED    6           0     200       0
NUVEEN INSD NY PREM INCOME FD    COM               67101R107         1          47 SH      DEFINED   11          47       0       0
NUVEEN INSD FLA PREM INCOME FD   COM               67101V108       117       8,029 SH      DEFINED    5       6,222   1,807       0
OSHAP TECHNOLOGIES LTD           ORD               671039105        37       2,873 SH      OTHER      2       2,873       0       0
OAK INDS INC                     COM NEW           671400505        23         529 SH      DEFINED    5         529       0       0
OAK INDS INC                     COM NEW           671400505        48       1,100 SH      DEFINED   10       1,100       0       0
OAK TECHNOLOGY INC               COM               671802106       566     156,085 SH      OTHER      2     156,085       0       0
OAKLEY INC                       COM               673662102         4         502 SH      OTHER      2           2       0     500
OCCIDENTAL PETE CORP DEL         COM               674599105       318      15,075 SH      DEFINED    1      11,675   3,400       0
OCCIDENTAL PETE CORP DEL         COM               674599105     1,173      55,539 SH      OTHER      2      51,739       0   3,800
OCCIDENTAL PETE CORP DEL         COM               674599105       128       6,052 SH      DEFINED    5       3,905   2,147       0
OCCIDENTAL PETE CORP DEL         COM               674599105       592      28,025 SH      DEFINED    6       1,025  27,000       0
OCCIDENTAL PETE CORP DEL         COM               674599105     1,020      48,302 SH      OTHER      9      48,302       0       0
OCCIDENTAL PETE CORP DEL         COM               674599105       164       7,785 SH      DEFINED   10       7,125     660       0
OCCIDENTAL PETE CORP DEL         COM               674599105       111       5,234 SH      DEFINED   11       5,234       0       0
OCEAN ENERGY INC TEX             OPTION            67481E106        14          15 CALL    OTHER      2          15       0       0
OCEAN ENERGY INC TEX             COM               67481E106       776      80,585 SH      OTHER      2      77,155       0   3,430
OCEANEERING INTL INC             COM               675232102         9         585 SH      DEFINED   11         585       0       0
OCTEL CORP                       COM               675727101       139      11,087 SH      OTHER      2      11,087       0       0
OCTEL CORP                       COM               675727101         8         625 SH      DEFINED    6           0     625       0
OCTEL CORP                       COM               675727101         9         750 SH      DEFINED   11         750       0       0
OCULAR SCIENCES INC              COM               675744106        30       1,714 SH      OTHER      2       1,714       0       0
OCWEN FINL CORP                  COM               675746101         5         600 SH      OTHER      9         600       0       0
OCWEN ASSET INVESTMENT           COM               67574M106        23       5,000 SH      OTHER      2       5,000       0       0
OFFICE DEPOT INC                 COM               676220106    11,646     527,878 SH      DEFINED    1     420,234 107,644       0
OFFICE DEPOT INC                 COM               676220106    22,727   1,030,163 SH      OTHER      2     967,504       0  62,659
OFFICE DEPOT INC                 COM               676220106    20,318     920,950 SH      OTHER      4           0       0 920,950
OFFICE DEPOT INC                 COM               676220106     9,298     421,467 SH      DEFINED    5     348,411  73,056       0
OFFICE DEPOT INC                 COM               676220106     3,899     176,715 SH      DEFINED    6     162,976  13,739       0
OFFICE DEPOT INC                 COM               676220106       501      22,687 SH      OTHER      9      22,687       0       0
OFFICE DEPOT INC                 COM               676220106     5,199     235,632 SH      DEFINED   10     207,854  27,778       0
OFFICE DEPOT INC                 COM               676220106     5,897     267,305 SH      DEFINED   11     236,099  31,206       0
OFFICE DEPOT INC                 LYON SUB ZERO 07  676220AA4     1,723   1,873,000 PRN     OTHER      2   1,873,000       0       0
OFFICE DEPOT INC                 LYON SUB ZERO 08  676220AB2        54      66,000 PRN     OTHER      2      16,000       0  50,000
OFFICE DEPOT INC                 LYON SUB ZERO 08  676220AB2        16      20,000 PRN     DEFINED    5      20,000       0       0
OFFICE DEPOT INC                 LYON SUB ZERO 08  676220AB2         6       7,000 PRN     DEFINED    6       7,000       0       0
OFFICEMAX INC                    COM               67622M108       355      29,568 SH      OTHER      2      29,568       0       0
OFFICEMAX INC                    COM               67622M108        14       1,200 SH      OTHER      9       1,200       0       0
OFFSHORE LOGISTICS INC           COM               676255102       262      23,514 SH      OTHER      2      21,514       0   2,000
OFFSHORE LOGISTICS INC           COM               676255102        24       2,200 SH      OTHER      9       2,200       0       0
OFFSHORE LOGISTICS INC           COM               676255102         6         508 SH      DEFINED   11         508       0       0
OGDEN CORP                       COM               676346109       336      12,490 SH      OTHER      2      12,090       0     400
OGDEN CORP                       COM               676346109        16         600 SH      DEFINED    5           0     600       0
OGDEN CORP                       COM               676346109        11         400 SH      OTHER      9         400       0       0
OHIO CAS CORP                    COM               677240103        11         305 SH      DEFINED    1         305       0       0
OHIO CAS CORP                    COM               677240103        43       1,200 SH      OTHER      2           0       0   1,200
OHIO CAS CORP                    COM               677240103        72       2,000 SH      DEFINED    5       2,000       0       0
OLD KENT FINL CORP               COM               679833103       412       9,830 SH      DEFINED    1       9,830       0       0
OLD KENT FINL CORP               COM               679833103     1,570      37,494 SH      OTHER      2      26,615       0  10,879
OLD KENT FINL CORP               COM               679833103       243       5,812 SH      DEFINED    5       5,812       0       0
OLD KENT FINL CORP               COM               679833103        30         727 SH      DEFINED   11         727       0       0
OLD NATL BANCORP IND             COM               680033107       132       4,400 SH      OTHER      2       4,400       0       0
OLD NATL BANCORP IND             COM               680033107        13         444 SH      DEFINED    5           0     444       0
OLD REP INTL CORP                COM               680223104        35       2,050 SH      DEFINED    1       2,050       0       0
OLD REP INTL CORP                COM               680223104       581      33,532 SH      OTHER      2      33,532       0       0
OLD REP INTL CORP                COM               680223104        42       2,400 SH      DEFINED    5       2,400       0       0
OLD REP INTL CORP                COM               680223104        49       2,850 SH      DEFINED    6       2,850       0       0
OLD REP INTL CORP                COM               680223104     7,740     447,100 SH      OTHER      9     447,100       0       0
OLD REP INTL CORP                COM               680223104        27       1,566 SH      DEFINED   10         869     697       0
OLD REP INTL CORP                COM               680223104       139       8,044 SH      DEFINED   11       7,444     600       0
OLIN CORP                        COM PAR $1        680665205       175      13,299 SH      OTHER      2      11,449       0   1,850
OLSTEN CORP                      COM               681385100       173      27,463 SH      OTHER      2      20,063       0   7,400
OLSTEN CORP                      COM               681385100       201      31,867 SH      OTHER      9      31,867       0       0
OMNICARE INC                     COM               681904108         8         600 SH      DEFINED    1         600       0       0
OMNICARE INC                     COM               681904108     1,158      91,723 SH      OTHER      2      71,723       0  20,000
OMNICARE INC                     COM               681904108       202      16,000 SH      DEFINED    6      16,000       0       0
OMNICARE INC                     SUB DEB CV  5%07  681904AD0        66      90,000 PRN     OTHER      2      90,000       0       0
OMNICOM GROUP INC                COM               681919106       126       1,580 SH      DEFINED    1       1,460     120       0
OMNICOM GROUP INC                COM               681919106     7,303      91,284 SH      OTHER      2      71,252       0  20,032
OMNICOM GROUP INC                COM               681919106        50         626 SH      DEFINED    5         626       0       0
OMNICOM GROUP INC                COM               681919106        37         467 SH      DEFINED    6         227     240       0
OMNICOM GROUP INC                COM               681919106        33         412 SH      OTHER      9         412       0       0
OMNICOM GROUP INC                COM               681919106       277       3,467 SH      DEFINED   10       2,768     699       0
OMNICOM GROUP INC                COM               681919106       124       1,548 SH      DEFINED   11         813     735       0
OMEGA HEALTHCARE INVS INC        COM               681936100        36       1,400 SH      DEFINED    1           0   1,400       0
OMEGA HEALTHCARE INVS INC        COM               681936100     2,247      87,040 SH      OTHER      2      87,040       0       0
OMEGA HEALTHCARE INVS INC        COM               681936100        39       1,500 SH      DEFINED    5           0   1,500       0
OMEGA HEALTHCARE INVS INC        COM               681936100        28       1,100 SH      OTHER      9       1,100       0       0
OMEGA WORLDWIDE INC              COM               68210B108         1         141 SH      OTHER      2         141       0       0
OMNIPOINT CORP                   OPTION            68212D102        29          10 CALL    OTHER      2          10       0       0
OMNIPOINT CORP                   COM               68212D102       798      27,564 SH      OTHER      2      26,564       0   1,000
ONE LIBERTY PPTYS INC            PFD CONV $1.60    682406202         7         400 SH      DEFINED   11           0     400       0
ONE PRICE CLOTHING STORES INC    COM               682411103         3         612 SH      OTHER      2         612       0       0
ONE VALLEY BANCORP INC           COM               682419106       176       4,700 SH      OTHER      2           0       0   4,700
ONEOK INC NEW                    COM               682680103       171       5,395 SH      OTHER      2       4,495       0     900
ONEOK INC NEW                    COM               682680103         8         250 SH      DEFINED    5         250       0       0
ONEOK INC NEW                    COM               682680103        55       1,744 SH      DEFINED    6         744   1,000       0
ONEOK INC NEW                    COM               682680103        58       1,842 SH      OTHER      9       1,842       0       0
ONSALE INC                       OPTION            682838107        19          10 CALL    OTHER      2          10       0       0
OPEN MKT INC                     OPTION            68370M100         9           6 CALL    OTHER      2           6       0       0
OPEN JT STK CO-VIMPEL COMMUNIC   SPON ADR          68370R109        35       1,500 SH      OTHER      9       1,500       0       0
OPEN TEXT CORP                   COM               683715106       144       4,791 SH      OTHER      2       4,291       0     500
OPTICAL CABLE CORP               COM               683827109        20       1,774 SH      OTHER      2       1,774       0       0
OPTICAL COATING LAB INC          COM               683829105        13         160 SH      DEFINED    1         160       0       0
OPTICAL COATING LAB INC          COM               683829105        12         138 SH      DEFINED   10         138       0       0
ORACLE CORP                      OPTION            68389X105       895         241 CALL    OTHER      2         241       0       0
ORACLE CORP                      OPTION            68389X105     1,299         350 CALL    OTHER      9         350       0       0
ORACLE CORP                      COM               68389X105       483      13,007 SH      DEFINED    1       7,452   5,555       0
ORACLE CORP                      COM               68389X105    51,789   1,395,001 SH      OTHER      2   1,082,647       0 312,354
ORACLE CORP                      COM               68389X105       558      15,022 SH      DEFINED    5       9,482   5,540       0
ORACLE CORP                      COM               68389X105       334       9,008 SH      DEFINED    6       6,423   2,585       0
ORACLE CORP                      COM               68389X105       111       3,000 SH      OTHER      9       3,000       0       0
ORACLE CORP                      COM               68389X105       464      12,492 SH      DEFINED   10      10,132   2,360       0
ORACLE CORP                      COM               68389X105       223       5,999 SH      DEFINED   11       3,199   2,800       0
OPPENHEIMER MULTI-SECTOR INCOM   SH BEN INT        683933105         8         900 SH      DEFINED   11         900       0       0
ORANGE & ROCKLAND UTILS INC      COM               684065105       339       5,809 SH      DEFINED    1       5,809       0       0
ORANGE & ROCKLAND UTILS INC      COM               684065105       525       8,989 SH      OTHER      2       7,089       0   1,900
ORANGE & ROCKLAND UTILS INC      COM               684065105        85       1,460 SH      DEFINED    5       1,460       0       0
ORANGE & ROCKLAND UTILS INC      COM               684065105        96       1,650 SH      DEFINED   11       1,650       0       0
ORANGE PLC                       ADR               685211104       102       1,355 SH      OTHER      2       1,355       0       0
ORANGE PLC                       ADR               685211104         4          47 SH      DEFINED    6          47       0       0
ORANGE PLC                       ADR               685211104        15         199 SH      DEFINED   10         125      74       0
ORANGE PLC                       ADR               685211104         1          18 SH      DEFINED   11          18       0       0
ORBITAL SCIENCES CORP            OPTION            685564106        14           6 CALL    OTHER      2           6       0       0
ORBITAL SCIENCES CORP            COM               685564106         2          75 SH      DEFINED    1          75       0       0
ORBITAL SCIENCES CORP            COM               685564106    13,564     574,150 SH      OTHER      2     571,000       0   3,150
ORBITAL SCIENCES CORP            COM               685564106        50       2,100 SH      DEFINED   10           0   2,100       0
OREGON STL MLS INC               COM               686079104       202      15,189 SH      OTHER      2       6,339       0   8,850
O REILLY AUTOMOTIVE INC          COM               686091109       535      10,621 SH      OTHER      2          50       0  10,571
ORION CAP CORP                   COM               686268103       179       5,000 SH      OTHER      2           0       0   5,000
ORIX CORP                        SPON ADR          686330101         5         113 SH      DEFINED    6         113       0       0
ORIX CORP                        SPON ADR          686330101        22         472 SH      DEFINED   10         292     180       0
ORTHODONTIC CTRS AMER INC        COM               68750P103        14       1,000 SH      OTHER      2       1,000       0       0
ORTHODONTIC CTRS AMER INC        COM               68750P103         6         400 SH      DEFINED    5           0     400       0
ORTHALLIANCE INC                 CL A              687913103       817     110,712 SH      OTHER      2           0       0 110,712
OSHKOSH TRUCK CORP               COM               688239201        38         765 SH      DEFINED   11         765       0       0
O'SULLIVAN INDS HLDGS INC        COM               688609106       173      10,177 SH      OTHER      2      10,177       0       0
OTTER TAIL PWR CO                COM               689648103        39       1,000 SH      DEFINED    5       1,000       0       0
OUTBACK STEAKHOUSE INC           COM               689899102     3,883      98,775 SH      OTHER      2      52,410       0  46,365
OUTBACK STEAKHOUSE INC           COM               689899102       114       2,900 SH      OTHER      9       2,900       0       0
OUTDOOR SYS INC                  COM               690057104        44       1,192 SH      OTHER      2           0       0   1,192
OUTDOOR SYS INC                  COM               690057104         4         109 SH      DEFINED   11           0     109       0
OVERSEAS SHIPHOLDING GROUP INC   COM               690368105       107       8,261 SH      OTHER      2       8,261       0       0
OWENS CORNING                    COM               69073F103       281       8,166 SH      OTHER      2       8,166       0       0
OWENS CORNING                    COM               69073F103        72       2,100 SH      OTHER      9       2,100       0       0
OWENS ILL INC                    COM NEW           690768403       157       4,790 SH      DEFINED    1       3,762   1,028       0
OWENS ILL INC                    COM NEW           690768403     1,395      42,674 SH      OTHER      2      41,674       0   1,000
OWENS ILL INC                    COM NEW           690768403        27         839 SH      DEFINED    5         839       0       0
OWENS ILL INC                    COM NEW           690768403        30         916 SH      DEFINED    6         916       0       0
OWENS ILL INC                    COM NEW           690768403       331      10,139 SH      OTHER      9      10,139       0       0
OWENS ILL INC                    COM NEW           690768403        91       2,775 SH      DEFINED   10       1,645   1,130       0
OWENS ILL INC                    COM NEW           690768403        46       1,406 SH      DEFINED   11           0   1,406       0
OXFORD HEALTH PLANS INC          COM               691471106       447      28,742 SH      OTHER      2      26,242       0   2,500
OXFORD HEALTH PLANS INC          COM               691471106       164      10,562 SH      OTHER      9      10,562       0       0
OXFORD INDS INC                  COM               691497309         0           1 SH      OTHER      2           1       0       0
OXFORD TAX EXEMPT FD L P         UNIT L P INT      69181P100        52       2,125 SH      DEFINED    1       2,125       0       0
OXFORD TAX EXEMPT FD L P         UNIT L P INT      69181P100        77       3,125 SH      OTHER      2           0       0   3,125
OXFORD TAX EXEMPT FD L P         UNIT L P INT      69181P100       107       4,375 SH      DEFINED    5         625   3,750       0
OXFORD TAX EXEMPT FD L P         UNIT L P INT      69181P100       112       4,563 SH      DEFINED    6       3,063   1,500       0
OXFORD TAX EXEMPT FD L P         UNIT L P INT      69181P100        35       1,425 SH      DEFINED   11         125   1,300       0
OXIGENE INC                      OPTION            691828107       141         149 CALL    OTHER      2         149       0       0
PC DOCS GROUP INTL INC           COM               69318L105         2         289 SH      OTHER      1         289       0       0
PC DOCS GROUP INTL INC           COM               69318L105        32       4,310 SH      OTHER      2       4,310       0       0
PECO ENERGY CO                   COM               693304107         8         200 SH      DEFINED    1         200       0       0
PECO ENERGY CO                   COM               693304107     2,877      68,702 SH      OTHER      2      67,688       0   1,014
PECO ENERGY CO                   COM               693304107        32         757 SH      DEFINED    5         500     257       0
PECO ENERGY CO                   COM               693304107        42       1,000 SH      DEFINED    6           0   1,000       0
PECO ENERGY CO                   COM               693304107       468      11,167 SH      OTHER      9      11,167       0       0
PECO ENERGY CO                   COM               693304107         8         200 SH      DEFINED   10         200       0       0
PECO ENERGY CO                   COM               693304107         4         100 SH      DEFINED   11         100       0       0
PG&E CORP                        COM               69331C108       127       3,920 SH      DEFINED    1       3,378     542       0
PG&E CORP                        COM               69331C108     3,513     108,311 SH      OTHER      2     106,811       0   1,500
PG&E CORP                        COM               69331C108        46       1,432 SH      DEFINED    5       1,032     400       0
PG&E CORP                        COM               69331C108       252       7,766 SH      DEFINED    6       6,204   1,562       0
PG&E CORP                        COM               69331C108    20,268     624,830 SH      OTHER      9     624,830       0       0
PG&E CORP                        COM               69331C108       396      12,222 SH      DEFINED   10       7,602   4,620       0
PG&E CORP                        COM               69331C108        52       1,600 SH      DEFINED   11       1,600       0       0
PE CORP                          COM PE BIO GRP    69332S102       172       1,503 SH      DEFINED    1       1,503       0       0
PE CORP                          COM PE BIO GRP    69332S102       870       7,584 SH      OTHER      2       7,584       0       0
PE CORP                          COM PE BIO GRP    69332S102       338       2,945 SH      DEFINED    5       1,120   1,825       0
PE CORP                          COM PE BIO GRP    69332S102       298       2,600 SH      DEFINED    6       2,600       0       0
PE CORP                          COM PE BIO GRP    69332S102       364       3,171 SH      OTHER      9       3,171       0       0
PE CORP                          COM PE BIO GRP    69332S102        71         620 SH      DEFINED   10         620       0       0
PE CORP                          COM PE BIO GRP    69332S102       200       1,745 SH      DEFINED   11       1,475     270       0
PE CORP                          CELERA GEN GRP    69332S201        10         626 SH      DEFINED    1         626       0       0
PE CORP                          CELERA GEN GRP    69332S201         0           1 SH      OTHER      2           1       0       0
PE CORP                          CELERA GEN GRP    69332S201        18       1,087 SH      DEFINED    5         375     712       0
PE CORP                          CELERA GEN GRP    69332S201        21       1,300 SH      DEFINED    6       1,300       0       0
PE CORP                          CELERA GEN GRP    69332S201         4         262 SH      DEFINED   10         262       0       0
PE CORP                          CELERA GEN GRP    69332S201         9         572 SH      DEFINED   11         562      10       0
PIMCO ADVISORS HLDGS L P         UT LTD PART INT   69338P102        50       1,670 SH      DEFINED    1           0   1,670       0
PIMCO ADVISORS HLDGS L P         UT LTD PART INT   69338P102       908      30,527 SH      OTHER      2           0       0  30,527
PIMCO ADVISORS HLDGS L P         UT LTD PART INT   69338P102         6         200 SH      DEFINED    5         200       0       0
PLD TELEKOM INC                  COM               69340T100        16       5,169 SH      OTHER      2       5,169       0       0
PLX TECHNOLOGY INC               COM               693417107         5         110 SH      DEFINED    1         110       0       0
PLX TECHNOLOGY INC               COM               693417107       187       3,953 SH      OTHER      2       3,953       0       0
PLX TECHNOLOGY INC               COM               693417107         4          89 SH      DEFINED   10          89       0       0
PMA CAP CORP                     CL A              693419202       206      10,000 SH      DEFINED    1      10,000       0       0
PMA CAP CORP                     CL A              693419202         1          63 SH      OTHER      2          63       0       0
PMC COML TR                      SH BEN INT        693434102        17       1,200 SH      DEFINED    5           0   1,200       0
PMC-SIERRA INC                   OPTION            69344F106        59          10 PUT     OTHER      2          10       0       0
PMC-SIERRA INC                   COM               69344F106        41         700 SH      DEFINED    1         700       0       0
PMC-SIERRA INC                   COM               69344F106     1,189      20,176 SH      OTHER      2      19,076       0   1,100
PMC-SIERRA INC                   COM               69344F106         9         155 SH      DEFINED    5         155       0       0
PMC-SIERRA INC                   COM               69344F106     1,061      18,000 SH      OTHER      9      18,000       0       0
PMC-SIERRA INC                   COM               69344F106        18         301 SH      DEFINED   10         301       0       0
PMC-SIERRA INC                   COM               69344F106        83       1,400 SH      DEFINED   11         900     500       0
PMI GROUP INC                    COM               69344M101         5          85 SH      DEFINED    1          85       0       0
PMI GROUP INC                    COM               69344M101       551       8,779 SH      OTHER      2       7,429       0   1,350
PMI GROUP INC                    COM               69344M101         2          25 SH      DEFINED    5          25       0       0
PMI GROUP INC                    COM               69344M101        10         165 SH      DEFINED    6         165       0       0
PMI GROUP INC                    COM               69344M101        88       1,400 SH      OTHER      9       1,400       0       0
PMI GROUP INC                    COM               69344M101        31         491 SH      DEFINED   10         123     368       0
PNC BK CORP                      OPTION            693475105     1,423         247 CALL    OTHER      2         247       0       0
PNC BK CORP                      COM               693475105       618      10,718 SH      DEFINED    1       2,887   7,831       0
PNC BK CORP                      COM               693475105     4,199      72,867 SH      OTHER      2      72,617       0     250
PNC BK CORP                      COM               693475105       399       6,932 SH      DEFINED    5       6,332     600       0
PNC BK CORP                      COM               693475105       865      15,008 SH      DEFINED    6       4,865  10,143       0
PNC BK CORP                      COM               693475105     1,168      20,275 SH      OTHER      9      20,275       0       0
PNC BK CORP                      COM               693475105       121       2,093 SH      DEFINED   10         438   1,655       0
PNC BK CORP                      COM               693475105       110       1,905 SH      DEFINED   11       1,205     700       0
P P & L RES INC                  COM               693499105        49       1,596 SH      DEFINED    1         446   1,150       0
P P & L RES INC                  COM               693499105       708      23,036 SH      OTHER      2      23,036       0       0
P P & L RES INC                  COM               693499105       266       8,659 SH      DEFINED    5       3,241   5,418       0
P P & L RES INC                  COM               693499105        26         854 SH      DEFINED    6         254     600       0
P P & L RES INC                  COM               693499105   101,868   3,312,781 SH      OTHER      9   3,312,781       0       0
P P & L RES INC                  COM               693499105         6         200 SH      DEFINED   10         200       0       0
P P & L RES INC                  COM               693499105        62       2,020 SH      DEFINED   11       1,420     600       0
PPG INDS INC                     COM               693506107     3,387      57,341 SH      DEFINED    1      46,883  10,458       0
PPG INDS INC                     COM               693506107     2,372      40,169 SH      OTHER      2      25,878       0  14,291
PPG INDS INC                     COM               693506107     3,283      55,579 SH      DEFINED    5      36,052  19,527       0
PPG INDS INC                     COM               693506107     3,526      59,697 SH      DEFINED    6      41,202  18,495       0
PPG INDS INC                     COM               693506107     3,612      61,157 SH      DEFINED   10      54,734   6,423       0
PPG INDS INC                     COM               693506107     2,022      34,243 SH      DEFINED   11      28,688   5,555       0
PSC INC                          COM               69361E107         0          43 SH      OTHER      2          43       0       0
P T PASIFIK SATELIT NUSANTARA    SPON ADR          69365Q106         5         583 SH      OTHER      2         583       0       0
PSS WORLD MED INC                COM               69366A100       226      20,213 SH      OTHER      2      20,213       0       0
PSS WORLD MED INC                COM               69366A100         4         400 SH      DEFINED    5           0     400       0
PACCAR INC                       COM               693718108       378       7,084 SH      DEFINED    1       7,084       0       0
PACCAR INC                       COM               693718108       805      15,075 SH      OTHER      2      15,075       0       0
PACCAR INC                       COM               693718108         2          40 SH      DEFINED    5          40       0       0
PACCAR INC                       COM               693718108     1,105      20,700 SH      DEFINED    6      20,700       0       0
PACCAR INC                       COM               693718108       285       5,346 SH      OTHER      9       5,346       0       0
PACCAR INC                       COM               693718108        11         200 SH      DEFINED   10         200       0       0
PACIFIC AMERN INCOME SHS INC     COM               693796104        28       2,000 SH      OTHER      2           0       0   2,000
PACIFIC CENTY FINL CORP          COM               694058108        24       1,124 SH      DEFINED    1           0   1,124       0
PACIFIC CENTY FINL CORP          COM               694058108       691      32,065 SH      OTHER      2      32,065       0       0
PACIFIC CENTY FINL CORP          COM               694058108       134       6,200 SH      OTHER      9       6,200       0       0
PACIFIC DUNLOP LTD               ADR               694185208        13       2,220 SH      OTHER      2       2,220       0       0
PACIFIC GATEWAY EXCHANGE INC     OPTION            694327107        15           5 CALL    OTHER      2           5       0       0
PACIFIC GATEWAY EXCHANGE INC     COM               694327107        10         342 SH      DEFINED    1         130     212       0
PACIFIC GATEWAY EXCHANGE INC     COM               694327107         5         185 SH      DEFINED   10         185       0       0
PACIFIC GATEWAY EXCHANGE INC     COM               694327107         3         110 SH      DEFINED   11         110       0       0
PACIFIC GULF PPTYS INC           COM               694396102         9         396 SH      DEFINED    1          88     308       0
PACIFIC GULF PPTYS INC           COM               694396102       113       5,000 SH      OTHER      9       5,000       0       0
PACIFIC GULF PPTYS INC           COM               694396102         4         167 SH      DEFINED   10         167       0       0
PACIFIC GULF PPTYS INC           COM               694396102         4         160 SH      DEFINED   11         160       0       0
PACIFIC SUNWEAR CALIF INC        COM               694873100         6         260 SH      DEFINED    1           0     260       0
PACIFIC SUNWEAR CALIF INC        COM               694873100        34       1,400 SH      OTHER      2       1,400       0       0
PACIFICARE HEALTH SYS DEL        CL A              695112102     1,191      16,556 SH      OTHER      2      14,656       0   1,900
PACIFICARE HEALTH SYS DEL        CL A              695112102       101       1,400 SH      OTHER      9       1,400       0       0
PACIFICARE HEALTH SYS DEL        CL A              695112102         1          12 SH      DEFINED   10          12       0       0
PACIFICORP                       COM               695114108        22       1,180 SH      DEFINED    1         830     350       0
PACIFICORP                       COM               695114108       815      44,355 SH      OTHER      2      44,165       0     190
PACIFICORP                       COM               695114108       271      14,748 SH      DEFINED    5      10,672   4,076       0
PACIFICORP                       COM               695114108       612      33,320 SH      DEFINED    6         920  32,400       0
PACIFICORP                       COM               695114108       408      22,210 SH      OTHER      9      22,210       0       0
PACIFICORP                       COM               695114108        55       2,999 SH      DEFINED   10       1,499   1,500       0
PACIFICORP                       COM               695114108        45       2,422 SH      DEFINED   11         462   1,960       0
PAINE WEBBER GROUP INC           COM               695629105     1,141      24,404 SH      OTHER      2      21,949       0   2,455
PAINE WEBBER GROUP INC           COM               695629105       550      11,767 SH      OTHER      9      11,767       0       0
PAIRGAIN TECHNOLOGIES INC        OPTION            695934109        35          30 CALL    OTHER      2          30       0       0
PAIRGAIN TECHNOLOGIES INC        COM               695934109         8         715 SH      DEFINED    1           0     715       0
PAIRGAIN TECHNOLOGIES INC        COM               695934109       756      65,737 SH      OTHER      2      65,737       0       0
PALL CORP                        OPTION            696429307         9           4 CALL    OTHER      2           4       0       0
PALL CORP                        COM               696429307        29       1,318 SH      DEFINED    1       1,013     305       0
PALL CORP                        COM               696429307       581      26,183 SH      OTHER      2      18,613       0   7,570
PALL CORP                        COM               696429307        11         485 SH      DEFINED    5         485       0       0
PALL CORP                        COM               696429307        13         600 SH      DEFINED    6         600       0       0
PALL CORP                        COM               696429307       197       8,897 SH      OTHER      9       8,897       0       0
PALL CORP                        COM               696429307        25       1,115 SH      DEFINED   10         415     700       0
PALL CORP                        COM               696429307         6         250 SH      DEFINED   11           0     250       0
PALOMAR MED TECHNOLOGIES INC     COM NEW           697529303         1         207 SH      OTHER      2           0       0     207
PANAMSAT CORP NEW                OPTION            697933109         8           2 CALL    OTHER      2           2       0       0
PANAMSAT CORP NEW                COM               697933109     1,450      37,244 SH      OTHER      2      34,848       0   2,396
PANTRY INC                       COM               698657103       132       8,183 SH      OTHER      2         683       0   7,500
PAPA JOHNS INTL INC              COM               698813102     4,177      93,469 SH      OTHER      2      93,469       0       0
PARACELCUS HEALTHCARE CORP       COM               698891108         0          10 SH      DEFINED    5          10       0       0
PARAGON TRADE BRANDS INC         COM               69912K107         0          74 SH      OTHER      2          74       0       0
PARAMETRIC TECHNOLOGY CORP       COM               699173100     2,733     197,005 SH      OTHER      2     196,705       0     300
PARAMETRIC TECHNOLOGY CORP       COM               699173100       686      49,471 SH      OTHER      9      49,471       0       0
PAREXEL INTL CORP                OPTION            699462107       799         600 CALL    OTHER      2         600       0       0
PARK ELECTROCHEMICAL CORP        SUBNT CV  5.5%06  700416AB6         5       5,000 PRN     DEFINED    6       5,000       0       0
PARK ELECTROCHEMICAL CORP        SUBNT CV  5.5%06  700416AB6        18      20,000 PRN     DEFINED   11      20,000       0       0
PARK NATL CORP                   COM               700658107       100       1,000 SH      DEFINED    6       1,000       0       0
PARK OHIO HLDGS CORP             COM               700666100         7         415 SH      DEFINED    1           0     415       0
PARK OHIO HLDGS CORP             COM               700666100         8         470 SH      OTHER      2         470       0       0
PARK PL ENTMT CORP               COM               700690100        15       1,588 SH      DEFINED    1       1,588       0       0
PARK PL ENTMT CORP               COM               700690100        58       6,089 SH      OTHER      2           3       0   6,086
PARK PL ENTMT CORP               COM               700690100        15       1,612 SH      DEFINED    5       1,612       0       0
PARK PL ENTMT CORP               COM               700690100        16       1,711 SH      DEFINED   10         511   1,200       0
PARK PL ENTMT CORP               COM               700690100        50       5,228 SH      DEFINED   11       3,829   1,399       0
PARKER HANNIFIN CORP             COM               701094104       812      17,738 SH      OTHER      2      16,038       0   1,700
PARKER HANNIFIN CORP             COM               701094104       338       7,392 SH      OTHER      9       7,392       0       0
PARKWAY PPTYS INC                COM               70159Q104         7         217 SH      DEFINED    5           0     217       0
PARKWAY PPTYS INC                COM               70159Q104       106       3,200 SH      OTHER      9       3,200       0       0
PARTY CITY CORP                  COM               702145103         4       1,155 SH      DEFINED   11       1,155       0       0
PATHOGENESIS CORP                OPTION            70321E104        28          20 PUT     OTHER      2          20       0       0
PATRIOT AMERN HOSPITALITY DEL    PAIRED CTF        703352203        55      12,199 SH      OTHER      2      11,400       0     799
PAXAR CORP                       COM               704227107        13       1,415 SH      DEFINED   10       1,415       0       0
PAXAR CORP                       COM               704227107         1          90 SH      DEFINED   11          90       0       0
PAXSON COMMUNICATIONS CORP       COM               704231109         0           3 SH      OTHER      2           3       0       0
PAYCHEX INC                      OPTION            704326107        26           8 CALL    OTHER      2           8       0       0
PAYCHEX INC                      COM               704326107         5         157 SH      DEFINED    1         157       0       0
PAYCHEX INC                      COM               704326107     8,662     271,736 SH      OTHER      2     171,751       0  99,985
PAYCHEX INC                      COM               704326107        36       1,128 SH      DEFINED    6       1,128       0       0
PAYCHEX INC                      COM               704326107       718      22,526 SH      OTHER      9      22,526       0       0
PAYCHEX INC                      COM               704326107        70       2,204 SH      DEFINED   10       2,204       0       0
PAYLESS SHOESOURCE INC           COM               704379106         5         100 SH      DEFINED    1           0     100       0
PAYLESS SHOESOURCE INC           COM               704379106       480       8,969 SH      OTHER      2       8,269       0     700
PAYLESS SHOESOURCE INC           COM               704379106         3          50 SH      DEFINED    5          50       0       0
PAYLESS SHOESOURCE INC           COM               704379106        54       1,000 SH      DEFINED   11           0   1,000       0
PAYMENTECH INC                   COM               704384106        89       3,500 SH      OTHER      9       3,500       0       0
PEERLESS SYS CORP                COM               705536100       252      24,000 SH      OTHER      9      24,000       0       0
PELSART RES NL                   ADR NEW           706143401         0       2,400 SH      OTHER      2       2,400       0       0
PENFORD CORP                     COM               707051108        36       2,200 SH      OTHER      2       2,200       0       0
PENN-AMER GROUP INC              COM               707247102         0           4 SH      OTHER      2           4       0       0
PENN ENGR & MFG CORP             CL A              707389102         1          44 SH      DEFINED    5           0      44       0
PENN ENGR & MFG CORP             COM NON VTG       707389300         3         132 SH      DEFINED    5           0     132       0
PENN TREATY AMERN CORP           COM               707874103        49       2,035 SH      OTHER      2       2,035       0       0
PENN VA CORP                     COM               707882106        22       1,100 SH      OTHER      2       1,100       0       0
PENNCORP FINL GROUP INC          COM               708094107         2       3,800 SH      OTHER      2       3,800       0       0
PENNEY J C INC                   COM               708160106       164       3,375 SH      DEFINED    1       3,375       0       0
PENNEY J C INC                   COM               708160106     2,084      42,913 SH      OTHER      2      38,998       0   3,915
PENNEY J C INC                   COM               708160106       151       3,110 SH      DEFINED    5       2,688     422       0
PENNEY J C INC                   COM               708160106       438       9,026 SH      DEFINED    6       7,826   1,200       0
PENNEY J C INC                   COM               708160106         1          22 SH      OTHER      9          22       0       0
PENNEY J C INC                   COM               708160106       121       2,490 SH      DEFINED   10         175   2,315       0
PENNEY J C INC                   COM               708160106        49       1,000 SH      DEFINED   11         600     400       0
PENNZENERGY CO                   OPTION            70931Q109        50          30 CALL    OTHER      2          30       0       0
PENNZENERGY CO                   COM               70931Q109         5         324 SH      DEFINED    1         324       0       0
PENNZENERGY CO                   COM               70931Q109         2         100 SH      OTHER      2           0       0     100
PENNZENERGY CO                   COM               70931Q109         7         450 SH      DEFINED    5           0     450       0
PENNZENERGY CO                   COM               70931Q109        85       5,100 SH      OTHER      9       5,100       0       0
PENNZENERGY CO                   COM               70931Q109        25       1,500 SH      DEFINED   10           0   1,500       0
PENNZOIL-QUAKER STATE COMPANY    OPTION            709323109         2           1 CALL    OTHER      2           1       0       0
PENNZOIL-QUAKER STATE COMPANY    COM               709323109         5         324 SH      DEFINED    1         324       0       0
PENNZOIL-QUAKER STATE COMPANY    COM               709323109       303      20,201 SH      OTHER      2      19,101       0   1,100
PENNZOIL-QUAKER STATE COMPANY    COM               709323109         7         450 SH      DEFINED    5           0     450       0
PENNZOIL-QUAKER STATE COMPANY    COM               709323109        77       5,100 SH      OTHER      9       5,100       0       0
PENNZOIL-QUAKER STATE COMPANY    COM               709323109        23       1,500 SH      DEFINED   10           0   1,500       0
PENSKE MOTORSPORTS INC           COM               709598106       261       5,257 SH      OTHER      2          57       0   5,200
PENSKE MOTORSPORTS INC           COM               709598106         5         100 SH      DEFINED   11           0     100       0
PENTAIR INC                      COM               709631105       480      10,488 SH      OTHER      2      10,488       0       0
PENTAIR INC                      COM               709631105        92       2,000 SH      DEFINED   10           0   2,000       0
PENTON MEDIA INC                 COM               709668107        53       2,200 SH      OTHER      2           0       0   2,200
PENTON MEDIA INC                 COM               709668107        36       1,500 SH      DEFINED   10           0   1,500       0
PEOPLES BK BRIDGEPORT CONN       COM               710198102        25         820 SH      OTHER      2         820       0       0
PEOPLES BK BRIDGEPORT CONN       COM               710198102         9         300 SH      DEFINED    6           0     300       0
PEOPLES BK BRIDGEPORT CONN       COM               710198102       140       4,590 SH      DEFINED   11           0   4,590       0
PEOPLES BK CORP INDIANAPOLIS     COM NON VTG       710313107         8         200 SH      OTHER      2           0       0     200
PEOPLES ENERGY CORP              COM               711030106       331       8,784 SH      OTHER      2       8,594       0     190
PEOPLES ENERGY CORP              COM               711030106        36         966 SH      DEFINED    5         300     666       0
PEOPLES ENERGY CORP              COM               711030106       157       4,166 SH      OTHER      9       4,166       0       0
PEOPLES ENERGY CORP              COM               711030106        18         469 SH      DEFINED   10           0     469       0
PEOPLES ENERGY CORP              COM               711030106        26         700 SH      DEFINED   11         700       0       0
PEOPLES HERITAGE FINL GROUP      COM               711147108         6         341 SH      DEFINED    1          76     265       0
PEOPLES HERITAGE FINL GROUP      COM               711147108         3         144 SH      DEFINED   10         144       0       0
PEOPLES HERITAGE FINL GROUP      COM               711147108         3         138 SH      DEFINED   11         138       0       0
PEOPLESOFT INC                   OPTION            712713106        43          25 CALL    OTHER      2          25       0       0
PEOPLESOFT INC                   COM               712713106        12         700 SH      DEFINED    1         600     100       0
PEOPLESOFT INC                   COM               712713106     3,112     180,418 SH      OTHER      2     141,768       0  38,650
PEOPLESOFT INC                   COM               712713106        14         825 SH      DEFINED    5         825       0       0
PEOPLESOFT INC                   COM               712713106         6         375 SH      DEFINED    6         375       0       0
PEOPLESOFT INC                   COM               712713106       789      45,744 SH      OTHER      9      45,744       0       0
PEOPLESOFT INC                   COM               712713106       108       6,245 SH      DEFINED   10       6,245       0       0
PEOPLESOFT INC                   COM               712713106        81       4,680 SH      DEFINED   11       4,680       0       0
PEP BOYS MANNY MOE & JACK        COM               713278109       258      12,292 SH      OTHER      2       7,792       0   4,500
PEP BOYS MANNY MOE & JACK        COM               713278109        86       4,100 SH      DEFINED    6       2,000   2,100       0
PEP BOYS MANNY MOE & JACK        COM               713278109        67       3,189 SH      OTHER      9       3,189       0       0
PEP BOYS MANNY MOE & JACK        SUB NT CONV 4%99  713278AG4        25      25,000 PRN     OTHER      2           0       0  25,000
PEP BOYS MANNY MOE & JACK        SUB LYON ZERO 11  713278AJ8     2,890   5,352,000 PRN     OTHER      2   5,352,000       0       0
PEPSI BOTTLING GROUP INC         OPTION            713409100        46          20 CALL    OTHER      2          20       0       0
PEPSI BOTTLING GROUP INC         COM               713409100       186       8,039 SH      OTHER      2       3,039       0   5,000
PEPSI-GEMEX S A DE C V           GDR REP ORD       713435105        46       5,000 SH      OTHER      2       5,000       0       0
PEPSICO INC                      OPTION            713448108       286          74 CALL    OTHER      2          74       0       0
PEPSICO INC                      OPTION            713448108     7,737       2,000 CALL    OTHER      9       2,000       0       0
PEPSICO INC                      COM               713448108    13,395     346,237 SH      DEFINED    1     217,055 129,182       0
PEPSICO INC                      COM               713448108     9,973     257,789 SH      OTHER      2     229,579       0  28,210
PEPSICO INC                      COM               713448108     7,817     202,061 SH      DEFINED    5     135,727  66,334       0
PEPSICO INC                      COM               713448108     8,253     213,333 SH      DEFINED    6     176,553  36,780       0
PEPSICO INC                      COM               713448108     2,361      61,023 SH      OTHER      9      61,023       0       0
PEPSICO INC                      COM               713448108     8,808     227,682 SH      DEFINED   10     202,669  25,013       0
PEPSICO INC                      COM               713448108     5,080     131,320 SH      DEFINED   11     104,134  27,186       0
PEREGRINE SYSTEMS INC            OPTION            71366Q101        64          25 CALL    OTHER      2          25       0       0
PERFORMANCE FOOD GROUP CO        COM               713755106         3         100 SH      OTHER      2         100       0       0
PEROT SYS CORP                   CL A              714265105       130       4,401 SH      OTHER      2           1       0   4,400
PERRIGO CO                       COM               714290103       194      25,466 SH      OTHER      2      24,866       0     600
PERUSAHAAN PERS INDO SATELLITE   SPON ADR          715680104         1          50 SH      OTHER      2          50       0       0
P T TELEKOMUNIKASI INDONESIA     SPON ADR          715684106        10         840 SH      DEFINED    1         840       0       0
P T TELEKOMUNIKASI INDONESIA     SPON ADR          715684106        68       5,500 SH      OTHER      9       5,500       0       0
PETSEC ENERGY LTD                SPON ADR          715796108        15       9,000 SH      OTHER      2       9,000       0       0
PETRO-CDA                        COM/VARIBL VTG    71644E102       111       8,100 SH      OTHER      1       8,100       0       0
PETROGLYPH ENERGY INC            COM               71649C101         1         300 SH      OTHER      2           0       0     300
PETROLEUM & RES CORP             COM               716549100        14         414 SH      DEFINED    5         278     136       0
PETROLEUM & RES CORP             COM               716549100       209       6,000 SH      DEFINED   10       6,000       0       0
PETROLEUM GEO-SVCS A/S           SPON ADR          716597109       186      12,500 SH      OTHER      2      10,000       0   2,500
PETROLEUM GEO-SVCS A/S           SPON ADR          716597109        27       1,800 SH      OTHER      9       1,800       0       0
PETSMART INC                     COM               716768106         3         330 SH      OTHER      2         330       0       0
PETSMART INC                     COM               716768106        21       2,000 SH      OTHER      9       2,000       0       0
PHARMACIA & UPJOHN INC           COM               716941109         8         135 SH      DEFINED    1         135       0       0
PHARMACIA & UPJOHN INC           COM               716941109     9,189     161,742 SH      OTHER      2     137,342       0  24,400
PHARMACIA & UPJOHN INC           COM               716941109       253       4,445 SH      DEFINED    5         220   4,225       0
PHARMACIA & UPJOHN INC           COM               716941109       262       4,615 SH      DEFINED    6       4,615       0       0
PHARMACIA & UPJOHN INC           COM               716941109     8,788     154,685 SH      OTHER      9     154,685       0       0
PHARMACIA & UPJOHN INC           COM               716941109        29         515 SH      DEFINED   10         515       0       0
PHARMACIA & UPJOHN INC           COM               716941109        36         625 SH      DEFINED   11         525     100       0
PFIZER INC                       OPTION            717081103    19,838       1,820 CALL    OTHER      2       1,820       0       0
PFIZER INC                       OPTION            717081103       981          90 PUT     OTHER      2          90       0       0
PFIZER INC                       COM               717081103     3,109      28,522 SH      DEFINED    1      20,838   7,684       0
PFIZER INC                       COM               717081103       201       1,840 SH      OTHER      1       1,840       0       0
PFIZER INC                       COM               717081103    89,492     821,028 SH      OTHER      2     673,055       0 147,973
PFIZER INC                       COM               717081103     3,041      27,900 SH      OTHER      4           0       0  27,900
PFIZER INC                       COM               717081103     6,090      55,875 SH      DEFINED    5      17,162  38,713       0
PFIZER INC                       COM               717081103     6,526      59,876 SH      DEFINED    6      43,151  16,725       0
PFIZER INC                       COM               717081103     8,830      81,012 SH      OTHER      9      81,012       0       0
PFIZER INC                       COM               717081103     1,927      17,676 SH      DEFINED   10      14,125   3,551       0
PFIZER INC                       COM               717081103     1,997      18,317 SH      DEFINED   11      10,045   8,272       0
PHARMACEUTICAL PROD DEV INC      COM               717124101         5         190 SH      DEFINED    1         190       0       0
PHARMACEUTICAL PROD DEV INC      COM               717124101         6         202 SH      DEFINED   10         202       0       0
PHARMACEUTICAL RES INC           COM               717125108         0          28 SH      OTHER      2          28       0       0
PHARMOS CORP                     COM NEW           717139208         0          37 SH      DEFINED    5          37       0       0
PHELPS DODGE CORP                OPTION            717265102       316          51 CALL    OTHER      2          51       0       0
PHELPS DODGE CORP                COM               717265102        12         200 SH      DEFINED    1         160      40       0
PHELPS DODGE CORP                COM               717265102       588       9,492 SH      OTHER      2       8,592       0     900
PHELPS DODGE CORP                COM               717265102        17         270 SH      DEFINED    5         270       0       0
PHELPS DODGE CORP                COM               717265102        46         745 SH      DEFINED    6         745       0       0
PHELPS DODGE CORP                COM               717265102       234       3,771 SH      OTHER      9       3,771       0       0
PHELPS DODGE CORP                COM               717265102       122       1,975 SH      DEFINED   10       1,975       0       0
PHELPS DODGE CORP                COM               717265102        71       1,140 SH      DEFINED   11       1,115      25       0
PHILADELPHIA CONS HLDG CORP      COM               717528103        68       2,773 SH      OTHER      2       1,273       0   1,500
PHILADELPHIA SUBN CORP           COM PAR $0.50     718009608         4         194 SH      DEFINED    5           0     194       0
PHILIP MORRIS COS INC            OPTION            718154107    24,715       6,150 CALL    OTHER      2       6,150       0       0
PHILIP MORRIS COS INC            OPTION            718154107       804         200 CALL    OTHER      9         200       0       0
PHILIP MORRIS COS INC            OPTION            718154107     5,518       1,373 PUT     OTHER      2       1,373       0       0
PHILIP MORRIS COS INC            COM               718154107     1,254      31,202 SH      DEFINED    1      29,897   1,305       0
PHILIP MORRIS COS INC            COM               718154107       133       3,320 SH      OTHER      1       1,660       0       0
PHILIP MORRIS COS INC            COM               718154107 1,259,634  31,344,305 SH      OTHER      2  31,283,535       0  60,770
PHILIP MORRIS COS INC            COM               718154107     4,538     112,922 SH      DEFINED    5      72,324  40,598       0
PHILIP MORRIS COS INC            COM               718154107     1,643      40,872 SH      DEFINED    6      21,822  19,050       0
PHILIP MORRIS COS INC            COM               718154107    13,286     330,612 SH      OTHER      9     330,612       0       0
PHILIP MORRIS COS INC            COM               718154107       934      23,237 SH      DEFINED   10      15,696   7,541       0
PHILIP MORRIS COS INC            COM               718154107     2,743      68,264 SH      DEFINED   11      32,856  35,408       0
PHILIPPINE LONG DISTANCE TEL     SPON ADR          718252604       972      32,210 SH      OTHER      2      32,210       0       0
PHILIPPINE LONG DISTANCE TEL     SPON ADR          718252604        18         600 SH      OTHER      4           0       0     600
PHILIPPINE LONG DISTANCE TEL     SPON ADR          718252604       106       3,500 SH      OTHER      9       3,500       0       0
PHILIPS INTL RLTY CORP           COM               718333107     4,045     239,700 SH      OTHER      2     239,700       0       0
PHILLIPS PETE CO                 OPTION            718507106        60          12 CALL    OTHER      2          12       0       0
PHILLIPS PETE CO                 COM               718507106     3,643      72,407 SH      DEFINED    1      58,157  14,250       0
PHILLIPS PETE CO                 COM               718507106     2,086      41,460 SH      OTHER      2      37,260       0   4,200
PHILLIPS PETE CO                 COM               718507106     1,097      21,812 SH      DEFINED    5      15,537   6,275       0
PHILLIPS PETE CO                 COM               718507106     1,147      22,795 SH      DEFINED    6      22,395     400       0
PHILLIPS PETE CO                 COM               718507106     1,648      32,757 SH      OTHER      9      32,757       0       0
PHILLIPS PETE CO                 COM               718507106       670      13,312 SH      DEFINED   10      12,225   1,087       0
PHILLIPS PETE CO                 COM               718507106     2,052      40,785 SH      DEFINED   11      30,620  10,165       0
PHILLIPS VAN HEUSEN CORP         COM               718592108         5         450 SH      DEFINED   10         450       0       0
PHILLIPS VAN HEUSEN CORP         COM               718592108        21       2,075 SH      DEFINED   11       2,075       0       0
PHOENIX INTL LIFE SCIENCES INC   COM               718919103       412      68,684 SH      OTHER      1      68,684       0       0
PHOENIX INTL LIFE SCIENCES INC   COM               718919103        28       4,601 SH      OTHER      2       4,601       0       0
PHOENIX INVT PARTNERS LTD        COM               719085102         5         600 SH      OTHER      2         224       0     376
PHOENIX INVT PARTNERS LTD        SUB DB CONV 6%15  719085AA0         1       1,050 PRN     OTHER      2         125       0     925
PHOENIX TECHNOLOGY LTD           COM               719153108         5         300 SH      DEFINED    1           0     300       0
PHOSPHATE RESOURCE PARTNERS      DEPOSITARY UNT    719217101         0          16 SH      DEFINED    1          16       0       0
PHOSPHATE RESOURCE PARTNERS      DEPOSITARY UNT    719217101         9         800 SH      DEFINED    5           0     800       0
PHOTON DYNAMICS INC              COM               719364101       381      31,736 SH      OTHER      1      31,736       0       0
PHYCOR INC                       OPTION            71940F100         7          10 PUT     OTHER      2          10       0       0
PHYCOR INC                       COM               71940F100        18       2,392 SH      OTHER      2       2,392       0       0
PHYCOR INC                       COM               71940F100        37       5,000 SH      OTHER      9       5,000       0       0
PICTURETEL CORP                  COM NEW           720035302         3         400 SH      DEFINED    1         400       0       0
PIEDMONT NAT GAS INC             COM               720186105        87       2,800 SH      DEFINED    1       2,800       0       0
PIEDMONT NAT GAS INC             COM               720186105        41       1,320 SH      DEFINED    5       1,320       0       0
PIEDMONT NAT GAS INC             COM               720186105        32       1,041 SH      DEFINED   11       1,041       0       0
PIER 1 IMPORTS INC               COM               720279108         0          24 SH      OTHER      2          24       0       0
PIER 1 IMPORTS INC               SB NT CV 5.75%03  720279AF5        10       8,000 PRN     OTHER      2       8,000       0       0
PILGRIM PRIME RATE TR NEW        SH BEN INT        72146W103        14       1,441 SH      DEFINED    1       1,441       0       0
PILGRIM PRIME RATE TR NEW        SH BEN INT        72146W103       199      20,900 SH      OTHER      2           0       0  20,900
PILGRIM PRIME RATE TR NEW        SH BEN INT        72146W103        92       9,736 SH      DEFINED   11       9,736       0       0
PILLOWTEX CORP                   COM               721501104        41       2,500 SH      OTHER      2           0       0   2,500
PILLOWTEX CORP                   COM               721501104        21       1,300 SH      OTHER      9       1,300       0       0
PINNACLE HLDGS INC               COM               72346N101         3         139 SH      DEFINED   11           0     139       0
PINNACLE WEST CAP CORP           COM               723484101       909      22,576 SH      OTHER      2      20,966       0   1,610
PINNACLE WEST CAP CORP           COM               723484101         9         216 SH      DEFINED    5         216       0       0
PINNACLE WEST CAP CORP           COM               723484101        27         675 SH      DEFINED    6         675       0       0
PINNACLE WEST CAP CORP           COM               723484101         5         126 SH      DEFINED   10         126       0       0
PINNACLE WEST CAP CORP           COM               723484101        28         695 SH      DEFINED   11         695       0       0
PIONEER ELECTR CORP              SPON ADR          723657409        28       1,400 SH      OTHER      2       1,400       0       0
PIONEER HI BRED INTL INC         COM               723686101       528      13,562 SH      DEFINED    1      13,562       0       0
PIONEER HI BRED INTL INC         COM               723686101     2,398      61,579 SH      OTHER      2      61,579       0       0
PIONEER HI BRED INTL INC         COM               723686101       744      19,109 SH      OTHER      9      19,109       0       0
PIONEER HI BRED INTL INC         COM               723686101       105       2,700 SH      DEFINED   10           0   2,700       0
PIONEER INTREST SHS              COM               723703104         0           1 SH      OTHER      2           1       0       0
PIONEER NAT RES CO               COM               723787107       276      25,064 SH      OTHER      2      24,764       0     300
PIONEER NAT RES CO               COM               723787107         1         135 SH      DEFINED    6         135       0       0
PIONEER STD ELECTRS INC          COM               723877106       177      14,752 SH      OTHER      2      13,252       0   1,500
PITNEY BOWES INC                 OPTION            724479100     5,783         900 CALL    OTHER      2         900       0       0
PITNEY BOWES INC                 COM               724479100     1,260      19,610 SH      DEFINED    1      18,610   1,000       0
PITNEY BOWES INC                 COM               724479100   182,178   2,835,450 SH      OTHER      2   2,818,647       0  16,803
PITNEY BOWES INC                 COM               724479100     1,730      26,920 SH      DEFINED    5      25,520   1,400       0
PITNEY BOWES INC                 COM               724479100       531       8,265 SH      DEFINED    6       7,065   1,200       0
PITNEY BOWES INC                 COM               724479100     1,072      16,684 SH      OTHER      9      16,684       0       0
PITNEY BOWES INC                 COM               724479100       556       8,657 SH      DEFINED   10       8,507     150       0
PITNEY BOWES INC                 COM               724479100     2,353      36,615 SH      DEFINED   11      33,775   2,840       0
PITTSTON CO                      COM BRINKS GRP    725701106       271      10,121 SH      OTHER      2      10,121       0       0
PITTSTON CO                      COM BRINKS GRP    725701106         3         100 SH      DEFINED   11         100       0       0
PITTWAY CORP DEL                 CL A              725790208       103       3,000 SH      DEFINED   10           0   3,000       0
PIXAR                            COM               725811103        48       1,115 SH      OTHER      2       1,115       0       0
PIXAR                            COM               725811103         9         200 SH      OTHER      9         200       0       0
PLACER DOME INC                  COM               725906101     1,465     124,655 SH      OTHER      2     124,255       0     400
PLACER DOME INC                  COM               725906101         5         400 SH      DEFINED    6         400       0       0
PLACER DOME INC                  COM               725906101       555      47,272 SH      OTHER      9      47,272       0       0
PLACER DOME INC                  COM               725906101        32       2,700 SH      DEFINED   11       2,700       0       0
PLANTRONICS INC NEW              COM               727493108        29         450 SH      DEFINED    1           0     450       0
PLANTRONICS INC NEW              COM               727493108       854      13,108 SH      OTHER      2      12,800       0     308
PLATINUM TECHNOLOGY INTL INC     COM               72764T101         3         100 SH      OTHER      2         100       0       0
PLATINUM TECHNOLOGY INTL INC     COM               72764T101       291      10,000 SH      OTHER      9      10,000       0       0
PLATINUM TECHNOLOGY INTL INC     SB NT CV 144A 02  72764TAB7     7,780   7,770,000 PRN     OTHER      9   7,770,000       0       0
PLATINUM TECHNOLOGY INTL INC     SB NT CV 6.25%02  72764TAD3     4,205   4,200,000 PRN     OTHER      2   4,200,000       0       0
PLATINUM TECHNOLOGY INTL INC     SB NT CV 6.25%02  72764TAD3       100     100,000 PRN     OTHER      9     100,000       0       0
PLAYERS INTL INC                 COM               727903106     2,271     316,000 SH      OTHER      2     316,000       0       0
PLAY BY PLAY TOYS & NOVELTIES    COM               72811K103         0           7 SH      OTHER      2           7       0       0
PLUM CREEK TIMBER CO LP          DEPOSITARY UNT    729237107         9         300 SH      DEFINED    1         300       0       0
PLUM CREEK TIMBER CO LP          DEPOSITARY UNT    729237107       131       4,200 SH      DEFINED    5       3,900     300       0
PLUM CREEK TIMBER CO LP          DEPOSITARY UNT    729237107        19         600 SH      DEFINED   10         600       0       0
POGO PRODUCING CO                COM               730448107         9         500 SH      OTHER      2           0       0     500
POGO TR I                        QUIPS SER A       73044P208     2,313      45,850 SH      OTHER      2      45,850       0       0
POHANG IRON & STL LTD            SPON ADR          730450103       493      14,650 SH      DEFINED    1      13,000   1,650       0
POHANG IRON & STL LTD            SPON ADR          730450103       750      22,300 SH      OTHER      2      22,300       0       0
POHANG IRON & STL LTD            SPON ADR          730450103       227       6,750 SH      OTHER      4           0       0   6,750
POHANG IRON & STL LTD            SPON ADR          730450103        40       1,200 SH      DEFINED    6       1,200       0       0
POHANG IRON & STL LTD            SPON ADR          730450103        44       1,300 SH      DEFINED   10       1,300       0       0
POHANG IRON & STL LTD            SPON ADR          730450103       103       3,075 SH      DEFINED   11       3,075       0       0
POLAROID CORP                    COM               731095105        44       1,600 SH      DEFINED    1       1,600       0       0
POLAROID CORP                    COM               731095105       179       6,494 SH      OTHER      2       6,494       0       0
POLAROID CORP                    COM               731095105        95       3,462 SH      OTHER      9       3,462       0       0
POLICY MGMT SYS CORP             COM               731108106       477      15,899 SH      OTHER      2      15,899       0       0
POLICY MGMT SYS CORP             COM               731108106         9         290 SH      DEFINED   10         290       0       0
POLO RALPH LAUREN CORP           OPTION            731572103         6           3 CALL    OTHER      2           3       0       0
POLYCOM INC                      COM               73172K104         8         210 SH      DEFINED    1         210       0       0
POLYCOM INC                      COM               73172K104         9         222 SH      DEFINED   10         222       0       0
POOL ENERGY SVCS CO              COM               732788104        35       1,700 SH      OTHER      9       1,700       0       0
POPULAR INC                      COM               733174106       127       4,200 SH      OTHER      2       4,200       0       0
POPULAR INC                      COM               733174106         9         300 SH      OTHER      9         300       0       0
PORTUGAL TELECOM S A             SPON ADR          737273102        70       1,705 SH      DEFINED    1       1,185     520       0
PORTUGAL TELECOM S A             SPON ADR          737273102    12,479     302,975 SH      OTHER      2     294,820       0   8,155
PORTUGAL TELECOM S A             SPON ADR          737273102         2          45 SH      DEFINED    5          45       0       0
PORTUGAL TELECOM S A             SPON ADR          737273102        18         435 SH      DEFINED    6         435       0       0
PORTUGAL TELECOM S A             SPON ADR          737273102        20         485 SH      DEFINED   10         145     340       0
PORTUGAL TELECOM S A             SPON ADR          737273102        75       1,830 SH      DEFINED   11         805   1,025       0
POST PPTYS INC                   COM               737464107        13         307 SH      DEFINED    1         307       0       0
POST PPTYS INC                   COM               737464107    46,178   1,126,297 SH      OTHER      2   1,033,924       0  92,373
POST PPTYS INC                   COM               737464107       113       2,750 SH      DEFINED    5           0   2,750       0
POST PPTYS INC                   COM               737464107        49       1,200 SH      OTHER      9       1,200       0       0
POTASH CORP SASK INC             COM               73755L107       802      15,500 SH      OTHER      1      15,500       0       0
POTASH CORP SASK INC             COM               73755L107       215       4,155 SH      DEFINED    1       2,555   1,600       0
POTASH CORP SASK INC             COM               73755L107     1,113      21,500 SH      OTHER      2      21,000       0     500
POTASH CORP SASK INC             COM               73755L107       110       2,120 SH      DEFINED    5       1,870     250       0
POTASH CORP SASK INC             COM               73755L107        31         600 SH      DEFINED    6         300     300       0
POTASH CORP SASK INC             COM               73755L107        69       1,325 SH      DEFINED   10       1,050     275       0
POTASH CORP SASK INC             COM               73755L107        79       1,525 SH      DEFINED   11         575     950       0
POTLATCH CORP                    COM               737628107       176       3,997 SH      OTHER      2       3,997       0       0
POTLATCH CORP                    COM               737628107        83       1,882 SH      OTHER      9       1,882       0       0
POTOMAC ELEC PWR CO              COM               737679100        12         400 SH      DEFINED    1           0     400       0
POTOMAC ELEC PWR CO              COM               737679100       924      31,385 SH      OTHER      2      29,260       0   2,125
POTOMAC ELEC PWR CO              COM               737679100       147       4,989 SH      DEFINED    5       1,700   3,289       0
POTOMAC ELEC PWR CO              COM               737679100        29       1,000 SH      DEFINED    6       1,000       0       0
POTOMAC ELEC PWR CO              COM               737679100        85       2,900 SH      OTHER      9       2,900       0       0
POWERGEN PLC                     SPON ADR FINAL    738905405        71       1,655 SH      DEFINED    1       1,095     560       0
POWERGEN PLC                     SPON ADR FINAL    738905405        16         365 SH      OTHER      2           0       0     365
POWERGEN PLC                     SPON ADR FINAL    738905405         2          45 SH      DEFINED    5          45       0       0
POWERGEN PLC                     SPON ADR FINAL    738905405        25         590 SH      DEFINED    6         590       0       0
POWERGEN PLC                     SPON ADR FINAL    738905405        29         675 SH      DEFINED   10         195     480       0
POWERGEN PLC                     SPON ADR FINAL    738905405        92       2,150 SH      DEFINED   11       1,095   1,055       0
POWERHOUSE TECHNOLOGIES INC      COM               739323103        16         800 SH      OTHER      2         800       0       0
POWERWAVE TECHNOLOGIES INC       OPTION            739363109        32          10 CALL    OTHER      2          10       0       0
POWERWAVE TECHNOLOGIES INC       COM               739363109       375      11,632 SH      OTHER      2      11,632       0       0
POWERTEL INC                     COM               73936C109       507      16,982 SH      OTHER      2      16,982       0       0
PRAXAIR INC                      COM               74005P104     1,092      22,311 SH      DEFINED    1      18,455   3,856       0
PRAXAIR INC                      COM               74005P104     1,139      23,279 SH      OTHER      2      23,279       0       0
PRAXAIR INC                      COM               74005P104       459       9,383 SH      DEFINED    5       7,225   2,158       0
PRAXAIR INC                      COM               74005P104       166       3,400 SH      DEFINED    6       3,400       0       0
PRAXAIR INC                      COM               74005P104       502      10,256 SH      OTHER      9      10,256       0       0
PRAXAIR INC                      COM               74005P104     1,257      25,681 SH      DEFINED   10      17,581   8,100       0
PRAXAIR INC                      COM               74005P104       514      10,500 SH      DEFINED   11      10,500       0       0
PRE PAID LEGAL SVCS INC          COM               740065107       932      34,353 SH      OTHER      2      33,603       0     750
PRECISION CASTPARTS CORP         COM               740189105       258       6,080 SH      OTHER      2       6,080       0       0
PRECISION CASTPARTS CORP         COM               740189105        21         500 SH      DEFINED    5           0     500       0
PRECISION CASTPARTS CORP         COM               740189105         4         100 SH      OTHER      9         100       0       0
PRECISION CASTPARTS CORP         COM               740189105        11         250 SH      DEFINED   10         250       0       0
PRECISION DRILLING CORP          COM               74022D100         0          26 SH      OTHER      1          26       0       0
PREFERRED INCOME FD INC          COM               74037G106         5         361 SH      DEFINED    5         361       0       0
PREFERRED INCOME OPPORTUNITY     COM               74037H104         3         280 SH      DEFINED    5         280       0       0
PREFERRED INCOME OPPORTUNITY     COM               74037H104        12       1,000 SH      DEFINED   11       1,000       0       0
PREMARK INTL INC                 COM               740459102         6         150 SH      DEFINED    1           0     150       0
PREMARK INTL INC                 COM               740459102       572      15,243 SH      OTHER      2      15,243       0       0
PREMARK INTL INC                 COM               740459102       105       2,800 SH      OTHER      9       2,800       0       0
PREMARK INTL INC                 COM               740459102        26         702 SH      DEFINED   10           0     702       0
PREMIER NATL BANCORP INC         COM               74053F107        12         600 SH      DEFINED    6           0     600       0
PREMISYS COMMUNICATIONS INC      COM               740584107        44       6,000 SH      OTHER      9       6,000       0       0
PREVIEW TRAVEL INC               OPTION            74137R101        11           5 CALL    OTHER      2           5       0       0
PRICE COMMUNICATIONS CORP        OPTION            741437305     1,688     112,500 PUT     OTHER      2     112,500       0       0
PRICE T ROWE & ASSOCIATES        OPTION            741477103        38          10 CALL    OTHER      2          10       0       0
PRICE T ROWE & ASSOCIATES        COM               741477103     4,866     126,789 SH      OTHER      2      96,560       0  30,229
PRICE T ROWE & ASSOCIATES        COM               741477103     8,661     225,700 SH      OTHER      9     225,700       0       0
PRICELINE COM INC                COM               741503106     1,085       9,387 SH      OTHER      2       2,500       0   6,887
PRIME BANCSHARES INC TEXAS       COM               74157H108        34       1,900 SH      OTHER      2       1,900       0       0
PRIMEDIA INC                     COM               74157K101        71       4,200 SH      OTHER      2       3,800       0     400
PRIMEX TECHNOLOGIES INC          COM               741597108        10         459 SH      DEFINED    1         459       0       0
PRIMEX TECHNOLOGIES INC          COM               741597108         3         140 SH      OTHER      2           0       0     140
PRIMARK CORP                     COM               741903108         2          74 SH      OTHER      2           0       0      74
PRIME HOSPITALITY CORP           COM               741917108         0           3 SH      OTHER      2           0       0       3
PRIME HOSPITALITY CORP           COM               741917108       103       8,600 SH      OTHER      9       8,600       0       0
PRIMUS TELECOMMUNICATIONS GRP    COM               741929103         8         340 SH      DEFINED    1         340       0       0
PRIMUS TELECOMMUNICATIONS GRP    COM               741929103         8         353 SH      DEFINED   10         353       0       0
PRIDE INTL INC                   COM               741932107        94       8,900 SH      OTHER      9       8,900       0       0
PRINTRONIX INC                   COM               742578107         4         299 SH      OTHER      2         299       0       0
PRISON RLTY TR                   COM               74264N105        47       4,800 SH      OTHER      2       4,800       0       0
PRIORITY HEALTHCARE CORP         CL B              74264T102       235       6,800 SH      OTHER      2       6,800       0       0
PROCTER & GAMBLE CO              OPTION            742718109        27           3 CALL    OTHER      2           3       0       0
PROCTER & GAMBLE CO              OPTION            742718109     6,248         700 PUT     OTHER      2         700       0       0
PROCTER & GAMBLE CO              COM               742718109    12,116     135,750 SH      DEFINED    1     106,829  28,921       0
PROCTER & GAMBLE CO              COM               742718109       147       1,650 SH      OTHER      1       1,650       0       0
PROCTER & GAMBLE CO              COM               742718109    49,870     558,768 SH      OTHER      2     393,985       0 164,783
PROCTER & GAMBLE CO              COM               742718109     5,096      57,100 SH      OTHER      4           0       0  57,100
PROCTER & GAMBLE CO              COM               742718109    16,317     182,822 SH      DEFINED    5     146,481  36,341       0
PROCTER & GAMBLE CO              COM               742718109     7,977      89,375 SH      DEFINED    6      73,300  16,075       0
PROCTER & GAMBLE CO              COM               742718109    11,353     127,205 SH      DEFINED   10     115,531  11,674       0
PROCTER & GAMBLE CO              COM               742718109    10,597     118,734 SH      DEFINED   11      89,006  29,728       0
PRODIGY COMMUNICATIONS CORP      COM               74283P107        22         850 SH      OTHER      2         850       0       0
PROFIT RECOVERY GROUP INTL INC   COM               743168106        80       1,700 SH      OTHER      2           0       0   1,700
PROGRESS SOFTWARE CORP           COM               743312100        25         900 SH      OTHER      9         900       0       0
PROGRESSIVE CORP OHIO            COM               743315103       175       1,210 SH      OTHER      1       1,210       0       0
PROGRESSIVE CORP OHIO            COM               743315103     3,400      23,451 SH      OTHER      2      23,251       0     200
PROGRESSIVE CORP OHIO            COM               743315103       656       4,526 SH      OTHER      9       4,526       0       0
PROLOGIS TR                      SH BEN INT        743410102    26,349   1,301,187 SH      OTHER      2   1,255,022       0  46,165
PROLOGIS TR                      SH BEN INT        743410102         8         406 SH      DEFINED    5         406       0       0
PROLOGIS TR                      SH BEN INT        743410102        14         700 SH      OTHER      9         700       0       0
PROLOGIS TR                      PFD CV SBI B      743410300     1,816      70,000 SH      OTHER      2      70,000       0       0
PROMUS HOTEL CORP NEW            COM               74342P106        43       1,387 SH      DEFINED    1       1,387       0       0
PROMUS HOTEL CORP NEW            COM               74342P106       666      21,477 SH      OTHER      2      21,015       0     462
PROMUS HOTEL CORP NEW            COM               74342P106        78       2,500 SH      OTHER      9       2,500       0       0
PROSPECT STR HIGH INCOME PTFLO   COM NEW           743586406        22       2,425 SH      OTHER      2           0       0   2,425
PROSPECT STR HIGH INCOME PTFLO   COM NEW           743586406        11       1,192 SH      DEFINED    5       1,192       0       0
PROTECTIVE LIFE CORP             COM               743674103        12         362 SH      DEFINED    1         158     204       0
PROTECTIVE LIFE CORP             COM               743674103     3,400      99,999 SH      OTHER      2      88,574       0  11,425
PROTECTIVE LIFE CORP             COM               743674103         4         113 SH      DEFINED   10         113       0       0
PROTECTIVE LIFE CORP             COM               743674103         4         107 SH      DEFINED   11         107       0       0
PROTEIN DESIGN LABS INC          COM               74369L103       166       7,500 SH      OTHER      2       7,500       0       0
PROVANT INC                      COM               743724106       273      17,532 SH      OTHER      2      17,532       0       0
PROVIDENT AMER CORP              OPTION            743832107        20           7 CALL    OTHER      2           7       0       0
PROVIDENT BANCORP INC MONTEBEL   COM               743835100         6         500 SH      DEFINED    5           0     500       0
PROVIDENT BANKSHARES CORP        OPTION            743859100         2           1 PUT     OTHER      2           1       0       0
PROVIDENT BANKSHARES CORP        COM               743859100         2         100 SH      OTHER      2         100       0       0
PROVIDENT BANKSHARES CORP        COM               743859100        22         930 SH      OTHER      9         930       0       0
PROVIDENT COS INC                COM               743862104        64       1,600 SH      DEFINED    1           0   1,600       0
PROVIDENT COS INC                COM               743862104       804      20,107 SH      OTHER      2      20,107       0       0
PROVIDENT COS INC                COM               743862104       337       8,419 SH      OTHER      9       8,419       0       0
PROVIDENT COS INC                COM               743862104         2          50 SH      DEFINED   10          50       0       0
PROVIDENT FINL GROUP INC         COM               743866105       525      12,007 SH      OTHER      2      12,007       0       0
PROVINCE HEALTHCARE CO           COM               743977100        34       1,725 SH      OTHER      2       1,725       0       0
PROVIDIAN FINL CORP              OPTION            74406A102       298          32 PUT     OTHER      2          32       0       0
PROVIDIAN FINL CORP              COM               74406A102        97       1,040 SH      DEFINED    1       1,040       0       0
PROVIDIAN FINL CORP              COM               74406A102     3,503      37,569 SH      OTHER      2      23,105       0  14,464
PROVIDIAN FINL CORP              COM               74406A102        90         969 SH      DEFINED    5         969       0       0
PROVIDIAN FINL CORP              COM               74406A102        13         135 SH      DEFINED    6          65      70       0
PROVIDIAN FINL CORP              COM               74406A102       824       8,833 SH      OTHER      9       8,833       0       0
PROVIDIAN FINL CORP              COM               74406A102        63         677 SH      DEFINED   10         677       0       0
PROVIDIAN FINL CORP              COM               74406A102        67         715 SH      DEFINED   11         515     200       0
PROXIM INC                       OPTION            744284100       116          20 CALL    OTHER      2          20       0       0
PROXYMED PHARMACY INC            OPTION            744290107        16          10 CALL    OTHER      2          10       0       0
PSYCHEMEDICS CORP                COM               744375106        77      15,450 SH      DEFINED   11           0  15,450       0
PSINET INC                       OPTION            74437C101        44          10 CALL    OTHER      2          10       0       0
PSINET INC                       OPTION            74437C101         9           2 PUT     OTHER      2           2       0       0
PSINET INC                       COM               74437C101       703      16,071 SH      OTHER      2      16,071       0       0
PSINET INC                       PFD C CV 6 3/4    74437C309       758      15,715 SH      OTHER      2      15,715       0       0
PSINET INC                       PFD C CV 6 3/4    74437C309        11         225 SH      DEFINED    5         225       0       0
PSINET INC                       PFD C CV 6 3/4    74437C309         3          60 SH      DEFINED    6          60       0       0
PUBLIC SVC CO N MEX              COM               744499104       302      15,197 SH      OTHER      2      10,230       0   4,967
PUBLIC SVC CO N MEX              COM               744499104       111       5,600 SH      OTHER      9       5,600       0       0
PUBLIC SVC CO N C INC            COM               744516105        59       2,000 SH      DEFINED    1       1,000   1,000       0
PUBLIC SVC CO N C INC            COM               744516105        44       1,500 SH      OTHER      2           0       0   1,500
PUBLIC SVC ENTERPRISE GROUP      COM               744573106        76       1,873 SH      DEFINED    1         973     900       0
PUBLIC SVC ENTERPRISE GROUP      COM               744573106     3,226      79,052 SH      OTHER      2      78,752       0     300
PUBLIC SVC ENTERPRISE GROUP      COM               744573106       844      20,677 SH      DEFINED    5      13,870   6,807       0
PUBLIC SVC ENTERPRISE GROUP      COM               744573106       427      10,464 SH      DEFINED    6       3,573   6,891       0
PUBLIC SVC ENTERPRISE GROUP      COM               744573106       522      12,782 SH      OTHER      9      12,782       0       0
PUBLIC SVC ENTERPRISE GROUP      COM               744573106       108       2,636 SH      DEFINED   10         967   1,669       0
PUBLIC SVC ENTERPRISE GROUP      COM               744573106        80       1,950 SH      DEFINED   11       1,750     200       0
PUBLIC STORAGE INC               COM               74460D109    30,070   1,073,927 SH      OTHER      2   1,070,631       0   3,296
PUBLIC STORAGE INC               COM               74460D109       104       3,700 SH      OTHER      9       3,700       0       0
PUBLIC STORAGE INC               PFD G 1/1000SH    74460D885        55       2,200 SH      DEFINED   10       2,200       0       0
PUERTO RICAN CEM INC             COM               745075101        37       1,100 SH      OTHER      2       1,100       0       0
PUGET SOUND ENERGY INC           COM               745332106       501      20,864 SH      OTHER      2      20,864       0       0
PUGET SOUND ENERGY INC           COM               745332106         6         258 SH      DEFINED    5         258       0       0
PUGET SOUND ENERGY INC           COM               745332106        21         882 SH      DEFINED    6         882       0       0
PUGET SOUND ENERGY INC           COM               745332106       103       4,300 SH      OTHER      9       4,300       0       0
PUGET SOUND ENERGY INC           COM               745332106         5         200 SH      DEFINED   10         200       0       0
PUGET SOUND ENERGY INC           COM               745332106         4         158 SH      DEFINED   11           0     158       0
PULITZER INC                     COM               745769109         5         100 SH      DEFINED    1         100       0       0
PULITZER INC                     COM               745769109        32         666 SH      DEFINED   10           0     666       0
PULTE CORP                       COM               745867101         6         240 SH      DEFINED    1         240       0       0
PULTE CORP                       COM               745867101     1,060      45,977 SH      OTHER      2      45,977       0       0
PULTE CORP                       COM               745867101       199       8,623 SH      OTHER      9       8,623       0       0
PUTNAM CALIF INVT GRADE MUN TR   SH BEN INT        746446103         0           1 SH      OTHER      2           1       0       0
PUTNAM CALIF INVT GRADE MUN TR   SH BEN INT        746446103         0           7 SH      DEFINED   10           7       0       0
PUTNAM DIVID INCOME FD           COM SH BEN INT    746706100        24       2,500 SH      DEFINED    5       2,500       0       0
PUTNAM HIGH INCOME CONV&BD FD    SH BEN INT        746779107        11       1,200 SH      DEFINED    5       1,200       0       0
PUTNAM HIGH INCOME CONV&BD FD    SH BEN INT        746779107         9       1,000 SH      DEFINED    6       1,000       0       0
PUTNAM HIGH INCOME CONV&BD FD    SH BEN INT        746779107        89      10,000 SH      DEFINED   11      10,000       0       0
PUTNAM HIGH YIELD MUN TR         SH BEN INT        746781103        66       6,000 SH      DEFINED    1           0   6,000       0
PUTNAM INVT GRADE MUN TR         COM               746805100        28       2,000 SH      DEFINED    5       2,000       0       0
PUTNAM INVT GRADE MUN TR II      SH BEN INT        746806108       262      18,000 SH      OTHER      2           0       0  18,000
PUTNAM INVT GRADE MUN TR II      SH BEN INT        746806108       200      13,724 SH      DEFINED    5       6,580   7,144       0
PUTNAM INVT GRADE MUN TR II      SH BEN INT        746806108        50       3,400 SH      DEFINED    6       3,400       0       0
PUTNAM MANAGED MUN INCOM TR      COM               746823103        13       1,140 SH      DEFINED    1       1,140       0       0
PUTNAM MANAGED MUN INCOM TR      COM               746823103       137      12,000 SH      OTHER      2           0       0  12,000
PUTNAM MANAGED MUN INCOM TR      COM               746823103        92       8,066 SH      DEFINED    5       8,066       0       0
PUTNAM MANAGED MUN INCOM TR      COM               746823103        11       1,000 SH      DEFINED    6       1,000       0       0
PUTNAM MASTER INCOME TR          SH BEN INT        74683K104         7       1,000 SH      DEFINED    1       1,000       0       0
PUTNAM PREMIER INCOME TR         SH BEN INT        746853100         7         844 SH      OTHER      2           0       0     844
PUTNAM PREMIER INCOME TR         SH BEN INT        746853100        64       8,300 SH      DEFINED    5       1,800   6,500       0
PUTNAM MASTER INTER INCOME TR    SH BEN INT        746909100        18       2,488 SH      DEFINED    1       2,488       0       0
PUTNAM MASTER INTER INCOME TR    SH BEN INT        746909100         7       1,000 SH      DEFINED    5       1,000       0       0
PUTNAM MASTER INTER INCOME TR    SH BEN INT        746909100         0           6 SH      DEFINED    6           6       0       0
PUTNAM MASTER INTER INCOME TR    SH BEN INT        746909100         4         500 SH      DEFINED   10         500       0       0
PUTNAM TAX FREE HEALTH CARE FD   SH BEN INT        746920107       192      13,300 SH      DEFINED    1      13,300       0       0
PUTNAM MUN OPPORTUNITIES TR      SH BEN INT        746922103        86       5,954 SH      DEFINED    5       5,954       0       0
PUTNAM MUN OPPORTUNITIES TR      SH BEN INT        746922103        94       6,540 SH      DEFINED    6       6,540       0       0
QLT PHOTOTHERAPEUTICS INC        COM               746927102        11         200 SH      OTHER      1         200       0       0
QLT PHOTOTHERAPEUTICS INC        COM               746927102     1,765      32,095 SH      OTHER      2      32,095       0       0
QMS INC                          COM               74726G102         5         987 SH      OTHER      2         987       0       0
QRS CORP                         COM               74726X105         8         100 SH      OTHER      2         100       0       0
QLOGIC CORP                      OPTION            747277101       132          10 CALL    OTHER      2          10       0       0
QLOGIC CORP                      COM               747277101       462       3,500 SH      OTHER      2       3,500       0       0
QAD INC                          COM               74727D108        22       7,068 SH      OTHER      2       7,068       0       0
QUAKER FABRIC CORP NEW           COM               747399103        41       9,695 SH      OTHER      2       9,695       0       0
QUAKER OATS CO                   COM               747402105       475       7,152 SH      DEFINED    1       3,652   3,500       0
QUAKER OATS CO                   COM               747402105     2,533      38,160 SH      OTHER      2      34,340       0   3,820
QUAKER OATS CO                   COM               747402105       384       5,780 SH      DEFINED    5       1,780   4,000       0
QUAKER OATS CO                   COM               747402105        44         663 SH      DEFINED    6         434     229       0
QUAKER OATS CO                   COM               747402105       715      10,775 SH      OTHER      9      10,775       0       0
QUAKER OATS CO                   COM               747402105       157       2,360 SH      DEFINED   10       2,360       0       0
QUAKER OATS CO                   COM               747402105       773      11,643 SH      DEFINED   11       3,743   7,900       0
QUALCOMM INC                     OPTION            747525103       703          49 CALL    OTHER      2          49       0       0
QUALCOMM INC                     OPTION            747525103     3,243         226 PUT     OTHER      2         226       0       0
QUALCOMM INC                     COM               747525103        41         285 SH      DEFINED    1         285       0       0
QUALCOMM INC                     COM               747525103    84,403     588,174 SH      OTHER      2     577,759       0  10,415
QUALCOMM INC                     COM               747525103       115         800 SH      DEFINED    5           0     800       0
QUALCOMM INC                     COM               747525103        72         500 SH      OTHER      9         500       0       0
QUALCOMM INC                     COM               747525103        39         270 SH      DEFINED   10         270       0       0
QUALCOMM INC                     COM               747525103        11          80 SH      DEFINED   11          80       0       0
QUANEX CORP                      COM               747620102        32       1,131 SH      OTHER      2       1,131       0       0
QUANEX CORP                      SB DB CV 6.88%07  747620AC6       150     143,050 PRN     OTHER      2     143,050       0       0
QUANTUM CORP                     COM               747906105        14         580 SH      DEFINED    1         580       0       0
QUANTUM CORP                     COM               747906105     4,523     187,487 SH      OTHER      2     187,487       0       0
QUANTUM CORP                     COM               747906105        16         670 SH      DEFINED    5         670       0       0
QUANTUM CORP                     COM               747906105         4         186 SH      DEFINED    6         186       0       0
QUANTUM CORP                     COM               747906105       269      11,161 SH      OTHER      9      11,161       0       0
QUANTUM CORP                     COM               747906105        59       2,465 SH      DEFINED   10         320   2,145       0
QUANTUM CORP                     SUB NT CONV 7%04  747906AC9        15      16,000 PRN     OTHER      2      16,000       0       0
QUEENS CNTY BANCORP INC          COM               748242104        37       1,147 SH      OTHER      2         400       0     747
QUEST DIAGNOSTICS INC            COM               74834L100         2          81 SH      OTHER      2           0       0      81
QUEST DIAGNOSTICS INC            COM               74834L100         3         100 SH      DEFINED   10           0     100       0
QUESTAR CORP                     COM               748356102       728      38,055 SH      OTHER      2      20,375       0  17,680
QUESTAR CORP                     COM               748356102        28       1,472 SH      DEFINED    5       1,472       0       0
QUIKSILVER INC                   COM               74838C106        15         590 SH      DEFINED    1           0     590       0
QUIKSILVER INC                   COM               74838C106        99       3,800 SH      OTHER      9       3,800       0       0
QUIDEL CORP                      COM               74838J101         1         300 SH      DEFINED   11         300       0       0
QUIDEL CORP                      WT EXP  043002    74838J119         0         652 SH      OTHER      2           0       0     652
QUIGLEY CORP                     COM NEW           74838L304         7       1,500 SH      OTHER      2           0       0   1,500
QUINTILES TRANSNATIONAL CORP     COM               748767100     1,900      45,232 SH      OTHER      2      45,232       0       0
QUINTILES TRANSNATIONAL CORP     SB NT CV 4.25%00  748767AC4         8       7,000 PRN     OTHER      2       7,000       0       0
QUORUM HEALTH GROUP INC          COM               749084109       285      22,707 SH      OTHER      2      22,707       0       0
QUORUM HEALTH GROUP INC          COM               749084109       124       9,873 SH      OTHER      9       9,873       0       0
QWEST COMMUNICATIONS INTL INC    OPTION            749121109       228          69 CALL    OTHER      2          69       0       0
QWEST COMMUNICATIONS INTL INC    OPTION            749121109     2,976         900 PUT     OTHER      9         900       0       0
QWEST COMMUNICATIONS INTL INC    COM               749121109       128       3,870 SH      DEFINED    1       3,870       0       0
QWEST COMMUNICATIONS INTL INC    COM               749121109     2,586      78,226 SH      OTHER      2      62,988       0  15,238
QWEST COMMUNICATIONS INTL INC    COM               749121109         8         244 SH      DEFINED    5         244       0       0
QWEST COMMUNICATIONS INTL INC    COM               749121109        49       1,488 SH      DEFINED    6       1,488       0       0
QWEST COMMUNICATIONS INTL INC    COM               749121109     1,389      42,000 SH      OTHER      9      42,000       0       0
QWEST COMMUNICATIONS INTL INC    COM               749121109        98       2,978 SH      DEFINED   10       2,352     626       0
QWEST COMMUNICATIONS INTL INC    COM               749121109        46       1,391 SH      DEFINED   11         791     600       0
R & B FALCON CORP                COM               74912E101         2         236 SH      OTHER      2           0       0     236
R & B FALCON CORP                COM               74912E101         1         150 SH      DEFINED    5         150       0       0
RCN CORP                         COM               749361101        15         364 SH      DEFINED    1         364       0       0
RCN CORP                         COM               749361101       593      14,257 SH      OTHER      2       7,908       0   6,349
RCN CORP                         COM               749361101       100       2,400 SH      DEFINED   10           0   2,400       0
RCN CORP                         COM               749361101        56       1,336 SH      DEFINED   11       1,336       0       0
RCM STRATEGIC GLOBAL GOVT FD     COM               74936A101        59       6,000 SH      OTHER      2           0       0   6,000
RFS HOTEL INVS INC               COM               74955J108        68       5,400 SH      DEFINED    1         400   5,000       0
RFS HOTEL INVS INC               COM               74955J108       153      12,200 SH      DEFINED    5      10,100   2,100       0
R H DONNELLEY CORP               COM NEW           74955W307        24       1,240 SH      DEFINED    1       1,240       0       0
R H DONNELLEY CORP               COM NEW           74955W307         9         440 SH      OTHER      2           0       0     440
R H DONNELLEY CORP               COM NEW           74955W307         4         220 SH      DEFINED    5         220       0       0
R H DONNELLEY CORP               COM NEW           74955W307        43       2,184 SH      DEFINED    6         624   1,560       0
R H DONNELLEY CORP               COM NEW           74955W307        27       1,360 SH      DEFINED   11         920     440       0
RLI CORP                         COM               749607107         7         186 SH      OTHER      2         186       0       0
RPM INC OHIO                     COM               749685103       449      31,619 SH      OTHER      2      27,244       0   4,375
RPM INC OHIO                     COM               749685103        12         850 SH      DEFINED    6         850       0       0
RF MICRODEVICES INC              OPTION            749941100       149          20 CALL    OTHER      2          20       0       0
RADIAN GROUP INC                 COM               750236101        12         256 SH      DEFINED    1          58     198       0
RADIAN GROUP INC                 COM               750236101     6,783     138,955 SH      OTHER      2     138,755       0     200
RADIAN GROUP INC                 COM               750236101         5         109 SH      DEFINED   10         109       0       0
RADIAN GROUP INC                 COM               750236101         5         103 SH      DEFINED   11         103       0       0
RADISYS CORP                     COM               750459109        22         555 SH      DEFINED    1           0     555       0
RAILTEX INC                      COM               750766107       258      18,600 SH      OTHER      2           0       0  18,600
RAINFOREST CAFE INC              COM               75086K104       104      20,529 SH      OTHER      2      20,529       0       0
RAINFOREST CAFE INC              COM               75086K104        76      15,000 SH      OTHER      9      15,000       0       0
RAMBUS INC DEL                   OPTION            750917106       184          20 CALL    OTHER      2          20       0       0
RALCORP HLDGS INC NEW            COM               751028101         0           1 SH      OTHER      2           1       0       0
RALSTON PURINA CO                COM RAL-PUR GP    751277302       293       9,626 SH      DEFINED    1       7,734   1,892       0
RALSTON PURINA CO                COM RAL-PUR GP    751277302     1,469      48,266 SH      OTHER      2      48,266       0       0
RALSTON PURINA CO                COM RAL-PUR GP    751277302        27         878 SH      DEFINED    5         878       0       0
RALSTON PURINA CO                COM RAL-PUR GP    751277302       135       4,427 SH      DEFINED    6       1,976   2,451       0
RALSTON PURINA CO                COM RAL-PUR GP    751277302       792      26,037 SH      OTHER      9      26,037       0       0
RALSTON PURINA CO                COM RAL-PUR GP    751277302       299       9,829 SH      DEFINED   10       4,682   5,147       0
RALSTON PURINA CO                COM RAL-PUR GP    751277302       162       5,317 SH      DEFINED   11       2,403   2,914       0
RAMCO-GERSHENSON PPTYS TR        COM SH BEN INT    751452202         2         115 SH      OTHER      2           0       0     115
RANGER OIL LTD                   COM               752805101       153      30,997 SH      OTHER      2      30,997       0       0
RANGE RES CORP                   COM               75281A109         4         730 SH      DEFINED    1         730       0       0
RANGE RES CORP                   COM               75281A109         5         774 SH      DEFINED   10         774       0       0
RANGE RES CORP                   COM               75281A109         5         784 SH      DEFINED   11         784       0       0
RARE HOSPITALITY INTL INC        COM               753820109        26       1,000 SH      OTHER      9       1,000       0       0
RATIONAL SOFTWARE CORP           COM NEW           75409P202     1,406      42,692 SH      OTHER      2      42,492       0     200
RATIONAL SOFTWARE CORP           COM NEW           75409P202       331      10,057 SH      OTHER      9      10,057       0       0
RATIONAL SOFTWARE CORP           COM NEW           75409P202         4         120 SH      DEFINED   11           0     120       0
RAYCHEM CORP DEL                 COM               754603108        81       2,200 SH      DEFINED    1       2,200       0       0
RAYCHEM CORP DEL                 COM               754603108       433      11,701 SH      OTHER      2      11,701       0       0
RAYCHEM CORP DEL                 COM               754603108       284       7,680 SH      OTHER      9       7,680       0       0
RAYCHEM CORP DEL                 COM               754603108         2          60 SH      DEFINED   11           0      60       0
RAYONIER INC                     COM               754907103        13         270 SH      DEFINED    1         270       0       0
RAYONIER INC                     COM               754907103       348       6,987 SH      OTHER      2       6,837       0     150
RAYONIER INC                     COM               754907103       133       2,665 SH      DEFINED    5       2,037     628       0
RAYONIER INC                     COM               754907103     3,442      69,105 SH      DEFINED    6         105  69,000       0
RAYONIER INC                     COM               754907103        45         900 SH      OTHER      9         900       0       0
RAYONIER INC                     COM               754907103         2          50 SH      DEFINED   11          50       0       0
RAYTEL MED CORP                  COM               755107109       289      62,500 SH      OTHER      1      62,500       0       0
RAYTEL MED CORP                  COM               755107109         7       1,545 SH      DEFINED    5       1,545       0       0
RAYTHEON CO                      OPTION            755111309        28           4 CALL    OTHER      2           4       0       0
RAYTHEON CO                      CL A              755111309        64         922 SH      DEFINED    1         430     492       0
RAYTHEON CO                      CL A              755111309        72       1,041 SH      OTHER      2         301       0     740
RAYTHEON CO                      CL A              755111309        70       1,017 SH      DEFINED    5         683     334       0
RAYTHEON CO                      CL A              755111309        37         542 SH      DEFINED    6         413     129       0
RAYTHEON CO                      CL A              755111309        18         255 SH      OTHER      9         255       0       0
RAYTHEON CO                      CL A              755111309        67         970 SH      DEFINED   10         121     849       0
RAYTHEON CO                      CL A              755111309        19         279 SH      DEFINED   11         141     138       0
RAYTHEON CO                      CL B              755111408       135       1,909 SH      DEFINED    1       1,509     400       0
RAYTHEON CO                      CL B              755111408    31,474     446,443 SH      OTHER      2     443,895       0   2,548
RAYTHEON CO                      CL B              755111408        13         190 SH      DEFINED    5         190       0       0
RAYTHEON CO                      CL B              755111408       244       3,465 SH      DEFINED    6       3,465       0       0
RAYTHEON CO                      CL B              755111408     1,570      22,276 SH      OTHER      9      22,276       0       0
RAYTHEON CO                      CL B              755111408        60         855 SH      DEFINED   10         685     170       0
RAYTHEON CO                      CL B              755111408       391       5,548 SH      DEFINED   11       2,298   3,250       0
READERS DIGEST ASSN INC          CL A NON VTG      755267101     1,389      34,949 SH      OTHER      2      26,449       0   8,500
READERS DIGEST ASSN INC          CL A NON VTG      755267101         2          60 SH      DEFINED   11           0      60       0
READING ENTMT INC                COM               755358108         0           6 SH      DEFINED    6           0       6       0
REALNETWORKS INC                 OPTION            75605L104        96          14 CALL    OTHER      2          14       0       0
REALNETWORKS INC                 OPTION            75605L104        34           5 PUT     OTHER      2           5       0       0
REALNETWORKS INC                 COM               75605L104     5,488      79,682 SH      OTHER      1      79,682       0       0
REALNETWORKS INC                 COM               75605L104         5          75 SH      OTHER      2          75       0       0
REALNETWORKS INC                 COM               75605L104       370       5,370 SH      OTHER      9       5,370       0       0
REALTY INCOME CORP               COM               756109104        19         781 SH      DEFINED    5         781       0       0
REALTY INCOME CORP               COM               756109104        24       1,000 SH      DEFINED    6           0   1,000       0
REALTY INCOME CORP               COM               756109104       214       9,000 SH      DEFINED   10           0   9,000       0
REALTY INFORMATION GROUP INC     COM               75612B107         4         100 SH      OTHER      2         100       0       0
RECKSON ASSOCS RLTY CORP         COM               75621K106        19         800 SH      DEFINED    1           0     800       0
RECKSON ASSOCS RLTY CORP         COM               75621K106    21,210     900,171 SH      OTHER      2     897,191       0   2,980
RECKSON ASSOCS RLTY CORP         COM               75621K106        16         700 SH      OTHER      9         700       0       0
RECKSON ASSOCS RLTY CORP         PFD CV SER A%     75621K205       563      24,700 SH      OTHER      2      24,700       0       0
RECKSON ASSOCS RLTY CORP         CL B              75621K304        20         836 SH      OTHER      2           0       0     836
RECKSON ASSOCS RLTY CORP         CL B              75621K304     4,987     208,890 SH      OTHER      9     208,890       0       0
RECOTON CORP                     COM               756268108        71       7,798 SH      OTHER      2       7,798       0       0
REEBOK INTL LTD                  OPTION            758110100     1,099         590 PUT     OTHER      2         590       0       0
REEBOK INTL LTD                  COM               758110100       715      38,391 SH      OTHER      2      28,791       0   9,600
REEBOK INTL LTD                  COM               758110100         8         423 SH      OTHER      9         423       0       0
REGAL BELOIT CORP                COM               758750103        35       1,500 SH      DEFINED   10       1,500       0       0
REGENERON PHARMACEUTICALS        COM               75886F107         8       1,000 SH      OTHER      2           0       0   1,000
REGIS CORP MINN                  COM               758932107         7         345 SH      DEFINED    1          78     267       0
REGIS CORP MINN                  COM               758932107        26       1,334 SH      OTHER      2           0       0   1,334
REGIS CORP MINN                  COM               758932107         3         144 SH      DEFINED   10         144       0       0
REGIS CORP MINN                  COM               758932107         3         138 SH      DEFINED   11         138       0       0
REGENCY RLTY CORP                COM               758939102     3,487     158,970 SH      OTHER      2     158,970       0       0
REGIONS FINL CORP                COM               758940100       150       3,900 SH      DEFINED    1       1,600   2,300       0
REGIONS FINL CORP                COM               758940100     1,310      34,075 SH      OTHER      2      33,139       0     936
REGIONS FINL CORP                COM               758940100       535      13,912 SH      OTHER      9      13,912       0       0
REGIONS FINL CORP                COM               758940100        65       1,680 SH      DEFINED   10           0   1,680       0
REGIONS FINL CORP                COM               758940100        46       1,200 SH      DEFINED   11           0   1,200       0
REINSURANCE GROUP AMER INC       COM               759351109        11         320 SH      DEFINED    1         320       0       0
REINSURANCE GROUP AMER INC       COM               759351109       441      12,500 SH      OTHER      2      12,500       0       0
REINSURANCE GROUP AMER INC       COM               759351109        12         341 SH      DEFINED   10         341       0       0
RELIANCE BANCORP INC             COM               759451107         3         100 SH      OTHER      2         100       0       0
RELIANCE GROUP HOLDINGS INC      COM               759464100        22       3,000 SH      OTHER      2           0       0   3,000
RELIANCE STEEL & ALUMINUM CO     COM               759509102         7         170 SH      DEFINED    1         170       0       0
RELIANCE STEEL & ALUMINUM CO     COM               759509102         8         198 SH      DEFINED   10         198       0       0
RELM WIRELESS CORP               COM               759525108         0          25 SH      DEFINED   11          25       0       0
RELIANT ENERGY INC               COM               75952J108       143       5,180 SH      DEFINED    1       3,680   1,500       0
RELIANT ENERGY INC               COM               75952J108     4,805     173,950 SH      OTHER      2     165,518       0   8,432
RELIANT ENERGY INC               COM               75952J108       184       6,645 SH      DEFINED    5       4,645   2,000       0
RELIANT ENERGY INC               COM               75952J108       113       4,098 SH      DEFINED    6       3,398     700       0
RELIANT ENERGY INC               COM               75952J108       477      17,252 SH      OTHER      9      17,252       0       0
RELIANT ENERGY INC               COM               75952J108        52       1,900 SH      DEFINED   10       1,900       0       0
RELIANT ENERGY INC               COM               75952J108        57       2,046 SH      DEFINED   11       1,622     424       0
RELIASTAR FINL CORP              COM               75952U103       985      22,507 SH      OTHER      2      22,507       0       0
REMEDY CORP                      OPTION            759548100         8           3 PUT     OTHER      2           3       0       0
REMEDY CORP                      COM               759548100     1,209      45,000 SH      OTHER      9      45,000       0       0
REMEDYTEMP INC                   CL A              759549108         4         320 SH      DEFINED    1         320       0       0
REMEDYTEMP INC                   CL A              759549108        52       3,851 SH      OTHER      2       3,851       0       0
REMEDYTEMP INC                   CL A              759549108         5         407 SH      DEFINED   10         407       0       0
RENAISSANCE WORLDWIDE INC        OPTION            75968A109         8          10 CALL    OTHER      2          10       0       0
RENAL CARE GROUP INC             COM               759930100         5         209 SH      DEFINED    1         209       0       0
RENAL CARE GROUP INC             COM               759930100         7         284 SH      DEFINED   10         284       0       0
RENTAL SERVICE CORP              COM               76009V102       104       3,628 SH      OTHER      2       3,628       0       0
REPSOL S A                       SPON ADR          76026T205       123       6,040 SH      DEFINED    1       4,765   1,275       0
REPSOL S A                       SPON ADR          76026T205     2,089     102,870 SH      OTHER      2      99,720       0   3,150
REPSOL S A                       SPON ADR          76026T205        88       4,320 SH      DEFINED    5       4,320       0       0
REPSOL S A                       SPON ADR          76026T205        40       1,965 SH      DEFINED    6       1,965       0       0
REPSOL S A                       SPON ADR          76026T205         0          20 SH      OTHER      9          20       0       0
REPSOL S A                       SPON ADR          76026T205        36       1,770 SH      DEFINED   10         555   1,215       0
REPSOL S A                       SPON ADR          76026T205       212      10,460 SH      DEFINED   11       8,045   2,415       0
REPUBLIC N Y CORP                COM               760719104        17         250 SH      DEFINED    1         250       0       0
REPUBLIC N Y CORP                COM               760719104    10,887     159,660 SH      OTHER      2     159,160       0     500
REPUBLIC N Y CORP                COM               760719104        68       1,000 SH      DEFINED    5         600     400       0
REPUBLIC N Y CORP                COM               760719104        14         200 SH      DEFINED    6           0     200       0
REPUBLIC N Y CORP                COM               760719104       445       6,531 SH      OTHER      9       6,531       0       0
REPUBLIC N Y CORP                COM               760719104        61         900 SH      DEFINED   11         900       0       0
REPUBLIC SVCS INC                CL A              760759100        25       1,005 SH      DEFINED    1         825     180       0
REPUBLIC SVCS INC                CL A              760759100     4,108     165,999 SH      OTHER      2          55       0 165,944
REPUBLIC SVCS INC                CL A              760759100         2          80 SH      DEFINED    5          80       0       0
REPUBLIC SVCS INC                CL A              760759100         2          80 SH      DEFINED    6           0      80       0
REPUBLIC SVCS INC                CL A              760759100         8         305 SH      DEFINED   10           0     305       0
REPUBLIC SVCS INC                CL A              760759100        12         482 SH      DEFINED   11           0     482       0
RESEARCH FRONTIERS INC           COM               760911107         7         750 SH      OTHER      2           0       0     750
RESEARCH FRONTIERS INC           COM               760911107        58       6,000 SH      DEFINED   10           0   6,000       0
RESEARCH IN MOTION LTD           COM               760975102     1,054      52,045 SH      OTHER      2      49,017       0   3,028
RESOURCE AMERICA INC             CL A              761195205       110       7,600 SH      OTHER      9       7,600       0       0
RESOURCE BANCSHARES MTG GROUP    COM               761197102        99       9,700 SH      OTHER      9       9,700       0       0
RESPIRONICS INC                  COM               761230101         9         600 SH      OTHER      2         600       0       0
REUTERS GROUP PLC                SPON ADR          76132M102       349       4,308 SH      OTHER      2       4,308       0       0
REUTERS GROUP PLC                SPON ADR          76132M102        89       1,104 SH      DEFINED    5       1,039      65       0
REUTERS GROUP PLC                SPON ADR          76132M102        60         737 SH      DEFINED    6         564     173       0
REUTERS GROUP PLC                SPON ADR          76132M102        49         600 SH      OTHER      9         600       0       0
REUTERS GROUP PLC                SPON ADR          76132M102        68         839 SH      DEFINED   11         320     519       0
REVENUE PPTYS LTD                COM NEW           761389402         0         244 SH      DEFINED    5           0     244       0
REVLON INC                       OPTION            761525500       182          60 CALL    OTHER      2          60       0       0
REXALL SUNDOWN INC               COM               761648104       104       8,556 SH      OTHER      2       8,556       0       0
REXALL SUNDOWN INC               COM               761648104        27       2,200 SH      OTHER      9       2,200       0       0
REXAM PLC                        ADR NEW           761655307         0          77 SH      OTHER      2          77       0       0
REYNOLDS & REYNOLDS CO           CL A              761695105       443      19,009 SH      OTHER      2      19,009       0       0
REYNOLDS & REYNOLDS CO           CL A              761695105        47       2,000 SH      DEFINED    6       2,000       0       0
REYNOLDS METALS CO               OPTION            761763101     1,593         270 CALL    OTHER      2         270       0       0
REYNOLDS METALS CO               COM               761763101         8         140 SH      DEFINED    1           0     140       0
REYNOLDS METALS CO               COM               761763101       613      10,390 SH      OTHER      2       9,690       0     700
REYNOLDS METALS CO               COM               761763101     2,419      40,996 SH      OTHER      9      40,996       0       0
REYNOLDS METALS CO               COM               761763101        59       1,000 SH      DEFINED   10           0   1,000       0
REYNOLDS METALS CO               COM               761763101        12         200 SH      DEFINED   11         200       0       0
REYNOLDS R J TOB HLDGS INC       COM               76182K105       547      17,243 SH      OTHER      2      11,219       0   6,024
REYNOLDS R J TOB HLDGS INC       COM               76182K105        27         853 SH      DEFINED    5         733     120       0
REYNOLDS R J TOB HLDGS INC       COM               76182K105         5         163 SH      DEFINED    6          13     150       0
REYNOLDS R J TOB HLDGS INC       COM               76182K105        63       1,978 SH      OTHER      9       1,978       0       0
RHONE POULENC S A                SPNSRD ADR A      762426609        98       2,120 SH      DEFINED    1       1,120   1,000       0
RHONE POULENC S A                SPNSRD ADR A      762426609         9         200 SH      OTHER      2           0       0     200
RHONE POULENC S A                SPNSRD ADR A      762426609        65       1,412 SH      DEFINED    5         300   1,112       0
RHONE POULENC S A                SPNSRD ADR A      762426609        14         300 SH      DEFINED    6         300       0       0
RHONE POULENC S A                SPNSRD ADR A      762426609       901      19,463 SH      OTHER      9      19,463       0       0
RHONE POULENC S A                SPNSRD ADR A      762426609       120       2,585 SH      DEFINED   10       2,585       0       0
RHONE POULENC S A                SPNSRD ADR A      762426609        84       1,820 SH      DEFINED   11         820   1,000       0
RHYTHMS NETCONNECTIONS INC       COM               762430205        50         863 SH      OTHER      2           0       0     863
RIBOZYME PHARMACEUTICALS INC     COM               762567105         4       1,000 SH      OTHER      2           0       0   1,000
RICHFOOD HLDGS INC               COM               763408101        63       3,600 SH      DEFINED    1           0   3,600       0
RICHFOOD HLDGS INC               COM               763408101       104       5,900 SH      OTHER      9       5,900       0       0
RICHMOND CNTY FINL CORP          COM               764556106        20       1,050 SH      OTHER      2           0       0   1,050
RIGGS NATL CORP WASH DC          COM               766570105         2         100 SH      OTHER      2         100       0       0
RIGHT MGMT CONSULTANTS INC       COM               766573109        11         730 SH      DEFINED   11         730       0       0
RISK CAP HLDGS INC               COM               767711104        18       1,300 SH      OTHER      2       1,300       0       0
RITE AID CORP                    OPTION            767754104     1,231         500 CALL    OTHER      2         500       0       0
RITE AID CORP                    COM               767754104        13         530 SH      DEFINED    1         480      50       0
RITE AID CORP                    COM               767754104     1,483      60,240 SH      OTHER      2      53,590       0   6,650
RITE AID CORP                    COM               767754104         3         139 SH      DEFINED    6         139       0       0
RITE AID CORP                    COM               767754104       509      20,671 SH      OTHER      9      20,671       0       0
RITE AID CORP                    COM               767754104        68       2,750 SH      DEFINED   10         345   2,405       0
ROADWAY EXPRESS INC DEL          COM               769742107        20       1,013 SH      OTHER      2       1,013       0       0
ROANOKE ELEC STL CORP            COM               769841107       166       9,538 SH      OTHER      2       9,538       0       0
ROANOKE GAS CO                   COM               769858101         6         300 SH      DEFINED   11         300       0       0
ROBERT HALF INTL INC             COM               770323103     2,486      96,310 SH      OTHER      2      22,675       0  73,635
ROBERTS PHARMACEUTICAL CORP      OPTION            770491108         5           2 CALL    OTHER      2           2       0       0
ROCHESTER GAS & ELEC CORP        COM               771367109        19         700 SH      DEFINED    1         700       0       0
ROCHESTER GAS & ELEC CORP        COM               771367109     2,588      97,450 SH      OTHER      2      97,450       0       0
ROCHESTER GAS & ELEC CORP        COM               771367109       152       5,731 SH      DEFINED    5       5,731       0       0
ROCHESTER GAS & ELEC CORP        COM               771367109       101       3,800 SH      OTHER      9       3,800       0       0
ROCKWELL INTL CORP NEW           OPTION            773903109        91          15 CALL    OTHER      2          15       0       0
ROCKWELL INTL CORP NEW           COM               773903109       406       6,687 SH      DEFINED    1       6,687       0       0
ROCKWELL INTL CORP NEW           COM               773903109     2,915      47,988 SH      OTHER      2      42,988       0   5,000
ROCKWELL INTL CORP NEW           COM               773903109       479       7,887 SH      DEFINED    5       1,922   5,965       0
ROCKWELL INTL CORP NEW           COM               773903109       340       5,600 SH      DEFINED    6       5,600       0       0
ROCKWELL INTL CORP NEW           COM               773903109       804      13,231 SH      OTHER      9      13,231       0       0
ROCKWELL INTL CORP NEW           COM               773903109        99       1,635 SH      DEFINED   10       1,635       0       0
ROCKWELL INTL CORP NEW           COM               773903109        76       1,250 SH      DEFINED   11         800     450       0
ROCKSHOX INC                     COM               774066104         0         100 SH      OTHER      2         100       0       0
ROCKSHOX INC                     COM               774066104         0         100 SH      DEFINED    6         100       0       0
ROGERS COMMUNICATIONS INC        CL B              775109200         1          42 SH      OTHER      1          42       0       0
ROGERS COMMUNICATIONS INC        CL B              775109200        16       1,000 SH      OTHER      2           0       0   1,000
ROGERS COMMUNICATIONS INC        CL B              775109200        89       5,500 SH      OTHER      9       5,500       0       0
ROGERS COMMUNICATIONS INC        DB CONV  2.00%05  775109AE1     9,378  13,025,000 PRN     OTHER      2  13,025,000       0       0
ROGERS CORP                      COM               775133101        35       1,170 SH      DEFINED   11       1,170       0       0
ROHM & HAAS CO                   COM               775371107       116       2,715 SH      DEFINED    1         915   1,800       0
ROHM & HAAS CO                   COM               775371107   152,113   3,547,824 SH      OTHER      2   3,546,249       0   1,575
ROHM & HAAS CO                   COM               775371107        81       1,880 SH      DEFINED    5           0   1,880       0
ROHM & HAAS CO                   COM               775371107        93       2,163 SH      DEFINED    6         363   1,800       0
ROHM & HAAS CO                   COM               775371107       592      13,817 SH      OTHER      9      13,817       0       0
ROHM & HAAS CO                   COM               775371107        92       2,143 SH      DEFINED   10       1,357     786       0
ROHM & HAAS CO                   COM               775371107       488      11,389 SH      DEFINED   11         478  10,911       0
ROHN INDS INC                    COM               775381106        34      24,794 SH      OTHER      2      24,794       0       0
ROLLINS INC                      COM               775711104       119       7,489 SH      OTHER      2       7,489       0       0
ROLLINS INC                      COM               775711104         5         334 SH      DEFINED   11         334       0       0
ROPER INDS INC NEW               COM               776696106         7         220 SH      DEFINED    1         220       0       0
ROPER INDS INC NEW               COM               776696106         8         262 SH      DEFINED   10         262       0       0
ROSLYN BANCORP INC               COM               778162107       154       8,940 SH      OTHER      2       8,940       0       0
ROSLYN BANCORP INC               COM               778162107        78       4,545 SH      OTHER      9       4,545       0       0
ROSS STORES INC                  COM               778296103        24         483 SH      DEFINED    1         341     142       0
ROSS STORES INC                  COM               778296103     1,303      25,870 SH      OTHER      2      15,225       0  10,645
ROSS STORES INC                  COM               778296103         5         102 SH      DEFINED    5         102       0       0
ROSS STORES INC                  COM               778296103         9         176 SH      DEFINED   10         176       0       0
ROSS STORES INC                  COM               778296103        43         852 SH      DEFINED   11         552     300       0
ROUSE CO                         COM               779273101    25,650   1,010,836 SH      OTHER      2   1,010,836       0       0
ROUSE CO                         PFD CONV SER B    779273309         3          80 SH      DEFINED    5          80       0       0
ROWAN COS INC                    COM               779382100        21       1,150 SH      DEFINED    1       1,150       0       0
ROWAN COS INC                    COM               779382100       603      33,032 SH      OTHER      2      11,994       0  21,038
ROWAN COS INC                    COM               779382100         6         319 SH      DEFINED    5         319       0       0
ROWAN COS INC                    COM               779382100       386      21,164 SH      OTHER      9      21,164       0       0
ROWAN COS INC                    COM               779382100         7         366 SH      DEFINED   10         366       0       0
ROWAN COS INC                    COM               779382100        49       2,700 SH      DEFINED   11       1,700   1,000       0
ROWE COS                         COM               779528108       219      20,992 SH      OTHER      2      20,992       0       0
ROYAL GROUP TECHNOLOGIES LTD     SUB VTG SH        779915107         1          28 SH      OTHER      1          28       0       0
ROYAL BK CDA MONTREAL QUE        COM               780087102       914      20,600 SH      OTHER      1      20,600       0       0
ROYAL BK CDA MONTREAL QUE        COM               780087102       578      13,031 SH      OTHER      2      13,031       0       0
ROYAL BK SCOTLAND GROUP PLC      SP ADR B PREF     780097309       223       8,600 SH      DEFINED    5         100   8,500       0
ROYAL BK SCOTLAND GROUP PLC      SP ADR PREF C     780097408        10         400 SH      DEFINED    1         400       0       0
ROYAL BK SCOTLAND GROUP PLC      SP ADR PREF C     780097408        21         800 SH      OTHER      2           0       0     800
ROYAL BK SCOTLAND GROUP PLC      SP ADR PREF C     780097408       143       5,500 SH      DEFINED    5       1,100   4,400       0
ROYAL BK SCOTLAND GROUP PLC      SP ADR PREF9.125  780097606        13         500 SH      DEFINED    1         500       0       0
ROYAL BK SCOTLAND GROUP PLC      SP ADR PREF9.125  780097606       122       4,700 SH      DEFINED    5         500   4,200       0
ROYAL BK SCOTLAND GROUP PLC      SPN ADR PREF E    780097705         5         200 SH      DEFINED    5         200       0       0
ROYAL BK SCOTLAND GROUP PLC      SPN ADR PREF E    780097705        52       2,000 SH      DEFINED    6       2,000       0       0
ROYAL BK SCOTLAND GROUP PLC      SPONS ADR F       780097804        25       1,000 SH      DEFINED    6       1,000       0       0
ROYAL BK SCOTLAND GROUP PLC      SPONS ADR F       780097804        33       1,300 SH      DEFINED   10           0   1,300       0
ROYAL BK SCOTLAND GROUP PLC      SPONS ADR F       780097804       126       5,000 SH      DEFINED   11       1,000   4,000       0
ROYAL BK SCOTLAND GROUP PLC      SPND ADR SER H    780097879        37       1,600 SH      DEFINED    1           0   1,600       0
ROYAL BK SCOTLAND GROUP PLC      SPONSORD ADR G    780097887        19         800 SH      DEFINED    5           0     800       0
ROYAL DUTCH PETE CO              OPTION            780257804        12           2 CALL    OTHER      2           2       0       0
ROYAL DUTCH PETE CO              NY REG GLD1.25    780257804     5,691      94,455 SH      DEFINED    1      72,290  22,165       0
ROYAL DUTCH PETE CO              NY REG GLD1.25    780257804   240,458   3,990,998 SH      OTHER      2   3,956,010       0  34,988
ROYAL DUTCH PETE CO              NY REG GLD1.25    780257804        24         400 SH      OTHER      4           0       0     400
ROYAL DUTCH PETE CO              NY REG GLD1.25    780257804     8,742     145,090 SH      DEFINED    5      97,376  47,714       0
ROYAL DUTCH PETE CO              NY REG GLD1.25    780257804     6,328     105,036 SH      DEFINED    6      82,463  22,573       0
ROYAL DUTCH PETE CO              NY REG GLD1.25    780257804     5,175      85,896 SH      DEFINED   10      54,848  31,048       0
ROYAL DUTCH PETE CO              NY REG GLD1.25    780257804     4,706      78,103 SH      DEFINED   11      53,223  24,880       0
ROYAL PTT NEDERLAND N V          SPON ADR          780641205     8,757     182,438 SH      OTHER      2     181,508       0     930
ROYCE VALUE TR INC               COM               780910105        83       6,267 SH      OTHER      2           0       0   6,267
ROYCE VALUE TR INC               COM               780910105        35       2,617 SH      DEFINED   11       2,617       0       0
ROYCE MICRO-CAP TR INC           COM               780915104        16       1,841 SH      DEFINED    1       1,841       0       0
RUBY TUESDAY INC                 COM               781182100        29       1,505 SH      OTHER      2       1,505       0       0
RUDDICK CORP                     COM               781258108       229      11,469 SH      OTHER      2      11,469       0       0
RUDDICK CORP                     COM               781258108        12         600 SH      DEFINED   11         600       0       0
RURAL / METRO CORP               COM               781748108       105      10,955 SH      OTHER      2      10,955       0       0
RUSSELL CORP                     COM               782352108         5         249 SH      DEFINED    1         249       0       0
RUSSELL CORP                     COM               782352108       109       5,609 SH      OTHER      2       5,009       0     600
RUSSELL CORP                     COM               782352108        40       2,070 SH      OTHER      9       2,070       0       0
RYANS FAMILY STEAK HOUSE INC     COM               783519101         5         446 SH      DEFINED    1          99     347       0
RYANS FAMILY STEAK HOUSE INC     COM               783519101         7         629 SH      OTHER      2         629       0       0
RYANS FAMILY STEAK HOUSE INC     COM               783519101       101       8,700 SH      OTHER      9       8,700       0       0
RYANS FAMILY STEAK HOUSE INC     COM               783519101         2         188 SH      DEFINED   10         188       0       0
RYANS FAMILY STEAK HOUSE INC     COM               783519101         2         179 SH      DEFINED   11         179       0       0
RYDER SYS INC                    COM               783549108     3,191     123,921 SH      OTHER      2     123,921       0       0
RYDER SYS INC                    COM               783549108         3         100 SH      DEFINED    5         100       0       0
RYDER SYS INC                    COM               783549108       111       4,293 SH      OTHER      9       4,293       0       0
RYERSON TULL INC NEW             COM               78375P107       140       6,219 SH      OTHER      2       6,219       0       0
RYERSON TULL INC NEW             COM               78375P107       108       4,800 SH      OTHER      9       4,800       0       0
RYLAND GROUP INC                 COM               783764103       113       3,800 SH      OTHER      9       3,800       0       0
SBC COMMUNICATIONS INC           OPTION            78387G103       400          69 CALL    OTHER      2          69       0       0
SBC COMMUNICATIONS INC           COM               78387G103    12,984     223,854 SH      DEFINED    1     174,449  49,405       0
SBC COMMUNICATIONS INC           COM               78387G103   526,088   9,070,486 SH      OTHER      2   9,025,794       0  44,692
SBC COMMUNICATIONS INC           COM               78387G103    21,242     366,243 SH      DEFINED    5     257,197 109,046       0
SBC COMMUNICATIONS INC           COM               78387G103    10,424     179,720 SH      DEFINED    6     137,874  41,846       0
SBC COMMUNICATIONS INC           COM               78387G103        76       1,316 SH      OTHER      9       1,316       0       0
SBC COMMUNICATIONS INC           COM               78387G103    11,984     206,629 SH      DEFINED   10     170,233  36,396       0
SBC COMMUNICATIONS INC           COM               78387G103    10,420     179,654 SH      DEFINED   11     137,259  42,395       0
SCB COMPUTER TECHNOLOGY INC      COM               78388N107         4         815 SH      DEFINED    1           0     815       0
SCB COMPUTER TECHNOLOGY INC      COM               78388N107        46       8,779 SH      OTHER      2       8,779       0       0
SCI SYS INC                      OPTION            783890106        14           3 CALL    OTHER      2           3       0       0
SCI SYS INC                      COM               783890106     1,302      27,487 SH      OTHER      2      27,487       0       0
SCI SYS INC                      COM               783890106       521      11,000 SH      DEFINED    6      11,000       0       0
SCI SYS INC                      COM               783890106       308       6,507 SH      OTHER      9       6,507       0       0
SDL INC                          COM               784076101         8         160 SH      OTHER      2         160       0       0
SEI INVESTMENTS CO               COM               784117103       194       2,200 SH      OTHER      2       2,200       0       0
SEMCO ENERGY INC                 COM               78412D109        24       1,544 SH      DEFINED    1       1,544       0       0
SFX ENTMT INC                    CL A              784178105         5          80 SH      DEFINED    1          80       0       0
SFX ENTMT INC                    CL A              784178105        16         244 SH      OTHER      2           0       0     244
SFX ENTMT INC                    CL A              784178105         7         103 SH      DEFINED   10         103       0       0
SKF AB                           SPONSR ADR PAR    784375404        43       2,350 SH      DEFINED    1       2,350       0       0
SKF AB                           SPONSR ADR PAR    784375404       111       5,977 SH      OTHER      2       5,977       0       0
SKF AB                           SPONSR ADR PAR    784375404        10         550 SH      DEFINED    5         550       0       0
SKF AB                           SPONSR ADR PAR    784375404        43       2,300 SH      DEFINED    6       2,300       0       0
SKF AB                           SPONSR ADR PAR    784375404        65       3,500 SH      DEFINED   11       3,000     500       0
SK TELECOM LTD                   SPON ADR          78440P108        72       4,245 SH      OTHER      4           0       0   4,245
SK TELECOM LTD                   SPON ADR          78440P108         2         106 SH      DEFINED    6         106       0       0
SK TELECOM LTD                   SPON ADR          78440P108         7         439 SH      DEFINED   10         274     165       0
SK TELECOM LTD                   SPON ADR          78440P108         1          47 SH      DEFINED   11          47       0       0
SL GREEN RLTY CORP               COM               78440X101     5,837     285,610 SH      OTHER      2     285,610       0       0
SLM HLDG CORP                    COM               78442A109       254       5,551 SH      DEFINED    1       5,051     500       0
SLM HLDG CORP                    COM               78442A109     5,189     113,273 SH      OTHER      2     112,573       0     700
SLM HLDG CORP                    COM               78442A109       102       2,235 SH      DEFINED    5       2,235       0       0
SLM HLDG CORP                    COM               78442A109        93       2,026 SH      DEFINED    6       2,026       0       0
SLM HLDG CORP                    COM               78442A109     5,044     110,113 SH      OTHER      9     110,113       0       0
SLM HLDG CORP                    COM               78442A109       331       7,230 SH      DEFINED   10       6,145   1,085       0
SLM HLDG CORP                    COM               78442A109        37         800 SH      DEFINED   11         800       0       0
SLI INC                          COM               78442T108         5         199 SH      DEFINED    1           0     199       0
SM&A CORP                        COM               784432106        21       2,764 SH      OTHER      2       2,764       0       0
SPS TECHNOLOGIES INC             COM               784626103        11         295 SH      DEFINED   11         295       0       0
SPDR TR                          UNIT SER 1        78462F103    34,065     248,653 SH      OTHER      2     239,000       0   9,653
SPDR TR                          UNIT SER 1        78462F103        27         200 SH      DEFINED    6           0     200       0
SPDR TR                          UNIT SER 1        78462F103       116         850 SH      DEFINED   11         850       0       0
SOS STAFFING SVCS INC            COM               78462X104         1         285 SH      DEFINED    1           0     285       0
SOS STAFFING SVCS INC            COM               78462X104        45       8,627 SH      OTHER      2       8,627       0       0
SPX CORP                         COM               784635104        61         728 SH      DEFINED    1         528     200       0
SPX CORP                         COM               784635104     2,988      35,785 SH      OTHER      2      12,648       0  23,137
SPX CORP                         COM               784635104       438       5,250 SH      DEFINED    5           0   5,250       0
SPX CORP                         COM               784635104        46         545 SH      DEFINED    6           0     545       0
SPX CORP                         COM               784635104         6          67 SH      DEFINED   10          67       0       0
SPX CORP                         COM               784635104        36         437 SH      DEFINED   11         437       0       0
S3 INC                           COM               784849101         3         300 SH      OTHER      2         300       0       0
SPR INC                          COM               784922106        31       5,874 SH      OTHER      2       5,874       0       0
SABINE ROYALTY TR                UNIT BEN INT      785688102        14       1,000 SH      DEFINED    1           0   1,000       0
SAFECO CORP                      COM               786429100       294       6,660 SH      DEFINED    1       6,660       0       0
SAFECO CORP                      COM               786429100     2,270      51,447 SH      OTHER      2      41,892       0   9,555
SAFECO CORP                      COM               786429100       132       3,000 SH      DEFINED    5       3,000       0       0
SAFECO CORP                      COM               786429100        71       1,620 SH      DEFINED    6       1,620       0       0
SAFECO CORP                      COM               786429100       373       8,464 SH      OTHER      9       8,464       0       0
SAFECO CORP                      COM               786429100        66       1,495 SH      DEFINED   10         565     930       0
SAFECO CORP                      COM               786429100        37         845 SH      DEFINED   11         845       0       0
SAFEGUARD SCIENTIFICS INC        OPTION            786449108        19           3 CALL    OTHER      2           3       0       0
SAFEGUARD SCIENTIFICS INC        COM               786449108        13         201 SH      OTHER      2           1       0     200
SAFEGUARD SCIENTIFICS INC        COM               786449108        76       1,200 SH      OTHER      9       1,200       0       0
SAFESKIN CORP                    COM               786454108         4         298 SH      OTHER      2          98       0     200
SAFETY-KLEEN CORP NEW            COM NEW           78648R203         6         350 SH      DEFINED    1         350       0       0
SAFETY-KLEEN CORP NEW            COM NEW           78648R203         0           6 SH      OTHER      2           6       0       0
SAFETY-KLEEN CORP NEW            COM NEW           78648R203        34       1,900 SH      OTHER      9       1,900       0       0
SAFETY-KLEEN CORP NEW            COM NEW           78648R203         7         396 SH      DEFINED   10         396       0       0
SAFEWAY INC                      OPTION            786514208        15           3 CALL    OTHER      2           3       0       0
SAFEWAY INC                      COM NEW           786514208       145       2,925 SH      DEFINED    1       2,925       0       0
SAFEWAY INC                      COM NEW           786514208    15,522     313,569 SH      OTHER      2     167,075       0 146,494
SAFEWAY INC                      COM NEW           786514208        15         298 SH      DEFINED    5         298       0       0
SAFEWAY INC                      COM NEW           786514208        34         678 SH      DEFINED    6         678       0       0
SAFEWAY INC                      COM NEW           786514208       114       2,300 SH      OTHER      9       2,300       0       0
SAFEWAY INC                      COM NEW           786514208       501      10,112 SH      DEFINED   10       4,118   5,994       0
SAFEWAY INC                      COM NEW           786514208        83       1,668 SH      DEFINED   11         768     900       0
ST HELENA GOLD MINES LTD         ADR               789670205        35      13,362 SH      OTHER      2      13,362       0       0
ST JOE CO                        COM               790148100       112       4,152 SH      OTHER      2           2       0   4,150
ST JOHN KNITS INC                COM               790289102         0           4 SH      OTHER      2           4       0       0
ST JOHN KNITS INC                COM               790289102        59       2,000 SH      DEFINED    6       2,000       0       0
ST JUDE MED INC                  COM               790849103       509      14,287 SH      OTHER      2      12,287       0   2,000
ST JUDE MED INC                  COM               790849103       239       6,715 SH      OTHER      9       6,715       0       0
ST MARY LD & EXPL CO             COM               792228108        10         470 SH      DEFINED   10         470       0       0
ST PAUL BANCORP INC              COM               792848103        38       1,500 SH      OTHER      2       1,500       0       0
ST PAUL COS INC                  COM               792860108     1,096      34,440 SH      DEFINED    1      32,665   1,775       0
ST PAUL COS INC                  COM               792860108     1,400      43,996 SH      OTHER      2      43,914       0      82
ST PAUL COS INC                  COM               792860108       453      14,239 SH      DEFINED    5       8,539   5,700       0
ST PAUL COS INC                  COM               792860108       656      20,621 SH      DEFINED    6      19,596   1,025       0
ST PAUL COS INC                  COM               792860108       447      14,050 SH      OTHER      9      14,050       0       0
ST PAUL COS INC                  COM               792860108       489      15,375 SH      DEFINED   10      15,375       0       0
ST PAUL COS INC                  COM               792860108     1,038      32,625 SH      DEFINED   11      30,875   1,750       0
SAKS INC                         COM               79377W108        11         392 SH      DEFINED    1         117     275       0
SAKS INC                         COM               79377W108     2,058      71,267 SH      OTHER      2      35,239       0  36,028
SAKS INC                         COM               79377W108        48       1,675 SH      DEFINED    5           0   1,675       0
SAKS INC                         COM               79377W108        12         424 SH      DEFINED    6         424       0       0
SAKS INC                         COM               79377W108         7         248 SH      DEFINED   10         248       0       0
SAKS INC                         COM               79377W108        17         597 SH      DEFINED   11         447     150       0
SALOMON BROTHERS FD INC          COM               795477108        49       2,484 SH      DEFINED    1       2,484       0       0
SALOMON BROTHERS FD INC          COM               795477108         0           2 SH      OTHER      2           2       0       0
SALOMON BROTHERS FD INC          COM               795477108        16         818 SH      DEFINED    6           0     818       0
SALOMON BROTHERS FD INC          COM               795477108         7         339 SH      DEFINED   10         339       0       0
SALOMON BROS WORLDWIDE INCOME    COM               79548T109        65       5,400 SH      DEFINED    5         400   5,000       0
SALTON INC                       COM               795757103       140       2,800 SH      OTHER      9       2,800       0       0
SAMSONITE CORP NEW               COM               79604V105         2         400 SH      DEFINED    1         400       0       0
SAMSONITE CORP NEW               COM               79604V105        57      11,476 SH      OTHER      2      10,869       0     607
SANDERSON FARMS INC              COM               800013104         7         465 SH      DEFINED   11         465       0       0
SANDISK CORP                     COM               80004C101        93       2,058 SH      OTHER      2       1,058       0   1,000
SANMINA CORP                     OPTION            800907107     1,897         250 CALL    OTHER      2         250       0       0
SANMINA CORP                     COM               800907107        49         646 SH      DEFINED    1         479     167       0
SANMINA CORP                     COM               800907107    10,102     133,135 SH      OTHER      2     133,135       0       0
SANMINA CORP                     COM               800907107         8         112 SH      DEFINED    5         112       0       0
SANMINA CORP                     COM               800907107       749       9,867 SH      OTHER      9       9,867       0       0
SANMINA CORP                     COM               800907107        21         277 SH      DEFINED   10         277       0       0
SANMINA CORP                     COM               800907107        98       1,287 SH      DEFINED   11         987     300       0
SANGSTAT MED CORP                COM               801003104       794      46,055 SH      OTHER      2      46,055       0       0
SANTA FE SNYDER CORP             COM               80218K105         3         340 SH      DEFINED    1         340       0       0
SANTA FE SNYDER CORP             COM               80218K105       583      72,847 SH      OTHER      2      61,847       0  11,000
SANTA FE SNYDER CORP             COM               80218K105         1         116 SH      DEFINED    5           0     116       0
SANTA FE SNYDER CORP             COM               80218K105         4         453 SH      DEFINED   10         453       0       0
SANYO ELEC LTD                   ADR 5 COM         803038306        29       1,390 SH      OTHER      2       1,390       0       0
SAP AKTIENGESELLSCHAFT           SPON ADR          803054204        31         895 SH      DEFINED    1         615     280       0
SAP AKTIENGESELLSCHAFT           SPON ADR          803054204     2,028      58,563 SH      OTHER      2      56,163       0   2,400
SAP AKTIENGESELLSCHAFT           SPON ADR          803054204         1          25 SH      DEFINED    5          25       0       0
SAP AKTIENGESELLSCHAFT           SPON ADR          803054204         4         128 SH      DEFINED    6         128       0       0
SAP AKTIENGESELLSCHAFT           SPON ADR          803054204         6         174 SH      OTHER      9         174       0       0
SAP AKTIENGESELLSCHAFT           SPON ADR          803054204        18         531 SH      DEFINED   10         332     199       0
SAP AKTIENGESELLSCHAFT           SPON ADR          803054204        27         782 SH      DEFINED   11         212     570       0
SAPIENT CORP                     OPTION            803062108        91          16 PUT     OTHER      2          16       0       0
SAPIENT CORP                     COM               803062108        51         900 SH      DEFINED    1         900       0       0
SAPIENT CORP                     COM               803062108        68       1,200 SH      OTHER      2       1,200       0       0
SAPIENT CORP                     COM               803062108       204       3,600 SH      OTHER      9       3,600       0       0
SAPIENT CORP                     COM               803062108         3          45 SH      DEFINED   10          45       0       0
SAPPI LTD                        SPNSR ADR NEW     803069202         9         127 SH      OTHER      2         127       0       0
SARA LEE CORP                    COM               803111103       408      18,000 SH      DEFINED    1      16,800   1,200       0
SARA LEE CORP                    COM               803111103    32,650   1,439,141 SH      OTHER      2   1,409,775       0  29,366
SARA LEE CORP                    COM               803111103       785      34,592 SH      DEFINED    5      31,628   2,964       0
SARA LEE CORP                    COM               803111103       136       6,000 SH      DEFINED    6       4,800   1,200       0
SARA LEE CORP                    COM               803111103     1,619      71,365 SH      OTHER      9      71,365       0       0
SARA LEE CORP                    COM               803111103       861      37,950 SH      DEFINED   10      34,400   3,550       0
SARA LEE CORP                    COM               803111103       451      19,900 SH      DEFINED   11       6,100  13,800       0
SAUCONY INC                      CL B              804120202       113       5,000 SH      OTHER      2           0       0   5,000
SAUL CTRS INC                    COM               804395101         8         500 SH      OTHER      2           0       0     500
SAVILLE SYS PLC                  SPON ADR          805174109       163      11,263 SH      OTHER      2       9,263       0   2,000
SBARRO INC                       COM               805844107       138       5,116 SH      OTHER      2       5,116       0       0
SCANA CORP                       COM               805898103       278      11,910 SH      DEFINED    1       9,180   2,730       0
SCANA CORP                       COM               805898103       598      25,569 SH      OTHER      2      25,569       0       0
SCANA CORP                       COM               805898103       256      10,964 SH      DEFINED    5       9,544   1,420       0
SCANA CORP                       COM               805898103        40       1,700 SH      DEFINED    6       1,700       0       0
SCANA CORP                       COM               805898103       103       4,400 SH      DEFINED   10       4,400       0       0
SCANA CORP                       COM               805898103        16         700 SH      DEFINED   11         700       0       0
SBS BROADCASTING SA              SB DB CV 7.25%05  805906AA2       270     252,000 PRN     OTHER      2     252,000       0       0
SCHEIN HENRY INC                 COM               806407102        22         700 SH      OTHER      2         700       0       0
SCHERING PLOUGH CORP             OPTION            806605101       137          26 CALL    OTHER      2          26       0       0
SCHERING PLOUGH CORP             COM               806605101     7,770     148,000 SH      DEFINED    1     122,858  25,142       0
SCHERING PLOUGH CORP             COM               806605101    46,136     878,787 SH      OTHER      2     709,606       0 169,181
SCHERING PLOUGH CORP             COM               806605101    15,383     293,000 SH      OTHER      4           0       0 293,000
SCHERING PLOUGH CORP             COM               806605101     5,236      99,731 SH      DEFINED    5      74,571  25,160       0
SCHERING PLOUGH CORP             COM               806605101     8,964     170,750 SH      DEFINED    6     133,623  37,127       0
SCHERING PLOUGH CORP             COM               806605101    15,066     286,975 SH      OTHER      9     286,975       0       0
SCHERING PLOUGH CORP             COM               806605101     2,541      48,399 SH      DEFINED   10      35,902  12,497       0
SCHERING PLOUGH CORP             COM               806605101     7,850     149,527 SH      DEFINED   11     121,842  27,685       0
SCHLUMBERGER LTD                 OPTION            806857108    35,270       5,538 CALL    OTHER      2       5,538       0       0
SCHLUMBERGER LTD                 COM               806857108    10,203     160,209 SH      DEFINED    1     128,107  32,102       0
SCHLUMBERGER LTD                 COM               806857108       162       2,545 SH      OTHER      1       2,545       0       0
SCHLUMBERGER LTD                 COM               806857108    15,794     248,000 SH      OTHER      2     223,315       0  24,685
SCHLUMBERGER LTD                 COM               806857108     9,197     144,410 SH      DEFINED    5     114,702  29,708       0
SCHLUMBERGER LTD                 COM               806857108     7,773     122,047 SH      DEFINED    6      80,299  41,748       0
SCHLUMBERGER LTD                 COM               806857108     1,942      30,500 SH      OTHER      9      30,500       0       0
SCHLUMBERGER LTD                 COM               806857108     7,127     111,913 SH      DEFINED   10      92,871  19,042       0
SCHLUMBERGER LTD                 COM               806857108     4,331      67,998 SH      DEFINED   11      53,640  14,358       0
SCHNITZER STL INDS               CL A              806882106        86       3,811 SH      OTHER      2       3,811       0       0
SCHOLASTIC CORP                  COM               807066105       244       4,814 SH      OTHER      2       4,014       0     800
SCHOLASTIC CORP                  COM               807066105        12         230 SH      DEFINED   11         230       0       0
SCHOOL SPECIALTY INC             COM               807863105         4         255 SH      DEFINED    6         255       0       0
SCHULMAN A INC                   COM               808194104       136       7,888 SH      OTHER      2       7,888       0       0
SCHULMAN A INC                   COM               808194104        27       1,600 SH      OTHER      9       1,600       0       0
SCHULMAN A INC                   COM               808194104        21       1,240 SH      DEFINED   10       1,240       0       0
SCHWAB CHARLES CORP NEW          OPTION            808513105     1,493         137 CALL    OTHER      2         137       0       0
SCHWAB CHARLES CORP NEW          OPTION            808513105       327          30 PUT     OTHER      2          30       0       0
SCHWAB CHARLES CORP NEW          COM               808513105        22         200 SH      DEFINED    1         200       0       0
SCHWAB CHARLES CORP NEW          COM               808513105     8,208      75,306 SH      OTHER      2      74,306       0   1,000
SCHWAB CHARLES CORP NEW          COM               808513105       128       1,178 SH      DEFINED    5       1,178       0       0
SCHWAB CHARLES CORP NEW          COM               808513105     2,763      25,345 SH      OTHER      9      25,345       0       0
SCHWAB CHARLES CORP NEW          COM               808513105         7          61 SH      DEFINED   10          61       0       0
SCHWAB CHARLES CORP NEW          COM               808513105        43         398 SH      DEFINED   11         233     165       0
SCHWEITZER-MAUDUIT INTL INC      COM               808541106         0          20 SH      DEFINED    5           0      20       0
SCIENTIFIC ATLANTA INC           COM               808655104     5,268     146,330 SH      OTHER      2     136,330       0  10,000
SCIENTIFIC ATLANTA INC           COM               808655104       167       4,651 SH      OTHER      9       4,651       0       0
SCIENTIFIC GAMES HLDGS CORP      COM               808747109         6         300 SH      DEFINED   11         300       0       0
SCIOS INC                        COM               808905103       102      31,339 SH      OTHER      2      31,339       0       0
SCITEX LTD                       ORD               809090103        44       4,356 SH      OTHER      2       4,356       0       0
SCOOT COM PLC                    SPON ADR          809141104         0          20 SH      OTHER      2          20       0       0
SCOTTS CO                        CL A              810186106        25         517 SH      OTHER      2         517       0       0
SCUDDER NEW EUROPE FD INC        COM               810905109        93       4,502 SH      OTHER      2           0       0   4,502
SCUDDER NEW ASIA FD INC          COM               811183102        59       4,000 SH      OTHER      2           0       0   4,000
SEA CONTAINERS LTD               CL A              811371707        27         800 SH      OTHER      2           0       0     800
SEA CONTAINERS LTD               CL A              811371707       104       3,100 SH      OTHER      9       3,100       0       0
SEACOAST BKG CORP FLA            CL A              811707108        61       2,000 SH      DEFINED    5       2,000       0       0
SEAGATE TECHNOLOGY               OPTION            811804103       282         110 PUT     OTHER      2         110       0       0
SEAGATE TECHNOLOGY               COM               811804103       233       9,109 SH      DEFINED    1       7,348   1,761       0
SEAGATE TECHNOLOGY               COM               811804103     1,816      70,859 SH      OTHER      2      69,859       0   1,000
SEAGATE TECHNOLOGY               COM               811804103        18         689 SH      DEFINED    5         689       0       0
SEAGATE TECHNOLOGY               COM               811804103        42       1,657 SH      DEFINED    6       1,657       0       0
SEAGATE TECHNOLOGY               COM               811804103       602      23,502 SH      OTHER      9      23,502       0       0
SEAGATE TECHNOLOGY               COM               811804103       200       7,803 SH      DEFINED   10       7,803       0       0
SEAGATE TECHNOLOGY               COM               811804103        70       2,726 SH      DEFINED   11           0   2,726       0
SEAGRAM JOSEPH E & SONS INC      LYON CV  ZERO 06  811845AH9        49      55,000 PRN     OTHER      2           0       0  55,000
SEAGRAM LTD                      OPTION            811850106        50          10 CALL    OTHER      2          10       0       0
SEAGRAM LTD                      OPTION            811850106        50          10 PUT     OTHER      2          10       0       0
SEAGRAM LTD                      COM               811850106       756      15,000 SH      DEFINED    1      15,000       0       0
SEAGRAM LTD                      COM               811850106       202       4,000 SH      OTHER      1       4,000       0       0
SEAGRAM LTD                      COM               811850106    11,120     220,748 SH      OTHER      2     140,848       0  79,900
SEAGRAM LTD                      COM               811850106        15         300 SH      DEFINED    6           0     300       0
SEAGRAM LTD                      COM               811850106     2,959      58,742 SH      OTHER      9      58,742       0       0
SEAGRAM LTD                      COM               811850106        61       1,205 SH      DEFINED   10         205   1,000       0
SEAGRAM LTD                      COM               811850106        23         448 SH      DEFINED   11         448       0       0
SEAGRAM LTD                      PFD ADJ CV SEC    811850205     5,006     101,000 SH      OTHER      2     101,000       0       0
SEAGRAM LTD                      PFD ADJ CV SEC    811850205        14         285 SH      DEFINED    5         285       0       0
SEACOR SMIT INC                  COM               811904101        21         400 SH      OTHER      9         400       0       0
SEACOR SMIT INC                  SUBNTCV 5.375%06  811904AE1        10      10,000 PRN     OTHER      2      10,000       0       0
SEALED AIR CORP NEW              COM               81211K100       120       1,857 SH      DEFINED    1       1,857       0       0
SEALED AIR CORP NEW              COM               81211K100       790      12,181 SH      OTHER      2      12,117       0      64
SEALED AIR CORP NEW              COM               81211K100        28         424 SH      DEFINED    5         424       0       0
SEALED AIR CORP NEW              COM               81211K100        50         775 SH      DEFINED    6         536     239       0
SEALED AIR CORP NEW              COM               81211K100       352       5,432 SH      OTHER      9       5,432       0       0
SEALED AIR CORP NEW              COM               81211K100        21         326 SH      DEFINED   10         326       0       0
SEALED AIR CORP NEW              COM               81211K100        67       1,030 SH      DEFINED   11         600     430       0
SEALED AIR CORP NEW              PFD CV A $2       81211K209         6          95 SH      DEFINED    1          95       0       0
SEALED AIR CORP NEW              PFD CV A $2       81211K209     3,327      53,226 SH      OTHER      2      53,169       0      57
SEALED AIR CORP NEW              PFD CV A $2       81211K209        35         565 SH      DEFINED    5         565       0       0
SEALED AIR CORP NEW              PFD CV A $2       81211K209        49         782 SH      DEFINED    6         570     212       0
SEALED AIR CORP NEW              PFD CV A $2       81211K209        12         190 SH      DEFINED   10         190       0       0
SEARS ROEBUCK & CO               OPTION            812387108        45          10 PUT     OTHER      2          10       0       0
SEARS ROEBUCK & CO               COM               812387108       148       3,328 SH      DEFINED    1       2,778     550       0
SEARS ROEBUCK & CO               COM               812387108   167,014   3,747,901 SH      OTHER      2   3,740,441       0   7,460
SEARS ROEBUCK & CO               COM               812387108       122       2,737 SH      DEFINED    5       1,475   1,262       0
SEARS ROEBUCK & CO               COM               812387108       196       4,400 SH      DEFINED    6       4,300     100       0
SEARS ROEBUCK & CO               COM               812387108       210       4,705 SH      OTHER      9       4,705       0       0
SEARS ROEBUCK & CO               COM               812387108       194       4,350 SH      DEFINED   10       4,150     200       0
SEARS ROEBUCK & CO               COM               812387108       261       5,846 SH      DEFINED   11       1,046   4,800       0
SECOND BANCORP INC               COM               813114105        15         500 SH      DEFINED    5         500       0       0
SECTOR SPDR TR                   SBI BASIC INDS    81369Y100    15,150     582,700 SH      OTHER      2     582,700       0       0
SECTOR SPDR TR                   SBI BASIC INDS    81369Y100         3         133 SH      DEFINED   10           0     133       0
SECTOR SPDR TR                   SBI CONS SERVS    81369Y209     6,080     207,188 SH      OTHER      2     207,188       0       0
SECTOR SPDR TR                   SBI CONS SERVS    81369Y209         5         168 SH      DEFINED   10           0     168       0
SECTOR SPDR TR                   OPTION            81369Y308       512         200 CALL    OTHER      9         200       0       0
SECTOR SPDR TR                   SBI CONS STPLS    81369Y308     3,982     155,570 SH      OTHER      2     155,570       0       0
SECTOR SPDR TR                   SBI CONS STPLS    81369Y308        15         594 SH      DEFINED   10           0     594       0
SECTOR SPDR TR                   SBI CYCL TRANS    81369Y407     8,160     274,000 SH      OTHER      2     274,000       0       0
SECTOR SPDR TR                   SBI CYCL TRANS    81369Y407         7         221 SH      DEFINED   10           0     221       0
SECTOR SPDR TR                   SBI INT-ENERGY    81369Y506    17,210     613,600 SH      OTHER      2     613,500       0     100
SECTOR SPDR TR                   SBI INT-ENERGY    81369Y506         6         210 SH      DEFINED   10           0     210       0
SECTOR SPDR TR                   SBI INT-FINL      81369Y605    14,722     564,200 SH      OTHER      2     564,200       0       0
SECTOR SPDR TR                   SBI INT-FINL      81369Y605        12         478 SH      DEFINED   10           0     478       0
SECTOR SPDR TR                   SBI INT-INDS      81369Y704    23,056     773,370 SH      OTHER      2     773,370       0       0
SECTOR SPDR TR                   SBI INT-INDS      81369Y704         5         180 SH      DEFINED   10           0     180       0
SECTOR SPDR TR                   OPTION            81369Y803         1          20 CALL    OTHER      2          20       0       0
SECTOR SPDR TR                   SBI INT-TECH      81369Y803    66,417   1,640,565 SH      OTHER      2   1,637,165       0   3,400
SECTOR SPDR TR                   SBI INT-TECH      81369Y803        20         499 SH      DEFINED   10           0     499       0
SECTOR SPDR TR                   SBI INT-UTILS     81369Y886    13,338     435,300 SH      OTHER      2     432,000       0   3,300
SECTOR SPDR TR                   SBI INT-UTILS     81369Y886         6         185 SH      DEFINED   10           0     185       0
SECURITY CAP GROUP INC           CL A              81413P105        49          76 SH      OTHER      2           0       0      76
SECURITY CAP GROUP INC           CL B              81413P204     1,179      80,941 SH      OTHER      2      78,541       0   2,400
SECURITY DYNAMICS TECHNOLOGIES   COM               814208104         9         400 SH      DEFINED    1         400       0       0
SECURITY DYNAMICS TECHNOLOGIES   COM               814208104       351      16,503 SH      OTHER      2      16,503       0       0
SECURITY DYNAMICS TECHNOLOGIES   COM               814208104       115       5,400 SH      OTHER      9       5,400       0       0
SECURITY DYNAMICS TECHNOLOGIES   COM               814208104         6         295 SH      DEFINED   10         295       0       0
SECURITY DYNAMICS TECHNOLOGIES   COM               814208104         9         420 SH      DEFINED   11         420       0       0
SECURITY FIRST TECHNOLOGIES CP   COM               814279105        23         515 SH      DEFINED    1           0     515       0
SECURITY FIRST TECHNOLOGIES CP   COM               814279105       113       2,500 SH      OTHER      2       2,500       0       0
SECURITY FIRST TECHNOLOGIES CP   COM               814279105        18         400 SH      DEFINED    5         400       0       0
SEGUE SOFTWARE INC               COM               815807102       109      15,000 SH      OTHER      9      15,000       0       0
SEITEL INC                       COM NEW           816074306         8         500 SH      DEFINED    1           0     500       0
SELECT APPOINTMENTS HLDGS PLC    SPON ADR          81617E203       401      16,698 SH      OTHER      2      16,698       0       0
SELECTIVE INS GROUP INC          COM               816300107         2         100 SH      OTHER      2         100       0       0
SEMTECH CORP                     OPTION            816850101        52          10 CALL    OTHER      2          10       0       0
SEMTECH CORP                     COM               816850101       180       3,462 SH      OTHER      2       3,462       0       0
SEMPRA ENERGY                    COM               816851109        23       1,000 SH      DEFINED    1           0   1,000       0
SEMPRA ENERGY                    COM               816851109    25,370   1,121,341 SH      OTHER      2   1,105,266       0  16,075
SEMPRA ENERGY                    COM               816851109        72       3,200 SH      DEFINED    5       2,200   1,000       0
SEMPRA ENERGY                    COM               816851109         6         250 SH      DEFINED    6         250       0       0
SEMPRA ENERGY                    COM               816851109       316      13,979 SH      OTHER      9      13,979       0       0
SEMPRA ENERGY                    COM               816851109       190       8,387 SH      DEFINED   10       4,811   3,576       0
SENIOR HIGH INCOME PORTFOLIO     COM               81721E107        52       6,600 SH      OTHER      2           0       0   6,600
SENIOR HIGH INCOME PORTFOLIO     COM               81721E107        63       7,913 SH      DEFINED    5       4,247   3,666       0
SENIOR HIGH INCOME PORTFOLIO     COM               81721E107         7         850 SH      DEFINED   10           0     850       0
SENIOR HIGH INCOME PORTFOLIO     COM               81721E107        71       9,003 SH      DEFINED   11           0   9,003       0
SENSORMATIC ELECTRS CORP         COM               817265101       258      18,479 SH      OTHER      2      18,479       0       0
SENSORMATIC ELECTRS CORP         COM               817265101       125       9,000 SH      OTHER      9       9,000       0       0
SENSORMATIC ELECTRS CORP         COM               817265101         6         400 SH      DEFINED   11         400       0       0
SEPRACOR INC                     OPTION            817315104     1,698         209 CALL    OTHER      2         209       0       0
SEPRACOR INC                     OPTION            817315104     2,031         250 PUT     OTHER      2         250       0       0
SEPRACOR INC                     COM               817315104     1,041      12,809 SH      OTHER      2      12,809       0       0
SEPRACOR INC                     COM               817315104     3,307      40,700 SH      OTHER      9      40,700       0       0
SEPRACOR INC                     COM               817315104         1          15 SH      DEFINED   11           0      15       0
SEQUA CORPORATION                CL A              817320104       186       2,662 SH      OTHER      2       2,662       0       0
SEQUA CORPORATION                CL A              817320104        16         224 SH      DEFINED   11         224       0       0
SEQUENT COMPUTER SYS INC         COM               817338106         7         405 SH      DEFINED    1           0     405       0
SEQUENT COMPUTER SYS INC         COM               817338106       208      11,704 SH      OTHER      2      10,704       0   1,000
SERVICE CORP INTL                OPTION            817565104        19          10 CALL    OTHER      2          10       0       0
SERVICE CORP INTL                COM               817565104         3         150 SH      DEFINED    1         150       0       0
SERVICE CORP INTL                COM               817565104     2,472     128,403 SH      OTHER      2     111,053       0  17,350
SERVICE CORP INTL                COM               817565104        13         700 SH      DEFINED    5         700       0       0
SERVICE CORP INTL                COM               817565104       370      19,214 SH      OTHER      9      19,214       0       0
SERVICE CORP INTL                COM               817565104        17         870 SH      DEFINED   10         870       0       0
SERVICE EXPERTS INC              OPTION            817567100        11           5 CALL    OTHER      2           5       0       0
SERVICE MERCHANDISE INC          COM               817587108         1       2,005 SH      OTHER      2           5       0   2,000
SERVICEMASTER CO                 COM               81760N109       683      36,450 SH      DEFINED    1      36,450       0       0
SERVICEMASTER CO                 COM               81760N109       361      19,266 SH      OTHER      2      18,761       0     505
SERVICEMASTER CO                 COM               81760N109        55       2,925 SH      DEFINED    5         900   2,025       0
SERVICEMASTER CO                 COM               81760N109         8         400 SH      DEFINED    6           0     400       0
SERVICEMASTER CO                 COM               81760N109     1,266      67,500 SH      DEFINED   11           0  67,500       0
SERVOTRONICS INC                 COM               817732100         2         443 SH      OTHER      2           0       0     443
7TH LEVEL INC                    COM               817916109       177      38,806 SH      OTHER      2      38,806       0       0
SHANGHAI PETROCHEMICAL LTD       SPONSRD ADR H     819424102       434      18,837 SH      OTHER      2      11,410       0   7,427
SHANGHAI PETROCHEMICAL LTD       SPONSRD ADR H     819424102         9         400 SH      DEFINED   11           0     400       0
SHARED MED SYS CORP              COM               819486101     1,625      24,903 SH      OTHER      2      24,903       0       0
SHARED MED SYS CORP              COM               819486101       123       1,883 SH      OTHER      9       1,883       0       0
SHARED MED SYS CORP              COM               819486101        12         190 SH      DEFINED   10         190       0       0
SHARED MED SYS CORP              COM               819486101        78       1,200 SH      DEFINED   11       1,200       0       0
SHAW INDS INC                    COM               820286102     3,115     178,000 SH      DEFINED    1     121,225  56,775       0
SHAW INDS INC                    COM               820286102     1,198      68,444 SH      OTHER      2      34,638       0  33,806
SHAW INDS INC                    COM               820286102       344      19,660 SH      DEFINED    5      18,160   1,500       0
SHAW INDS INC                    COM               820286102       690      39,450 SH      DEFINED    6      37,750   1,700       0
SHAW INDS INC                    COM               820286102         4         243 SH      DEFINED   10         243       0       0
SHAW INDS INC                    COM               820286102       703      40,150 SH      DEFINED   11      25,465  14,685       0
SHAW COMMUNICATIONS INC          CL B CONV         82028K200     1,673      42,100 SH      OTHER      1      42,100       0       0
SHELL TRANS & TRADING PLC        OPTION            822703609         9           2 CALL    OTHER      2           2       0       0
SHELL TRANS & TRADING PLC        NEW YRK SH NEW    822703609       182       3,920 SH      DEFINED    1       1,890   2,030       0
SHELL TRANS & TRADING PLC        NEW YRK SH NEW    822703609       713      15,368 SH      OTHER      2           2       0  15,366
SHELL TRANS & TRADING PLC        NEW YRK SH NEW    822703609       156       3,355 SH      DEFINED    5       3,355       0       0
SHELL TRANS & TRADING PLC        NEW YRK SH NEW    822703609        97       2,085 SH      DEFINED    6       2,085       0       0
SHELL TRANS & TRADING PLC        NEW YRK SH NEW    822703609        78       1,680 SH      DEFINED   10       1,160     520       0
SHELL TRANS & TRADING PLC        NEW YRK SH NEW    822703609       285       6,150 SH      DEFINED   11       2,090   4,060       0
SHERIDAN ENERGY INC              COM               823764105         0          25 SH      DEFINED    5           0      25       0
SHERWIN WILLIAMS CO              COM               824348106     1,869      67,342 SH      DEFINED    1      52,467  14,875       0
SHERWIN WILLIAMS CO              COM               824348106     2,008      72,356 SH      OTHER      2      64,211       0   8,145
SHERWIN WILLIAMS CO              COM               824348106     2,727      98,268 SH      DEFINED    5      73,143  25,125       0
SHERWIN WILLIAMS CO              COM               824348106     2,425      87,380 SH      DEFINED    6      73,380  14,000       0
SHERWIN WILLIAMS CO              COM               824348106       286      10,314 SH      OTHER      9      10,314       0       0
SHERWIN WILLIAMS CO              COM               824348106       845      30,450 SH      DEFINED   10      29,050   1,400       0
SHERWIN WILLIAMS CO              COM               824348106     1,675      60,350 SH      DEFINED   11      45,750  14,600       0
SHILOH INDS INC                  COM               824543102        39       2,673 SH      OTHER      2       2,673       0       0
SHIRE PHARMACEUTICALS GRP PLC    SPON ADR          82481R106        56       2,155 SH      OTHER      2       2,155       0       0
SHIRE PHARMACEUTICALS GRP PLC    SPON ADR          82481R106        26       1,000 SH      DEFINED    6           0   1,000       0
SHOE CARNIVAL INC                COM               824889109        19       1,102 SH      DEFINED    1           0   1,102       0
SHOPKO STORES INC                COM               824911101       165       4,513 SH      OTHER      2           0       0   4,513
SHOPKO STORES INC                COM               824911101         7         185 SH      DEFINED   10         185       0       0
SHOP AT HOME INC                 COM NEW           825066301        36       4,000 SH      OTHER      2           0       0   4,000
SHURGARD STORAGE CTRS INC        COM               82567D104        73       2,679 SH      OTHER      2           0       0   2,679
SHURGARD STORAGE CTRS INC        COM               82567D104        38       1,400 SH      DEFINED    5       1,400       0       0
SHURGARD STORAGE CTRS INC        COM               82567D104        19         700 SH      OTHER      9         700       0       0
SHURGARD STORAGE CTRS INC        COM               82567D104        11         400 SH      DEFINED   11         400       0       0
SIEBEL SYS INC                   OPTION            826170102       139          21 CALL    OTHER      2          20       0       1
SIEBEL SYS INC                   OPTION            826170102        66          10 PUT     OTHER      2          10       0       0
SIEBEL SYS INC                   COM               826170102     5,310      80,074 SH      OTHER      2      72,074       0   8,000
SIEBEL SYS INC                   COM               826170102       623       9,392 SH      OTHER      9       9,392       0       0
SIEBEL SYS INC                   COM               826170102         5          75 SH      DEFINED   11           0      75       0
SIERRA HEALTH SVCS INC           COM               826322109        18       1,262 SH      DEFINED   11       1,262       0       0
SIERRA PAC RES                   COM               826425100        11         300 SH      DEFINED    1         300       0       0
SIERRA PAC RES                   COM               826425100        18         500 SH      OTHER      2           0       0     500
SIERRA PAC RES                   COM               826425100        22         600 SH      DEFINED    5         600       0       0
SIGMA ALDRICH CORP               COM               826552101        21         600 SH      DEFINED    1         600       0       0
SIGMA ALDRICH CORP               COM               826552101     2,615      75,931 SH      OTHER      2      75,931       0       0
SIGMA ALDRICH CORP               COM               826552101       226       6,556 SH      OTHER      9       6,556       0       0
SIGNAL TECHNOLOGY CORP           COM               826675100         6       1,000 SH      OTHER      2       1,000       0       0
SIGNET GROUP PLC                 SP ADR REP 30S    82668L872        70       2,800 SH      OTHER      9       2,800       0       0
SIGCORP INC                      COM               826912107    11,158     394,124 SH      OTHER      2     394,124       0       0
SIGCORP INC                      COM               826912107        17         598 SH      DEFINED    5           0     598       0
SIGCORP INC                      COM               826912107         4         150 SH      DEFINED   10         150       0       0
SIGCORP INC                      COM               826912107         4         148 SH      DEFINED   11           0     148       0
SILGAN HOLDINGS INC              COM               827048109         2         100 SH      OTHER      2         100       0       0
SILICON GRAPHICS INC             OPTION            827056102        70          43 CALL    OTHER      2          43       0       0
SILICON GRAPHICS INC             COM               827056102     2,775     169,440 SH      OTHER      2     169,440       0       0
SILICON GRAPHICS INC             COM               827056102       478      29,167 SH      OTHER      9      29,167       0       0
SILICON VY BANCSHARES            COM               827064106         6         254 SH      DEFINED    1         254       0       0
SILICON VY BANCSHARES            COM               827064106         7         293 SH      DEFINED   10         293       0       0
SILICON VY GROUP INC             COM               827066101       649      38,574 SH      DEFINED   10           0  38,574       0
SILICONIX INC                    COM NEW           827079203       113       3,300 SH      OTHER      2       3,300       0       0
SILVERLEAF RESORTS INC           COM               828395103         9       1,400 SH      OTHER      2       1,400       0       0
SIMMONS 1ST NATL CORP            CL A $5 PAR       828730200        24         750 SH      DEFINED   11           0     750       0
SIMON PPTY GROUP INC NEW         COM               828806109        47       1,864 SH      DEFINED    1       1,081     783       0
SIMON PPTY GROUP INC NEW         COM               828806109    34,311   1,352,159 SH      OTHER      2   1,315,320       0  36,839
SIMON PPTY GROUP INC NEW         COM               828806109       147       5,804 SH      DEFINED    5       2,850   2,954       0
SIMON PPTY GROUP INC NEW         COM               828806109       114       4,490 SH      DEFINED    6       3,190   1,300       0
SIMON PPTY GROUP INC NEW         COM               828806109         9         365 SH      DEFINED   10         365       0       0
SIMON PPTY GROUP INC NEW         COM               828806109       110       4,338 SH      DEFINED   11       1,635   2,703       0
SIMPSON MANUFACTURING CO INC     COM               829073105        22         465 SH      OTHER      2         215       0     250
SIMPSON MANUFACTURING CO INC     COM               829073105        28         595 SH      DEFINED   11         595       0       0
SIMS COMMUNICATIONS INC          COM PAR $.0001    829158401        10      10,000 SH      OTHER      2      10,000       0       0
SINCLAIR BROADCAST GROUP INC     OPTION            829226109       491         300 PUT     OTHER      2         300       0       0
SINCLAIR BROADCAST GROUP INC     CL A              829226109         9         535 SH      DEFINED    1         121     414       0
SINCLAIR BROADCAST GROUP INC     CL A              829226109       298      18,200 SH      OTHER      2      17,200       0   1,000
SINCLAIR BROADCAST GROUP INC     CL A              829226109        33       2,000 SH      OTHER      9       2,000       0       0
SINCLAIR BROADCAST GROUP INC     CL A              829226109         4         228 SH      DEFINED   10         228       0       0
SINCLAIR BROADCAST GROUP INC     CL A              829226109         3         197 SH      DEFINED   11         197       0       0
SINGER CO N V                    COM               82930F109         1         320 SH      OTHER      2          20       0     300
SINGER CO N V                    COM               82930F109         2         500 SH      OTHER      4           0       0     500
SITEL CORP                       COM               82980K107        23       8,000 SH      OTHER      2       8,000       0       0
SIPEX CORP                       COM               829909100         3         145 SH      DEFINED    1         145       0       0
SIPEX CORP                       COM               829909100         5         248 SH      DEFINED   10         248       0       0
SKY FINL GROUP INC               COM               83080P103        15         539 SH      DEFINED    5         539       0       0
SKY NETWORK TELEVISION LTD       SPON ADR          83080U102         6         336 SH      OTHER      2         336       0       0
SKYWEST INC                      COM               830879102        24         969 SH      OTHER      2         969       0       0
SKYTEL COMMUNICATIONS INC        COM               83087Q104         0           6 SH      OTHER      2           6       0       0
SKYTEL COMMUNICATIONS INC        COM               83087Q104         3         128 SH      DEFINED   11           0     128       0
SLADES FERRY BANCORP             COM               830896106       272      23,029 SH      DEFINED   11           0  23,029       0
SMALLWORLD PLC                   SPON ADR          83168P108         2         210 SH      DEFINED    1           0     210       0
SMITH INTL INC                   OPTION            832110100       217          50 CALL    OTHER      2          50       0       0
SMITH INTL INC                   COM               832110100        14         328 SH      DEFINED    1          41     287       0
SMITH INTL INC                   COM               832110100       519      11,958 SH      OTHER      2      11,958       0       0
SMITH INTL INC                   COM               832110100         3          79 SH      DEFINED   10          79       0       0
SMITH INTL INC                   COM               832110100         3          75 SH      DEFINED   11          75       0       0
SMITH CHARLES E RESDNTL RLTY     COM               832197107     6,311     185,950 SH      OTHER      2     185,950       0       0
SMITHFIELD FOODS INC             COM               832248108         6         165 SH      DEFINED    1           0     165       0
SMITHFIELD FOODS INC             COM               832248108       252       7,528 SH      OTHER      2       7,528       0       0
SMITHFIELD FOODS INC             COM               832248108       130       3,900 SH      OTHER      9       3,900       0       0
SMITHKLINE BEECHAM PLC           ADR REP ORD       832378301     7,849     118,807 SH      DEFINED    1     104,652  14,155       0
SMITHKLINE BEECHAM PLC           ADR REP ORD       832378301     7,046     106,659 SH      OTHER      2      80,400       0  26,259
SMITHKLINE BEECHAM PLC           ADR REP ORD       832378301       698      10,561 SH      DEFINED    5       7,255   3,306       0
SMITHKLINE BEECHAM PLC           ADR REP ORD       832378301       723      10,948 SH      DEFINED    6       8,162   2,786       0
SMITHKLINE BEECHAM PLC           ADR REP ORD       832378301     1,003      15,177 SH      DEFINED   10       8,085   7,092       0
SMITHKLINE BEECHAM PLC           ADR REP ORD       832378301       342       5,173 SH      DEFINED   11       4,458     715       0
SMITHWAY MTR XPRESS CORP         CL A              832653109        10       1,000 SH      DEFINED   11       1,000       0       0
SMUCKER J M CO                   CL A              832696108       158       7,100 SH      OTHER      2       7,100       0       0
SMUCKER J M CO                   CL A              832696108       129       5,814 SH      DEFINED    6       5,814       0       0
SMURFIT-STONE CONTAINER CORP     COM               832727101       711      34,565 SH      OTHER      2      34,565       0       0
SNYDER COMMUNICATIONS INC        OPTION            832914105       422         129 CALL    OTHER      2         129       0       0
SNYDER COMMUNICATIONS INC        OPTION            832914105       331         101 PUT     OTHER      2         101       0       0
SNYDER COMMUNICATIONS INC        COM               832914105        56       1,700 SH      DEFINED    1       1,700       0       0
SNYDER COMMUNICATIONS INC        COM               832914105     2,990      91,293 SH      OTHER      2      31,848       0  59,445
SNYDER COMMUNICATIONS INC        COM               832914105    19,624     599,211 SH      OTHER      9     599,211       0       0
SNAP ON INC                      COM               833034101        16         450 SH      DEFINED    1         450       0       0
SNAP ON INC                      COM               833034101       357       9,870 SH      OTHER      2       9,870       0       0
SNAP ON INC                      COM               833034101       144       3,977 SH      OTHER      9       3,977       0       0
SOCIEDAD QUIMICA MINERA DE CHI   SPON ADR SER B    833635105       205       5,800 SH      OTHER      9       5,800       0       0
SODEXHO MARRIOTT SVCS INC        COM               833793102         4         225 SH      DEFINED    1           0     225       0
SODEXHO MARRIOTT SVCS INC        COM               833793102         0           3 SH      OTHER      2           3       0       0
SODEXHO MARRIOTT SVCS INC        COM               833793102         0          25 SH      DEFINED    5           0      25       0
SODEXHO MARRIOTT SVCS INC        COM               833793102         2         100 SH      DEFINED   11           0     100       0
SOFTNET SYS INC                  COM               833964109        28       1,000 SH      OTHER      2           0       0   1,000
SOFTWORKS INC                    COM               83404P102         3         270 SH      DEFINED   11         270       0       0
SOLECTRON CORP                   OPTION            834182107        13           2 CALL    OTHER      2           2       0       0
SOLECTRON CORP                   COM               834182107    10,725     160,830 SH      DEFINED    1     132,005  28,825       0
SOLECTRON CORP                   COM               834182107    14,228     213,351 SH      OTHER      2     156,385       0  56,966
SOLECTRON CORP                   COM               834182107       107       1,600 SH      OTHER      4           0       0   1,600
SOLECTRON CORP                   COM               834182107     4,463      66,920 SH      DEFINED    5      51,820  15,100       0
SOLECTRON CORP                   COM               834182107     3,503      52,535 SH      DEFINED    6      44,035   8,500       0
SOLECTRON CORP                   COM               834182107        23         338 SH      OTHER      9         338       0       0
SOLECTRON CORP                   COM               834182107     2,841      42,607 SH      DEFINED   10      41,807     800       0
SOLECTRON CORP                   COM               834182107     6,823     102,315 SH      DEFINED   11      88,755  13,560       0
SOLUTIA INC                      COM               834376105         9         400 SH      DEFINED    1         400       0       0
SOLUTIA INC                      COM               834376105       875      41,069 SH      OTHER      2      40,509       0     560
SOLUTIA INC                      COM               834376105        75       3,536 SH      DEFINED    6       3,536       0       0
SOLUTIA INC                      COM               834376105       102       4,800 SH      OTHER      9       4,800       0       0
SOLUTIA INC                      COM               834376105        40       1,870 SH      DEFINED   10         120   1,750       0
SOLUTIA INC                      COM               834376105        94       4,406 SH      DEFINED   11         824   3,582       0
SONAT INC                        COM               835415100       411      12,400 SH      DEFINED    1      12,400       0       0
SONAT INC                        COM               835415100       569      17,165 SH      OTHER      2      16,185       0     980
SONAT INC                        COM               835415100       205       6,196 SH      DEFINED    5       4,696   1,500       0
SONAT INC                        COM               835415100        86       2,592 SH      DEFINED    6       1,300   1,292       0
SONAT INC                        COM               835415100       582      17,584 SH      OTHER      9      17,584       0       0
SONAT INC                        COM               835415100        13         400 SH      DEFINED   10           0     400       0
SONAT INC                        COM               835415100       258       7,800 SH      DEFINED   11       7,800       0       0
SONIC AUTOMOTIVE INC             CL A              83545G102       183      13,313 SH      OTHER      2       8,313       0   5,000
SONIC AUTOMOTIVE INC             CL A              83545G102       103       7,500 SH      OTHER      9       7,500       0       0
SONOCO PRODS CO                  COM               835495102        10         325 SH      DEFINED    1         325       0       0
SONOCO PRODS CO                  COM               835495102       747      24,943 SH      OTHER      2      24,943       0       0
SONOCO PRODS CO                  COM               835495102        25         825 SH      DEFINED    6           0     825       0
SONY CORP                        ADR NEW           835699307       145       1,315 SH      DEFINED    1       1,215     100       0
SONY CORP                        ADR NEW           835699307     4,987      45,184 SH      OTHER      2      42,975       0   2,209
SONY CORP                        ADR NEW           835699307       491       4,450 SH      OTHER      4           0       0   4,450
SONY CORP                        ADR NEW           835699307        31         280 SH      DEFINED    5         270      10       0
SONY CORP                        ADR NEW           835699307       218       1,975 SH      DEFINED    6       1,575     400       0
SONY CORP                        ADR NEW           835699307    16,645     150,800 SH      OTHER      9     150,800       0       0
SONY CORP                        ADR NEW           835699307       191       1,732 SH      DEFINED   10       1,612     120       0
SONY CORP                        ADR NEW           835699307        36         324 SH      DEFINED   11         324       0       0
SOTHEBYS HLDGS INC               OPTION            835898107        76          20 CALL    OTHER      2          20       0       0
SOTHEBYS HLDGS INC               CL A              835898107       860      22,552 SH      OTHER      2      20,452       0   2,100
SOTHEBYS HLDGS INC               CL A              835898107         4         100 SH      DEFINED    5         100       0       0
SOTHEBYS HLDGS INC               CL A              835898107       286       7,500 SH      OTHER      9       7,500       0       0
SOURCE CAP INC                   COM               836144105         1          20 SH      DEFINED    5          20       0       0
SOURCE CAP INC                   COM               836144105        30         600 SH      DEFINED   11         600       0       0
SOURCE MEDIA INC                 OPTION            836153304         9           5 CALL    OTHER      2           5       0       0
SOUTH JERSEY INDS INC            COM               838518108         0           1 SH      OTHER      2           0       0       1
SOUTHDOWN INC                    COM               841297104        42         647 SH      DEFINED    1          33     614       0
SOUTHDOWN INC                    COM               841297104     2,008      31,256 SH      OTHER      2       9,498       0  21,758
SOUTHDOWN INC                    COM               841297104        12         183 SH      DEFINED    6         183       0       0
SOUTHDOWN INC                    COM               841297104        39         600 SH      DEFINED   10         195     405       0
SOUTHDOWN INC                    COM               841297104         4          59 SH      DEFINED   11          59       0       0
SOUTHERN AFRICA FD INC           COM               842157109        10         888 SH      OTHER      2           0       0     888
SOUTHERN CO                      COM               842587107       395      14,922 SH      DEFINED    1       5,424   9,498       0
SOUTHERN CO                      COM               842587107    16,443     620,504 SH      OTHER      2     616,854       0   3,650
SOUTHERN CO                      COM               842587107       856      32,316 SH      DEFINED    5      26,166   6,150       0
SOUTHERN CO                      COM               842587107       214       8,070 SH      DEFINED    6       6,470   1,600       0
SOUTHERN CO                      COM               842587107     1,075      40,583 SH      OTHER      9      40,583       0       0
SOUTHERN CO                      COM               842587107       133       5,029 SH      DEFINED   10       4,829     200       0
SOUTHERN CO                      COM               842587107       525      19,817 SH      DEFINED   11      18,003   1,814       0
SOUTHERN PAC PETE NL             ADR NEW           843581307         4       1,400 SH      OTHER      2       1,400       0       0
SOUTHERN PERU COPPER CORP        COM               843611104         4         300 SH      OTHER      9         300       0       0
SOUTHERN UN CO NEW               COM               844030106        60       2,771 SH      OTHER      2          38       0   2,733
SOUTHTRUST CORP                  COM               844730101        12         300 SH      DEFINED    1           0     300       0
SOUTHTRUST CORP                  COM               844730101     2,515      65,543 SH      OTHER      2      29,806       0  35,737
SOUTHTRUST CORP                  COM               844730101       134       3,503 SH      DEFINED    5         503   3,000       0
SOUTHTRUST CORP                  COM               844730101        19         499 SH      DEFINED    6         499       0       0
SOUTHTRUST CORP                  COM               844730101       399      10,389 SH      OTHER      9      10,389       0       0
SOUTHTRUST CORP                  COM               844730101        42       1,105 SH      DEFINED   10         363     742       0
SOUTHTRUST CORP                  COM               844730101        25         656 SH      DEFINED   11         656       0       0
SOUTHWEST AIRLS CO               OPTION            844741108        65          21 CALL    OTHER      2          21       0       0
SOUTHWEST AIRLS CO               COM               844741108       143       4,595 SH      DEFINED    1       4,595       0       0
SOUTHWEST AIRLS CO               COM               844741108     4,089     131,360 SH      OTHER      2     118,923       0  12,437
SOUTHWEST AIRLS CO               COM               844741108       116       3,740 SH      DEFINED    5       1,415   2,325       0
SOUTHWEST AIRLS CO               COM               844741108        19         615 SH      DEFINED    6         615       0       0
SOUTHWEST AIRLS CO               COM               844741108       633      20,348 SH      OTHER      9      20,348       0       0
SOUTHWEST AIRLS CO               COM               844741108       159       5,095 SH      DEFINED   10       3,745   1,350       0
SOUTHWEST GAS CORP               COM               844895102        14         500 SH      DEFINED    5           0     500       0
SOUTHWEST GAS CORP               COM               844895102        83       2,900 SH      OTHER      9       2,900       0       0
SOUTHWEST SECS GROUP INC         OPTION            845224104       215          30 CALL    OTHER      2          30       0       0
SOUTHWEST SECS GROUP INC         COM               845224104       100       1,400 SH      OTHER      9       1,400       0       0
SOVEREIGN BANCORP INC            COM               845905108         9         756 SH      DEFINED    1         171     585       0
SOVEREIGN BANCORP INC            COM               845905108       740      61,021 SH      OTHER      2      39,198       0  21,823
SOVEREIGN BANCORP INC            COM               845905108         5         444 SH      DEFINED    6           0     444       0
SOVEREIGN BANCORP INC            COM               845905108        75       6,200 SH      OTHER      9       6,200       0       0
SOVEREIGN BANCORP INC            COM               845905108         4         319 SH      DEFINED   10         319       0       0
SOVEREIGN BANCORP INC            COM               845905108         4         304 SH      DEFINED   11         304       0       0
SOVRAN SELF STORAGE INC          COM               84610H108        18         664 SH      OTHER      2           0       0     664
SPARTECH CORP                    COM NEW           847220209         9         275 SH      DEFINED   10         275       0       0
SPECIAL METALS CORP              COM               84741Y103        19       3,309 SH      OTHER      2       3,309       0       0
SPECTRA-PHYSICS LASERS INC       COM               847568102        82       9,910 SH      OTHER      2       9,910       0       0
SPECTRUM CTL INC                 COM               847615101        22       3,000 SH      OTHER      2           0       0   3,000
SPEEDWAY MOTORSPORTS INC         COM               847788106        71       1,800 SH      OTHER      2       1,800       0       0
SPEEDWAY MOTORSPORTS INC         SB DB CV 5.75%03  847788AC0        28      25,000 PRN     OTHER      2           0       0  25,000
SPELLING ENTMT GROUP INC         COM               847807104         0       5,900 SH      DEFINED    6           0   5,900       0
SPIEGEL INC                      CL A              848457107       128      14,400 SH      OTHER      9      14,400       0       0
SPIEKER PPTYS INC                COM               848497103    36,679     943,507 SH      OTHER      2     940,748       0   2,759
SPIEKER PPTYS INC                COM               848497103        35         900 SH      DEFINED   10         900       0       0
SPORTSLINE USA INC               OPTION            848934105        11           3 CALL    OTHER      2           3       0       0
SPORTSLINE USA INC               COM               848934105        20         567 SH      OTHER      2         567       0       0
SPIROS DEV CORP II INC / DURA    UNIT EX 123102    848935201        63       7,255 SH      OTHER      2       7,255       0       0
SPIROS DEV CORP II INC / DURA    UNIT EX 123102    848935201     2,625     300,000 SH      OTHER      9     300,000       0       0
SPORTS AUTH INC                  COM               849176102        43       9,600 SH      OTHER      2       9,600       0       0
SPORTS AUTH INC                  SB NT CV 5.25%01  849176AC6       361     520,000 PRN     OTHER      2           0       0 520,000
SPRINGS INDS INC                 CL A              851783100       100       2,298 SH      OTHER      2       2,298       0       0
SPRINGS INDS INC                 CL A              851783100        17         400 SH      DEFINED    5         400       0       0
SPRINGS INDS INC                 CL A              851783100       139       3,182 SH      OTHER      9       3,182       0       0
SPRINT CORP                      OPTION            852061100     1,299         245 PUT     OTHER      2         245       0       0
SPRINT CORP                      COM FON GROUP     852061100       694      13,100 SH      DEFINED    1      13,100       0       0
SPRINT CORP                      COM FON GROUP     852061100    27,767     523,915 SH      OTHER      2     522,470       0   1,445
SPRINT CORP                      COM FON GROUP     852061100    23,305     439,708 SH      OTHER      4           0       0 439,708
SPRINT CORP                      COM FON GROUP     852061100     1,781      33,604 SH      DEFINED    5      14,560  19,044       0
SPRINT CORP                      COM FON GROUP     852061100       116       2,180 SH      DEFINED    6         180   2,000       0
SPRINT CORP                      COM FON GROUP     852061100     4,958      93,549 SH      OTHER      9      93,549       0       0
SPRINT CORP                      COM FON GROUP     852061100       116       2,188 SH      DEFINED   10       2,058     130       0
SPRINT CORP                      COM FON GROUP     852061100       427       8,054 SH      DEFINED   11       7,506     548       0
SPRINT CORP                      OPTION            852061506       177          31 CALL    OTHER      2          31       0       0
SPRINT CORP                      PCS COM SER 1     852061506       219       3,840 SH      DEFINED    1       3,840       0       0
SPRINT CORP                      PCS COM SER 1     852061506     7,063     123,907 SH      OTHER      2     114,415       0   9,492
SPRINT CORP                      PCS COM SER 1     852061506       216       3,789 SH      DEFINED    5         978   2,811       0
SPRINT CORP                      PCS COM SER 1     852061506        11         200 SH      DEFINED    6           0     200       0
SPRINT CORP                      PCS COM SER 1     852061506     2,115      37,098 SH      OTHER      9      37,098       0       0
SPRINT CORP                      PCS COM SER 1     852061506        35         607 SH      DEFINED   10         607       0       0
SPRINT CORP                      PCS COM SER 1     852061506       141       2,482 SH      DEFINED   11       1,838     644       0
STAAR SURGICAL CO                COM PAR $0.01     852312305         2         125 SH      OTHER      2           0       0     125
STAC SOFTWARE INC                COM NEW           852323203         2         294 SH      OTHER      2         294       0       0
STAFF LEASING INC                COM               852381102         1          40 SH      OTHER      2          40       0       0
STAFF LEASING INC                COM               852381102         5         350 SH      DEFINED   10         350       0       0
STAFFMARK INC                    COM               852389105         6         600 SH      OTHER      2         600       0       0
STAGE STORES INC                 COM               85254C107         7       1,040 SH      DEFINED    1           0   1,040       0
STAGE STORES INC                 COM               85254C107        68      10,500 SH      OTHER      2      10,500       0       0
STANCORP FINL GROUP INC          COM               852891100         2          52 SH      DEFINED    6          52       0       0
STANDARD PAC CORP NEW            COM               85375C101       103       7,900 SH      OTHER      9       7,900       0       0
STANDARD REGISTER CO             COM               853887107       503      16,351 SH      OTHER      2      16,351       0       0
STANDARD REGISTER CO             COM               853887107        31       1,000 SH      DEFINED    5           0   1,000       0
STANDARD REGISTER CO             COM               853887107         6         200 SH      DEFINED    6           0     200       0
STANLEY WKS                      COM               854616109       135       4,200 SH      DEFINED    1       4,200       0       0
STANLEY WKS                      COM               854616109     1,832      56,920 SH      OTHER      2      56,320       0     600
STANLEY WKS                      COM               854616109        32       1,000 SH      DEFINED    5           0   1,000       0
STANLEY WKS                      COM               854616109        72       2,225 SH      DEFINED    6       2,025     200       0
STANLEY WKS                      COM               854616109       173       5,381 SH      OTHER      9       5,381       0       0
STANLEY WKS                      COM               854616109        19         590 SH      DEFINED   10         590       0       0
STANLEY WKS                      COM               854616109     1,232      38,270 SH      DEFINED   11      35,340   2,930       0
STAR TELECOMMUNICATIONS INC      OPTION            854923109        23          30 PUT     OTHER      2          30       0       0
STAR TELECOMMUNICATIONS INC      COM               854923109        74       9,531 SH      OTHER      2         531       0   9,000
STAPLES INC                      OPTION            855030102       947         306 CALL    OTHER      2         306       0       0
STAPLES INC                      OPTION            855030102       309         100 PUT     OTHER      2         100       0       0
STAPLES INC                      COM               855030102       209       6,762 SH      DEFINED    1       5,262   1,500       0
STAPLES INC                      COM               855030102     3,059      98,864 SH      OTHER      2      94,014       0   4,850
STAPLES INC                      COM               855030102        12         375 SH      DEFINED    5         375       0       0
STAPLES INC                      COM               855030102        76       2,465 SH      DEFINED    6       1,865     600       0
STAPLES INC                      COM               855030102       872      28,184 SH      OTHER      9      28,184       0       0
STAPLES INC                      COM               855030102       176       5,674 SH      DEFINED   10       5,674       0       0
STAPLES INC                      COM               855030102       257       8,315 SH      DEFINED   11       7,625     690       0
STAR CITY HLDGS LTD              SPON ADR          85511N102         0          50 SH      OTHER      2          50       0       0
STARBUCKS CORP                   OPTION            855244109         8           2 PUT     OTHER      2           2       0       0
STARBUCKS CORP                   COM               855244109     3,349      89,154 SH      OTHER      2      73,014       0  16,140
STARBUCKS CORP                   COM               855244109         4         100 SH      DEFINED    6           0     100       0
STARBUCKS CORP                   COM               855244109       376      10,000 SH      OTHER      9      10,000       0       0
STARBUCKS CORP                   COM               855244109        83       2,200 SH      DEFINED   11           0   2,200       0
STARMEDIA NETWORK INC            COM               855546107         3          50 SH      DEFINED    1          50       0       0
STARMEDIA NETWORK INC            COM               855546107         3          53 SH      DEFINED   10          53       0       0
STARWOOD HOTELS&RES  WRLDWD      PAIRED CTF        85590A203         7         244 SH      DEFINED    1         244       0       0
STARWOOD HOTELS&RES  WRLDWD      PAIRED CTF        85590A203       543      17,760 SH      OTHER      2          11       0  17,749
STARWOOD HOTELS&RES  WRLDWD      PAIRED CTF        85590A203        26         866 SH      DEFINED    5          74     792       0
STARWOOD HOTELS&RES  WRLDWD      PAIRED CTF        85590A203        27         879 SH      DEFINED    6         879       0       0
STARWOOD HOTELS&RES  WRLDWD      PAIRED CTF        85590A203         9         302 SH      DEFINED   10         302       0       0
STARWOOD HOTELS&RES  WRLDWD      PAIRED CTF        85590A203        59       1,927 SH      DEFINED   11       1,711     216       0
STATE STR CORP                   OPTION            857477103        43           5 CALL    OTHER      2           5       0       0
STATE STR CORP                   COM               857477103       319       3,731 SH      DEFINED    1       3,196     535       0
STATE STR CORP                   COM               857477103     3,508      41,092 SH      OTHER      2      24,562       0  16,530
STATE STR CORP                   COM               857477103       488       5,719 SH      DEFINED    5       5,719       0       0
STATE STR CORP                   COM               857477103       374       4,379 SH      DEFINED    6       2,276   2,103       0
STATE STR CORP                   COM               857477103       854      10,001 SH      OTHER      9      10,001       0       0
STATE STR CORP                   COM               857477103       419       4,908 SH      DEFINED   10       4,703     205       0
STATE STR CORP                   COM               857477103       288       3,378 SH      DEFINED   11       2,152   1,226       0
STATEN IS BANCORP INC            COM               857550107        36       2,000 SH      OTHER      2           0       0   2,000
STEEL DYNAMICS INC               COM               858119100       165      10,642 SH      OTHER      2      10,642       0       0
STEEL TECHNOLOGIES INC           COM               858147101       258      27,301 SH      OTHER      2      27,301       0       0
STEELCASE INC                    CL A              858155203         6         300 SH      DEFINED    5         300       0       0
STEELCASE INC                    CL A              858155203     8,496     424,787 SH      DEFINED   10     424,787       0       0
STEIN MART INC                   COM               858375108         6         600 SH      OTHER      2         600       0       0
STEIN MART INC                   COM               858375108         2         200 SH      DEFINED    5         200       0       0
STERIS CORP                      OPTION            859152100       194         100 CALL    OTHER      2         100       0       0
STERIS CORP                      COM               859152100       326      16,831 SH      OTHER      2      16,831       0       0
STERIS CORP                      COM               859152100        17         900 SH      OTHER      9         900       0       0
STERLING COMM INC                COM               859205106         6         166 SH      DEFINED    1          37     129       0
STERLING COMM INC                COM               859205106     2,978      81,034 SH      OTHER      2      63,566       0  17,468
STERLING COMM INC                COM               859205106       235       6,405 SH      OTHER      9       6,405       0       0
STERLING COMM INC                COM               859205106         3          69 SH      DEFINED   10          69       0       0
STERLING COMM INC                COM               859205106         2          66 SH      DEFINED   11          66       0       0
STERLING SOFTWARE INC            COM               859547101         8         287 SH      DEFINED    1          64     223       0
STERLING SOFTWARE INC            COM               859547101       540      20,438 SH      OTHER      2      20,438       0       0
STERLING SOFTWARE INC            COM               859547101         3         121 SH      DEFINED   10         121       0       0
STERLING SOFTWARE INC            COM               859547101         3         116 SH      DEFINED   11         116       0       0
STEWART & STEVENSON SVCS INC     COM               860342104       123       8,094 SH      OTHER      2       8,094       0       0
STEWART ENTERPRISES INC          OPTION            860370105       364         250 PUT     OTHER      2         250       0       0
STEWART ENTERPRISES INC          CL A              860370105       515      35,352 SH      OTHER      2      35,352       0       0
STEWART INFORMATION SVCS CORP    COM               860372101       116       5,480 SH      OTHER      9       5,480       0       0
STMICROELECTRONICS N V           COM               861012102        42         600 SH      DEFINED    1         600       0       0
STMICROELECTRONICS N V           COM               861012102       891      12,862 SH      OTHER      2       8,676       0   4,186
STMICROELECTRONICS N V           COM               861012102        31         450 SH      DEFINED    5           0     450       0
STMICROELECTRONICS N V           COM               861012102        10         144 SH      DEFINED    6         144       0       0
STMICROELECTRONICS N V           COM               861012102       693      10,000 SH      OTHER      9      10,000       0       0
STMICROELECTRONICS N V           COM               861012102        42         608 SH      DEFINED   10         376     232       0
STMICROELECTRONICS N V           COM               861012102         4          54 SH      DEFINED   11          54       0       0
STMICROELECTRONICS N V           SUB LYON ZERO 08  861012AA0       333     275,000 PRN     OTHER      2           0       0 275,000
STMICROELECTRONICS N V           SUB LYON ZERO 08  861012AA0    19,130  15,810,000 PRN     OTHER      9   15,810,000      0       0
STONE CONTAINER CORP             PFD E CV $1.75    861589307        27       1,300 SH      DEFINED   11       1,300       0       0
STONE ENERGY CORP                COM               861642106         9         215 SH      DEFINED    1           0     215       0
STORAGE USA INC                  COM               861907103         2          50 SH      DEFINED    5          50       0       0
STORAGE USA INC                  COM               861907103        14         450 SH      DEFINED   10         450       0       0
STORAGE TECHNOLOGY CORP          OPTION            862111200        23          10 CALL    OTHER      2          10       0       0
STORAGE TECHNOLOGY CORP          COM PAR $0.10     862111200       920      40,436 SH      OTHER      2      38,936       0   1,500
STORAGE TECHNOLOGY CORP          COM PAR $0.10     862111200       146       6,427 SH      OTHER      9       6,427       0       0
STORAGE COMPUTER CORP            COM               86211A101         1         712 SH      OTHER      2         712       0       0
STRATUS PPTYS INC                COM               863167102         0          38 SH      DEFINED    1          38       0       0
STRIDE RITE CORP                 COM               863314100       113      10,916 SH      OTHER      2      10,916       0       0
STRIDE RITE CORP                 COM               863314100        51       4,904 SH      DEFINED   11       4,904       0       0
STRUCTURAL DYNAMICS RESH CORP    COM               863555108         7         400 SH      DEFINED    1         400       0       0
STRUCTURAL DYNAMICS RESH CORP    COM               863555108       223      11,994 SH      OTHER      2       8,904       0   3,090
STRYKER CORP                     COM               863667101        75       1,245 SH      DEFINED    1       1,160      85       0
STRYKER CORP                     COM               863667101     1,636      27,213 SH      OTHER      2      23,713       0   3,500
STRYKER CORP                     COM               863667101         2          35 SH      DEFINED    5          35       0       0
STRYKER CORP                     COM               863667101        14         235 SH      DEFINED    6         200      35       0
STRYKER CORP                     COM               863667101         4          70 SH      DEFINED   10           0      70       0
STRYKER CORP                     COM               863667101         4          60 SH      DEFINED   11           0      60       0
SUBURBAN LODGES AMER INC         COM               864444104        57       8,880 SH      OTHER      2       8,880       0       0
SUBURBAN PROPANE PARTNERS L P    UNIT LTD PARTN    864482104        10         500 SH      DEFINED    1           0     500       0
SUFFOLK BANCORP                  COM               864739107        14         500 SH      OTHER      2           0       0     500
SUIZA FOODS CORP                 COM               865077101         7         165 SH      DEFINED    1          38     127       0
SUIZA FOODS CORP                 COM               865077101       361       8,609 SH      OTHER      2       8,609       0       0
SUIZA FOODS CORP                 COM               865077101       109       2,600 SH      OTHER      9       2,600       0       0
SUIZA FOODS CORP                 COM               865077101         3          69 SH      DEFINED   10          69       0       0
SUIZA FOODS CORP                 COM               865077101        21         507 SH      DEFINED   11         507       0       0
SUMMIT BANCORP                   OPTION            866005101       418         100 CALL    OTHER      2         100       0       0
SUMMIT BANCORP                   COM               866005101        31         750 SH      DEFINED    1         750       0       0
SUMMIT BANCORP                   COM               866005101     2,059      49,234 SH      OTHER      2      25,492       0  23,742
SUMMIT BANCORP                   COM               866005101       774      18,500 SH      DEFINED    5       9,700   8,800       0
SUMMIT BANCORP                   COM               866005101       171       4,094 SH      DEFINED    6           0   4,094       0
SUMMIT BANCORP                   COM               866005101       445      10,633 SH      OTHER      9      10,633       0       0
SUMMIT DESIGN INC                COM               86605U101         2         700 SH      OTHER      2           0       0     700
SUMMIT PPTYS INC                 COM               866239106        24       1,200 SH      OTHER      2           0       0   1,200
SUMMIT PPTYS INC                 COM               866239106        20       1,000 SH      OTHER      9       1,000       0       0
SUMMIT PPTYS INC                 COM               866239106        10         500 SH      DEFINED   11         500       0       0
SUMMIT TECHNOLOGY INC            OPTION            86627E101        26          12 CALL    OTHER      2          12       0       0
SUMMIT TECHNOLOGY INC            COM               86627E101         0           4 SH      OTHER      2           4       0       0
SUMMIT TECHNOLOGY INC            COM               86627E101       128       5,800 SH      OTHER      9       5,800       0       0
SUN COMMUNITIES INC              COM               866674104     2,584      72,800 SH      OTHER      2      72,800       0       0
SUN MICROSYSTEMS INC             OPTION            866810104    12,935       1,878 CALL    OTHER      2       1,878       0       0
SUN MICROSYSTEMS INC             OPTION            866810104       248          36 PUT     OTHER      2          36       0       0
SUN MICROSYSTEMS INC             COM               866810104       788      11,446 SH      DEFINED    1      11,341     105       0
SUN MICROSYSTEMS INC             COM               866810104    26,766     388,613 SH      OTHER      2     169,461       0 219,152
SUN MICROSYSTEMS INC             COM               866810104       202       2,926 SH      DEFINED    5       1,064   1,862       0
SUN MICROSYSTEMS INC             COM               866810104       108       1,568 SH      DEFINED    6       1,006     562       0
SUN MICROSYSTEMS INC             COM               866810104        48         693 SH      OTHER      9         693       0       0
SUN MICROSYSTEMS INC             COM               866810104       388       5,630 SH      DEFINED   10       5,030     600       0
SUN MICROSYSTEMS INC             COM               866810104       237       3,442 SH      DEFINED   11       3,166     276       0
SUN HEALTHCARE GROUP INC         COM               866933104         0      11,700 SH      OTHER      2           0       0  11,700
SUNBEAM CORP                     COM               867071102         8       1,010 SH      OTHER      2          10       0   1,000
SUNCOR ENERGY INC                COM               867229106       253       6,140 SH      OTHER      1       3,070       0       0
SUNCOR ENERGY INC                COM               867229106     1,439      35,000 SH      OTHER      2      35,000       0       0
SUNGARD DATA SYS INC             OPTION            867363103     1,949         565 CALL    OTHER      2         565       0       0
SUNGARD DATA SYS INC             COM               867363103       113       3,281 SH      DEFINED    1       2,304     977       0
SUNGARD DATA SYS INC             COM               867363103     7,442     215,701 SH      OTHER      2     101,943       0 113,758
SUNGARD DATA SYS INC             COM               867363103        50       1,445 SH      DEFINED    5         545     900       0
SUNGARD DATA SYS INC             COM               867363103         8         230 SH      DEFINED    6         165      65       0
SUNGARD DATA SYS INC             COM               867363103       690      19,998 SH      OTHER      9      19,998       0       0
SUNGARD DATA SYS INC             COM               867363103        53       1,531 SH      DEFINED   10       1,441      90       0
SUNGARD DATA SYS INC             COM               867363103         8         235 SH      DEFINED   11         125     110       0
SUNGLASS HUT INTL INC            COM               86736F106         2          99 SH      OTHER      2          99       0       0
SUNOCO INC                       COM               86764P109        28         922 SH      DEFINED    1           0     922       0
SUNOCO INC                       COM               86764P109       746      24,707 SH      OTHER      2      24,457       0     250
SUNOCO INC                       COM               86764P109        25         828 SH      DEFINED    5         171     657       0
SUNOCO INC                       COM               86764P109       638      21,145 SH      OTHER      9      21,145       0       0
SUNRISE ASSISTED LIVING INC      COM               86768K106         9         265 SH      DEFINED    1           0     265       0
SUNSHINE MNG & REFINING CO       COM               867833105         0         147 SH      OTHER      2          21       0     126
SUNTERRA CORP                    COM               86787D109       316      22,668 SH      OTHER      2      22,668       0       0
SUNTERRA CORP                    COM               86787D109       128       9,200 SH      OTHER      9       9,200       0       0
SUNTRUST BKS INC                 OPTION            867914103        35           5 CALL    OTHER      2           5       0       0
SUNTRUST BKS INC                 COM               867914103     3,316      47,754 SH      DEFINED    1      41,494   6,260       0
SUNTRUST BKS INC                 COM               867914103     9,504     136,875 SH      OTHER      2     119,968       0  16,907
SUNTRUST BKS INC                 COM               867914103     3,361      48,405 SH      DEFINED    5      39,424   8,981       0
SUNTRUST BKS INC                 COM               867914103       265       3,812 SH      DEFINED    6       3,187     625       0
SUNTRUST BKS INC                 COM               867914103     1,386      19,966 SH      OTHER      9      19,966       0       0
SUNTRUST BKS INC                 COM               867914103       164       2,369 SH      DEFINED   10       2,008     361       0
SUNTRUST BKS INC                 COM               867914103     1,160      16,699 SH      DEFINED   11       9,599   7,100       0
SUPERIOR ENERGY SVCS INC         COM               868157108         3         520 SH      DEFINED    1           0     520       0
SUPERIOR ENERGY SVCS INC         COM               868157108        85      16,656 SH      OTHER      2      16,656       0       0
SUPERIOR INDS INTL INC           COM               868168105       184       6,721 SH      OTHER      2       6,721       0       0
SUPERIOR INDS INTL INC           COM               868168105       137       5,000 SH      DEFINED    5           0   5,000       0
SUPERIOR TELECOM INC             OPTION            868365107        10           4 CALL    OTHER      2           4       0       0
SUPERIOR TELECOM INC             OPTION            868365107        50          20 PUT     OTHER      2          20       0       0
SUPERIOR TELECOM INC             COM               868365107     1,556      62,225 SH      OTHER      2      20,825       0  41,400
SUPERVALU INC                    COM               868536103       505      19,511 SH      OTHER      2      17,791       0   1,720
SUPERVALU INC                    COM               868536103       247       9,538 SH      OTHER      9       9,538       0       0
SUSQUEHANNA BANCSHARES INC PA    COM               869099101        12         675 SH      OTHER      2           0       0     675
SWIFT TRANSN CO                  COM               870756103     1,149      52,240 SH      OTHER      2      35,819       0  16,421
SWIFT TRANSN CO                  COM               870756103       133       6,050 SH      OTHER      9       6,050       0       0
SWISS HELVETIA FD INC            COM               870875101        54       3,876 SH      DEFINED    1       3,876       0       0
SWISS HELVETIA FD INC            COM               870875101        15       1,061 SH      OTHER      2           1       0   1,060
SWISSCOM AG                      SPON ADR          871013108         3          68 SH      DEFINED    6          68       0       0
SWISSCOM AG                      SPON ADR          871013108        11         282 SH      DEFINED   10         176     106       0
SWISSCOM AG                      SPON ADR          871013108         1          27 SH      DEFINED   11          27       0       0
SYBASE INC                       COM               871130100        66       6,012 SH      OTHER      2       6,012       0       0
SYBRON INTL CORP                 COM               87114F106         9         316 SH      DEFINED    1          71     245       0
SYBRON INTL CORP                 COM               87114F106       699      25,370 SH      OTHER      2      25,370       0       0
SYBRON INTL CORP                 COM               87114F106       619      22,457 SH      OTHER      4           0       0  22,457
SYBRON INTL CORP                 COM               87114F106         4         134 SH      DEFINED   10         134       0       0
SYBRON INTL CORP                 COM               87114F106         4         138 SH      DEFINED   11         138       0       0
SYKES ENTERPRISES INC            COM               871237103         3         100 SH      DEFINED    1         100       0       0
SYKES ENTERPRISES INC            COM               871237103       197       5,916 SH      OTHER      2       5,916       0       0
SYKES ENTERPRISES INC            COM               871237103         3         101 SH      DEFINED   10         101       0       0
SYLVAN LEARNING SYS INC          COM               871399101     3,650     134,264 SH      OTHER      2     130,572       0   3,692
SYMANTEC CORP                    OPTION            871503108        26          10 CALL    OTHER      2          10       0       0
SYMANTEC CORP                    COM               871503108     2,829     110,938 SH      OTHER      2     110,938       0       0
SYMBOL TECHNOLOGIES INC          COM               871508107       541      14,673 SH      DEFINED    1      12,087   2,586       0
SYMBOL TECHNOLOGIES INC          COM               871508107     5,815     157,702 SH      OTHER      2     152,494       0   5,208
SYMBOL TECHNOLOGIES INC          COM               871508107     1,353      36,699 SH      DEFINED    5      25,599  11,100       0
SYMBOL TECHNOLOGIES INC          COM               871508107       250       6,787 SH      DEFINED    6       5,737   1,050       0
SYMBOL TECHNOLOGIES INC          COM               871508107         0           6 SH      DEFINED   10           6       0       0
SYMBOL TECHNOLOGIES INC          COM               871508107        33         900 SH      DEFINED   11         900       0       0
SYNOPSYS INC                     COM               871607107        25         450 SH      DEFINED    1         450       0       0
SYNOPSYS INC                     COM               871607107     3,277      59,378 SH      OTHER      2      59,378       0       0
SYNOPSYS INC                     COM               871607107         3          56 SH      DEFINED    5          56       0       0
SYNOPSYS INC                     COM               871607107        88       1,600 SH      OTHER      9       1,600       0       0
SYNOPSYS INC                     COM               871607107        17         306 SH      DEFINED   10         306       0       0
SYNOPSYS INC                     COM               871607107        27         497 SH      DEFINED   11         296     201       0
SYNETIC INC                      OPTION            87160F109       963         140 CALL    OTHER      2         140       0       0
SYNETIC INC                      COM               87160F109       538       7,825 SH      OTHER      2       7,825       0       0
SYNETIC INC                      SUB DB CONV 5%07  87160FAB5     4,456   3,706,000 PRN     OTHER      2   3,706,000       0       0
SYNOVUS FINL CORP                COM               87161C105       209      10,500 SH      DEFINED    1      10,500       0       0
SYNOVUS FINL CORP                COM               87161C105       840      42,286 SH      OTHER      2      40,036       0   2,250
SYNOVUS FINL CORP                COM               87161C105       129       6,507 SH      DEFINED    5           0   6,507       0
SYNOVUS FINL CORP                COM               87161C105       334      16,830 SH      OTHER      9      16,830       0       0
SYNTROLEUM CORP                  COM               871630109       159      17,798 SH      OTHER      2           0       0  17,798
SYSCO CORP                       COM               871829107        47       1,590 SH      DEFINED    1       1,305     285       0
SYSCO CORP                       COM               871829107     2,577      86,430 SH      OTHER      2      84,070       0   2,360
SYSCO CORP                       COM               871829107        16         540 SH      DEFINED    5         540       0       0
SYSCO CORP                       COM               871829107         4         140 SH      DEFINED    6           0     140       0
SYSCO CORP                       COM               871829107     6,123     205,373 SH      OTHER      9     205,373       0       0
SYSCO CORP                       COM               871829107       229       7,693 SH      DEFINED   10       5,500   2,193       0
SYSCO CORP                       COM               871829107         7         230 SH      DEFINED   11           0     230       0
SYSTEM SOFTWARE ASSOC INC        COM               871839106        43      26,024 SH      OTHER      2      26,024       0       0
SYSTEMS & COMPUTER TECH          COM               871873105         6         390 SH      DEFINED   10         390       0       0
SYSTEMS & COMPUTER TECH          SUB DB CONV 5%04  871873AB1         2       2,000 PRN     DEFINED    5       2,000       0       0
TAVA TECHNOLOGIES INC            COM               872169107       137      17,803 SH      OTHER      2      17,803       0       0
TAVA TECHNOLOGIES INC            COM               872169107       118      15,400 SH      OTHER      9      15,400       0       0
TBA ENTMT CORP                   COM               872173109         2         480 SH      OTHER      2           0       0     480
TCA CABLE TV INC                 COM               872241104       678      12,219 SH      OTHER      2      12,219       0       0
TCBY ENTERPRISES INC             COM               872245105        25       4,100 SH      OTHER      2       4,100       0       0
TCF FINL CORP                    COM               872275102         7         249 SH      DEFINED    1          55     194       0
TCF FINL CORP                    COM               872275102       597      21,430 SH      OTHER      2      21,430       0       0
TCF FINL CORP                    COM               872275102         3         104 SH      DEFINED   10         104       0       0
TCF FINL CORP                    COM               872275102         3         100 SH      DEFINED   11         100       0       0
TC PIPELINES LP                  UT COM LTD PRT    87233Q108       695      33,900 SH      OTHER      2           0       0  33,900
TDK CORP                         AMERN DEP SH      872351408        15         160 SH      DEFINED    1         160       0       0
TDK CORP                         AMERN DEP SH      872351408        69         745 SH      DEFINED    6         745       0       0
TDK CORP                         AMERN DEP SH      872351408        33         355 SH      DEFINED   10         281      74       0
TECO ENERGY INC                  COM               872375100        56       2,464 SH      DEFINED    1       2,064     400       0
TECO ENERGY INC                  COM               872375100    12,008     527,815 SH      OTHER      2     527,615       0     200
TECO ENERGY INC                  COM               872375100       515      22,636 SH      DEFINED    5       8,203  14,433       0
TECO ENERGY INC                  COM               872375100        32       1,400 SH      DEFINED    6       1,400       0       0
TECO ENERGY INC                  COM               872375100        84       3,700 SH      OTHER      9       3,700       0       0
TECO ENERGY INC                  COM               872375100        95       4,164 SH      DEFINED   11       1,300   2,864       0
TEPPCO PARTNERS L P              UT LTD PARTNER    872384102        50       2,000 SH      DEFINED    1           0   2,000       0
TJ INTL INC                      COM               872534102        39       1,246 SH      OTHER      2       1,246       0       0
TJX COS INC NEW                  COM               872540109        23         682 SH      DEFINED    1         682       0       0
TJX COS INC NEW                  COM               872540109     4,588     137,741 SH      OTHER      2     110,382       0  27,359
TJX COS INC NEW                  COM               872540109        91       2,724 SH      DEFINED    5       2,724       0       0
TJX COS INC NEW                  COM               872540109        32         951 SH      DEFINED    6         951       0       0
TJX COS INC NEW                  COM               872540109       650      19,507 SH      OTHER      9      19,507       0       0
TJX COS INC NEW                  COM               872540109        72       2,148 SH      DEFINED   10         861   1,287       0
TJX COS INC NEW                  COM               872540109        91       2,738 SH      DEFINED   11       2,238     500       0
TRW INC                          OPTION            872649108        55          10 CALL    OTHER      2          10       0       0
TRW INC                          COM               872649108       637      11,600 SH      DEFINED    1         600  11,000       0
TRW INC                          COM               872649108     2,419      44,075 SH      OTHER      2      44,075       0       0
TRW INC                          COM               872649108        92       1,680 SH      DEFINED    5       1,240     440       0
TRW INC                          COM               872649108        82       1,500 SH      DEFINED    6           0   1,500       0
TRW INC                          COM               872649108       411       7,482 SH      OTHER      9       7,482       0       0
TRW INC                          COM               872649108       184       3,350 SH      DEFINED   10       3,350       0       0
TRW INC                          COM               872649108        33         600 SH      DEFINED   11           0     600       0
TRW INC                          PREF 3 CV$4.50    872649603        25         123 SH      DEFINED    5           0     123       0
TV GUIDE INC                     CL A              87307Q109       209       5,700 SH      OTHER      2       5,700       0       0
TAB PRODS CO DEL                 COM               873197107         2         307 SH      OTHER      2         307       0       0
TAIWAN SEMICONDUCTOR MFG LTD     SPON ADR          874039100       290       8,515 SH      OTHER      4           0       0   8,515
TAKE-TWO INTERACTIVE SOFTWARE    COM               874054109        15       2,000 SH      OTHER      2           0       0   2,000
TAKE-TWO INTERACTIVE SOFTWARE    COM               874054109        55       7,200 SH      OTHER      9       7,200       0       0
TALBOTS INC                      COM               874161102        11         300 SH      DEFINED    1         300       0       0
TALBOTS INC                      COM               874161102       122       3,200 SH      OTHER      9       3,200       0       0
TALK COM INC                     COM               874264104        27       2,393 SH      OTHER      2       2,393       0       0
TANDY BRANDS ACCESSORIES INC     COM               875378101        13         750 SH      OTHER      2           0       0     750
TANDY CORP                       OPTION            875382103       254          52 CALL    OTHER      2          52       0       0
TANDY CORP                       COM               875382103     6,914     141,459 SH      OTHER      2      28,600       0 112,859
TANDY CORP                       COM               875382103       574      11,735 SH      OTHER      9      11,735       0       0
TANDY CORP                       COM               875382103        13         262 SH      DEFINED   11           0     262       0
TANGER FACTORY OUTLET CTRS INC   COM               875465106         5         200 SH      DEFINED    1           0     200       0
TANGER FACTORY OUTLET CTRS INC   PFD A CV 1/10S    875465205         2         100 SH      DEFINED    1           0     100       0
TARRANT APPAREL GROUP            COM               876289109        12         535 SH      DEFINED    1           0     535       0
TARRANT APPAREL GROUP            COM               876289109        46       2,000 SH      OTHER      9       2,000       0       0
TAUBMAN CTRS INC                 COM               876664103         4         337 SH      DEFINED    1           0     337       0
TAUBMAN CTRS INC                 COM               876664103    21,543   1,633,618 SH      OTHER      2   1,633,618       0       0
TECH DATA CORP                   COM               878237106     2,706      70,756 SH      OTHER      2      70,756       0       0
TECH DATA CORP                   COM               878237106       213       5,580 SH      OTHER      9       5,580       0       0
TECHNITROL INC                   COM               878555101         7         225 SH      DEFINED    1           0     225       0
TECHNITROL INC                   COM               878555101         5         165 SH      DEFINED   10         165       0       0
TECHNITROL INC                   COM               878555101         6         200 SH      DEFINED   11         200       0       0
TECUMSEH PRODS CO                CL B              878895101         1          20 SH      DEFINED    1          20       0       0
TECUMSEH PRODS CO                CL A              878895200         4          60 SH      DEFINED    1          60       0       0
TECUMSEH PRODS CO                CL A              878895200       311       5,127 SH      OTHER      2       5,127       0       0
TECUMSEH PRODS CO                CL A              878895200        73       1,200 SH      OTHER      9       1,200       0       0
TEKELEC                          COM               879101103         3         280 SH      DEFINED    1         280       0       0
TEKELEC                          COM               879101103         3         220 SH      DEFINED   10         220       0       0
TEKTRONIX INC                    COM               879131100       205       6,797 SH      OTHER      2       6,797       0       0
TEKTRONIX INC                    COM               879131100       122       4,026 SH      OTHER      9       4,026       0       0
TELE CELULAR SUL PART S A        SPONS ADR PFD     879238103        11         500 SH      OTHER      2         500       0       0
TELE CELULAR SUL PART S A        SPONS ADR PFD     879238103       170       7,816 SH      OTHER      9       7,816       0       0
TELE CENTRO SUL PART S A         SPONS ADR PFD     879239101       701      12,632 SH      OTHER      9      12,632       0       0
TELE CENTRO OESTE CELULAR S A    SPONS ADR PFD     87923P105       102      25,955 SH      OTHER      9      25,955       0       0
TELE DANMARK A/S                 SPNSR ADR CL B    879242105     8,101     314,617 SH      OTHER      2     302,660       0  11,957
TELE DANMARK A/S                 SPNSR ADR CL B    879242105       237       9,200 SH      DEFINED    5       4,600   4,600       0
TELE DANMARK A/S                 SPNSR ADR CL B    879242105       112       4,350 SH      DEFINED   10       3,750     600       0
TELE DANMARK A/S                 SPNSR ADR CL B    879242105        62       2,400 SH      DEFINED   11       2,400       0       0
TELE NORTE LESTE PART S A        SPONS ADR PFD     879246106    10,130     545,764 SH      OTHER      9     545,764       0       0
TELE NORDESTE CELULAR PART S A   SPONS ADR PFD     87924W109       106       3,908 SH      OTHER      9       3,908       0       0
TELE NORTE CELULAR PART S A      SPONS ADR PFD     87924Y105        42       1,563 SH      OTHER      9       1,563       0       0
TELEBANC FINANCIAL CORP          OPTION            87925R109        93          24 CALL    OTHER      2          24       0       0
TELEBANC FINANCIAL CORP          COM               87925R109       155       3,990 SH      OTHER      2           0       0   3,990
TELECOMM ARGENTINA STET-FRANCE   SPNS ADR REP B    879273209        23         870 SH      OTHER      2         870       0       0
TELECOMM ARGENTINA STET-FRANCE   SPNS ADR REP B    879273209     1,435      53,636 SH      OTHER      9      53,636       0       0
TELECOM CORP NEW ZEALAND LTD     SPON ADR          879278208       108       3,100 SH      OTHER      2       1,300       0   1,800
TELECOM CORP NEW ZEALAND LTD     SPON ADR          879278208        21         600 SH      DEFINED    6         600       0       0
TELECOM CORP NEW ZEALAND LTD     SPON ADR          879278208        35       1,000 SH      DEFINED   11           0   1,000       0
TELECOM ITALIA SPA               OPTION            87927W106        42           4 CALL    OTHER      2           4       0       0
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106       276       2,625 SH      DEFINED    1       2,335     290       0
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106    20,936     199,035 SH      OTHER      2     195,950       0   3,085
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106     4,960      47,150 SH      OTHER      4           0       0  47,150
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106         3          30 SH      DEFINED    5          30       0       0
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106        37         353 SH      DEFINED    6         353       0       0
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106       410       3,900 SH      OTHER      9       3,900       0       0
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106       108       1,025 SH      DEFINED   10         721     304       0
TELECOM ITALIA SPA               SPONS ADR ORD     87927W106       196       1,866 SH      DEFINED   11         636   1,230       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100         0       2,075 SH      DEFINED    1       1,225     850       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100         1      13,416 SH      OTHER      2           0       0  13,416
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100         0       2,395 SH      OTHER      4           0       0   2,395
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100         0         905 SH      DEFINED    5         405     500       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100         0         525 SH      DEFINED    6         525       0       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100        21     333,220 SH      OTHER      9     333,220       0       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100         0       2,200 SH      DEFINED   10       2,100     100       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287100         0       2,650 SH      DEFINED   11       2,050     600       0
TELECOMUNICACOES BRASILEIRAS S   OPTION            879287308       153          17 CALL    OTHER      2          17       0       0
TELECOMUNICACOES BRASILEIRAS S   OPTION            879287308       198          22 PUT     OTHER      2          22       0       0
TELECOMUNICACOES BRASILEIRAS S   OPTION            879287308    10,197       1,133 PUT     OTHER      9       1,133       0       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287308       137       1,525 SH      DEFINED    1       1,075     450       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287308     1,248      13,866 SH      OTHER      2         600       0  13,266
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287308       162       1,795 SH      OTHER      4           0       0   1,795
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287308        54         600 SH      DEFINED    5         100     500       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287308        48         532 SH      DEFINED    6         532       0       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287308       210       2,331 SH      DEFINED   10       2,182     149       0
TELECOMUNICACOES BRASILEIRAS S   SPON ADR          879287308       250       2,774 SH      DEFINED   11       2,174     600       0
TELEFLEX INC                     COM               879369106     1,761      40,530 SH      DEFINED    1      32,820   7,710       0
TELEFLEX INC                     COM               879369106       403       9,280 SH      OTHER      2       9,280       0       0
TELEFLEX INC                     COM               879369106       948      21,830 SH      DEFINED    5      19,330   2,500       0
TELEFLEX INC                     COM               879369106       565      13,015 SH      DEFINED    6       6,040   6,975       0
TELEFLEX INC                     COM               879369106       660      15,196 SH      DEFINED   10      12,650   2,546       0
TELEFLEX INC                     COM               879369106     2,247      51,740 SH      DEFINED   11      45,220   6,520       0
TELEFONICA DE ARGENTINA S A      SPNSR ADR CL B    879378206        18         575 SH      DEFINED    1         450     125       0
TELEFONICA DE ARGENTINA S A      SPNSR ADR CL B    879378206    10,862     346,200 SH      OTHER      2     346,200       0       0
TELEFONICA DE ARGENTINA S A      SPNSR ADR CL B    879378206        16         500 SH      DEFINED    5         500       0       0
TELEFONICA DE ARGENTINA S A      SPNSR ADR CL B    879378206    60,648   1,933,015 SH      OTHER      9   1,933,015       0       0
TELEFONICA DE ARGENTINA S A      SPNSR ADR CL B    879378206         6         200 SH      DEFINED   11           0     200       0
TELEFONICA S A                   SPON ADR          879382208       198       1,343 SH      DEFINED    1       1,056     287       0
TELEFONICA S A                   SPON ADR          879382208    22,129     150,411 SH      OTHER      2     148,018       0   2,393
TELEFONICA S A                   SPON ADR          879382208       198       1,347 SH      DEFINED    5       1,139     208       0
TELEFONICA S A                   SPON ADR          879382208       557       3,785 SH      DEFINED    6       2,745   1,040       0
TELEFONICA S A                   SPON ADR          879382208       268       1,822 SH      DEFINED   10       1,733      89       0
TELEFONICA S A                   SPON ADR          879382208       417       2,832 SH      DEFINED   11       2,527     305       0
TELEFONICA DEL PERU S A          OPTION            879384105     1,513       1,000 CALL    OTHER      2       1,000       0       0
TELEFONICA DEL PERU S A          SPONS ADR CL B    879384105       560      37,000 SH      OTHER      2      35,000       0   2,000
TELEFONOS DE MEXICO S A          ADR NOMINATIVE    879403400        56      13,940 SH      OTHER      2      13,940       0       0
TELEFONOS DE MEXICO S A          ADR NOMINATIVE    879403400       200      50,000 SH      DEFINED    6      50,000       0       0
TELEFONOS DE MEXICO S A          OPTION            879403780       162          20 CALL    OTHER      2          20       0       0
TELEFONOS DE MEXICO S A          OPTION            879403780    31,921       3,950 PUT     OTHER      9       3,950       0       0
TELEFONOS DE MEXICO S A          SPNS ADR ORD L    879403780        67         825 SH      DEFINED    1         690     135       0
TELEFONOS DE MEXICO S A          SPNS ADR ORD L    879403780     1,269      15,700 SH      OTHER      2       4,850       0  10,850
TELEFONOS DE MEXICO S A          SPNS ADR ORD L    879403780        19         241 SH      DEFINED    5         191      50       0
TELEFONOS DE MEXICO S A          SPNS ADR ORD L    879403780     1,713      21,192 SH      DEFINED    6       2,442  18,750       0
TELEFONOS DE MEXICO S A          SPNS ADR ORD L    879403780    21,808     269,862 SH      OTHER      9     269,862       0       0
TELEFONOS DE MEXICO S A          SPNS ADR ORD L    879403780       214       2,654 SH      DEFINED   10       1,915     739       0
TELEFONOS DE MEXICO S A          SPNS ADR ORD L    879403780        87       1,080 SH      DEFINED   11         720     360       0
TELEFONOS DE MEXICO S A          SR DB CV 4.25%04  879403AD5     4,308   4,239,000 PRN     OTHER      2   4,239,000       0       0
TELEPHONE & DATA SYS INC         COM               879433100     1,104      15,101 SH      OTHER      2      15,001       0     100
TELEPHONE & DATA SYS INC         COM               879433100        37         500 SH      OTHER      9         500       0       0
TELEPHONE & DATA SYS INC         COM               879433100        16         224 SH      DEFINED   11         224       0       0
TELESTE CELULAR PART S A         SPONS ADR PFD     87943B102        46       1,563 SH      OTHER      9       1,563       0       0
TELEMIG CELULAR PART S A         SPONS ADR PFD     87944E105         0           8 SH      OTHER      9           8       0       0
TELESP PARTICIPACOES S A         SPONS ADR PFD     87952K100       458      20,000 SH      OTHER      2      20,000       0       0
TELESP PARTICIPACOES S A         SPONS ADR PFD     87952K100     1,424      62,264 SH      OTHER      9      62,264       0       0
TELESP CELULAR PART S A          SPONS ADR PFD     87952L108         1          45 SH      OTHER      9          45       0       0
TELEWEST COMMUNICATIONS PLC      SPON ADR          87956P105         2          36 SH      OTHER      2          36       0       0
TELIGENT INC                     CL A              87959Y103        30         500 SH      OTHER      2           0       0     500
TELLABS INC                      OPTION            879664100        41           6 CALL    OTHER      2           6       0       0
TELLABS INC                      OPTION            879664100     6,756       1,000 CALL    OTHER      9       1,000       0       0
TELLABS INC                      OPTION            879664100       135          20 PUT     OTHER      2          20       0       0
TELLABS INC                      COM               879664100       431       6,380 SH      DEFINED    1       5,180   1,200       0
TELLABS INC                      COM               879664100    50,140     742,140 SH      OTHER      2     633,082       0 109,058
TELLABS INC                      COM               879664100     7,518     111,270 SH      OTHER      4           0       0 111,270
TELLABS INC                      COM               879664100        61         902 SH      DEFINED    5           0     902       0
TELLABS INC                      COM               879664100       307       4,545 SH      DEFINED    6       4,005     540       0
TELLABS INC                      COM               879664100       117       1,735 SH      DEFINED   10       1,735       0       0
TELLABS INC                      COM               879664100       482       7,136 SH      DEFINED   11       5,916   1,220       0
TELSCAPE INTERNATIONAL INC       COM               87969E105         8       1,000 SH      OTHER      2           0       0   1,000
TELXON CORP                      COM               879700102       110      13,856 SH      OTHER      2      13,856       0       0
TEMPLE INLAND INC                COM               879868107       562       8,195 SH      OTHER      2       8,195       0       0
TEMPLE INLAND INC                COM               879868107       249       3,624 SH      OTHER      9       3,624       0       0
TEMPLE INLAND INC                COM               879868107        18         269 SH      DEFINED   10         269       0       0
TELETECH HOLDINGS INC            COM               879939106         7         725 SH      DEFINED    1           0     725       0
TELESYSTEM INTL WIRELESS INC     SUB VTG SHS       879946101        11         618 SH      OTHER      1         618       0       0
TELESYSTEM INTL WIRELESS INC     SUB VTG SHS       879946101        33       1,808 SH      OTHER      2       1,808       0       0
TEMPLETON DRAGON FD INC          COM               88018T101        22       1,964 SH      OTHER      2           0       0   1,964
TEMPLETON DRAGON FD INC          COM               88018T101         6         550 SH      DEFINED   11           0     550       0
TEMPLETON CHINA WORLD FD INC     COM               88018X102       150      17,062 SH      OTHER      2           0       0  17,062
TEMPLETON CHINA WORLD FD INC     COM               88018X102        20       2,308 SH      DEFINED    5       2,308       0       0
TEMPLETON EMERG MKTS INC FD      COM               880192109        54       5,000 SH      OTHER      2           0       0   5,000
TEMPLETON GLOBAL INCOME FD INC   COM               880198106       173      26,400 SH      DEFINED    1      26,400       0       0
TEMPLETON GLOBAL INCOME FD INC   COM               880198106        64       9,821 SH      OTHER      2           0       0   9,821
TEMPLETON GLOBAL INCOME FD INC   COM               880198106        11       1,700 SH      DEFINED    5       1,000     700       0
TEMPLETON VIETNAM S-E ASIA FD    COM               88022J107        16       1,500 SH      OTHER      2           0       0   1,500
TENET HEALTHCARE CORP            COM               88033G100        18         969 SH      DEFINED    1         344     625       0
TENET HEALTHCARE CORP            COM               88033G100     2,446     131,778 SH      OTHER      2     131,678       0     100
TENET HEALTHCARE CORP            COM               88033G100        12         640 SH      DEFINED    6         640       0       0
TENET HEALTHCARE CORP            COM               88033G100       578      31,137 SH      OTHER      9      31,137       0       0
TENET HEALTHCARE CORP            COM               88033G100        15         834 SH      DEFINED   10         834       0       0
TENET HEALTHCARE CORP            COM               88033G100        14         758 SH      DEFINED   11         568     190       0
TENNECO INC NEW                  COM               88037E101     1,022      42,794 SH      DEFINED    1      37,633   5,161       0
TENNECO INC NEW                  COM               88037E101       840      35,204 SH      OTHER      2      25,289       0   9,915
TENNECO INC NEW                  COM               88037E101        44       1,850 SH      OTHER      4           0       0   1,850
TENNECO INC NEW                  COM               88037E101       513      21,506 SH      DEFINED    5      15,372   6,134       0
TENNECO INC NEW                  COM               88037E101       255      10,694 SH      DEFINED    6       9,908     786       0
TENNECO INC NEW                  COM               88037E101       264      11,063 SH      OTHER      9      11,063       0       0
TENNECO INC NEW                  COM               88037E101     1,611      67,472 SH      DEFINED   10      57,222  10,250       0
TENNECO INC NEW                  COM               88037E101       453      18,986 SH      DEFINED   11      18,175     811       0
TERADYNE INC                     OPTION            880770102        72          10 PUT     OTHER      2          10       0       0
TERADYNE INC                     COM               880770102        32         445 SH      DEFINED    1         445       0       0
TERADYNE INC                     COM               880770102     2,351      32,773 SH      OTHER      2      30,726       0   2,047
TERADYNE INC                     COM               880770102         6          90 SH      DEFINED    5          90       0       0
TERADYNE INC                     COM               880770102       427       5,955 SH      OTHER      9       5,955       0       0
TERADYNE INC                     COM               880770102        56         775 SH      DEFINED   10         106     669       0
TERADYNE INC                     COM               880770102        95       1,325 SH      DEFINED   11         980     345       0
TERAYON COMMUNICATION SYS        OPTION            880775101        56          10 CALL    OTHER      2          10       0       0
TERAYON COMMUNICATION SYS        OPTION            880775101        11           2 PUT     OTHER      2           2       0       0
TERAYON COMMUNICATION SYS        COM               880775101       279       5,000 SH      OTHER      9       5,000       0       0
TESORO PETE CORP                 OPTION            881609101        16          10 CALL    OTHER      2          10       0       0
TEVA PHARMACEUTICAL INDS LTD     ADR               881624209       201       4,100 SH      DEFINED    1       4,100       0       0
TEVA PHARMACEUTICAL INDS LTD     ADR               881624209        13         275 SH      OTHER      2         275       0       0
TEVA PHARMACEUTICAL INDS LTD     ADR               881624209        81       1,650 SH      DEFINED    6         850     800       0
TEVA PHARMACEUTICAL INDS LTD     ADR               881624209        49       1,000 SH      DEFINED   10       1,000       0       0
TETRA TECHNOLOGIES INC DEL       COM               88162F105         5         490 SH      DEFINED   10         490       0       0
TETRA TECH INC NEW               COM               88162G103        61       3,700 SH      OTHER      2       3,700       0       0
TETRA TECH INC NEW               COM               88162G103         6         362 SH      DEFINED   10         362       0       0
TEXACO INC                       OPTION            881694103       150          24 CALL    OTHER      2          24       0       0
TEXACO INC                       OPTION            881694103        62          10 PUT     OTHER      2          10       0       0
TEXACO INC                       OPTION            881694103     1,559         250 PUT     OTHER      9         250       0       0
TEXACO INC                       COM               881694103       326       5,227 SH      DEFINED    1       4,827     400       0
TEXACO INC                       COM               881694103    10,138     162,526 SH      OTHER      2     142,632       0  19,894
TEXACO INC                       COM               881694103     2,183      35,000 SH      OTHER      4           0       0  35,000
TEXACO INC                       COM               881694103     1,257      20,150 SH      DEFINED    5       7,957  12,193       0
TEXACO INC                       COM               881694103       514       8,246 SH      DEFINED    6       5,300   2,946       0
TEXACO INC                       COM               881694103     6,389     102,426 SH      OTHER      9     102,426       0       0
TEXACO INC                       COM               881694103       738      11,831 SH      DEFINED   10       6,074   5,757       0
TEXACO INC                       COM               881694103       329       5,270 SH      DEFINED   11       4,420     850       0
TEXAS INDS INC                   OPTION            882491103        39          10 CALL    OTHER      2          10       0       0
TEXAS INDS INC                   COM               882491103        34         878 SH      DEFINED    5         878       0       0
TEXAS INSTRS INC                 OPTION            882508104       662          46 CALL    OTHER      2          46       0       0
TEXAS INSTRS INC                 OPTION            882508104    28,800       2,000 CALL    OTHER      9       2,000       0       0
TEXAS INSTRS INC                 OPTION            882508104       317          22 PUT     OTHER      2          22       0       0
TEXAS INSTRS INC                 COM               882508104     5,190      36,045 SH      DEFINED    1      26,503   9,542       0
TEXAS INSTRS INC                 COM               882508104    32,418     225,125 SH      OTHER      2     218,749       0   6,376
TEXAS INSTRS INC                 COM               882508104       653       4,535 SH      OTHER      4           0       0   4,535
TEXAS INSTRS INC                 COM               882508104       631       4,382 SH      DEFINED    5       1,982   2,400       0
TEXAS INSTRS INC                 COM               882508104     2,721      18,899 SH      DEFINED    6      16,549   2,350       0
TEXAS INSTRS INC                 COM               882508104       766       5,319 SH      OTHER      9       5,319       0       0
TEXAS INSTRS INC                 COM               882508104       898       6,234 SH      DEFINED   10       5,015   1,219       0
TEXAS INSTRS INC                 COM               882508104     2,037      14,147 SH      DEFINED   11      10,664   3,483       0
TEXAS UTILS CO                   COM               882848104       200       4,820 SH      DEFINED    1       3,780   1,040       0
TEXAS UTILS CO                   COM               882848104    27,538     664,580 SH      OTHER      2     650,951       0  13,629
TEXAS UTILS CO                   COM               882848104       225       5,428 SH      DEFINED    5       4,403   1,025       0
TEXAS UTILS CO                   COM               882848104       217       5,229 SH      DEFINED    6       4,641     588       0
TEXAS UTILS CO                   COM               882848104       785      18,939 SH      OTHER      9      18,939       0       0
TEXAS UTILS CO                   COM               882848104       261       6,292 SH      DEFINED   10       5,602     690       0
TEXAS UTILS CO                   COM               882848104       142       3,416 SH      DEFINED   11       3,216     200       0
THAI FD INC                      COM               882904105       256      25,000 SH      OTHER      2      25,000       0       0
TEXTRON INC                      COM               883203101       216       2,620 SH      DEFINED    1       1,700     920       0
TEXTRON INC                      COM               883203101   182,270   2,214,379 SH      OTHER      2   2,208,459       0   5,920
TEXTRON INC                      COM               883203101       281       3,412 SH      DEFINED    5       2,612     800       0
TEXTRON INC                      COM               883203101       103       1,250 SH      DEFINED    6           0   1,250       0
TEXTRON INC                      COM               883203101       801       9,727 SH      OTHER      9       9,727       0       0
TEXTRON INC                      COM               883203101        16         191 SH      DEFINED   10           0     191       0
TEXTRON INC                      COM               883203101       161       1,953 SH      DEFINED   11       1,870      83       0
TEXTRON INC                      PFD CONV $2.08    883203200        63         192 SH      DEFINED    5           0     192       0
THEGLOBE COM INC                 OPTION            88335R101        18           9 CALL    OTHER      2           9       0       0
THERAGENICS CORP                 COM               883375107         2         275 SH      DEFINED    1           0     275       0
THERMO ELECTRON CORP             COM               883556102       211      10,537 SH      DEFINED    1       4,262   6,275       0
THERMO ELECTRON CORP             COM               883556102       487      24,285 SH      OTHER      2      23,285       0   1,000
THERMO ELECTRON CORP             COM               883556102       109       5,450 SH      DEFINED    5       5,450       0       0
THERMO ELECTRON CORP             COM               883556102       124       6,160 SH      DEFINED    6       2,785   3,375       0
THERMO ELECTRON CORP             COM               883556102        12         600 SH      DEFINED   10         600       0       0
THERMO ELECTRON CORP             COM               883556102       167       8,300 SH      DEFINED   11       6,500   1,800       0
THERMO ELECTRON CORP             SUBDB CV 144A 03  883556AF9       124     138,000 PRN     OTHER      2     138,000       0       0
THERMO BIOANALYSIS CORP          COM               88355H108        19       1,100 SH      OTHER      2       1,100       0       0
THERMO CARDIOSYSTEMS INC         COM NONREDEEM     88355K200        33       3,000 SH      OTHER      2           0       0   3,000
THERMO CARDIOSYSTEMS INC         SB DB CV 144A 04  88355KAA9     8,849  10,200,000 PRN     OTHER      9   10,200,000      0       0
THERMO FIBERTEK INC              COM               88355W105         0          10 SH      OTHER      2          10       0       0
THERMOTREX CORP                  COM               883666109        21       2,700 SH      OTHER      2       2,700       0       0
THOMAS & BETTS CORP              COM               884315102        38         800 SH      DEFINED    1           0     800       0
THOMAS & BETTS CORP              COM               884315102       426       9,008 SH      OTHER      2       8,490       0     518
THOMAS & BETTS CORP              COM               884315102       167       3,541 SH      OTHER      9       3,541       0       0
3COM CORP                        OPTION            885535104        61          23 CALL    OTHER      2          23       0       0
3COM CORP                        COM               885535104        19         700 SH      DEFINED    1           0     700       0
3COM CORP                        COM               885535104     9,506     356,191 SH      OTHER      2     318,241       0  37,950
3COM CORP                        COM               885535104         5         175 SH      DEFINED    5           0     175       0
3COM CORP                        COM               885535104         8         297 SH      OTHER      9         297       0       0
3DO CO                           COM               88553W105         1         245 SH      OTHER      2         245       0       0
3DFX INTERACTIVE INC             COM               88553X103         5         325 SH      OTHER      2           0       0     325
TIDEWATER INC                    OPTION            886423102       223          73 CALL    OTHER      2          73       0       0
TIDEWATER INC                    COM               886423102     1,010      33,108 SH      OTHER      2      22,708       0  10,400
TIDEWATER INC                    COM               886423102         1          40 SH      DEFINED    5          40       0       0
TIDEWATER INC                    COM               886423102        61       2,000 SH      DEFINED    6       2,000       0       0
TIDEWATER INC                    COM               886423102        17         550 SH      DEFINED   10         550       0       0
TIFFANY & CO NEW                 COM               886547108        29         300 SH      DEFINED    1         300       0       0
TIFFANY & CO NEW                 COM               886547108     1,220      12,642 SH      OTHER      2       8,549       0   4,093
TIFFANY & CO NEW                 COM               886547108        27         282 SH      DEFINED    5         282       0       0
TIFFANY & CO NEW                 COM               886547108        10         102 SH      DEFINED   10         102       0       0
TIFFANY & CO NEW                 COM               886547108        68         700 SH      DEFINED   11         400     300       0
TIMBERLAND CO                    CL A              887100105        10         145 SH      DEFINED    1           0     145       0
TIME WARNER INC                  OPTION            887315109     9,630       1,326 CALL    OTHER      2       1,326       0       0
TIME WARNER INC                  OPTION            887315109     7,335       1,010 PUT     OTHER      2       1,010       0       0
TIME WARNER INC                  COM               887315109       527       7,256 SH      DEFINED    1       6,056   1,200       0
TIME WARNER INC                  COM               887315109       217       2,985 SH      OTHER      1       2,985       0       0
TIME WARNER INC                  COM               887315109    80,907   1,114,039 SH      OTHER      2     219,464       0 894,575
TIME WARNER INC                  COM               887315109       253       3,478 SH      DEFINED    5       1,028   2,450       0
TIME WARNER INC                  COM               887315109        64         887 SH      DEFINED    6         887       0       0
TIME WARNER INC                  COM               887315109     3,198      44,040 SH      OTHER      9      44,040       0       0
TIME WARNER INC                  COM               887315109       568       7,820 SH      DEFINED   10       1,010   6,810       0
TIME WARNER INC                  COM               887315109       194       2,668 SH      DEFINED   11       1,768     900       0
TIMES MIRROR CO NEW              COM SER A         887364107     2,511      42,381 SH      OTHER      2      42,381       0       0
TIMES MIRROR CO NEW              COM SER A         887364107     2,489      42,008 SH      OTHER      9      42,008       0       0
TIMES MIRROR CO NEW              COM SER A         887364107        95       1,600 SH      DEFINED   10       1,600       0       0
TIMKEN CO                        COM               887389104       183       9,392 SH      OTHER      2       9,392       0       0
TIMKEN CO                        COM               887389104        82       4,225 SH      OTHER      9       4,225       0       0
TIMKEN CO                        COM               887389104        16         801 SH      DEFINED   11         801       0       0
TITAN CORP                       COM               888266103        55       5,000 SH      OTHER      2           0       0   5,000
TITAN EXPL INC                   COM               888289105       160      32,041 SH      OTHER      2      32,041       0       0
TITAN INTL INC ILL               COM               88830M102         8         700 SH      OTHER      2           0       0     700
TITANIUM METALS CORP             COM               888339108         1          97 SH      DEFINED    1          97       0       0
TNT POST GROEP N V               SPON ADR          888742103       935      38,960 SH      OTHER      2      38,030       0     930
TOKIO MARINE & FIRE INS LTD      ADR NEW           889090403       103       1,829 SH      DEFINED    1       1,534     295       0
TOKIO MARINE & FIRE INS LTD      ADR NEW           889090403         6         114 SH      DEFINED    5         114       0       0
TOKIO MARINE & FIRE INS LTD      ADR NEW           889090403        36         644 SH      DEFINED    6         644       0       0
TOKIO MARINE & FIRE INS LTD      ADR NEW           889090403        64       1,139 SH      DEFINED   10         953     186       0
TOKIO MARINE & FIRE INS LTD      ADR NEW           889090403        37         653 SH      DEFINED   11         200     453       0
TOLL BROTHERS INC                COM               889478103       328      15,300 SH      DEFINED    1       7,100   8,200       0
TOLL BROTHERS INC                COM               889478103        11         500 SH      DEFINED    5         500       0       0
TOLL BROTHERS INC                COM               889478103       273      12,740 SH      DEFINED   11      12,740       0       0
TOMPKINSTRUSTCO INC              COM               890110109     1,259      38,735 SH      DEFINED    5           0  38,735       0
TOOTSIE ROLL INDS INC            COM               890516107       121       3,132 SH      DEFINED    1           0   3,132       0
TOPPS INC                        COM               890786106         0          24 SH      OTHER      2          24       0       0
TORCH ENERGY ROYALTY TRUST       UNIT BEN INT      891013104         3         500 SH      DEFINED   10         500       0       0
TORCHMARK CORP                   OPTION            891027104        14           4 CALL    OTHER      2           4       0       0
TORCHMARK CORP                   COM               891027104         5         160 SH      DEFINED    1         160       0       0
TORCHMARK CORP                   COM               891027104     6,627     194,185 SH      OTHER      2     183,822       0  10,363
TORCHMARK CORP                   COM               891027104        41       1,200 SH      DEFINED    5           0   1,200       0
TORCHMARK CORP                   COM               891027104        19         570 SH      DEFINED    6         570       0       0
TORCHMARK CORP                   COM               891027104       283       8,280 SH      OTHER      9       8,280       0       0
TORCHMARK CORP                   COM               891027104        21         615 SH      DEFINED   10         185     430       0
TORCHMARK CORP                   COM               891027104        26         755 SH      DEFINED   11         755       0       0
TORONTO DOMINION BK ONT          COM NEW           891160509     1,042      22,900 SH      OTHER      1      22,900       0       0
TORONTO DOMINION BK ONT          COM NEW           891160509     3,640      80,000 SH      OTHER      2      80,000       0       0
TORONTO DOMINION BK ONT          COM NEW           891160509        59       1,300 SH      OTHER      4           0       0   1,300
TOSCO CORP                       COM NEW           891490302        61       2,335 SH      DEFINED    1       1,285   1,050       0
TOSCO CORP                       COM NEW           891490302     1,109      42,748 SH      OTHER      2      42,748       0       0
TOSCO CORP                       COM NEW           891490302        18         689 SH      DEFINED    5         689       0       0
TOSCO CORP                       COM NEW           891490302         3         115 SH      DEFINED    6         115       0       0
TOSCO CORP                       COM NEW           891490302        29       1,100 SH      OTHER      9       1,100       0       0
TOSCO CORP                       COM NEW           891490302        62       2,389 SH      DEFINED   10         949   1,440       0
TOSCO CORP                       COM NEW           891490302        65       2,512 SH      DEFINED   11       1,586     926       0
TOTAL RENAL CARE HLDGS INC       COM               89151A107       310      19,907 SH      OTHER      2      19,907       0       0
TOTAL RENAL CARE HLDGS INC       COM               89151A107       250      16,060 SH      OTHER      9      16,060       0       0
TOTAL RENAL CARE HLDGS INC       SB NT CV144A7%09  89151AAA5       394     480,000 PRN     OTHER      2     480,000       0       0
TOWER AUTOMOTIVE INC             COM               891707101         4         163 SH      DEFINED   11           0     163       0
TOTAL SYS SVCS INC               COM               891906109        30       1,600 SH      DEFINED    1       1,600       0       0
TOYOTA MOTOR CORP                ADR 2 COM         892331307       176       2,745 SH      OTHER      2       2,645       0     100
TOYOTA MOTOR CORP                ADR 2 COM         892331307         6         100 SH      DEFINED    5         100       0       0
TOYOTA MOTOR CORP                ADR 2 COM         892331307        11         170 SH      DEFINED    6         170       0       0
TOYOTA MOTOR CORP                ADR 2 COM         892331307        19         298 SH      DEFINED   10         183     115       0
TOYOTA MOTOR CORP                ADR 2 COM         892331307         4          58 SH      DEFINED   11          58       0       0
TOYS R US INC                    COM               892335100       247      11,950 SH      DEFINED    1       8,500   3,450       0
TOYS R US INC                    COM               892335100     1,454      70,280 SH      OTHER      2      69,980       0     300
TOYS R US INC                    COM               892335100        62       3,000 SH      DEFINED    5       3,000       0       0
TOYS R US INC                    COM               892335100        65       3,125 SH      DEFINED    6       2,950     175       0
TOYS R US INC                    COM               892335100       312      15,070 SH      OTHER      9      15,070       0       0
TOYS R US INC                    COM               892335100        14         700 SH      DEFINED   10         700       0       0
TOYS R US INC                    COM               892335100       195       9,450 SH      DEFINED   11       9,200     250       0
TRAMMELL CROW CO                 COM               89288R106        23       1,400 SH      OTHER      2       1,400       0       0
TRANS WORLD AIRLS INC            COM PAR$.01NEW    893349837         0           3 SH      OTHER      2           3       0       0
TRANS WORLD AIRLS INC            COM PAR$.01NEW    893349837         1         204 SH      DEFINED   10         204       0       0
TRANS WORLD ENTMT CORP           COM               89336Q100    30,805   2,738,266 SH      OTHER      2   2,738,266       0       0
TRANS WORLD ENTMT CORP           COM               89336Q100        73       6,500 SH      OTHER      9       6,500       0       0
TRANSACTION SYS ARCHITECTS       CL A              893416107     2,571      65,928 SH      OTHER      2      65,928       0       0
TRANSAMERICA CORP                COM               893485102       505       6,730 SH      DEFINED    1       4,330   2,400       0
TRANSAMERICA CORP                COM               893485102     1,393      18,574 SH      OTHER      2      18,574       0       0
TRANSAMERICA CORP                COM               893485102     1,673      22,309 SH      DEFINED    5      18,057   4,252       0
TRANSAMERICA CORP                COM               893485102       947      12,620 SH      DEFINED    6      10,420   2,200       0
TRANSAMERICA CORP                COM               893485102       820      10,939 SH      OTHER      9      10,939       0       0
TRANSAMERICA CORP                COM               893485102        35         470 SH      DEFINED   10         470       0       0
TRANSAMERICA CORP                COM               893485102       461       6,140 SH      DEFINED   11       4,340   1,800       0
TRANSAMERICA INCOME SHS INC      COM               893506105        32       1,294 SH      DEFINED    5       1,294       0       0
TRANSAMERICA INCOME SHS INC      COM               893506105        15         600 SH      DEFINED   10         600       0       0
TRANSATLANTIC HLDGS INC          COM               893521104        28         375 SH      DEFINED    1         375       0       0
TRANSATLANTIC HLDGS INC          COM               893521104       105       1,400 SH      OTHER      9       1,400       0       0
TRANSCANADA PIPELINES LTD        COM               893526103         6         400 SH      DEFINED    1         400       0       0
TRANSCANADA PIPELINES LTD        COM               893526103     2,674     191,000 SH      OTHER      2     191,000       0       0
TRANSCANADA PIPELINES LTD        COM               893526103        91       6,490 SH      DEFINED    5       5,970     520       0
TRANSCANADA PIPELINES LTD        COM               893526103        46       3,280 SH      DEFINED    6         780   2,500       0
TRANSCANADA PIPELINES LTD        COM               893526103        57       4,100 SH      DEFINED   11       4,100       0       0
TRANSFINANCIAL HLDGS INC         COM               89365P106         0          20 SH      DEFINED    5          20       0       0
TRANSKARYOTIC THERAPIES INC      COM               893735100       116       3,500 SH      DEFINED    6       3,500       0       0
TRANSPORTACION MARITIMA MEXICA   ADR SER L SH      893868208        27       5,200 SH      DEFINED    1       5,200       0       0
TRANSPORTADORA DE GAS SUR        SPONSR ADR B      893870204        12       1,250 SH      OTHER      2           0       0   1,250
TRANSPORTATION TECH INDS INC     COM               89388T101        65       4,900 SH      OTHER      9       4,900       0       0
TRAVELERS PPTY CAS CORP          CL A              893939108        12         305 SH      DEFINED    1         305       0       0
TRAVELERS PPTY CAS CORP          CL A              893939108     2,022      51,675 SH      OTHER      2      51,600       0      75
TRAVELERS PPTY CAS CORP          CL A              893939108        12         300 SH      DEFINED    5         300       0       0
TRAVELERS PPTY CAS CORP          CL A              893939108        11         285 SH      DEFINED    6         285       0       0
TRAVELERS PPTY CAS CORP          CL A              893939108        82       2,100 SH      OTHER      9       2,100       0       0
TRAVELERS PPTY CAS CORP          CL A              893939108        10         265 SH      DEFINED   10           0     265       0
TRAVEL SERVICES INTL INC         COM               894169101        86       7,207 SH      OTHER      2       7,207       0       0
TREDEGAR CORP                    COM               894650100        11         480 SH      DEFINED    1         480       0       0
TREMONT CORP                     COM PAR $1.00     894745207       239      11,100 SH      OTHER      2      11,100       0       0
TRI CONTL CORP                   COM               895436103        96       3,170 SH      DEFINED    1       3,170       0       0
TRI CONTL CORP                   COM               895436103        60       1,995 SH      OTHER      2           3       0   1,992
TRI CONTL CORP                   COM               895436103       129       4,275 SH      DEFINED    5       4,275       0       0
TRI CONTL CORP                   COM               895436103        68       2,252 SH      DEFINED   10       2,252       0       0
TRIAD HOSPITALS INC              COM               89579K109         0          26 SH      DEFINED    1          26       0       0
TRIAD HOSPITALS INC              COM               89579K109        63       4,681 SH      OTHER      2       2,026       0   2,655
TRIAD HOSPITALS INC              COM               89579K109         6         461 SH      OTHER      9         461       0       0
TRIAD HOSPITALS INC              COM               89579K109         6         459 SH      DEFINED   11         459       0       0
TRIANGLE BANCORP INC             COM               895835106       179      10,546 SH      OTHER      2           0       0  10,546
TRICON GLOBAL RESTAURANTS        COM               895953107       451       8,339 SH      DEFINED    1         638   7,701       0
TRICON GLOBAL RESTAURANTS        COM               895953107     4,539      83,858 SH      OTHER      2      74,776       0   9,082
TRICON GLOBAL RESTAURANTS        COM               895953107       231       4,277 SH      DEFINED    5       1,255   3,022       0
TRICON GLOBAL RESTAURANTS        COM               895953107         1          25 SH      DEFINED    6          15      10       0
TRICON GLOBAL RESTAURANTS        COM               895953107       444       8,196 SH      OTHER      9       8,196       0       0
TRICON GLOBAL RESTAURANTS        COM               895953107        68       1,261 SH      DEFINED   10         395     866       0
TRICON GLOBAL RESTAURANTS        COM               895953107        64       1,185 SH      DEFINED   11       1,035     150       0
TRIBUNE CO NEW                   COM               896047107       497       5,705 SH      DEFINED    1       4,914     791       0
TRIBUNE CO NEW                   COM               896047107     7,920      90,905 SH      OTHER      2      90,905       0       0
TRIBUNE CO NEW                   COM               896047107        27         310 SH      DEFINED    5         310       0       0
TRIBUNE CO NEW                   COM               896047107       167       1,913 SH      DEFINED    6       1,913       0       0
TRIBUNE CO NEW                   COM               896047107     3,680      42,241 SH      OTHER      9      42,241       0       0
TRIBUNE CO NEW                   COM               896047107     1,077      12,358 SH      DEFINED   10      11,803     555       0
TRIBUNE CO NEW                   COM               896047107       111       1,269 SH      DEFINED   11          44   1,225       0
TRICO MARINE SERVICES INC        COM               896106101       102      15,610 SH      OTHER      2      15,610       0       0
TRIGON HEALTHCARE INC            COM               89618L100       707      19,446 SH      OTHER      2      10,367       0   9,079
TRIGON HEALTHCARE INC            COM               89618L100       149       4,100 SH      OTHER      9       4,100       0       0
TRIGON HEALTHCARE INC            COM               89618L100         4         120 SH      DEFINED   10         120       0       0
TRIMBLE NAVIGATION LTD           COM               896239100         3         225 SH      OTHER      2         225       0       0
TRINET CORP RLTY TR INC          COM               896287109        17         600 SH      DEFINED    5         300     300       0
TRINITY INDS INC                 COM               896522109       568      16,967 SH      OTHER      2      16,967       0       0
TRINITY INDS INC                 COM               896522109         2          50 SH      DEFINED    5          50       0       0
TRINITY INDS INC                 COM               896522109       102       3,040 SH      OTHER      9       3,040       0       0
TRIQUINT SEMICONDUCTOR INC       COM               89674K103       114       2,000 SH      OTHER      9       2,000       0       0
TRISTAR AEROSPACE CO             COM               89674L101        26       3,100 SH      OTHER      2       3,100       0       0
TRIZEC HAHN CORP                 SUB VTG           896938107       815      40,000 SH      DEFINED    1      40,000       0       0
TRIZEC HAHN CORP                 SUB VTG           896938107        82       4,000 SH      OTHER      9       4,000       0       0
TRUE NORTH COMMUNICATIONS INC    COM               897844106         5         167 SH      DEFINED    1          37     130       0
TRUE NORTH COMMUNICATIONS INC    COM               897844106        55       1,845 SH      OTHER      2       1,845       0       0
TRUE NORTH COMMUNICATIONS INC    COM               897844106         2          69 SH      DEFINED   10          69       0       0
TRUE NORTH COMMUNICATIONS INC    COM               897844106         2          66 SH      DEFINED   11          66       0       0
TRUMP HOTELS & CASINO RESORTS    COM               898168109         0          14 SH      OTHER      2          14       0       0
TRUSTCO BK CORP N Y              COM               898349105         1          30 SH      OTHER      2          30       0       0
TRUSTCO BK CORP N Y              COM               898349105        67       2,508 SH      DEFINED   11       2,508       0       0
TRUSTMARK CORP                   COM               898402102       110       4,800 SH      OTHER      9       4,800       0       0
TRUSTMARK CORP                   COM               898402102        23       1,000 SH      DEFINED   11       1,000       0       0
TUBOS DE ACERO DE MEXICO S A     OPTION            898592506        27          25 CALL    OTHER      2          25       0       0
TUBOS DE ACERO DE MEXICO S A     ADR NEW           898592506       626      57,600 SH      OTHER      9      57,600       0       0
TUBOSCOPE INC                    COM               898600101         4         280 SH      DEFINED    1         280       0       0
TUBOSCOPE INC                    COM               898600101       100       7,300 SH      OTHER      2       7,300       0       0
TUBOSCOPE INC                    COM               898600101         4         326 SH      DEFINED   10         326       0       0
TUPPERWARE CORP                  COM               899896104         4         150 SH      DEFINED    1           0     150       0
TUPPERWARE CORP                  COM               899896104       427      16,737 SH      OTHER      2       8,637       0   8,100
TUPPERWARE CORP                  COM               899896104        89       3,494 SH      OTHER      9       3,494       0       0
TUPPERWARE CORP                  COM               899896104        18         702 SH      DEFINED   10           0     702       0
20TH CENTY INDS CAL              COM PAR $10       901272203        28       1,500 SH      OTHER      2           0       0   1,500
24 / 7 MEDIA INC                 OPTION            901314104       393         102 CALL    OTHER      2         102       0       0
24 / 7 MEDIA INC                 COM               901314104         7         190 SH      DEFINED    1         190       0       0
24 / 7 MEDIA INC                 COM               901314104       309       8,025 SH      OTHER      2           0       0   8,025
24 / 7 MEDIA INC                 COM               901314104        77       2,000 SH      DEFINED    6       2,000       0       0
24 / 7 MEDIA INC                 COM               901314104         5         138 SH      DEFINED   10         138       0       0
TYCO INTL LTD NEW                OPTION            902124106        95          10 CALL    OTHER      2          10       0       0
TYCO INTL LTD NEW                COM               902124106     4,239      44,738 SH      DEFINED    1      36,788   7,950       0
TYCO INTL LTD NEW                COM               902124106    20,042     211,523 SH      OTHER      2     138,004       0  73,519
TYCO INTL LTD NEW                COM               902124106       300       3,164 SH      OTHER      4           0       0   3,164
TYCO INTL LTD NEW                COM               902124106     5,344      56,399 SH      DEFINED    5      42,888  13,511       0
TYCO INTL LTD NEW                COM               902124106     5,361      56,578 SH      DEFINED    6      24,298  32,280       0
TYCO INTL LTD NEW                COM               902124106     4,911      51,833 SH      OTHER      9      51,833       0       0
TYCO INTL LTD NEW                COM               902124106     1,701      17,950 SH      DEFINED   10      16,548   1,402       0
TYCO INTL LTD NEW                COM               902124106     4,921      51,940 SH      DEFINED   11      43,495   8,445       0
TYLER TECHNOLOGIES INC           COM               902252105         3         448 SH      DEFINED   11         448       0       0
TYSON FOODS INC                  OPTION            902494103        23          10 CALL    OTHER      2          10       0       0
TYSON FOODS INC                  CL A              902494103     1,357      60,317 SH      OTHER      2      56,817       0   3,500
UAL CORP                         OPTION            902549500        78          12 CALL    OTHER      2          12       0       0
UAL CORP                         COM PAR $0.01     902549500        84       1,300 SH      DEFINED    1       1,300       0       0
UAL CORP                         COM PAR $0.01     902549500        10         148 SH      DEFINED    6           0     148       0
UAL CORP                         COM PAR $0.01     902549500        45         700 SH      OTHER      9         700       0       0
UCAR INTL INC                    COM               90262K109       278      10,999 SH      OTHER      2      10,999       0       0
UGI CORP NEW                     COM               902681105        12         600 SH      OTHER      2           0       0     600
UGI CORP NEW                     COM               902681105         9         430 SH      DEFINED    5         430       0       0
UST CORP                         COM               902900109    13,038     431,000 SH      OTHER      9     431,000       0       0
USX MARATHON GROUP               PFD CONV 6.50%    902905819        20         400 SH      OTHER      2           0       0     400
USX MARATHON GROUP               PFD CONV 6.50%    902905819        23         475 SH      DEFINED    5         475       0       0
USX MARATHON GROUP               PFD CONV 6.50%    902905819        11         225 SH      DEFINED   11         225       0       0
USX MARATHON GROUP               COM NEW           902905827        12         375 SH      DEFINED    1         375       0       0
USX MARATHON GROUP               COM NEW           902905827     2,267      69,627 SH      OTHER      2      45,527       0  24,100
USX MARATHON GROUP               COM NEW           902905827        17         510 SH      DEFINED    5         159     351       0
USX MARATHON GROUP               COM NEW           902905827        33       1,000 SH      DEFINED    6           0   1,000       0
USX MARATHON GROUP               COM NEW           902905827     1,356      41,651 SH      OTHER      9      41,651       0       0
USX MARATHON GROUP               COM NEW           902905827        44       1,362 SH      DEFINED   10           0   1,362       0
USX MARATHON GROUP               COM NEW           902905827        13         400 SH      DEFINED   11         400       0       0
UST INC                          COM               902911106       669      22,816 SH      DEFINED    1           0  22,816       0
UST INC                          COM               902911106    85,394   2,913,290 SH      OTHER      2   2,912,168       0   1,122
UST INC                          COM               902911106        12         400 SH      DEFINED    5         400       0       0
UST INC                          COM               902911106       417      14,231 SH      OTHER      9      14,231       0       0
UST INC                          COM               902911106        53       1,800 SH      DEFINED   10       1,800       0       0
U S GLOBAL INVS INC              CL A              902952100        22      17,926 SH      OTHER      2      17,926       0       0
U S RESTAURANT PPTYS INC         COM               902971100     6,902     324,800 SH      OTHER      2     324,800       0       0
U S RESTAURANT PPTYS INC         COM               902971100        16         750 SH      DEFINED    5           0     750       0
U S RESTAURANT PPTYS INC         COM               902971100         9         400 SH      DEFINED   11         400       0       0
US BANCORP DEL                   OPTION            902973106    11,695       3,504 CALL    OTHER      2       3,504       0       0
US BANCORP DEL                   OPTION            902973106     3,338       1,000 PUT     OTHER      2       1,000       0       0
US BANCORP DEL                   COM               902973106        46       1,390 SH      DEFINED    1       1,245     145       0
US BANCORP DEL                   COM               902973106     7,881     236,136 SH      OTHER      2     234,056       0   2,080
US BANCORP DEL                   COM               902973106         3          75 SH      DEFINED    5          75       0       0
US BANCORP DEL                   COM               902973106         2          72 SH      DEFINED    6           0      72       0
US BANCORP DEL                   COM               902973106     1,506      45,133 SH      OTHER      9      45,133       0       0
US BANCORP DEL                   COM               902973106       414      12,401 SH      DEFINED   10       9,404   2,997       0
US BANCORP DEL                   COM               902973106         4         129 SH      DEFINED   11           0     129       0
U S LIQUIDS INC                  COM               902974104         6         290 SH      DEFINED    1         290       0       0
U S LIQUIDS INC                  COM               902974104         6         280 SH      DEFINED   10         280       0       0
USA NETWORKS INC                 COM               902984103     1,585      39,508 SH      OTHER      2      39,508       0       0
USA NETWORKS INC                 COM               902984103        20         500 SH      OTHER      9         500       0       0
USA NETWORKS INC                 COM               902984103         8         199 SH      DEFINED   11           0     199       0
UNUM CORP                        COM               903192102        74       1,351 SH      DEFINED    1       1,286      65       0
UNUM CORP                        COM               903192102    34,682     633,463 SH      OTHER      2     590,067       0  43,396
UNUM CORP                        COM               903192102        13         245 SH      DEFINED    5         245       0       0
UNUM CORP                        COM               903192102        63       1,153 SH      DEFINED    6         435     718       0
UNUM CORP                        COM               903192102       473       8,634 SH      OTHER      9       8,634       0       0
UNUM CORP                        COM               903192102        41         745 SH      DEFINED   10         410     335       0
UNUM CORP                        COM               903192102         3          50 SH      DEFINED   11           0      50       0
USANA INC                        COM               90328M107        14       1,668 SH      OTHER      2       1,668       0       0
U S G CORP                       OPTION            903293405     1,120         200 PUT     OTHER      2         200       0       0
U S G CORP                       COM NEW           903293405        45         809 SH      DEFINED    1         809       0       0
U S G CORP                       COM NEW           903293405     1,771      31,619 SH      OTHER      2      22,219       0   9,400
U S G CORP                       COM NEW           903293405        10         170 SH      DEFINED    5         170       0       0
U S G CORP                       COM NEW           903293405         3          54 SH      DEFINED    6          54       0       0
U S G CORP                       COM NEW           903293405        90       1,600 SH      OTHER      9       1,600       0       0
U S FOODSERVICE                  COM               90331R101     4,230      99,238 SH      OTHER      2      12,238       0  87,000
U S A FLORAL PRODS INC           COM               90331T107         3         410 SH      DEFINED    1           0     410       0
U S A FLORAL PRODS INC           COM               90331T107        71       9,380 SH      OTHER      2       9,380       0       0
USEC INC                         OPTION            90333E108        22          15 CALL    OTHER      2          15       0       0
USEC INC                         COM               90333E108         5         331 SH      DEFINED    1          74     257       0
USEC INC                         COM               90333E108         7         500 SH      OTHER      2           0       0     500
USEC INC                         COM               90333E108         2         140 SH      DEFINED   10         140       0       0
USEC INC                         COM               90333E108         2         137 SH      DEFINED   11         137       0       0
U S PHYSICAL THERAPY INC         COM               90337L108        41       4,800 SH      DEFINED   10       1,200   3,600       0
USX-U S STL                      OPTION            90337T101     1,350         500 PUT     OTHER      2         500       0       0
USX-U S STL                      COM               90337T101        10         357 SH      DEFINED    1         196     161       0
USX-U S STL                      COM               90337T101     1,190      44,087 SH      OTHER      2      29,387       0  14,700
USX-U S STL                      COM               90337T101         1          31 SH      DEFINED    5          31       0       0
USX-U S STL                      COM               90337T101         5         200 SH      DEFINED    6           0     200       0
USX-U S STL                      COM               90337T101       155       5,748 SH      OTHER      9       5,748       0       0
USX-U S STL                      COM               90337T101         2          88 SH      DEFINED   10          88       0       0
USX-U S STL                      COM               90337T101         2          85 SH      DEFINED   11          85       0       0
ULTRALIFE BATTERIES INC          COM               903899102         2         300 SH      OTHER      2           0       0     300
ULTRAMAR DIAMOND SHAMROCK CO     COM               904000106       473      21,670 SH      OTHER      2      21,570       0     100
ULTRAMAR DIAMOND SHAMROCK CO     COM               904000106         2          79 SH      DEFINED   11          79       0       0
ULTRATECH STEPPER INC            COM               904034105         1          75 SH      OTHER      2          75       0       0
UNIBANCO-UNIAO DE BANCOS BRASL   GDR REP PFD UT    90458E107       479      19,900 SH      OTHER      2      19,900       0       0
UNIFI INC                        COM               904677101         9         425 SH      DEFINED    1         425       0       0
UNIFI INC                        COM               904677101       314      14,799 SH      OTHER      2      14,799       0       0
UNILEVER PLC                     SPNSRD ADR NEW    904767704       110       2,961 SH      DEFINED    1       2,961       0       0
UNILEVER PLC                     SPNSRD ADR NEW    904767704       123       3,302 SH      OTHER      2           0       0   3,302
UNILEVER PLC                     SPNSRD ADR NEW    904767704        46       1,240 SH      DEFINED    6       1,240       0       0
UNILEVER PLC                     SPNSRD ADR NEW    904767704       116       3,112 SH      DEFINED   10       3,050      62       0
UNILEVER PLC                     SPNSRD ADR NEW    904767704        45       1,201 SH      DEFINED   11         487     714       0
UNILEVER N V                     N Y SHS NEW       904784709     3,911      56,069 SH      DEFINED    1      44,688  11,381       0
UNILEVER N V                     N Y SHS NEW       904784709     9,606     137,717 SH      OTHER      2     125,866       0  11,851
UNILEVER N V                     N Y SHS NEW       904784709     3,677      52,711 SH      DEFINED    5      43,338   9,373       0
UNILEVER N V                     N Y SHS NEW       904784709     3,369      48,302 SH      DEFINED    6      41,569   6,733       0
UNILEVER N V                     N Y SHS NEW       904784709       874      12,530 SH      OTHER      9      12,530       0       0
UNILEVER N V                     N Y SHS NEW       904784709     3,157      45,260 SH      DEFINED   10      33,323  11,937       0
UNILEVER N V                     N Y SHS NEW       904784709     2,218      31,798 SH      DEFINED   11      24,945   6,853       0
UNICOM CORP                      COM               904911104         8         210 SH      DEFINED    1         100     110       0
UNICOM CORP                      COM               904911104     1,236      32,054 SH      OTHER      2      32,054       0       0
UNICOM CORP                      COM               904911104       188       4,887 SH      DEFINED    5       2,016   2,871       0
UNICOM CORP                      COM               904911104        19         500 SH      DEFINED    6           0     500       0
UNICOM CORP                      COM               904911104       588      15,245 SH      OTHER      9      15,245       0       0
UNICOM CORP                      COM               904911104        57       1,471 SH      DEFINED   11         745     726       0
UNION CARBIDE CORP               OPTION            905581104        15           3 CALL    OTHER      2           3       0       0
UNION CARBIDE CORP               OPTION            905581104        24           5 PUT     OTHER      2           5       0       0
UNION CARBIDE CORP               COM               905581104        20         411 SH      DEFINED    1         351      60       0
UNION CARBIDE CORP               COM               905581104     2,261      46,374 SH      OTHER      2      42,836       0   3,538
UNION CARBIDE CORP               COM               905581104        86       1,764 SH      DEFINED    5       1,677      87       0
UNION CARBIDE CORP               COM               905581104        24         500 SH      DEFINED    6         500       0       0
UNION CARBIDE CORP               COM               905581104         5         100 SH      DEFINED   10         100       0       0
UNION CARBIDE CORP               COM               905581104        73       1,500 SH      DEFINED   11       1,200     300       0
UNION PAC CORP                   OPTION            907818108        12           2 CALL    OTHER      2           2       0       0
UNION PAC CORP                   COM               907818108     2,232      38,283 SH      DEFINED    1      31,103   7,180       0
UNION PAC CORP                   COM               907818108     3,027      51,908 SH      OTHER      2      36,544       0  15,364
UNION PAC CORP                   COM               907818108       751      12,878 SH      DEFINED    5      10,925   1,953       0
UNION PAC CORP                   COM               907818108       689      11,813 SH      DEFINED    6       8,577   3,236       0
UNION PAC CORP                   COM               907818108        35         595 SH      OTHER      9         595       0       0
UNION PAC CORP                   COM               907818108     1,184      20,305 SH      DEFINED   10      17,905   2,400       0
UNION PAC CORP                   COM               907818108     1,090      18,689 SH      DEFINED   11      15,315   3,374       0
UNION PAC RES GROUP INC          COM               907834105       164      10,053 SH      DEFINED    1       7,343   2,710       0
UNION PAC RES GROUP INC          COM               907834105       715      43,863 SH      OTHER      2      37,096       0   6,767
UNION PAC RES GROUP INC          COM               907834105        14         880 SH      DEFINED    6         334     546       0
UNION PAC RES GROUP INC          COM               907834105       666      40,853 SH      OTHER      9      40,853       0       0
UNION PAC RES GROUP INC          COM               907834105       149       9,125 SH      DEFINED   10       8,375     750       0
UNION PAC RES GROUP INC          COM               907834105         8         462 SH      DEFINED   11         125     337       0
UNION PLANTERS CORP              OPTION            908068109       112          25 CALL    OTHER      2          25       0       0
UNION PLANTERS CORP              COM               908068109        20         450 SH      DEFINED    1         450       0       0
UNION PLANTERS CORP              COM               908068109       993      22,232 SH      OTHER      2      20,639       0   1,593
UNION PLANTERS CORP              COM               908068109        13         290 SH      DEFINED    5         290       0       0
UNION PLANTERS CORP              COM               908068109       171       3,834 SH      DEFINED    6       3,834       0       0
UNION PLANTERS CORP              COM               908068109       396       8,855 SH      OTHER      9       8,855       0       0
UNION PLANTERS CORP              COM               908068109        23         515 SH      DEFINED   10         230     285       0
UNIONBANCAL CORP                 COM               908906100       105       2,900 SH      OTHER      9       2,900       0       0
UNIPHASE CORP                    OPTION            909149106        17           1 CALL    OTHER      2           1       0       0
UNIPHASE CORP                    COM               909149106        23         140 SH      DEFINED    1         140       0       0
UNIPHASE CORP                    COM               909149106     5,737      34,563 SH      OTHER      2      30,534       0   4,029
UNIPHASE CORP                    COM               909149106         4          25 SH      DEFINED    5          25       0       0
UNIPHASE CORP                    COM               909149106       674       4,061 SH      OTHER      9       4,061       0       0
UNIPHASE CORP                    COM               909149106        12          75 SH      DEFINED   10          75       0       0
UNIPHASE CORP                    COM               909149106        50         300 SH      DEFINED   11         200     100       0
UNISOURCE ENERGY CORP            COM               909205106         2         200 SH      OTHER      2           0       0     200
UNISOURCE WORLDWIDE INC          COM               909208100       193      15,963 SH      OTHER      2      15,963       0       0
UNISYS CORP                      OPTION            909214108        19           5 CALL    OTHER      2           5       0       0
UNISYS CORP                      COM               909214108       160       4,115 SH      DEFINED    1       4,115       0       0
UNISYS CORP                      COM               909214108     4,972     127,698 SH      OTHER      2     119,663       0   8,035
UNISYS CORP                      COM               909214108        11         283 SH      DEFINED    5         200      83       0
UNISYS CORP                      COM               909214108       136       3,505 SH      DEFINED    6       3,505       0       0
UNISYS CORP                      COM               909214108       950      24,386 SH      OTHER      9      24,386       0       0
UNISYS CORP                      COM               909214108        91       2,339 SH      DEFINED   10       2,339       0       0
UNISYS CORP                      COM               909214108        79       2,040 SH      DEFINED   11       1,350     690       0
UNISYS CORP                      PFD A CV $3.75    909214207     4,793      73,600 SH      OTHER      2      73,600       0       0
UNISYS CORP                      PFD A CV $3.75    909214207         3          53 SH      DEFINED    5           3      50       0
UNISYS CORP                      PFD A CV $3.75    909214207         2          26 SH      DEFINED    6          26       0       0
UNITED ASSET MGMT CORP           COM               909420101        23       1,000 SH      DEFINED    1       1,000       0       0
UNITED BANKSHARES INC WEST VA    COM               909907107       103       3,900 SH      OTHER      2           0       0   3,900
UNITED DOMINION INDS LTD         COM               909914103        22         900 SH      DEFINED    1         900       0       0
UNITED DOMINION INDS LTD         COM               909914103     1,326      54,700 SH      OTHER      2      54,700       0       0
UNITED DOMINION INDS LTD         COM               909914103       104       4,300 SH      OTHER      9       4,300       0       0
UNITED DOMINION REALTY TR INC    COM               910197102        26       2,241 SH      DEFINED    1       1,500     741       0
UNITED DOMINION REALTY TR INC    COM               910197102     1,874     159,500 SH      OTHER      2     144,500       0  15,000
UNITED DOMINION REALTY TR INC    COM               910197102        16       1,400 SH      OTHER      9       1,400       0       0
UNITED DOMINION REALTY TR INC    COM               910197102        25       2,166 SH      DEFINED   10           0   2,166       0
UNITED DOMINION REALTY TR INC    COM               910197102         9         770 SH      DEFINED   11         680      90       0
UNITED HEALTHCARE CORP           OPTION            910581107        25           4 CALL    OTHER      2           4       0       0
UNITED HEALTHCARE CORP           COM               910581107        15         236 SH      DEFINED    1         196      40       0
UNITED HEALTHCARE CORP           COM               910581107     3,621      57,821 SH      OTHER      2      56,021       0   1,800
UNITED HEALTHCARE CORP           COM               910581107       102       1,632 SH      DEFINED    5       1,232     400       0
UNITED HEALTHCARE CORP           COM               910581107       474       7,565 SH      DEFINED    6       7,565       0       0
UNITED HEALTHCARE CORP           COM               910581107     1,176      18,776 SH      OTHER      9      18,776       0       0
UNITED HEALTHCARE CORP           COM               910581107       138       2,200 SH      DEFINED   10       2,200       0       0
UNITED HEALTHCARE CORP           COM               910581107        77       1,230 SH      DEFINED   11       1,230       0       0
UNITED ILLUM CO                  COM               910637107       405       9,550 SH      OTHER      2       9,550       0       0
UNITED ILLUM CO                  COM               910637107        72       1,700 SH      DEFINED    5       1,500     200       0
UNITED ILLUM CO                  COM               910637107        37         871 SH      DEFINED   10         871       0       0
UNITED INTL HLDGS INC            CL A              910734102       756      11,173 SH      OTHER      2      11,173       0       0
UNITED INTL HLDGS INC            CL A              910734102        34         500 SH      DEFINED   10         500       0       0
UNITED NATL BANCORP N J          COM               910909100         2         100 SH      OTHER      2         100       0       0
UNITED NATL BANCORP N J          COM               910909100        11         466 SH      DEFINED    6           0     466       0
UNITED PAN-EUROPE COMM NV        SPON ADR          911300200        28         500 SH      DEFINED   10         500       0       0
UNITED RENTALS INC               COM               911363109       362      12,275 SH      OTHER      2       5,300       0   6,975
UNITED RETAIL GROUP INC          COM               911380103         4         295 SH      OTHER      2         295       0       0
UNITED RETAIL GROUP INC          COM               911380103        61       4,000 SH      OTHER      9       4,000       0       0
UNITED RETAIL GROUP INC          COM               911380103         6         365 SH      DEFINED   11         365       0       0
U S BIOSCIENCE INC               COM PAR $0.01     911646206        30       3,100 SH      OTHER      2           0       0   3,100
UNITED STATES CELLULAR CORP      COM               911684108    10,280     192,150 SH      OTHER      2     192,150       0       0
UNITED STATES CELLULAR CORP      COM               911684108        32         600 SH      OTHER      9         600       0       0
UNITED STATES CELLULAR CORP      LYON ZERO     15  911684AA6     1,608   3,215,000 PRN     OTHER      2   3,160,000       0  55,000
UNITED STATES CELLULAR CORP      LYON ZERO     15  911684AA6        20      40,000 PRN     DEFINED    5      40,000       0       0
UNITED STATES CELLULAR CORP      LYON ZERO     15  911684AA6         5       9,000 PRN     DEFINED    6       9,000       0       0
US AIRWAYS GROUP INC             OPTION            911905107        44          10 PUT     OTHER      2          10       0       0
US AIRWAYS GROUP INC             COM               911905107       477      10,957 SH      OTHER      2      10,957       0       0
US AIRWAYS GROUP INC             COM               911905107       239       5,484 SH      DEFINED    5         126   5,358       0
US AIRWAYS GROUP INC             COM               911905107        13         308 SH      DEFINED    6         308       0       0
US AIRWAYS GROUP INC             COM               911905107       195       4,477 SH      OTHER      9       4,477       0       0
US AIRWAYS GROUP INC             COM               911905107        29         676 SH      DEFINED   10         223     453       0
US AIRWAYS GROUP INC             COM               911905107        18         410 SH      DEFINED   11         410       0       0
U S HOME CORP NEW                COM               911920106         0          10 SH      OTHER      2           0       0      10
U S HOME CORP NEW                COM               911920106       103       2,900 SH      OTHER      9       2,900       0       0
U S INDS INC NEW                 COM               912080108         5         300 SH      DEFINED    1         300       0       0
U S INDS INC NEW                 COM               912080108        72       4,208 SH      OTHER      9       4,208       0       0
U S OFFICE PRODS CO              COM NEW           912325305         3         575 SH      DEFINED    6         575       0       0
U S WEST INC NEW                 OPTION            91273H101     8,860       1,508 CALL    OTHER      2       1,508       0       0
U S WEST INC NEW                 OPTION            91273H101        12           2 PUT     OTHER      2           2       0       0
U S WEST INC NEW                 COM               91273H101       784      13,349 SH      DEFINED    1       9,131   4,218       0
U S WEST INC NEW                 COM               91273H101   123,802   2,107,261 SH      OTHER      2   2,074,407       0  32,854
U S WEST INC NEW                 COM               91273H101     2,289      38,963 SH      DEFINED    5      18,565  20,398       0
U S WEST INC NEW                 COM               91273H101       594      10,111 SH      DEFINED    6       6,809   3,302       0
U S WEST INC NEW                 COM               91273H101     5,131      87,337 SH      OTHER      9      87,337       0       0
U S WEST INC NEW                 COM               91273H101       258       4,395 SH      DEFINED   10       2,341   2,054       0
U S WEST INC NEW                 COM               91273H101       613      10,429 SH      DEFINED   11       5,277   5,152       0
U S TR CORP NEW                  COM               91288L105       109       1,177 SH      DEFINED    1         500     677       0
U S TR CORP NEW                  COM               91288L105        14         150 SH      DEFINED    6           0     150       0
UNITED STATIONERS INC            COM               913004107        35       1,600 SH      OTHER      2       1,600       0       0
UNITED STATIONERS INC            COM               913004107        84       3,800 SH      OTHER      9       3,800       0       0
UNITED TECHNOLOGIES CORP         COM               913017109     8,769     121,796 SH      DEFINED    1      90,585  31,211       0
UNITED TECHNOLOGIES CORP         COM               913017109    25,635     356,035 SH      OTHER      2     352,335       0   3,700
UNITED TECHNOLOGIES CORP         COM               913017109       590       8,200 SH      OTHER      4           0       0   8,200
UNITED TECHNOLOGIES CORP         COM               913017109     3,195      44,372 SH      DEFINED    5      33,497  10,875       0
UNITED TECHNOLOGIES CORP         COM               913017109     3,474      48,252 SH      DEFINED    6      36,303  11,949       0
UNITED TECHNOLOGIES CORP         COM               913017109     1,197      16,624 SH      OTHER      9      16,624       0       0
UNITED TECHNOLOGIES CORP         COM               913017109     4,747      65,936 SH      DEFINED   10      53,210  12,726       0
UNITED TECHNOLOGIES CORP         COM               913017109     4,568      63,442 SH      DEFINED   11      56,376   7,066       0
UNITED TELEVISION INC            COM               913066106       105       1,000 SH      DEFINED   10           0   1,000       0
UNITED WTR RES INC               COM               913190104        18         800 SH      DEFINED    1           0     800       0
UNITED WTR RES INC               COM               913190104         7         300 SH      OTHER      2           0       0     300
UNITED WTR RES INC               COM               913190104       116       5,100 SH      DEFINED    5         100   5,000       0
UNITED WTR RES INC               COM               913190104       229      10,079 SH      DEFINED    6           0  10,079       0
UNITIL CORP                      COM               913259107       101       4,000 SH      DEFINED    6           0   4,000       0
UNITRIN INC                      COM               913275103       448      10,929 SH      OTHER      2      10,929       0       0
UNITRIN INC                      COM               913275103       119       2,900 SH      OTHER      9       2,900       0       0
UNITRIN INC                      COM               913275103       113       2,750 SH      DEFINED   11       2,750       0       0
UNITRODE CORP                    COM               913283107         0           7 SH      OTHER      2           7       0       0
UNITRODE CORP                    COM               913283107        23         800 SH      DEFINED   11         800       0       0
UNIVERSAL CORP VA                COM               913456109       233       8,179 SH      OTHER      2       8,179       0       0
UNIVERSAL FOODS CORP             COM               913538104       265      12,543 SH      OTHER      2      12,543       0       0
UNIVERSAL HEALTH RLTY INCM TR    SH BEN INT        91359E105        20       1,000 SH      DEFINED    5       1,000       0       0
UNIVERSAL HLTH SVCS INC          CL B              913903100         8         158 SH      DEFINED    1          35     123       0
UNIVERSAL HLTH SVCS INC          CL B              913903100        54       1,125 SH      OTHER      2           0       0   1,125
UNIVERSAL HLTH SVCS INC          CL B              913903100        48       1,000 SH      DEFINED    6           0   1,000       0
UNIVERSAL HLTH SVCS INC          CL B              913903100         3          67 SH      DEFINED   10          67       0       0
UNIVERSAL HLTH SVCS INC          CL B              913903100         3          66 SH      DEFINED   11          66       0       0
UNO RESTAURANT CORP              COM               914900105         0           1 SH      OTHER      2           1       0       0
UNIVISION COMMUNICATIONS INC     OPTION            914906102        78          12 CALL    OTHER      2          12       0       0
UNIVISION COMMUNICATIONS INC     CL A              914906102     5,276      81,175 SH      OTHER      2      55,980       0  25,195
UNIVISION COMMUNICATIONS INC     CL A              914906102         6          85 SH      DEFINED    5          85       0       0
UNOCAL CORP                      COM               915289102       226       5,709 SH      DEFINED    1       4,654   1,055       0
UNOCAL CORP                      COM               915289102     1,468      37,038 SH      OTHER      2      36,143       0     895
UNOCAL CORP                      COM               915289102       204       5,142 SH      DEFINED    5       3,142   2,000       0
UNOCAL CORP                      COM               915289102       392       9,903 SH      DEFINED    6       9,903       0       0
UNOCAL CORP                      COM               915289102     1,292      32,617 SH      OTHER      9      32,617       0       0
UNOCAL CORP                      COM               915289102       150       3,775 SH      DEFINED   10       2,460   1,315       0
UNOCAL CORP                      COM               915289102        80       2,027 SH      DEFINED   11         717   1,310       0
UNOVA INC                        COM               91529B106        75       4,700 SH      OTHER      2       4,200       0     500
USFREIGHTWAYS CORP               COM               916906100        36         783 SH      OTHER      2         783       0       0
USFREIGHTWAYS CORP               COM               916906100       139       3,000 SH      OTHER      9       3,000       0       0
URBAN SHOPPING CTRS INC          COM               917060105     4,233     134,380 SH      OTHER      2     133,520       0     860
URBAN SHOPPING CTRS INC          COM               917060105        19         600 SH      OTHER      9         600       0       0
URBAN SHOPPING CTRS INC          COM               917060105        14         450 SH      DEFINED   10         450       0       0
UROCOR INC                       COM               91727P105     1,615     329,174 SH      OTHER      1     329,174       0       0
URSTADT BIDDLE PPTYS INS         COM               917286106         8       1,000 SH      DEFINED    1       1,000       0       0
URSTADT BIDDLE PPTYS INS         COM               917286106        11       1,400 SH      OTHER      2           0       0   1,400
URSTADT BIDDLE PPTYS INS         COM               917286106         1         100 SH      DEFINED   10           0     100       0
URSTADT BIDDLE PPTYS INS         COM               917286106         2         300 SH      DEFINED   11           0     300       0
URSTADT BIDDLE PPTYS INS         CL A              917286205         8       1,000 SH      DEFINED    1       1,000       0       0
URSTADT BIDDLE PPTYS INS         CL A              917286205        11       1,400 SH      OTHER      2           0       0   1,400
URSTADT BIDDLE PPTYS INS         CL A              917286205         1         100 SH      DEFINED   10           0     100       0
URSTADT BIDDLE PPTYS INS         CL A              917286205         2         300 SH      DEFINED   11           0     300       0
USWEB CORP                       OPTION            917327108        24          11 CALL    OTHER      2          11       0       0
USWEB CORP                       COM               917327108         4         200 SH      DEFINED    1           0     200       0
USWEB CORP                       COM               917327108       110       4,973 SH      OTHER      2         112       0   4,861
USWEB CORP                       COM               917327108     1,122      50,550 SH      OTHER      9      50,550       0       0
UTAH MED PRODS INC               COM               917488108        14       1,762 SH      DEFINED   11       1,762       0       0
UTILICORP UTD INC                COM               918005109        34       1,402 SH      DEFINED    1       1,122     280       0
UTILICORP UTD INC                COM               918005109       553      22,728 SH      OTHER      2      22,278       0     450
UTILICORP UTD INC                COM               918005109        60       2,464 SH      DEFINED    5         900   1,564       0
UTILICORP UTD INC                COM               918005109         7         300 SH      DEFINED    6           0     300       0
UTILICORP UTD INC                COM               918005109       108       4,450 SH      OTHER      9       4,450       0       0
UTILICORP UTD INC                COM               918005109         4         153 SH      DEFINED   10         153       0       0
UTILICORP UTD INC                COM               918005109         4         145 SH      DEFINED   11         145       0       0
V F CORP                         OPTION            918204108       107          25 CALL    OTHER      2          25       0       0
V F CORP                         COM               918204108       781      18,275 SH      DEFINED    1      18,275       0       0
V F CORP                         COM               918204108    90,782   2,123,558 SH      OTHER      2   2,122,958       0     600
V F CORP                         COM               918204108        19         450 SH      DEFINED    6         450       0       0
V F CORP                         COM               918204108       311       7,267 SH      OTHER      9       7,267       0       0
V F CORP                         COM               918204108        40         940 SH      DEFINED   10         640     300       0
V F CORP                         COM               918204108        29         680 SH      DEFINED   11         680       0       0
VLSI TECHNOLOGY INC              COM               918270109         0     242,500 SH      OTHER      2     242,500       0       0
VLSI TECHNOLOGY INC              SB NT CV 8.25%05  918270AB5        64      63,000 PRN     OTHER      2      63,000       0       0
VTEL CORP                        COM               918333105       579     136,288 SH      OTHER      2     136,288       0       0
VWR SCIENTIFIC PRODS CORP        COM               918435108        19         517 SH      OTHER      2         517       0       0
VAIL BANKS INC                   COM               918779109        52       5,000 SH      DEFINED   10       5,000       0       0
VAIL RESORTS INC                 COM               91879Q109        92       5,100 SH      OTHER      2       1,300       0   3,800
VALASSIS COMMUNICATIONS INC      COM               918866104        18         500 SH      DEFINED    1         500       0       0
VALASSIS COMMUNICATIONS INC      COM               918866104     1,148      31,354 SH      OTHER      2       8,450       0  22,904
VALASSIS COMMUNICATIONS INC      COM               918866104         5         124 SH      DEFINED    5         124       0       0
VALASSIS COMMUNICATIONS INC      COM               918866104        37       1,000 SH      DEFINED    6           0   1,000       0
VALASSIS COMMUNICATIONS INC      COM               918866104         5         150 SH      DEFINED   10         150       0       0
VALASSIS COMMUNICATIONS INC      COM               918866104        42       1,150 SH      DEFINED   11         700     450       0
VALHI INC NEW                    COM               918905100         1          96 SH      OTHER      2           0       0      96
VALENCE TECHNOLOGY INC           COM               918914102        15       2,000 SH      OTHER      2           0       0   2,000
VALERO ENERGY CORP NEW           COM               91913Y100         5         242 SH      DEFINED    1          55     187       0
VALERO ENERGY CORP NEW           COM               91913Y100       295      13,769 SH      OTHER      2      13,769       0       0
VALERO ENERGY CORP NEW           COM               91913Y100        26       1,200 SH      OTHER      9       1,200       0       0
VALERO ENERGY CORP NEW           COM               91913Y100         2         102 SH      DEFINED   10         102       0       0
VALERO ENERGY CORP NEW           COM               91913Y100         2          97 SH      DEFINED   11          97       0       0
VALLEY NATL BANCORP              COM               919794107       166       5,784 SH      DEFINED    6           0   5,784       0
VALSPAR CORP                     COM               920355104         8         200 SH      DEFINED    6         200       0       0
VALSPAR CORP                     COM               920355104        15         400 SH      OTHER      9         400       0       0
VALUE CITY DEPT STORES INC       COM               920387107       138      11,300 SH      OTHER      9      11,300       0       0
VALUE LINE INC                   COM               920437100        20         500 SH      DEFINED    1         500       0       0
VALUE LINE INC                   COM               920437100         4         100 SH      DEFINED    6           0     100       0
VAN KAMPEN MUN INCOME TR         COM               920909108        11       1,177 SH      DEFINED    5         927     250       0
VAN KAMPEN MUN TR                SH BEN INT        920919107        44       2,910 SH      DEFINED    1           0   2,910       0
VAN KAMPEN MUN TR                SH BEN INT        920919107       185      12,205 SH      OTHER      2           0       0  12,205
VAN KAMPEN MUN TR                SH BEN INT        920919107        47       3,100 SH      DEFINED    5           0   3,100       0
VAN KAMPEN FLA QUALITY MUN TR    COM               920921103       110       6,799 SH      DEFINED    5       6,134     665       0
VAN KAMPEN TR INVT GRADE MUNS    COM               920929106        70       4,493 SH      DEFINED    5       1,493   3,000       0
VAN KAMPEN MUN OPPORTUNITY TR    COM               920935103        15       1,000 SH      DEFINED    5       1,000       0       0
VAN KAMPEN STRATEGIC SECTOR      COM               920943107         2         181 SH      DEFINED    5         181       0       0
VAN KAMPEN STRATEGIC SECTOR      COM               920943107        44       3,421 SH      DEFINED    6       1,721   1,700       0
VAN KAMPEN FLA MUN OPPORTUNITY   COM               920945102         9         666 SH      DEFINED    5         666       0       0
VAN KAMPEN BD FD                 COM               920955101        22       1,234 SH      DEFINED    1       1,234       0       0
VAN KAMPEN BD FD                 COM               920955101         9         500 SH      DEFINED   11         500       0       0
VAN KAMPEN INCOME TR             SH BEN INT        920957107         0           1 SH      DEFINED    1           0       1       0
VAN KAMPEN INCOME TR             SH BEN INT        920957107         6         800 SH      OTHER      2           0       0     800
VAN KAMPEN INCOME TR             SH BEN INT        920957107         0          65 SH      DEFINED    5          65       0       0
VAN KAMPEN ADVANTAGE MUN INC     SH BEN INT        921124103        10         665 SH      DEFINED   11         665       0       0
VAN KAMPEN SELECT SECTOR MUN     COM               92112M103         0           3 SH      DEFINED    5           3       0       0
VAN KAMPEN SELECT SECTOR MUN     COM               92112M103         8         666 SH      DEFINED    6           0     666       0
VAN KAMPEN N J VALUE MUN INCOM   COM SH BEN INT    92112S100        14       1,000 SH      DEFINED    6           0   1,000       0
VAN KAMPEN VALUE MUN INCOME TR   COM               921132106        25       1,792 SH      DEFINED    5       1,792       0       0
VANS INC                         COM               921930103         5         460 SH      DEFINED    1           0     460       0
VANS INC                         COM               921930103         6         500 SH      DEFINED   10         500       0       0
VANTIVE CORP                     SB NT CV 4.75%02  922091AC7     9,195  12,000,000 PRN     OTHER      9   12,000,000      0       0
VARCO INTL INC                   COM               922126107        10         930 SH      DEFINED    1         930       0       0
VARCO INTL INC                   COM               922126107       876      81,023 SH      OTHER      2      81,023       0       0
VARCO INTL INC                   COM               922126107        10         885 SH      DEFINED   10         885       0       0
VARIAN INC                       COM               922206107         7         500 SH      DEFINED    1         500       0       0
VARIAN INC                       COM               922206107        27       2,000 SH      DEFINED    5       2,000       0       0
VARIAN INC                       COM               922206107         7         530 SH      DEFINED   10         530       0       0
VARIAN INC                       COM               922206107        14       1,024 SH      DEFINED   11       1,024       0       0
VARIAN SEMICONDUCTOR EQUIPMNT    COM               922207105        34       2,000 SH      DEFINED    5       2,000       0       0
VARIAN SEMICONDUCTOR EQUIPMNT    COM               922207105        17       1,024 SH      DEFINED   11       1,024       0       0
VARIAN MED SYS INC               COM               92220P105        51       2,000 SH      DEFINED    5       2,000       0       0
VARIAN MED SYS INC               COM               92220P105        26       1,024 SH      DEFINED   11       1,024       0       0
VARLEN CORP                      COM               922248109       153       3,775 SH      OTHER      9       3,775       0       0
VARLEN CORP                      COM               922248109         9         210 SH      DEFINED   11         210       0       0
VASTAR RES INC                   COM               922380100         8         150 SH      OTHER      2           0       0     150
VEECO INSTRS INC DEL             COM               922417100     1,265      37,216 SH      OTHER      2      29,716       0   7,500
VEECO INSTRS INC DEL             COM               922417100       884      26,000 SH      OTHER      9      26,000       0       0
VENTANA MED SYS INC              COM               92276H106        65       3,375 SH      OTHER      2       3,375       0       0
VENATOR GROUP INC                OPTION            922944103         3           3 CALL    OTHER      2           3       0       0
VENATOR GROUP INC                COM               922944103        99       9,500 SH      OTHER      2           0       0   9,500
VERIO INC                        OPTION            923433106        70          10 CALL    OTHER      2          10       0       0
VERIO INC                        COM               923433106         7         100 SH      DEFINED    1         100       0       0
VERIO INC                        COM               923433106     5,096      73,329 SH      OTHER      2      73,329       0       0
VERIO INC                        COM               923433106         8         108 SH      DEFINED   10         108       0       0
VERITAS SOFTWARE CO              OPTION            923436109        19           2 PUT     OTHER      2           2       0       0
VERITAS SOFTWARE CO              COM               923436109        33         350 SH      DEFINED    1         350       0       0
VERITAS SOFTWARE CO              COM               923436109     5,200      54,775 SH      OTHER      2      54,775       0       0
VERITAS SOFTWARE CO              COM               923436109        10         107 SH      DEFINED    5         107       0       0
VERITAS SOFTWARE CO              COM               923436109       392       4,124 SH      OTHER      9       4,124       0       0
VERITAS SOFTWARE CO              COM               923436109        10         107 SH      DEFINED   10         107       0       0
VERITAS SOFTWARE CO              COM               923436109        75         785 SH      DEFINED   11         484     301       0
VERISIGN INC                     OPTION            92343E102       242          28 CALL    OTHER      2          28       0       0
VERISIGN INC                     COM               92343E102     8,625     100,000 SH      OTHER      1     100,000       0       0
VERISIGN INC                     COM               92343E102        35         400 SH      OTHER      2           0       0     400
VERITAS DGC INC                  COM               92343P107       176       9,629 SH      OTHER      2       9,629       0       0
VERTEX PHARMACEUTICALS INC       COM               92532F100       606      25,110 SH      OTHER      2      25,110       0       0
VERTICALNET INC                  COM               92532L107       529       5,035 SH      OTHER      2       5,035       0       0
VESTA INS GROUP INC              COM               925391104        27       5,900 SH      OTHER      2       3,900       0   2,000
VETERINARY CTRS AMER INC         COM               925514101         0          35 SH      OTHER      2          35       0       0
VIACOM INC                       OPTION            925524100        49          11 CALL    OTHER      2          11       0       0
VIACOM INC                       CL A              925524100        17         374 SH      DEFINED    1           8     366       0
VIACOM INC                       CL A              925524100        72       1,633 SH      OTHER      2           1       0   1,632
VIACOM INC                       CL A              925524100        79       1,784 SH      DEFINED   11       1,784       0       0
VIACOM INC                       WT EXP  070799    925524134         0          15 SH      OTHER      2          15       0       0
VIACOM INC                       OPTION            925524308       101          23 CALL    OTHER      2          23       0       0
VIACOM INC                       CL B              925524308        19         428 SH      DEFINED    1          62     366       0
VIACOM INC                       CL B              925524308     7,285     165,571 SH      OTHER      2     152,773       0  12,798
VIACOM INC                       CL B              925524308        97       2,212 SH      DEFINED    5       1,200   1,012       0
VIACOM INC                       CL B              925524308        22         490 SH      DEFINED    6         490       0       0
VIACOM INC                       CL B              925524308       682      15,500 SH      OTHER      9      15,500       0       0
VIACOM INC                       CL B              925524308        63       1,431 SH      DEFINED   10         353   1,078       0
VIATEL INC                       OPTION            925529208        56          10 CALL    OTHER      2          10       0       0
VIATEL INC                       COM               925529208        56       1,000 SH      OTHER      2           0       0   1,000
VIAD CORP                        COM               92552R109       758      24,512 SH      OTHER      2      24,512       0       0
VIAD CORP                        COM               92552R109        12         400 SH      DEFINED    5           0     400       0
VIAD CORP                        COM               92552R109        15         500 SH      DEFINED    6         500       0       0
VIASOFT INC                      COM               92552U102        75      21,523 SH      OTHER      2      14,023       0   7,500
VIASOFT INC                      COM               92552U102        40      11,364 SH      OTHER      9      11,364       0       0
VIDEO UPDATE INC                 CL A              92657V104         3       4,000 SH      OTHER      2           0       0   4,000
VINTAGE PETE INC                 COM               927460105        11       1,015 SH      DEFINED    1           0   1,015       0
VIRGIN EXPRESS HLDGS PLC         SPON ADR          92765K107        15       1,648 SH      OTHER      2       1,648       0       0
VISIO CORP                       OPTION            927914101         8           2 CALL    OTHER      2           2       0       0
VISIO CORP                       COM               927914101         2          61 SH      OTHER      2          61       0       0
VIROPHARMA INC                   COM               928241108        90      11,725 SH      OTHER      2      11,725       0       0
VISHAY INTERTECHNOLOGY INC       COM               928298108        15         691 SH      DEFINED    1         191     500       0
VISHAY INTERTECHNOLOGY INC       COM               928298108       538      25,628 SH      OTHER      2      25,628       0       0
VISHAY INTERTECHNOLOGY INC       COM               928298108        22       1,032 SH      DEFINED    6       1,032       0       0
VISHAY INTERTECHNOLOGY INC       COM               928298108        15         693 SH      DEFINED   10         693       0       0
VISHAY INTERTECHNOLOGY INC       COM               928298108        18         873 SH      DEFINED   11         642     231       0
VISTA EYECARE INC                COM               928352103         4       1,075 SH      OTHER      2       1,075       0       0
VISTANA INC                      COM               92839P108       311      19,737 SH      OTHER      2      19,737       0       0
VISUAL NETWORKS INC              OPTION            928444108        16           5 CALL    OTHER      2           5       0       0
VISX INC DEL                     OPTION            92844S105     2,146         271 CALL    OTHER      2         271       0       0
VISX INC DEL                     OPTION            92844S105        16           2 PUT     OTHER      2           2       0       0
VISX INC DEL                     COM               92844S105        28         350 SH      DEFINED    1         350       0       0
VISX INC DEL                     COM               92844S105     2,373      29,972 SH      OTHER      2      28,408       0   1,564
VISX INC DEL                     COM               92844S105         8         101 SH      DEFINED    5         101       0       0
VISX INC DEL                     COM               92844S105         8         105 SH      DEFINED   10         105       0       0
VISX INC DEL                     COM               92844S105        66         828 SH      DEFINED   11         502     326       0
VITAL SIGNS INC                  COM               928469105         5         235 SH      DEFINED   10         235       0       0
VITESSE SEMICONDUCTOR CORP       OPTION            928497106       202          30 CALL    OTHER      2          30       0       0
VITESSE SEMICONDUCTOR CORP       COM               928497106        41         614 SH      DEFINED    1         486     128       0
VITESSE SEMICONDUCTOR CORP       COM               928497106     5,886      87,287 SH      OTHER      2      67,920       0  19,367
VITESSE SEMICONDUCTOR CORP       COM               928497106         8         113 SH      DEFINED    5         113       0       0
VITESSE SEMICONDUCTOR CORP       COM               928497106       347       5,149 SH      OTHER      9       5,149       0       0
VITESSE SEMICONDUCTOR CORP       COM               928497106        14         209 SH      DEFINED   10         209       0       0
VITESSE SEMICONDUCTOR CORP       COM               928497106        78       1,155 SH      DEFINED   11         729     426       0
VITRO SOCIEDAD ANONIMA           SPON ADR          928502301       113      22,000 SH      OTHER      9      22,000       0       0
VITRAN INC                       COM               92850E107         1         100 SH      OTHER      1         100       0       0
VIVUS INC                        COM               928551100        36      13,849 SH      OTHER      2      13,849       0       0
VLASIC FOODS INTL INC            COM               928559103         2         300 SH      DEFINED    1         140     160       0
VLASIC FOODS INTL INC            COM               928559103        81      11,115 SH      OTHER      2      11,115       0       0
VLASIC FOODS INTL INC            COM               928559103         1         192 SH      DEFINED    5          92     100       0
VLASIC FOODS INTL INC            COM               928559103         2         240 SH      DEFINED   10         240       0       0
VLASIC FOODS INTL INC            COM               928559103         4         530 SH      DEFINED   11         480      50       0
VODAFONE GROUP PLC               SPON ADR          92857T107       686       3,484 SH      DEFINED    1       3,082     402       0
VODAFONE GROUP PLC               SPON ADR          92857T107    32,230     163,606 SH      OTHER      2     137,373       0  26,233
VODAFONE GROUP PLC               SPON ADR          92857T107       138         700 SH      OTHER      4           0       0     700
VODAFONE GROUP PLC               SPON ADR          92857T107     2,262      11,480 SH      DEFINED    5       5,349   6,131       0
VODAFONE GROUP PLC               SPON ADR          92857T107       513       2,604 SH      DEFINED    6       2,584      20       0
VODAFONE GROUP PLC               SPON ADR          92857T107    20,587     104,502 SH      OTHER      9     104,502       0       0
VODAFONE GROUP PLC               SPON ADR          92857T107       709       3,599 SH      DEFINED   10       2,116   1,483       0
VODAFONE GROUP PLC               SPON ADR          92857T107     1,433       7,273 SH      DEFINED   11       2,146   5,127       0
VOICESTREAM WIRELESS CORP        COM               928615103        17         603 SH      DEFINED    1         603       0       0
VOICESTREAM WIRELESS CORP        COM               928615103       499      17,548 SH      OTHER      2      17,548       0       0
VOICESTREAM WIRELESS CORP        COM               928615103         4         135 SH      DEFINED    5         135       0       0
VOICESTREAM WIRELESS CORP        COM               928615103        24         839 SH      DEFINED   10         339     500       0
VOICESTREAM WIRELESS CORP        COM               928615103        36       1,250 SH      DEFINED   11         800     450       0
VOLVO AKTIEBOLAGET               ADR B             928856400        85       2,900 SH      OTHER      2       2,900       0       0
VOLVO AKTIEBOLAGET               ADR B             928856400        85       2,900 SH      OTHER      9       2,900       0       0
VOYAGEUR ARIZ MUN INCOME FD      COM               928924109        10         679 SH      DEFINED    6           0     679       0
WMC LTD                          SPON ADR          928947100         9         500 SH      OTHER      2         500       0       0
VORNADO RLTY TR                  OPTION            929042109        35          10 PUT     OTHER      2          10       0       0
VORNADO RLTY TR                  SH BEN INT        929042109    32,338     915,778 SH      OTHER      2     907,778       0   8,000
VORNADO RLTY TR                  SH BEN INT        929042109     3,609     102,200 SH      OTHER      9     102,200       0       0
VORNADO RLTY TR                  PFD CONV SER A    929042208        13         260 SH      DEFINED    5         260       0       0
VORNADO RLTY TR                  PFD CONV SER A    929042208         4          70 SH      DEFINED    6          70       0       0
VORNADO OPERATING CO             COM               92904N103       486      60,688 SH      OTHER      2      60,538       0     150
VULCAN MATLS CO                  COM               929160109     4,743      98,300 SH      OTHER      2      92,000       0   6,300
WD-40 CO                         COM               929236107         4         165 SH      OTHER      2         165       0       0
WHX CORP                         COM               929248102        28       4,309 SH      OTHER      2       4,300       0       9
WHX CORP                         PFD CV SER A      929248201        14         450 SH      OTHER      2           0       0     450
WHX CORP                         PFD CV SER B      929248300        39       1,200 SH      DEFINED    5         700     500       0
WICOR INC                        COM               929253102       216       7,720 SH      DEFINED    1       7,600     120       0
WICOR INC                        COM               929253102        80       2,859 SH      OTHER      2           0       0   2,859
WICOR INC                        COM               929253102     3,882     138,953 SH      DEFINED    5     113,553  25,400       0
WICOR INC                        COM               929253102       412      14,745 SH      DEFINED    6       9,145   5,600       0
WICOR INC                        COM               929253102       110       3,928 SH      DEFINED   10       3,728     200       0
WICOR INC                        COM               929253102        61       2,200 SH      DEFINED   11       1,400     800       0
WLR FOODS INC                    COM               929286102         4         551 SH      OTHER      2         551       0       0
WMX TECHNOLOGIES INC             SUB NTS CV  2%05  92929QAF4     5,982   5,317,013 PRN     OTHER      2   5,317,013       0       0
WPP GROUP PLC                    SPNSRD ADR NEW    929309300       116       1,350 SH      OTHER      2       1,350       0       0
WPP GROUP PLC                    SPNSRD ADR NEW    929309300         3          38 SH      DEFINED    6          38       0       0
WPP GROUP PLC                    SPNSRD ADR NEW    929309300        13         157 SH      DEFINED   10          98      59       0
WPP GROUP PLC                    SPNSRD ADR NEW    929309300         1          17 SH      DEFINED   11          17       0       0
WPS RESOURCES CORP               COM               92931B106    36,375   1,212,514 SH      OTHER      2   1,212,346       0     168
WPS RESOURCES CORP               COM               92931B106        30       1,000 SH      DEFINED    5         400     600       0
WPS RESOURCES CORP               COM               92931B106         4         120 SH      DEFINED    6         120       0       0
WPS RESOURCES CORP               COM               92931B106         3         100 SH      DEFINED   10         100       0       0
WSFS FINL CORP                   COM               929328102        56       3,782 SH      OTHER      2       3,782       0       0
WABASH NATL CORP                 COM               929566107    15,202     784,619 SH      OTHER      2     782,619       0   2,000
WACHOVIA CORP                    COM               929771103       776       9,070 SH      DEFINED    1       7,486   1,584       0
WACHOVIA CORP                    COM               929771103    12,049     140,820 SH      OTHER      2     140,196       0     624
WACHOVIA CORP                    COM               929771103       124       1,450 SH      DEFINED    5       1,250     200       0
WACHOVIA CORP                    COM               929771103        11         130 SH      DEFINED    6         130       0       0
WACHOVIA CORP                    COM               929771103     1,078      12,598 SH      OTHER      9      12,598       0       0
WACHOVIA CORP                    COM               929771103        29         335 SH      DEFINED   10          65     270       0
WACHOVIA CORP                    COM               929771103       323       3,775 SH      DEFINED   11         375   3,400       0
WADDELL & REED FINL INC          CL A              930059100       385      13,963 SH      OTHER      2      10,317       0   3,646
WADDELL & REED FINL INC          CL B              930059209       827      30,633 SH      OTHER      2      29,998       0     635
WAL MART STORES INC              OPTION            931142103    15,242       3,159 CALL    OTHER      2       3,159       0       0
WAL MART STORES INC              OPTION            931142103     1,544         320 PUT     OTHER      2         320       0       0
WAL MART STORES INC              COM               931142103     1,479      30,662 SH      DEFINED    1      23,292   7,370       0
WAL MART STORES INC              COM               931142103       141       2,930 SH      OTHER      1       2,930       0       0
WAL MART STORES INC              COM               931142103    60,497   1,253,820 SH      OTHER      2   1,084,796       0 169,024
WAL MART STORES INC              COM               931142103    26,159     542,150 SH      OTHER      4           0       0 542,150
WAL MART STORES INC              COM               931142103     1,186      24,575 SH      DEFINED    5      18,729   5,846       0
WAL MART STORES INC              COM               931142103     1,690      35,021 SH      DEFINED    6      26,932   8,089       0
WAL MART STORES INC              COM               931142103     8,176     169,448 SH      OTHER      9     169,448       0       0
WAL MART STORES INC              COM               931142103     2,873      59,551 SH      DEFINED   10      41,715  17,836       0
WAL MART STORES INC              COM               931142103     1,951      40,430 SH      DEFINED   11      14,985  25,445       0
WALBRO CORP                      COM               931154108         0       4,000 SH      OTHER      9       4,000       0       0
WALDEN RESIDENTIAL PPTYS INC     COM               931210108        37       1,737 SH      OTHER      2           0       0   1,737
WALDEN RESIDENTIAL PPTYS INC     COM               931210108        16         750 SH      DEFINED   10           0     750       0
WALGREEN CO                      OPTION            931422109       350         119 CALL    OTHER      2         119       0       0
WALGREEN CO                      COM               931422109       597      20,330 SH      DEFINED    1      16,121   4,209       0
WALGREEN CO                      COM               931422109     6,438     219,151 SH      OTHER      2     199,437       0  19,714
WALGREEN CO                      COM               931422109       313      10,652 SH      DEFINED    5       5,468   5,184       0
WALGREEN CO                      COM               931422109       829      28,219 SH      DEFINED    6       4,158  24,061       0
WALGREEN CO                      COM               931422109     2,317      78,892 SH      OTHER      9      78,892       0       0
WALGREEN CO                      COM               931422109     2,006      68,285 SH      DEFINED   10      56,875  11,410       0
WALGREEN CO                      COM               931422109       719      24,471 SH      DEFINED   11      18,333   6,138       0
WALLACE COMPUTER SERVICES INC    COM               932270101        32       1,291 SH      DEFINED    1       1,065     226       0
WALLACE COMPUTER SERVICES INC    COM               932270101       257      10,279 SH      OTHER      2      10,279       0       0
WALLACE COMPUTER SERVICES INC    COM               932270101        15         593 SH      DEFINED   10         593       0       0
WALLACE COMPUTER SERVICES INC    COM               932270101         3         117 SH      DEFINED   11         117       0       0
WANG LABS INC NEW                COM               93369N109         0          22 SH      OTHER      2          22       0       0
WARNACO GROUP INC                CL A              934390105        18         687 SH      DEFINED    1          87     600       0
WARNACO GROUP INC                CL A              934390105       393      14,679 SH      OTHER      2      14,679       0       0
WARNACO GROUP INC                CL A              934390105        64       2,400 SH      DEFINED    6         900   1,500       0
WARNACO GROUP INC                CL A              934390105         8         300 SH      DEFINED   10         300       0       0
WARNACO GROUP INC                CL A              934390105        25         938 SH      DEFINED   11         636     302       0
WARNER LAMBERT CO                OPTION            934488107       553          80 CALL    OTHER      2          80       0       0
WARNER LAMBERT CO                OPTION            934488107       104          15 PUT     OTHER      2          15       0       0
WARNER LAMBERT CO                COM               934488107     2,390      34,582 SH      DEFINED    1      30,299   4,283       0
WARNER LAMBERT CO                COM               934488107    67,046     969,922 SH      OTHER      2     922,282       0  47,640
WARNER LAMBERT CO                COM               934488107     4,570      66,105 SH      DEFINED    5      39,243  26,862       0
WARNER LAMBERT CO                COM               934488107     1,007      14,572 SH      DEFINED    6       7,450   7,122       0
WARNER LAMBERT CO                COM               934488107     2,161      31,260 SH      OTHER      9      31,260       0       0
WARNER LAMBERT CO                COM               934488107     3,262      47,191 SH      DEFINED   10      41,764   5,427       0
WARNER LAMBERT CO                COM               934488107     1,421      20,558 SH      DEFINED   11      12,734   7,824       0
WARWICK CMNTY BANCORP INC        COM               936559103        13       1,000 SH      OTHER      2           0       0   1,000
WASHINGTON FED INC               COM               938824109        26       1,144 SH      OTHER      2           0       0   1,144
WASHINGTON FED INC               COM               938824109        11         500 SH      OTHER      9         500       0       0
WASHINGTON FED INC               COM               938824109        49       2,196 SH      DEFINED   10           0   2,196       0
WASHINGTON GAS LT CO             COM               938837101        49       1,886 SH      DEFINED    1       1,210     676       0
WASHINGTON GAS LT CO             COM               938837101       936      36,018 SH      OTHER      2      31,068       0   4,950
WASHINGTON GAS LT CO             COM               938837101       109       4,200 SH      DEFINED    5       1,200   3,000       0
WASHINGTON GAS LT CO             COM               938837101         8         300 SH      DEFINED   11         300       0       0
WASHINGTON MUT INC               COM               939322103     5,572     156,688 SH      DEFINED    1     127,823  28,865       0
WASHINGTON MUT INC               COM               939322103     7,172     201,669 SH      OTHER      2     190,909       0  10,760
WASHINGTON MUT INC               COM               939322103     3,952     111,127 SH      DEFINED    5      82,458  28,669       0
WASHINGTON MUT INC               COM               939322103     3,372      94,827 SH      DEFINED    6      77,848  16,979       0
WASHINGTON MUT INC               COM               939322103     1,313      36,934 SH      OTHER      9      36,934       0       0
WASHINGTON MUT INC               COM               939322103     2,462      69,233 SH      DEFINED   10      68,033   1,200       0
WASHINGTON MUT INC               COM               939322103     2,594      72,930 SH      DEFINED   11      58,879  14,051       0
WASHINGTON POST CO               CL B              939640108     4,315       8,025 SH      OTHER      2       7,925       0     100
WASHINGTON REAL ESTATE INVT TR   SH BEN INT        939653101     1,790     105,685 SH      DEFINED    1      86,145  19,540       0
WASHINGTON REAL ESTATE INVT TR   SH BEN INT        939653101         0           1 SH      OTHER      2           1       0       0
WASHINGTON REAL ESTATE INVT TR   SH BEN INT        939653101       950      56,110 SH      DEFINED    5      52,150   3,960       0
WASHINGTON REAL ESTATE INVT TR   SH BEN INT        939653101       449      26,530 SH      DEFINED    6      18,480   8,050       0
WASHINGTON REAL ESTATE INVT TR   SH BEN INT        939653101       495      29,200 SH      DEFINED   10      26,275   2,925       0
WASHINGTON REAL ESTATE INVT TR   SH BEN INT        939653101       789      46,610 SH      DEFINED   11      38,840   7,770       0
WASHINGTON TR BANCORP            COM               940610108       137       7,600 SH      OTHER      2       7,600       0       0
WASTE MGMT INC DEL               OPTION            94106L109    34,282       6,378 CALL    OTHER      2       6,378       0       0
WASTE MGMT INC DEL               OPTION            94106L109     1,881         350 PUT     OTHER      2         350       0       0
WASTE MGMT INC DEL               COM               94106L109       854      15,888 SH      DEFINED    1      14,859   1,029       0
WASTE MGMT INC DEL               COM               94106L109    14,757     274,542 SH      OTHER      2     131,473       0 143,069
WASTE MGMT INC DEL               COM               94106L109       609      11,322 SH      DEFINED    5      11,322       0       0
WASTE MGMT INC DEL               COM               94106L109     1,144      21,287 SH      DEFINED    6      11,427   9,860       0
WASTE MGMT INC DEL               COM               94106L109     2,051      38,159 SH      OTHER      9      38,159       0       0
WASTE MGMT INC DEL               COM               94106L109       339       6,313 SH      DEFINED   10       5,588     725       0
WASTE MGMT INC DEL               COM               94106L109       570      10,596 SH      DEFINED   11       9,590   1,006       0
WASTE MGMT INC DEL               SUB NT CONV 4%02  94106LAA7     4,258   3,275,000 PRN     OTHER      2   3,275,000       0       0
WATERS CORP                      COM               941848103       122       2,303 SH      DEFINED    1       2,135     168       0
WATERS CORP                      COM               941848103     6,538     123,067 SH      OTHER      2           0       0 123,067
WATERS CORP                      COM               941848103         7         133 SH      DEFINED    5         133       0       0
WATERS CORP                      COM               941848103        15         290 SH      DEFINED   10         290       0       0
WATERS CORP                      COM               941848103        55       1,038 SH      DEFINED   11         748     290       0
WATSCO INC                       CL B              942622101         0           1 SH      OTHER      2           1       0       0
WATSCO INC                       COM               942622200         0           3 SH      OTHER      2           3       0       0
WATSON PHARMACEUTICALS INC       OPTION            942683103        35          10 CALL    OTHER      2          10       0       0
WATSON PHARMACEUTICALS INC       OPTION            942683103        35          10 PUT     OTHER      2          10       0       0
WATSON PHARMACEUTICALS INC       COM               942683103         6         178 SH      DEFINED    1          39     139       0
WATSON PHARMACEUTICALS INC       COM               942683103     6,865     195,793 SH      OTHER      2     195,793       0       0
WATSON PHARMACEUTICALS INC       COM               942683103        36       1,038 SH      DEFINED    5       1,038       0       0
WATSON PHARMACEUTICALS INC       COM               942683103       720      20,529 SH      OTHER      9      20,529       0       0
WATSON PHARMACEUTICALS INC       COM               942683103        63       1,795 SH      DEFINED   10       1,795       0       0
WATSON PHARMACEUTICALS INC       COM               942683103         8         229 SH      DEFINED   11         229       0       0
WATTS INDS INC                   CL A              942749102       124       6,473 SH      OTHER      2       6,473       0       0
WAUSAU-MOSINEE PAPER CORP        COM               943315101       239      13,300 SH      OTHER      2      13,300       0       0
WEATHERFORD INTL INC             COM               947074100       939      25,636 SH      OTHER      2      25,059       0     577
WEATHERFORD INTL INC             COM               947074100        51       1,400 SH      DEFINED   10       1,400       0       0
WEBB DEL CORP                    COM               947423109       105       4,400 SH      OTHER      9       4,400       0       0
WEBSTER FINL CORP CONN           COM               947890109        92       3,400 SH      OTHER      9       3,400       0       0
WEEKS CORP                       COM               94856P102     1,946      63,800 SH      OTHER      2      61,700       0   2,100
WEEKS CORP                       COM               94856P102        21         700 SH      OTHER      9         700       0       0
WEINGARTEN RLTY INVS             SH BEN INT        948741103         8         200 SH      DEFINED    1           0     200       0
WEINGARTEN RLTY INVS             SH BEN INT        948741103     2,495      59,750 SH      OTHER      2      59,400       0     350
WEINGARTEN RLTY INVS             SH BEN INT        948741103        40         950 SH      DEFINED   10         450     500       0
WEIS MKTS INC                    COM               948849104         0           2 SH      OTHER      2           2       0       0
WELLMAN INC                      COM               949702104       123       7,696 SH      OTHER      2       7,696       0       0
WELLPOINT HEALTH NETWORK NEW     OPTION            94973H108        85          10 CALL    OTHER      2          10       0       0
WELLPOINT HEALTH NETWORK NEW     COM               94973H108       178       2,100 SH      DEFINED    1         200   1,900       0
WELLPOINT HEALTH NETWORK NEW     COM               94973H108     7,848      92,466 SH      OTHER      2      43,388       0  49,078
WELLPOINT HEALTH NETWORK NEW     COM               94973H108        15         171 SH      DEFINED    5         171       0       0
WELLPOINT HEALTH NETWORK NEW     COM               94973H108         6          74 SH      DEFINED    6          74       0       0
WELLPOINT HEALTH NETWORK NEW     COM               94973H108       439       5,168 SH      OTHER      9       5,168       0       0
WELLPOINT HEALTH NETWORK NEW     COM               94973H108        10         114 SH      DEFINED   10         114       0       0
WELLPOINT HEALTH NETWORK NEW     COM               94973H108        71         839 SH      DEFINED   11         589     250       0
WELLS FARGO & CO NEW             OPTION            949746101    56,174      13,140 CALL    OTHER      2      13,140       0       0
WELLS FARGO & CO NEW             OPTION            949746101     9,619       2,250 PUT     OTHER      2       2,250       0       0
WELLS FARGO & CO NEW             COM               949746101    82,671   1,933,815 SH      DEFINED    1   1,925,265   8,550       0
WELLS FARGO & CO NEW             COM               949746101       259       6,065 SH      OTHER      1       6,065       0       0
WELLS FARGO & CO NEW             COM               949746101    23,084     539,975 SH      OTHER      2     478,896       0  61,079
WELLS FARGO & CO NEW             COM               949746101       502      11,751 SH      DEFINED    5      10,551   1,200       0
WELLS FARGO & CO NEW             COM               949746101       515      12,041 SH      DEFINED    6       7,324   4,717       0
WELLS FARGO & CO NEW             COM               949746101     4,695     109,823 SH      OTHER      9     109,823       0       0
WELLS FARGO & CO NEW             COM               949746101     1,800      42,107 SH      DEFINED   10      36,612   5,495       0
WELLS FARGO & CO NEW             COM               949746101       810      18,946 SH      DEFINED   11       7,896  11,050       0
WENDYS FING I                    TECONS SER A      950588202        12         200 SH      OTHER      2           0       0     200
WENDYS INTL INC                  COM               950590109        38       1,330 SH      DEFINED    1       1,125     205       0
WENDYS INTL INC                  COM               950590109     5,142     180,413 SH      OTHER      2     180,413       0       0
WENDYS INTL INC                  COM               950590109         2          85 SH      DEFINED    5          85       0       0
WENDYS INTL INC                  COM               950590109         2          85 SH      DEFINED    6           0      85       0
WENDYS INTL INC                  COM               950590109       271       9,517 SH      OTHER      9       9,517       0       0
WENDYS INTL INC                  COM               950590109         9         330 SH      DEFINED   10           0     330       0
WENDYS INTL INC                  COM               950590109         4         140 SH      DEFINED   11           0     140       0
WESBANCO INC                     COM               950810101        19         627 SH      DEFINED    1         627       0       0
WESBANCO INC                     COM               950810101       240       8,000 SH      DEFINED    5       8,000       0       0
WESCO FINL CORP                  COM               950817106     2,821       9,099 SH      OTHER      2         400       0   8,699
WESCO FINL CORP                  COM               950817106       107         345 SH      DEFINED   11         345       0       0
WESLEY JESSEN VISIONCARE INC     COM               951018100        11         346 SH      OTHER      2         346       0       0
WEST MARINE INC                  COM               954235107         7         500 SH      OTHER      2         500       0       0
WEST PHARMACEUTICAL SVSC INC     COM               955306105        26         675 SH      DEFINED    6           0     675       0
WEST PHARMACEUTICAL SVSC INC     COM               955306105        16         400 SH      DEFINED   11         400       0       0
WEST TELESERVICES CORP           COM               956188106        23       2,500 SH      OTHER      2       2,500       0       0
WESTAFF INC                      COM               957070105        31       5,299 SH      OTHER      2       5,299       0       0
WESTAMERICA BANCORPORATION       COM               957090103       347       9,518 SH      OTHER      2       9,518       0       0
WESTERN DIGITAL CORP             COM               958102105       130      19,924 SH      OTHER      2      19,524       0     400
WESTERN DIGITAL CORP             SD CV ZERO144A18  958102AF2     2,414  14,305,000 PRN     OTHER      9  14,305,000       0       0
WESTERN GAS RES INC              COM               958259103        50       3,100 SH      OTHER      2       3,100       0       0
WESTERN RES INC                  COM               959425109        11         400 SH      DEFINED    1         400       0       0
WESTERN RES INC                  COM               959425109        13         500 SH      DEFINED    5           0     500       0
WESTERN RES INC                  COM               959425109        32       1,200 SH      DEFINED   10       1,200       0       0
WESTERN RES INC                  COM               959425109        67       2,500 SH      DEFINED   11         200   2,300       0
WESTERN WIRELESS CORP            CL A              95988E204     1,801      66,706 SH      OTHER      2      66,706       0       0
WESTERN WIRELESS CORP            CL A              95988E204        14         500 SH      DEFINED   10           0     500       0
WESTERNBANK PUERTO RICO          COM               959897109         1          61 SH      OTHER      2          61       0       0
WESTFIELD AMER INC               COM               959910100       157      10,434 SH      OTHER      2           0       0  10,434
WESTFIELD AMER INC               COM               959910100        23       1,551 SH      DEFINED    5       1,551       0       0
WESTFIELD AMER INC               COM               959910100         9         612 SH      DEFINED   10          12     600       0
WESTPAC BKG CORP                 SPON ADR          961214301     1,460      43,745 SH      OTHER      2           0       0  43,745
WESTPOINT STEVENS INC            COM               961238102       564      18,918 SH      OTHER      2      14,908       0   4,010
WESTPOINT STEVENS INC            COM               961238102        45       1,500 SH      OTHER      9       1,500       0       0
WESTVACO CORP                    COM               961548104       442      15,242 SH      OTHER      2      14,642       0     600
WESTVACO CORP                    COM               961548104       189       6,516 SH      OTHER      9       6,516       0       0
WET SEAL INC                     CL A              961840105        74       2,600 SH      OTHER      9       2,600       0       0
WEYCO GROUP INC                  COM               962149100        12         537 SH      OTHER      2         537       0       0
WEYERHAEUSER CO                  COM               962166104     1,134      16,500 SH      DEFINED    1      15,100   1,400       0
WEYERHAEUSER CO                  COM               962166104     2,032      29,552 SH      OTHER      2      29,552       0       0
WEYERHAEUSER CO                  COM               962166104     2,976      43,288 SH      DEFINED    5      36,838   6,450       0
WEYERHAEUSER CO                  COM               962166104       605       8,805 SH      DEFINED    6       7,505   1,300       0
WEYERHAEUSER CO                  COM               962166104       897      13,049 SH      OTHER      9      13,049       0       0
WEYERHAEUSER CO                  COM               962166104       304       4,425 SH      DEFINED   10       2,625   1,800       0
WEYERHAEUSER CO                  COM               962166104       899      13,080 SH      DEFINED   11      12,480     600       0
WHIRLPOOL CORP                   COM               963320106     1,874      25,321 SH      DEFINED    1      22,771   2,550       0
WHIRLPOOL CORP                   COM               963320106       895      12,098 SH      OTHER      2      11,598       0     500
WHIRLPOOL CORP                   COM               963320106       500       6,750 SH      DEFINED    5       5,650   1,100       0
WHIRLPOOL CORP                   COM               963320106     3,008      40,645 SH      DEFINED    6      24,695  15,950       0
WHIRLPOOL CORP                   COM               963320106       367       4,966 SH      OTHER      9       4,966       0       0
WHIRLPOOL CORP                   COM               963320106     3,600      48,646 SH      DEFINED   10      43,471   5,175       0
WHIRLPOOL CORP                   COM               963320106     2,544      34,379 SH      DEFINED   11      26,185   8,194       0
WHITE MTNS INS GROUP INC         COM               964126106        20         140 SH      DEFINED    1         140       0       0
WHITMAN CORP NEW                 COM               96647R107       537      29,828 SH      OTHER      2      29,428       0     400
WHITMAN CORP NEW                 COM               96647R107        14         800 SH      DEFINED    5         800       0       0
WHITMAN CORP NEW                 COM               96647R107       221      12,253 SH      DEFINED   11         712  11,541       0
WHITTMAN-HART INC                COM               966834103         8         250 SH      DEFINED    1         250       0       0
WHITTMAN-HART INC                COM               966834103         8         245 SH      DEFINED   10         245       0       0
WHOLE FOODS MKT INC              OPTION            966837106        10           2 CALL    OTHER      2           2       0       0
WHOLE FOODS MKT INC              COM               966837106        38         789 SH      OTHER      2         289       0     500
WHOLE FOODS MKT INC              SB DB CV ZRO  18  966837AC0        84     232,000 PRN     OTHER      2      57,000       0 175,000
WILD OATS MARKETS INC            COM               96808B107         5         180 SH      DEFINED    1           0     180       0
WILD OATS MARKETS INC            COM               96808B107         3         102 SH      OTHER      2         102       0       0
WILEY JOHN & SONS INC            CL A              968223206       173       9,791 SH      OTHER      2       9,791       0       0
WILLAMETTE INDS INC              COM               969133107       793      17,207 SH      OTHER      2      17,207       0       0
WILLAMETTE INDS INC              COM               969133107        28         600 SH      DEFINED    6         600       0       0
WILLAMETTE INDS INC              COM               969133107       334       7,242 SH      OTHER      9       7,242       0       0
WILLIAMS COS INC DEL             OPTION            969457100       617         145 CALL    OTHER      2         145       0       0
WILLIAMS COS INC DEL             COM               969457100       685      16,095 SH      DEFINED    1      15,048   1,047       0
WILLIAMS COS INC DEL             COM               969457100    11,733     275,677 SH      OTHER      2     197,177       0  78,500
WILLIAMS COS INC DEL             COM               969457100       336       7,885 SH      DEFINED    5       2,819   5,066       0
WILLIAMS COS INC DEL             COM               969457100       340       7,989 SH      DEFINED    6       6,989   1,000       0
WILLIAMS COS INC DEL             COM               969457100     2,044      48,014 SH      OTHER      9      48,014       0       0
WILLIAMS COS INC DEL             COM               969457100       232       5,447 SH      DEFINED   10       2,352   3,095       0
WILLIAMS COS INC DEL             COM               969457100       101       2,369 SH      DEFINED   11         600   1,769       0
WILLIAMS SONOMA INC              COM               969904101     1,760      50,550 SH      OTHER      2      50,050       0     500
WILMAR INDS INC                  COM               971426101       138      10,638 SH      OTHER      2      10,638       0       0
WILMINGTON TRUST CORP            COM               971807102       475       8,271 SH      OTHER      2       8,271       0       0
WILMINGTON TRUST CORP            COM               971807102         6         100 SH      DEFINED    5         100       0       0
WILMINGTON TRUST CORP            COM               971807102        34         600 SH      DEFINED    6           0     600       0
WILMINGTON TRUST CORP            COM               971807102       109       1,900 SH      DEFINED   11       1,900       0       0
WILSHIRE FINL SVCS GROUP INC     COM               971867106         0       4,100 SH      OTHER      2       4,100       0       0
WIND RIVER SYSTEMS INC           COM               973149107         4         275 SH      DEFINED    1         275       0       0
WIND RIVER SYSTEMS INC           COM               973149107         1          50 SH      OTHER      2          50       0       0
WIND RIVER SYSTEMS INC           COM               973149107         5         335 SH      DEFINED   10         335       0       0
WINDMERE-DURABLE HLDGS INC       COM               973411101       211      12,500 SH      OTHER      2           0       0  12,500
WINDMERE-DURABLE HLDGS INC       COM               973411101       160       9,500 SH      OTHER      9       9,500       0       0
WINN DIXIE STORES INC            COM               974280109         9         254 SH      DEFINED    1           0     254       0
WINN DIXIE STORES INC            COM               974280109   211,181   5,717,333 SH      OTHER      2   5,711,468       0   5,865
WINN DIXIE STORES INC            COM               974280109       654      17,704 SH      DEFINED    5      17,704       0       0
WINN DIXIE STORES INC            COM               974280109       401      10,867 SH      OTHER      9      10,867       0       0
WINN DIXIE STORES INC            COM               974280109        33         900 SH      DEFINED   11         900       0       0
WINSTAR COMMUNICATIONS INC       COM               975515107       231       4,744 SH      OTHER      2       1,744       0   3,000
WISCONSIN CENT TRANSN CORP       COM               976592105       238      12,583 SH      OTHER      2      12,583       0       0
WISCONSIN ENERGY CORP            COM               976657106        17         675 SH      DEFINED    1         675       0       0
WISCONSIN ENERGY CORP            COM               976657106    27,320   1,090,078 SH      OTHER      2   1,090,078       0       0
WISCONSIN ENERGY CORP            COM               976657106        11         445 SH      DEFINED    5         445       0       0
WISCONSIN ENERGY CORP            COM               976657106        98       3,900 SH      OTHER      9       3,900       0       0
WISCONSIN ENERGY CORP            COM               976657106        24         966 SH      DEFINED   10         966       0       0
WISCONSIN ENERGY CORP            COM               976657106        63       2,500 SH      DEFINED   11           0   2,500       0
WISER OIL CO DEL                 COM               977284108         2         500 SH      OTHER      2           0       0     500
WISER OIL CO DEL                 COM               977284108         1         400 SH      DEFINED   11           0     400       0
WIT CAP GROUP INC                COM               97737K309        79       2,324 SH      OTHER      2       2,324       0       0
WITCO CORP                       COM               977385103       280      14,158 SH      OTHER      2      14,158       0       0
WITCO CORP                       COM               977385103       116       5,850 SH      DEFINED    5           0   5,850       0
WOLVERINE TUBE INC               COM               978093102        13         500 SH      OTHER      2           0       0     500
WOLVERINE WORLD WIDE INC         COM               978097103        10         700 SH      DEFINED    1         700       0       0
WOLVERINE WORLD WIDE INC         COM               978097103        10         734 SH      DEFINED   10         734       0       0
WOODHEAD INDS INC                COM               979438108         7         585 SH      DEFINED    5         585       0       0
WORLD HEART CORP                 COM               980905103        57       5,536 SH      OTHER      2       5,536       0       0
WORKFLOW MGMT INC                OPTION            98137N109       356         250 CALL    OTHER      2         250       0       0
WORKFLOW MGMT INC                OPTION            98137N109       356         250 PUT     OTHER      2         250       0       0
WORKFLOW MGMT INC                COM               98137N109         5         360 SH      OTHER      2         360       0       0
WORKFLOW MGMT INC                COM               98137N109         4         307 SH      DEFINED    6         307       0       0
WORKFLOW MGMT INC                COM               98137N109        80       5,600 SH      OTHER      9       5,600       0       0
WORLD ACCESS INC                 OPTION            98141A101        14          10 CALL    OTHER      2          10       0       0
WORLD ACCESS INC                 COM               98141A101         7         500 SH      OTHER      2           0       0     500
WORTHINGTON INDS INC             COM               981811102       264      16,035 SH      OTHER      2      15,535       0     500
WORTHINGTON INDS INC             COM               981811102       226      13,775 SH      OTHER      9      13,775       0       0
WRIGLEY WM JR CO                 COM               982526105    10,696     119,933 SH      OTHER      2      93,792       0  26,141
WRIGLEY WM JR CO                 COM               982526105       384       4,300 SH      DEFINED    6           0   4,300       0
WRIGLEY WM JR CO                 COM               982526105       826       9,262 SH      OTHER      9       9,262       0       0
WRIGLEY WM JR CO                 COM               982526105        45         500 SH      DEFINED   11         500       0       0
WYNNS INTL INC                   COM               983195108        56       3,037 SH      DEFINED   10           0   3,037       0
WYNNS INTL INC                   COM               983195108        21       1,126 SH      DEFINED   11       1,126       0       0
X-RITE INC                       COM               983857103        72      11,251 SH      OTHER      2      11,251       0       0
XILINX INC                       OPTION            983919101        52           9 CALL    OTHER      2           9       0       0
XILINX INC                       COM               983919101     8,547     149,291 SH      OTHER      2     149,291       0       0
XILINX INC                       COM               983919101       628      10,966 SH      OTHER      9      10,966       0       0
XIRCOM INC                       OPTION            983922105        45          15 CALL    OTHER      2          15       0       0
XEROX CORP                       OPTION            984121103        24           4 CALL    OTHER      2           4       0       0
XEROX CORP                       OPTION            984121103     2,953         500 PUT     OTHER      2         500       0       0
XEROX CORP                       COM               984121103     1,039      17,600 SH      DEFINED    1       7,974   9,626       0
XEROX CORP                       COM               984121103    32,551     551,130 SH      OTHER      2     524,746       0  26,384
XEROX CORP                       COM               984121103       443       7,508 SH      DEFINED    5       6,308   1,200       0
XEROX CORP                       COM               984121103        36         608 SH      DEFINED    6         608       0       0
XEROX CORP                       COM               984121103        32         542 SH      OTHER      9         542       0       0
XEROX CORP                       COM               984121103       343       5,810 SH      DEFINED   10       5,760      50       0
XEROX CORP                       COM               984121103       606      10,268 SH      DEFINED   11       3,610   6,658       0
XTRA CORP                        COM               984138107        46       1,000 SH      DEFINED    6           0   1,000       0
XOOM COM INC                     OPTION            98413F101        26           5 CALL    OTHER      2           5       0       0
YPF SOCIEDAD ANONIMA             OPTION            984245100     1,140         300 CALL    OTHER      9         300       0       0
YPF SOCIEDAD ANONIMA             OPTION            984245100       646         170 PUT     OTHER      2         170       0       0
YPF SOCIEDAD ANONIMA             OPTION            984245100     1,140         300 PUT     OTHER      9         300       0       0
YPF SOCIEDAD ANONIMA             SPON ADR CL D     984245100       427      11,225 SH      DEFINED    1       7,925   3,300       0
YPF SOCIEDAD ANONIMA             SPON ADR CL D     984245100       388      10,205 SH      OTHER      2         150       0  10,055
YPF SOCIEDAD ANONIMA             SPON ADR CL D     984245100       691      18,175 SH      DEFINED    5      12,200   5,975       0
YPF SOCIEDAD ANONIMA             SPON ADR CL D     984245100       387      10,175 SH      DEFINED    6       8,975   1,200       0
YPF SOCIEDAD ANONIMA             SPON ADR CL D     984245100     1,657      43,607 SH      OTHER      9      43,607       0       0
YPF SOCIEDAD ANONIMA             SPON ADR CL D     984245100        54       1,425 SH      DEFINED   10       1,425       0       0
YPF SOCIEDAD ANONIMA             SPON ADR CL D     984245100       118       3,100 SH      DEFINED   11       2,300     800       0
YAHOO INC                        OPTION            984332106     5,546         322 CALL    OTHER      2         322       0       0
YAHOO INC                        OPTION            984332106     4,840         281 PUT     OTHER      2         281       0       0
YAHOO INC                        COM               984332106       239       1,390 SH      DEFINED    1         190   1,200       0
YAHOO INC                        COM               984332106    10,833      62,891 SH      OTHER      2      45,282       0  17,609
YAHOO INC                        COM               984332106        26         150 SH      OTHER      9         150       0       0
YAHOO INC                        COM               984332106       172       1,000 SH      DEFINED   10       1,000       0       0
YANKEE ENERGY SYS INC            COM               984779108       191       4,822 SH      OTHER      2       4,822       0       0
YANKEE ENERGY SYS INC            COM               984779108         4         100 SH      DEFINED   11         100       0       0
YANZHOU COAL MNG CO LTD          SPNS ADR H SHS    984846105        55       3,082 SH      OTHER      2       3,082       0       0
XICOR INC                        COM               984903104         4       1,000 SH      OTHER      2           0       0   1,000
YARDVILLE NATL BANCORP           COM               985021104         5         410 SH      DEFINED    6           0     410       0
YELLOW CORP                      COM               985509108        10         581 SH      OTHER      2         581       0       0
YELLOW CORP                      COM               985509108       108       6,100 SH      OTHER      9       6,100       0       0
YORK INTL CORP NEW               COM               986670107         4         100 SH      DEFINED    1         100       0       0
YORK INTL CORP NEW               COM               986670107       427       9,979 SH      OTHER      2       9,979       0       0
YORK INTL CORP NEW               COM               986670107       107       2,500 SH      OTHER      9       2,500       0       0
ZALE CORP NEW                    COM               988858106         7         164 SH      DEFINED    1          38     126       0
ZALE CORP NEW                    COM               988858106       242       6,059 SH      OTHER      2       2,724       0   3,335
ZALE CORP NEW                    COM               988858106       110       2,760 SH      OTHER      9       2,760       0       0
ZALE CORP NEW                    COM               988858106         3          69 SH      DEFINED   10          69       0       0
ZALE CORP NEW                    COM               988858106        11         271 SH      DEFINED   11          66     205       0
ZI CORP                          COM               988918108         0          32 SH      OTHER      1          32       0       0
ZAPATA CORP                      COM NEW           989070503       100      11,800 SH      OTHER      9      11,800       0       0
ZEBRA TECHNOLOGIES CORP          CL A              989207105        10         257 SH      DEFINED    1          58     199       0
ZEBRA TECHNOLOGIES CORP          CL A              989207105       637      16,580 SH      OTHER      2      16,580       0       0
ZEBRA TECHNOLOGIES CORP          CL A              989207105         4         107 SH      DEFINED   10         107       0       0
ZEBRA TECHNOLOGIES CORP          CL A              989207105        22         575 SH      DEFINED   11         575       0       0
ZENITH NATL INS CORP             COM               989390109         2          74 SH      OTHER      2          74       0       0
ZENITH NATL INS CORP             COM               989390109        18         726 SH      DEFINED   10         726       0       0
ZIFF-DAVIS INC                   OPTION            989511100        18          12 CALL    OTHER      2          12       0       0
ZIFF-DAVIS INC                   OPTION            989511100         8           5 PUT     OTHER      2           5       0       0
ZIFF-DAVIS INC                   OPTION            989511209         3           1 CALL    OTHER      2           1       0       0
ZILA INC                         COM PAR $0.01     989513205       136      44,734 SH      OTHER      2      41,934       0   2,800
ZIONS BANCORPORATION             COM               989701107     1,223      19,252 SH      OTHER      2      19,252       0       0
ZIONS BANCORPORATION             COM               989701107        47         738 SH      DEFINED    5         738       0       0
ZIONS BANCORPORATION             COM               989701107        83       1,300 SH      OTHER      9       1,300       0       0
ZIONS BANCORPORATION             COM               989701107        51         800 SH      DEFINED   10         800       0       0
ZONAGEN INC                      COM               98975L108        79       8,563 SH      OTHER      2       8,563       0       0
ZONAGEN INC                      COM               98975L108         1         100 SH      DEFINED   10         100       0       0
ZOLTEK COS INC                   COM               98975W104        18       2,250 SH      OTHER      2       2,250       0       0
ZWEIG FD                         COM               989834106        23       2,100 SH      DEFINED    5       2,100       0       0
ZWEIG FD                         COM               989834106       111      10,000 SH      DEFINED   10      10,000       0       0
ZWEIG TOTAL RETURN FD INC        COM               989837109        17       2,000 SH      DEFINED   11           0   2,000       0
ZYMETX INC                       COM               989859103       559     279,579 SH      OTHER      1     279,579       0       0
ZITEL CORP                       COM               989913108         3       2,000 SH      OTHER      2           0       0   2,000
ZITEL CORP                       COM               989913108         0          79 SH      OTHER      9          79       0       0
ZOMAX INC MINN                   COM               989929104        44       1,000 SH      OTHER      2       1,000       0       0
LERNOUT & HAUSPIE SPEECH PRODS   COM               B5628B104         4         100 SH      OTHER      2           0       0     100
DAIMLERCHRYSLER AG               OPTION            D1668R123        27           3 PUT     OTHER      2           3       0       0
DAIMLERCHRYSLER AG               ORD               D1668R123       505       5,673 SH      DEFINED    1       4,423   1,250       0
DAIMLERCHRYSLER AG               ORD               D1668R123     1,521      17,090 SH      OTHER      2           2       0  17,088
DAIMLERCHRYSLER AG               ORD               D1668R123       181       2,030 SH      DEFINED    5         657   1,373       0
DAIMLERCHRYSLER AG               ORD               D1668R123       222       2,490 SH      DEFINED    6       1,867     623       0
DAIMLERCHRYSLER AG               ORD               D1668R123     9,233     103,737 SH      OTHER      9     103,737       0       0
DAIMLERCHRYSLER AG               ORD               D1668R123       156       1,758 SH      DEFINED   10       1,479     279       0
DAIMLERCHRYSLER AG               ORD               D1668R123       443       4,981 SH      DEFINED   11       3,835   1,146       0
ACE LTD                          ORD               G0070K103       229       8,109 SH      DEFINED    1       5,748   2,361       0
ACE LTD                          ORD               G0070K103        96       3,400 SH      OTHER      2           0       0   3,400
ACE LTD                          ORD               G0070K103        14         506 SH      DEFINED    5         506       0       0
ACE LTD                          ORD               G0070K103        56       1,982 SH      DEFINED    6       1,982       0       0
ACE LTD                          ORD               G0070K103        23         800 SH      OTHER      9         800       0       0
ACE LTD                          ORD               G0070K103        90       3,181 SH      DEFINED   10       3,181       0       0
ACE LTD                          ORD               G0070K103        82       2,904 SH      DEFINED   11         490   2,414       0
AMWAY ASIA PACIFIC LTD           OPTION            G0352M108         2           2 CALL    OTHER      2           2       0       0
AMWAY ASIA PACIFIC LTD           COM               G0352M108         0           4 SH      OTHER      2           4       0       0
ANNUITY AND LIFE RE HLDGS        ORD               G03910109       149       6,651 SH      OTHER      2       6,651       0       0
ANNUITY AND LIFE RE HLDGS        ORD               G03910109         8         350 SH      DEFINED   10         350       0       0
ASIA PACIFIC RES INTL HLDG LTD   CL A              G05345106     1,280   1,078,700 SH      OTHER      9   1,078,700       0       0
BRILLIANCE CHINA AUTO HLDG LTD   COM               G1368B102       515      35,039 SH      OTHER      2      32,039       0   3,000
CENTRAL EUR MEDIA ENTRPRS        CL A              G20045103       455      70,000 SH      OTHER      2      70,000       0       0
CORECOMM LTD                     ORD               G2422R109        41         841 SH      OTHER      2         841       0       0
CREDICORP LTD                    COM               G2519Y108        11       1,000 SH      OTHER      2       1,000       0       0
FRUIT OF THE LOOM LTD            ORD CL A          G3682L105       106      10,890 SH      OTHER      2      10,890       0       0
FRUIT OF THE LOOM LTD            ORD CL A          G3682L105       132      13,574 SH      OTHER      9      13,574       0       0
GEMSTAR INTL GROUP LTD           OPTION            G3788V106        65          10 CALL    OTHER      2          10       0       0
GEMSTAR INTL GROUP LTD           OPTION            G3788V106        65          10 PUT     OTHER      2          10       0       0
GEMSTAR INTL GROUP LTD           ORD               G3788V106         3          40 SH      DEFINED   11           0      40       0
GLOBAL CROSSING LTD              OPTION            G3921A100     4,263       1,000 PUT     OTHER      9       1,000       0       0
GLOBAL CROSSING LTD              COM               G3921A100        14         320 SH      DEFINED    1         320       0       0
GLOBAL CROSSING LTD              COM               G3921A100     1,870      43,860 SH      OTHER      2      43,199       0     661
GLOBAL CROSSING LTD              COM               G3921A100     3,490      81,872 SH      OTHER      9      81,872       0       0
GLOBALSTAR TELECOMMCTNS LTD      OPTION            G3930H104        12           5 CALL    OTHER      2           5       0       0
GLOBALSTAR TELECOMMCTNS LTD      COM               G3930H104        75       3,236 SH      OTHER      2       1,060       0   2,176
INTERNATIONAL BRIQUETTES HLDG    ORD               G4821Q104        31       8,803 SH      OTHER      2       8,803       0       0
IPC HLDGS LTD                    ORD               G4933P101        54       2,700 SH      OTHER      2       2,200       0     500
IPC HLDGS LTD                    ORD               G4933P101        32       1,600 SH      DEFINED   10       1,600       0       0
IRIDIUM WORLD COMMUNICATIONS     OPTION            G49398103        25          23 CALL    OTHER      2          23       0       0
IRIDIUM WORLD COMMUNICATIONS     OPTION            G49398103        17          16 PUT     OTHER      2          16       0       0
IRIDIUM WORLD COMMUNICATIONS     CL A              G49398103       289      27,050 SH      OTHER      2           0       0  27,050
IRIDIUM WORLD COMMUNICATIONS     CL A              G49398103         2         200 SH      DEFINED   10         200       0       0
IRIDIUM WORLD COMMUNICATIONS     CL A              G49398103        21       2,000 SH      DEFINED   11           0   2,000       0
KNIGHTSBRIDGE TANKERS LTD        ORD               G5299G106     2,051     117,200 SH      OTHER      9     117,200       0       0
LASALLE RE HLDGS LTD             ORD               G5383Q101         8         450 SH      OTHER      2           0       0     450
LORAL SPACE & COMMUNICATIONS     COM               G56462107         4         200 SH      DEFINED    1         200       0       0
LORAL SPACE & COMMUNICATIONS     COM               G56462107       485      26,950 SH      OTHER      2           0       0  26,950
LORAL SPACE & COMMUNICATIONS     COM               G56462107       146       8,092 SH      OTHER      9       8,092       0       0
LORAL SPACE & COMMUNICATIONS     COM               G56462107       270      15,000 SH      DEFINED   11      15,000       0       0
NORDIC AMERICAN TANKER SHIPPNG   COM               G65773106     3,789     329,501 SH      OTHER      9     329,501       0       0
PARTNERRE LTD                    COM               G6852T105        16         439 SH      DEFINED    1         202     237       0
PARTNERRE LTD                    COM               G6852T105        26         694 SH      DEFINED    6         694       0       0
PARTNERRE LTD                    COM               G6852T105        16         441 SH      DEFINED   10         441       0       0
PARTNERRE LTD                    COM               G6852T105        28         758 SH      DEFINED   11         472     286       0
RADICA GAMES LTD                 ORD               G7342H107        92       9,765 SH      OTHER      2       9,765       0       0
RENAISSANCE RE HLDGS LTD         COM               G7496G103        38       1,040 SH      OTHER      2           0       0   1,040
RENAISSANCE RE HLDGS LTD         COM               G7496G103        15         415 SH      DEFINED   10         415       0       0
RSL COMMUNICATIONS LTD           CL A              G7702U102        39       2,009 SH      OTHER      2       2,009       0       0
SANTA FE INTL CORP               OPTION            G7805C108        92          40 CALL    OTHER      2          40       0       0
SANTA FE INTL CORP               ORD               G7805C108       506      21,986 SH      OTHER      2           0       0  21,986
SANTA FE INTL CORP               ORD               G7805C108        58       2,500 SH      OTHER      9       2,500       0       0
TERRA NOVA BERMUDA HLDGS LTD     ORD CL A          G87615103     2,366      87,824 SH      OTHER      2      87,824       0       0
HILFIGER TOMMY CORP              OPTION            G8915Z102        15           2 CALL    OTHER      2           2       0       0
HILFIGER TOMMY CORP              ORD               G8915Z102        76       1,039 SH      DEFINED    1         431     608       0
HILFIGER TOMMY CORP              ORD               G8915Z102     4,282      58,464 SH      OTHER      2           0       0  58,464
HILFIGER TOMMY CORP              ORD               G8915Z102        10         137 SH      DEFINED    5         137       0       0
HILFIGER TOMMY CORP              ORD               G8915Z102       103       1,400 SH      OTHER      9       1,400       0       0
HILFIGER TOMMY CORP              ORD               G8915Z102        11         149 SH      DEFINED   10         149       0       0
HILFIGER TOMMY CORP              ORD               G8915Z102        48         656 SH      DEFINED   11         656       0       0
TRANSOCEAN OFFSHORE INC CAYMON   OPTION            G90076103     1,790         682 CALL    OTHER      2         682       0       0
TRANSOCEAN OFFSHORE INC CAYMON   OPTION            G90076103        16           6 PUT     OTHER      2           6       0       0
TRANSOCEAN OFFSHORE INC CAYMON   ORD               G90076103        46       1,750 SH      DEFINED    1       1,750       0       0
TRANSOCEAN OFFSHORE INC CAYMON   ORD               G90076103       760      28,964 SH      OTHER      2      24,864       0   4,100
TRANSOCEAN OFFSHORE INC CAYMON   ORD               G90076103        50       1,900 SH      OTHER      9       1,900       0       0
TRITON ENERGY LTD                ORD               G90751101        53       5,000 SH      OTHER      2           0       0   5,000
XL CAP LTD                       CL A              G98255105       370       6,557 SH      DEFINED    1       3,369   3,188       0
XL CAP LTD                       CL A              G98255105     2,292      40,570 SH      OTHER      2      40,170       0     400
XL CAP LTD                       CL A              G98255105        26         458 SH      DEFINED    5         458       0       0
XL CAP LTD                       CL A              G98255105        37         651 SH      DEFINED    6         651       0       0
XL CAP LTD                       CL A              G98255105        93       1,647 SH      OTHER      9       1,647       0       0
XL CAP LTD                       CL A              G98255105       123       2,175 SH      DEFINED   10       1,385     790       0
XL CAP LTD                       CL A              G98255105        80       1,419 SH      DEFINED   11         195   1,224       0
OLICOM A/S                       ORD               K7514Y107        47      11,814 SH      OTHER      2      11,814       0       0
MILLICOM INTL CELLULAR S A       ORD               L6388F102        87       2,760 SH      OTHER      2       2,760       0       0
SBS BROADCASTING SA              ORD               L8137F102       183       5,661 SH      OTHER      2       5,661       0       0
ARZAN INTL (1991) LTD            WT EXP  031200    M15015114         0       2,200 SH      OTHER      2           0       0   2,200
BACKWEB TECHNOLOGIES LTD         ORD               M15633106    11,902     434,783 SH      OTHER      1     434,783       0       0
CHECK POINT SOFTWARE TECH LTD    OPTION            M22465104        54          10 CALL    OTHER      2          10       0       0
ELBIT MEDICAL IMAGING LTD        ORD               M37605108        11       1,185 SH      OTHER      2       1,185       0       0
ELBIT SYS LTD                    ORD               M3760D101        24       1,379 SH      OTHER      2       1,379       0       0
ELBIT SYS LTD                    ORD               M3760D101         7         400 SH      OTHER      9         400       0       0
ESC MEDICAL SYS LTD              ORD               M40868107       191      30,000 SH      OTHER      2           0       0  30,000
FORSOFT LTD                      ORD NEW           M46544108         3         403 SH      OTHER      2         403       0       0
FUNDTECH LTD                     ORD               M47095100       759      29,258 SH      OTHER      2      29,258       0       0
GALILEO TECHNOLOGY LTD           ORD               M47298100       182       4,026 SH      OTHER      2       4,026       0       0
GALILEO TECHNOLOGY LTD           ORD               M47298100       634      14,000 SH      OTHER      9      14,000       0       0
GILAT SATELLITE NETWORKS LTD     ORD               M51474100        37         700 SH      OTHER      2           0       0     700
LANOPTICS LTD                    ORD               M6706C103        19       4,668 SH      OTHER      2       4,668       0       0
ORCKIT COMMUNICATIONS LTD        COM               M7531S107        10         400 SH      OTHER      2         400       0       0
TARO PHARMACEUTICAL INDS LTD     ORD               M8737E108       286      31,107 SH      OTHER      2       1,107       0  30,000
TECNOMATIX TECHNOLOGIES LTD      ORD               M8743P105       424      24,257 SH      OTHER      2      24,257       0       0
VOCALTEC COMMUNICATIONS LTD      ORD               M97601104        46       3,707 SH      OTHER      2       3,707       0       0
ASM INTL N V                     COM               N07045102        25       3,337 SH      OTHER      2       3,337       0       0
ASM LITHOGRAPHY HLDG N V         OPTION            N07059111        30           5 PUT     OTHER      2           5       0       0
ASM LITHOGRAPHY HLDG N V         N Y SHS           N07059111     3,624      61,036 SH      OTHER      2      51,036       0  10,000
ASM LITHOGRAPHY HLDG N V         N Y SHS           N07059111         4          75 SH      DEFINED    6          75       0       0
ASM LITHOGRAPHY HLDG N V         N Y SHS           N07059111       488       8,211 SH      OTHER      9       8,211       0       0
ASM LITHOGRAPHY HLDG N V         N Y SHS           N07059111        19         312 SH      DEFINED   10         195     117       0
ASM LITHOGRAPHY HLDG N V         N Y SHS           N07059111         2          31 SH      DEFINED   11          31       0       0
BAAN CO NV                       COM               N08044104     2,206     138,959 SH      OTHER      2     138,959       0       0
BAAN CO NV                       COM               N08044104        18       1,121 SH      OTHER      9       1,121       0       0
CORE LABORATORIES N V            COM               N22717107         6         460 SH      DEFINED    1           0     460       0
CORE LABORATORIES N V            COM               N22717107        10         700 SH      DEFINED   11         700       0       0
INDIGO N V                       ORD               N44495104        13       3,584 SH      OTHER      2       3,584       0       0
MADGE NETWORKS N V               ORD SHS           N5424G106        91      26,500 SH      OTHER      2           0       0  26,500
ORTHOFIX INTL N V                COM               N6748L102         8         540 SH      DEFINED    1           0     540       0
QIAGEN NV                        ORD               N72482107        15         218 SH      OTHER      2         218       0       0
SAPIENS INTL CORP N V            ORD               N7716A102         4         392 SH      OTHER      2         392       0       0
CARLISLE HLDGS LTD               ORD               P21277101        97       6,693 SH      OTHER      2       6,693       0       0
PANAMERICAN BEVERAGES INC        CL A              P74823108       207       8,700 SH      DEFINED    1       7,550   1,150       0
PANAMERICAN BEVERAGES INC        CL A              P74823108        45       1,900 SH      OTHER      2       1,900       0       0
PANAMERICAN BEVERAGES INC        CL A              P74823108       700      29,410 SH      DEFINED    5      27,440   1,970       0
PANAMERICAN BEVERAGES INC        CL A              P74823108       546      22,915 SH      DEFINED    6      21,415   1,500       0
PANAMERICAN BEVERAGES INC        CL A              P74823108       124       5,225 SH      DEFINED   10       5,225       0       0
PANAMERICAN BEVERAGES INC        CL A              P74823108       311      13,050 SH      DEFINED   11      13,050       0       0
STEINER LEISURE LTD              ORD               P8744Y102         5         162 SH      DEFINED    1           0     162       0
SUN INTL HOTELS LTD              ORD               P8797T133         8         172 SH      DEFINED    5         172       0       0
CITYVIEW ENERGY CORP LTD         ORD               Q3079D103         2       4,400 SH      OTHER      2       4,400       0       0
ROYAL CARIBBEAN CRUISES LTD      OPTION            V7780T103        44          10 CALL    OTHER      2          10       0       0
ROYAL CARIBBEAN CRUISES LTD      COM               V7780T103        53       1,200 SH      OTHER      2           0       0   1,200
ROYAL CARIBBEAN CRUISES LTD      PFD CONV A        V7780T111     3,350      24,621 SH      OTHER      2      24,621       0       0
ROYAL CARIBBEAN CRUISES LTD      PFD CONV A        V7780T111        21         155 SH      DEFINED    5         155       0       0
ROYAL CARIBBEAN CRUISES LTD      PFD CONV A        V7780T111         5          40 SH      DEFINED    6          40       0       0
GLC LTD                          COM NEW           X3205H103         3         571 SH      OTHER      2           0       0     571
ASE TEST LTD                     ORD               Y02516105       495      23,000 SH      OTHER      2      23,000       0       0
CREATIVE TECHNOLOGY LTD          OPTION            Y1775U107        81          60 CALL    OTHER      2          60       0       0
CREATIVE TECHNOLOGY LTD          ORD               Y1775U107       289      21,484 SH      OTHER      2      19,884       0   1,600
CREATIVE TECHNOLOGY LTD          ORD               Y1775U107        91       6,800 SH      OTHER      9       6,800       0       0
FLEXTRONICS INTL LTD             ORD               Y2573F102         6         103 SH      DEFINED    1          24      79       0
FLEXTRONICS INTL LTD             ORD               Y2573F102         2          43 SH      DEFINED   10          43       0       0
FLEXTRONICS INTL LTD             ORD               Y2573F102         2          41 SH      DEFINED   11          41       0       0
OMI CORP NEW                     COM               Y6476W104         0          10 SH      OTHER      2          10       0       0
</TABLE>



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